lørdag 25. desember 2010

U.S. Savage Imperialism

Article by Noam Chomsky
December 01, 2010
Originally published by Z Communications
Read original at ZNet

(From a talk by Noam Chomsky, June 2010)

It's tempting to go back to the beginning. The beginning goes pretty far back, but it is useful to think about some aspects of American history that bear directly on current U.S. policy in the Middle East. The U.S. is a pretty unusual country in many ways. It's maybe the only country in the world that was founded as an empire. It was an infant empire—as George Washington called it—and the founding fathers had broad aspirations. The most libertarian of them, Thomas Jefferson, thought that this infant empire should spread and become what he called the "nest" from which the entire continent would be colonized. That would get rid of the "Red," the Indians as they'd be driven away or exterminated. The Blacks would be sent back to Africa when we don't need them anymore and the Latins will be eliminated by a superior race.



Conquest of the National Territory




It was a very racist country all the way through its history, not just anti-black. That was Jefferson's image and the others more or less agreed with it. So it's a settler colonialist society. Settler colonialism is far and away the worst kind of imperialism, the most savage kind because it requires eliminating the indigenous population. That's not unrelated, I think, to the kind of reflexive U.S. support for Israel—which is also a settler colonial society. Its policies resonate with a sense of American history. It's kind of reliving it. It goes beyond that because the early settlers in the U.S. were religious fundamentalists who regarded themselves as the children of Israel, following the divine commandment to settle the promised land and slaughter the Amalekites and so on an d so forth. That's right around here, the early settlers in Massachusetts.



All this was done with the utmost benevolence. So, for example, Massachusetts (the Mayflower and all that business) was given its Charter by the King of England in 1629. The Charter commissioned the settlers to save the native population from the misery of paganism. And, in fact, if you look at the great seal of the Bay Colony of Massachusetts, it depicts an Indian holding an arrow pointed down in a sign of peace. And out of his mouth is a scroll on which is written: "Come over and help us." That's one of the first examples of what's called humanitarian intervention today. And it's typical of other cases up to the present. The Indians were pleading with the colonists to come over and help them and the colonists were benevolently following the divine command to come over and help them. It turned out we were helping by exterminating them.



That was considered rather puzzling. Around the 1820s, one Supreme Court justice wrote about it. He says it's kind of strange that, despite all our benevolence and love for the Indians, they are withering and dispersing like the "leaves of autumn." And how could this be? He said, the divine will of providence is "beyond human comprehension." It's just God's will. We can't hope to understand it. This conception—it's called Providentialism—that we are always following God's will goes right up to the present moment. Whatever we're doing, we're following God's will. It's an extremely religious country, off the spectrum in religious belief. A very large percentage of the population—I don't remember the numbers, but it's quite high—believes in t he literal word of the Bible and part of that means supporting everything that Israel does because God promised the promised land to Israel. So we have to support them.



These same people—a substantial core of solid support for anything Israel does—also happen to be the most extreme anti-Semites in the world. They make Hitler look pretty mild. They are looking forward to the near total annihilation of the Jews after Armageddon. There's a whole long story about this, which is believed, literally, in high places—probably people like Reagan, George W. Bush, and others. It ties in with the kind of settler colonial history of Christian Zionism—which long preceded Jewish Zionism and is much stronger. It provides a solid base of reflexive support for whatever Israel happens to be doing.



The conquest of the national territory was a pretty ugly affair. It was recognized by some of the more honest figures like John Quincy Adams who was the great grand strategist of expansionism—the theorist of Manifest Destiny and so on. In his later years, long after his own horrifying crimes were in the past, he did lament what he called the fate of that "hapless race of native Americans, which we are exterminating with such merciless and perfidious cruelty." He said that's one of the sins that the Lord is going to punish us for. Still waiting for that.



His doctrines are highly praised right to the present. There's a major scholarly book by John Lewis Gaddis, a leading American historian, on the roots of the Bush doctrine. Gaddis correctly, plausibly, describes the Bush doctrine as a direct descendent of John Quincy Adams's grand strategy. He says, it's a concept that runs right through American history. He praises it; thinks it's the right conception—that we have to protect our security, that expansion is the path to security and that you can't really have security until you control everything. So we have to expand, not just over the hemisphere, but over the world. That's the Bush doctrine.



By WWII, without going into the details, though the U.S. had long been by far the richest country in the world, it was playing a kind of secondary role in world affairs. The main actor in world affairs was the British—even the French had a more global reach. WWII changed all that. American planners during WWII, Roosevelt's planners, understood very well from the beginning of the war that it was going to end with the U.S. in a position of overwhelming power.



As the war went on and the Russians ground down the Germans and pretty much won the European war, it was understood that the U.S. would be even more dominant. And they laid careful plans for what the post-war world would look like. The United States would have total control over a region that would include the Western Hemisphere, the Far East, the former British Empire, and as much of Eurasia as possible, including, crucially, its commercial and industrial core—Western Europe. That's the minimum. The maximum was the whole world and, of course, we need that for security. Within this region, the U.S. would have unquestioned control and would limit any effort at sovereignty by others.



The U.S. ended the war in a position of dominance and security that had no remote counterpart in history. It had half the world's wealth, it controlled the whole hemisphere, the opposite sides of both oceans. It wasn't total. The Russians were there and some things were still not under control, but it was remarkably expansive. Right at the center of it was the Middle East.



One of President Roosevelt's long-time, high-level advisers, Adolf A. Berle, a leading liberal, pointed out that control of Middle East oil would yield substantial control of the world—and that doctrine remains. It's a doctrine that's operative right at this moment and that remains a leading theme of policy.



After World War II




For a long time during the Cold War years, policies were invariably justified by the threat of the Russians. It was mostly an invented threat. The Russians ran their own smaller empire with a similar pretext, threat of the Americans. These clouds were lifted after the collapse of the Soviet Union. For those who want to understand American foreign policy, an obvious place to look is what happened after the Soviet Union disappeared. That's the natural place to look and it follows almost automatically that nobody looks at it. It's scarcely discussed in the scholarly literature though it's obviously where you'd look to find out what the Cold War was about. In fact, if you actually do look, you get very clear answers. The president at the time was George Bush I. Immediately after the col lapse of the Berlin Wall, there was a new National Security Strategy, a defense budget, and so on. They make very interesting reading. The basic message is: nothing is going to change except pretexts. So we still need, they said, a huge military force, not to defend ourselves against the Russian hordes because they're gone, but because of what they called the "technological sophistication" of third world powers. Now, if you're a well trained, educated person who came from Harvard and so on, you're not supposed to laugh when you hear that. And nobody laughed. In fact, I don't think anybody ever reported it. So, they said, we have to protect ourselves from the technological sophistication of third world powers and we have to maintain what they called the "defense industrial base"—a euphemism for high tech industry, which mostly came out of the state sector (computers, the Internet, and so on), under the pretext of defense.



With regard to the Middle East, they said, we must maintain our intervention forces, most of them aimed at the Middle East. Then comes an interesting phrase. We have to maintain the intervention forces aimed at the Middle East where the major threats to our interests "could not be laid at the Kremlin's door." In other words, sorry folks, we've been lying to you for 50 years, but now that pretext is gone, we'll tell you the truth. The problem in the Middle East is and has been what's called radical nationalism. Radical just means independent. It's a term that means "doesn't follow orders." The radical nationalism can be of any kind. Iran's a good case.



The Threat of Radical Nationalism



So in 1953, the Iranian threat was secular nationalism. After 1978, it's religious nationalism. In 1953, it was taken care of by overthrowing the parliamentary regime and installing a dictator who was highly praised. It wasn't a secret. The New York Times, for example, had an editorial praising the overthrow of the government as an "object lesson" to small countries that "go berserk" with radical nationalism and seek to control their own resources. This will be an object lesson to them: don't try any of that nonsense, certainly not in an area we need for control of the world. That was 1953.



Since the overthrow of the U.S.-imposed tyrant in 1979, Iran has been constantly under U.S. attack—without a stop. First, Carter tried to reverse the overthrow of the Shah immediately by trying to instigate a military coup. That didn't work. The Israelis—in effect the ambassador, as there'd been close relations between Israel and Iran under the Shah, although theoretically no formal relations—advised that if we could find military officers who were willing to shoot down 10,000 people in the streets, we could restore the Shah. Zbigniew Brzezinski, Carter's National Security advisor, had pretty much the same advice. That didn't quite work. Right away, the U.S. turned for support to Saddam Hussein in his invasion of Iran—which was no small affair. Hundreds of th ousands of Iranians were slaughtered. The people who are now running the country are veterans of that war and deep in their consciousness is the understanding that the whole world is against them—the Russians, the Americans were all supporting Saddam Hussein and the effort to overthrow the new Islamic state.



It was no small thing. The U.S. support for Saddam Hussein was extreme. Saddam's crimes—like the Anfal genocide, the massacre of the Kurds—were just denied. The Reagan administration denied them or blamed them on Iran. Iraq was even given a very rare privilege. It's the only country other than Israel which has been granted the privilege of attacking a U.S. naval vessel and getting away with complete impunity. In the Israeli case, it was the Liberty in 1967. In Iraq's case it was the USS Stark in1987—a naval vessel which was part of the U.S. fleet protecting Iraqi shipments from Iran during the war. They attacked the ship using French missiles, killed a few dozen sailors, and got a slight tap on the wrist, but nothing beyond that.< span style="font-family: 'times new roman', 'serif'; font-size: 12pt; mso-bidi-font-size: 11.0pt">



U.S. support was so strong that they basically won the war for Iraq. After the war was over, U.S. support for Iraq continued. In 1989, George Bush I invited Iraqi nuclear engineers to the U.S. for advanced training in nuclear weapons development. It's one of those little things that gets hushed up because a couple of months later Saddam became a bad boy. He disobeyed orders. Right after that came harsh sanctions and so on, right up till today.



The Iranian Threat




Coming up to today, in the foreign policy literature and general commentary what you commonly read is that the major policy problem for the U.S. has been and remains the threat of Iran. What exactly is the threat of Iran? Actually, we have an authoritative answer to that. It came out a couple of months ago in submissions to Congress by the DOD and US intelligence. They report to Congress every year on the global security situation. The latest reports, in April, of course have a section on Iran—the major threat. It's important reading. What they say is, whatever the Iranian threat is, it's not a military threat. They say that Iranian military spending is quite low, even by regional standards, and as compared with the U.S., of course, it's invisible—probably less than 2 pe rcent of our military spending. Furthermore, they say that Iranian military doctrine is geared toward defense of the national territory, designed to slow down an invasion sufficiently so it will be possible for diplomacy to begin to operate. That's their military doctrine. They say it's possible that Iran is thinking about nuclear weapons. They don't go beyond that, but they say, if they were to develop nuclear weapons, it would be as part of Iran's deterrence strategy in an effort to prevent an attack, which is not a remote contingency. The most massive military power in history—namely us—which has been extremely hostile to them, is occupying two countries on their borders and is openly threatening them with attack, as is its Israeli client.



That's the military side of the Iranian threat as reported in Military Balance. Nevertheless, they say, Iran's a major threat because it's attempting to expand its influence in neighboring countries. It's called destabilization. They're carrying out destabilization in neighboring countries by trying to expand their influence and that's a problem for the U.S. because the U.S. is trying to bring about stability. When the U.S. invades another country, it's to bring about stability—a technical term in the international relations literature that means obedience to U.S. orders. So when we invade Iraq and Afghanistan, that's to create stability. If the Iranians try to extend their influence, at least to neighboring countries, that's destabilizing. This is built in to scholarly and other doctrine. It's even possible to say without ridicule, as was done by the liberal commentator and former editor of Foreign Affairs, James Chase, that the U.S. had to destabilize Chile under Allende to bring about stability, namely obedience to U.S. orders.






What's Terrorism?




The second threat of Iran is its support for terrorism. What's terrorism? Two examples of Iran's support for terrorism are offered. One is its support for Hezbollah in Lebanon, the other its support for Hamas in Palestine. Whatever you think of Hezbollah and Hamas—maybe you think they're the worst thing in the world—what exactly is considered their terrorism? Well, the "terrorism" of Hezbollah is actually celebrated in Lebanon every year on May 25, Lebanon's national holiday commemorating the expulsion of Israeli invaders from Lebanese territory in 2000. Hezbollah resistance and guerilla warfare finally forced Israel to withdraw from Southern Lebanon, which Israel had been occupying for 22 years in violation of Security Council orders, with plenty of terror and violence and torture.



So Israel finally left and that's Lebanese Liberation Day. That's what's considered the main core of Hezbollah terrorism. It's the way it's described. Actually, in Israel it's even described as aggression. You can read the Israeli press these days where high level figures now argue that it was a mistake to withdraw from South Lebanon because that permits Iran to pursue its "aggression" against Israel, which it had been carrying out until 2000 by supporting the resistance to Israeli occupation. That's considered aggression against Israel. They follow U.S. principles, as we say the same thing. That's Hezbollah. There are other acts you could criticize, but that's the core of Hezbollah terrorism.



Another Hezbollah crime is that the Hezbollah-based coalition handily won the latest parliamentary vote, though because of the sectarian system of assigning seats, they did not receive the majority. That led Thomas Friedman to shed tears of joy, as he explained, over the marvels of free elections, in which U.S. President Obama defeated Iranian President Ahmadinejad in Lebanon. Others joined in this celebration. The actual voting record was never reported, to my knowledge.



What about Hamas? Hamas became a serious threat—a serious terrorist organization—in January 2006 when Palestinians committed a really serious crime. That was the date of the first free election in any country in the Arab world and the Palestinians voted the wrong way. That's unacceptable to the U.S. Immediately, without a blink of an eye, the U.S. and Israel turned very publically towards punishing the Palestinians for that crime. You can read in the New York Times, in parallel columns, right afterwards—one of them talking about our love for democracy and so on and right alongside it, our plans to punish the Palestinians for the way they voted in the January election. No sense of conflict.



There'd been plenty of punishment of the Palestinians before the election, but it escalated afterwards—Israel went so far as to cut off the flow of water to the arid Gaza Strip. By June, Israel had fired about 7,700 rockets at Gaza and all sorts of other things. All of that's called defense against terrorism. Then, the U.S. and Israel, with cooperation from the Palestinian Authority, tried to carry out a military coup to overthrow the elected government. They were beaten back and Hamas took control. After that, Hamas became one of the world's leading terrorist forces. There's plenty of criticisms you can make of them—the way they treat their own population, for example—but Hamas terrorism is a little hard to establish. The current claim is that their terrorism cons ists of rockets from Gaza that hit Israel's border cities. That was the justification given for Operation Cast Lead (the U.S./Israeli invasion of December 2008) and also for the Israeli attack on the flotilla last June in international waters where nine people were murdered.



It's only in a deeply indoctrinated country that you can hear that and not laugh in ridicule. Putting aside the comparison between Qassam rockets and the terrorism that the U.S. and Israel are constantly carrying out, the argument has absolutely no credibility for a simple reason: Israel and the U.S. know exactly how to stop the rockets—by peaceful means. In June 2008, Israel agreed to a ceasefire with Hamas. Israel didn't really live up to it—they were supposed to open the borders and they didn't—but Hamas did live up to it. You can look it up on the official Israeli website or listen to their official spokesperson, Mark Regev, and they agree that during the ceasefire there wasn't a single Hamas rocket fired.



Israel broke the ceasefire in November 2008 when it invaded Gaza and killed half a dozen Hamas activists. Then there was some rocket fire and far greater attacks from Israel. A number of people were killed—all Palestinians. Hamas offered to renew the ceasefire. The Israeli cabinet considered it and rejected it, preferring to use violence. A couple of days later came the U.S./Israel attack on Gaza.



In the U.S. and the West generally, it is taken for granted, even by human rights groups and the Goldstone report, that Israel had the right to force and self-defense. There were criticisms that the attack was disproportionate, but they're a secondary matter as Israel had absolutely no right to use force in the first place. You have no justification for the use of force unless you've exhausted peaceful means. In this case, the U.S. and Israel had not just not exhausted them, they had refused even to try peaceful means, which they had every reason to believe would succeed. The concession that Israel had a right to attack is just an amazing gift.



In any case, according to the DOD and U.S. intelligence, Iran's efforts to extend its influence, as well as its support for Hezbollah and Hamas, are what constitute, for the U.S. and its allies, the Iranian threat.

Z Net
Noam Chomsky is Professor of Linguistics (Emeritus) at MIT and author of dozens of books on U.S. foreign policy.

fredag 20. august 2010

Links I recommend

How much does US corn dumping cost Mexican farmers? by Duncan Green at From Poverty to Power brings an account show the violence of NAFTA's free trade over Mexico;

The Great Management Consultancy scam and how it could be coming for your job , Johann Hari's describes how business works;

How many livees will Wikileaks save? a report shows the hypocrisy behind the criticism to the truth about wars;

And finally Cloned meat may already have invaded our food supply, posing alarming health risks about the scary truth behind the clone products feeding the hungry for profits food industry...

mandag 29. mars 2010

Have a Nice World War, article by John Pilger

By John Pilger
Friday, March 26, 2010
Reproduced from John Pilger's ZSpace Page

Here is news of the Third World War. The United States has invaded Africa. US troops have entered Somalia, extending their war front from Afghanistan and Pakistan to Yemen and now the Horn of Africa. In preparation for an attack on Iran, American missiles have been placed in four Persian Gulf states, and "bunker-buster" bombs are said to be arriving at the US base on the British island of Diego Garcia in the Indian Ocean.

In Gaza, the sick and abandoned population, mostly children, is being entombed behind underground American-supplied walls in order to reinforce a criminal siege. In Latin America, the Obama administration has secured seven bases in Colombia, from which to wage a war of attrition against the popular democracies in Venezuela, Bolivia, Ecuador and Paraguay. Meanwhile, the secretary of "defense" Robert Gates complains that "the general [European] public and the political class" are so opposed to war they are an "impediment" to peace. Remember this is the month of the March Hare.

According to an American general, the invasion and occupation of Afghanistan is not so much a real war as a "war of perception". Thus, the recent "liberation of the city of Marja" from the Taliban's "command and control structure" was pure Hollywood. Marja is not a city; there was no Taliban command and control. The heroic liberators killed the usual civilians, poorest of the poor. Otherwise, it was fake. A war of perception is meant to provide fake news for the folks back home, to make a failed colonial adventure seem worthwhile and patriotic, as if The Hurt Locker were real and parades of flag-wrapped coffins through the Wiltshire town of Wooten Basset were not a cynical propaganda exercise.

"War is fun", the helmets in Vietnam used to say with bleakest irony, meaning that if a war is revealed as having no purpose other than to justify voracious power in the cause of lucrative fanaticisms such as the weapons industry, the danger of truth beckons. This danger can be illustrated by the liberal perception of Tony Blair in 1997 as one "who wants to create a world [where] ideology has surrendered entirely to values" (Hugo Young, the Guardian) compared with today's public reckoning of a liar and war criminal.

Western war-states such as the US and Britain are not threatened by the Taliban or any other introverted tribesmen in faraway places, but by the antiwar instincts of their own citizens. Consider the draconian sentences handed down in London to scores of young people who protested Israel's assault on Gaza in January last year. Following demonstrations in which paramilitary police "kettled" (corralled) thousands, first-offenders have received two and a half years in prison for minor offences that would not normally carry custodial sentences. On both sides of the Atlantic, serious dissent exposing illegal war has become a serious crime.

Silence in other high places allows this moral travesty. Across the arts, literature, journalism and the law, liberal elites, having hurried away from the debris of Blair and now Obama, continue to fudge their indifference to the barbarism and aims of western state crimes by promoting retrospectively the evils of their convenient demons, like Saddam Hussein. With Harold Pinter gone, try compiling a list of famous writers, artists and advocates whose principles are not consumed by the "market" or neutered by their celebrity. Who among them have spoken out about the holocaust in Iraq during almost 20 years of lethal blockade and assault? And all of it has been deliberate. On 22 January 1991, the US Defense Intelligence Agency predicted in impressive detail how a blockade would systematically destroy Iraq's clean water system and lead to "increased incidences, if not epidemics of disease". So the US set about eliminating clean water for the Iraqi population: one of the causes, noted Unicef, of the deaths of half a million Iraqi infants under the age of five. But this extremism apparently has no name.

Norman Mailer once said he believed the United States, in its endless pursuit of war and domination, had entered a "pre-fascist era". Mailer seemed tentative, as if trying to warn about something even he could not quite define. "Fascism" is not right, for it invokes lazy historical precedents, conjuring yet again the iconography of German and Italian repression. On the other hand, American authoritarianism, as the cultural critic Henry Giroux pointed out recently, is "more nuance, less theatrical, more cunning, less concerned with repressive modes of control than with manipulative modes of consent."

This is Americanism, the only predatory ideology to deny that it is an ideology. The rise of tentacular corporations that are dictatorships in their own right and of a military that is now a state with the state, set behind the façade of the best democracy 35,000 Washington lobbyists can buy, and a popular culture programmed to divert and stultify, is without precedent. More nuanced perhaps, but the results are both unambiguous and familiar. Denis Halliday and Hans von Sponeck, the senior United Nations officials in Iraq during the American and British-led blockade, are in no doubt they witnessed genocide. They saw no gas chambers. Insidious, undeclared, even presented wittily as enlightenment on the march, the Third World War and its genocide proceeded, human being by human being.

In the coming election campaign in Britain, the candidates will refer to this war only to laud "our boys". The candidates are almost identical political mummies shrouded in the Union Jack and the Stars and Stripes. As Blair demonstrated a mite too eagerly, the British elite loves America because America allows it to barrack and bomb the natives and call itself a "partner". We should interrupt their fun.

Read the original text at johnpilger.com

onsdag 6. januar 2010

The absurdity of US presidents' peace prizes and their non-democratic drive...

In a recent article published by In These Times, Noam Chomsky exhibits the absurdity of the Peace Prize given to four US presidents. Chomsky analyze the attitudes of the four prized US presidents in relation not only to their open non democratic drives but also some of their shocking racist and discriminating attitudes.

Presidential 'Peacemaking' in Latin America

Noam Chomsky

In These Times

January 5, 2010
Barack Obama, the fourth U.S. president to win the Nobel Peace Prize, joins the others in the long tradition of peacemaking so long as it serves U.S. interests.

All four presidents left their imprint on "our little region over here that has never bothered anybody," as U.S. Secretary of War Henry L. Stimson characterized the hemisphere in 1945.

Given the Obama administration's stance toward the elections in Honduras in November, it may be worthwhile to examine the record.

Theodore Roosevelt

In his second term as president, Theodore Roosevelt said, "The expansion of the peoples of white, or European, blood during the past four centuries has been fraught with lasting benefit to most of the peoples already dwelling in the lands over which the expansion took place," despite what Africans, Native Americans, Filipinos and other beneficiaries might mistakenly believe.

It was therefore "inevitable and in the highest degree desirable for the good of humanity at large, that the American people should ultimately crowd out the Mexicans" by conquering half of Mexico and, "It was out of the question to expect (Texans) to submit to the mastery of the weaker race."

Using gunboat diplomacy to steal Panama from Colombia to build the canal was also a gift to humanity.

Woodrow Wilson

Woodrow Wilson is the most honored of the presidential laureates and arguably the worst for Latin America.

Wilson's invasion of Haiti in 1915 killed thousands, restored virtual slavery and left much of the country in ruins.

Demonstrating his love of democracy, Wilson ordered his Marines to disband the Haitian parliament at gunpoint for failing to pass "progressive" legislation that allowed U.S. corporations to buy up the country. The problem was remedied when Haitians adopted a U.S.-written constitution, under Marine guns. The achievement would be "beneficial to Haiti," the State Department assured its wards.

Wilson also invaded the Dominican Republic to ensure its welfare. Both countries were left under the rule of vicious national guards. Decades of torture, violence and misery there come down to us as a legacy of "Wilsonian idealism," a leading principle of U.S. foreign policy.

Jimmy Carter

For President Jimmy Carter, human rights were "the soul of our foreign policy."

Robert Pastor, Carter's national security advisor for Latin America, explained some important distinctions between rights and policy: Regretfully, the administration had to support Nicaraguan dictator Anastasio Somoza's regime, and when that proved impossible, to maintain the U.S.-trained National Guard even after it had been massacring the population "with a brutality a nation usually reserves for its enemy," killing some 40,000 people.

To Pastor, the reason is elementary: "The United States did not want to control Nicaragua or the other nations of the region, but it also did not want developments to get out of control. It wanted Nicaraguans to act independently, except when doing so would affect U.S. interests adversely."

Barack Obama

President Barack Obama separated the United States from almost all of Latin America and Europe by accepting the military coup that overthrew Honduran democracy last June.

The coup reflected a "yawning political and socioeconomic divide," The New York Times reported. For the "small upper class," Honduran President Manuel Zelaya was becoming a threat to what they call "democracy," namely, the rule of "the most powerful business and political forces in the country."

Zelaya was initiating such dangerous measures as a rise in the minimum wage in a country where 60 percent live in poverty. He had to go.

Virtually alone, the United States recognized the November elections (with Pepe Lobo the victor) held under military rule -- "a great celebration of democracy," according to Hugo Llorens, Obama's ambassador.

The endorsement also preserved the use of Honduras' Palmerola air base, increasingly valuable as the U. S. military is being driven out of most of Latin America.

After the elections, Lewis Anselem, Obama's representative to the Organization of American States, instructed the backward Latin Americans that they should recognize the military coup and join the United States "in the real world, not in the world of magical realism."

Obama broke ground in supporting the military coup. The U.S. government funds the International Republican Institute and the National Democratic Institute, which are supposed to promote democracy.

The IRI regularly supports military coups to overthrow elected governments, most recently in Venezuela in 2002 and Haiti in 2004.

But the NDI has held back. In Honduras, for the first time, Obama's NDI agreed to observe the elections under military rule, unlike the OAS and the United Nations, still wandering in the world of magical realism.

Given the close connections between the Pentagon and the Honduran military, and the enormous U.S. economic leverage in the country, it would have been a simple matter for Obama to join the Latin American/European effort to protect Honduran democracy.

But Obama preferred the traditional policy.

In his history of hemispheric relations, British scholar Gordon Connell-Smith writes, "While paying lip-service to the encouragement of representative democracy in Latin America, the United States has a strong interest in just the reverse," apart from "procedural democracy, especially the holding of elections, which only too often have proved farcical."

Functioning democracy may respond to popular concerns, while "the United States has been concerned with fostering the most favorable conditions for her private overseas investment."

It takes a large dose of what has sometimes been called "intentional ignorance" not to see the facts.

Such blindness must be guarded zealously if state violence is to proceed on course -- always for the good of humanity, as Obama reminded us again in his Nobel Prize address.

Fonte: Chomsky.info

tirsdag 24. november 2009

Buy Nothing Day Morphs Into a Wildcat General Strike on the Eve of the Copenhagen Climate Summit



From Adbusters
Read the original text

Over the last few years – as people grow increasingly anxious about rising sea levels, melting glaciers and the possibility of a catastrophic tipping point on climate change – Buy Nothing Day has exploded into a global movement, inspiring the world’s citizens to live more simply and buy a whole lot less. Designed to coincide with Black Friday in the United States (which falls on November 27 this year) and the unofficial start of the international holiday shopping season (Saturday, November 28), the festival takes many forms – from personal one-day fasts to relaxed family outings and from free, noncommercial street parties to politically charged public protests, credit card cut-ups, mall invasions and pranks and shenanigans of all kinds.

Anyone can take part, provided they spend 24 hours without shopping.
“There’s only one way to avoid the collapse of this human experiment of ours on Planet Earth,” says Kalle Lasn, the co-founder of Adbusters Media Foundation, “we have to consume less... Our culture of excess and meaningless consumption – the glorified spending and borrowing of the past decade – is at the root of the ecological and economic crises we now find ourselves in.”

This year Buy Nothing Day organizers around the world are confronting the issue
of meaningless consumption head on. In addition to the usual personal plunges and
celebrations, we’re calling for a WILDCAT GENERAL STRIKE: a worldwide rejection of the value system that is killing our planet. As global leaders gear up for the United Nations Climate Change Conference in Copenhagen on December 7, we’re asking tens of millions of people around the world to bring the capitalist consumption machine to a grinding – if only momentary – halt.

“We hope to set off a chain reaction of refusal against consumer capitalism,” says
Lasn, “while sending a message to Barack Obama, Wen Jiabao and the other world
leaders that failure in Copenhagen is not an option ... We want legally binding limits on carbon emissions now!”

tirsdag 10. november 2009

Brazil´s Biofuels Take Centre Stage in Climate Change Debate


Hand of a sugar cane farm worker Alagoas illustrates the dehumanizing conditions in the cutting of cane sugar.


02/09/2009

Brazil´s Biofuels Take Centre Stage in Climate Change Debate

In order to increase exports of ethanol from sugarcane and biodiesel, Brazil’s processing companies need to prove to the US and Europe the environmental and social benefits of their production.

By Thaís Brianezi
Read the original article here


According to the Unite Nations Environmental Programme (UNEP), the transport industry accounts for about 25% of the world’s carbon dioxide (CO2) release. The information explains why the World Carfree Day, the 22st of September, is included in the calendar of the Global Action Campaign for Climate Protection. It also explains why the São Paulo State Federation of Industries (FIESP) has created a Working Group to follow international negotiations in preparation to the 15th UN Conference on Climate Change (COP-15), to be held in December in Denmark. “If developed countries set higher targets to reduce emissions of greenhouse effect gases, there could be higher international demand for biodiesel and mainly for Brazil’s ethanol from sugarcane”, said Rodrigo Lima, general-manager of the Institute for Studies on International Trade and Negotiations (ICONE), a non-government organization (NGO) created in 2006 by agribusiness associations.

Conquering the foreign market is the core desire of the 65 biodiesel processing companies existing in Brazil, whose current export levels are meaningless. National legislation mandates a 4% mixture of biodiesel into regular diesel, which creates domestic demand of about 1.8 billion litres a year for the former. Processing companies’ installed production capacity is well above that: 3.8 billion litres a year. “The federal government is granting licenses for biodiesel production without considering the current demand for the product,” complained Roberto Engels, executive-director of Biocapital, a company located in Charqueada, in the state of São Paulo.

In the case of fuel made from sugarcane, the domestic market is more promising but also insufficient. Data from Brazil’s National Agency for Petroleum, Natural Gas, and Biofuels (ANP) show that ethanol is already the core fuel within Brazil’s energy matrix for lightweight vehicles. The so-called flex-fuel cars represent 94.2% of total sales in the country: 2,065,313 vehicles using both gasoline and ethanol were registered last year. National ethanol consumption in the first half of 2009 was 10.7 billion litres, 17.7% above the same period last year. Growth in ethanol production during the 2008-2009 harvest over the previous agricultural year, however, was higher: it went from 22.5 billion litres to 27.5 billion litres – a 22% increase. Brazilian ethanol exports are also on the rise (going from 3.6 million litres to 4.7 million litres within the same period), but still account for only 0.017% of total sales. “Our main challenge is to break tariff and non-tariff barriers imposed by developed countries on ethanol,” said Sugarcane Industry Association (UNICA) president Marcos Jank during the opening of Ethanol Summit 2009 – the main event in the sugar-alcohol industry, held in June in São Paulo.

A war on numbers

In early May, the US Environmental Protection Agency (EPA) released studies showing that among the so-called biofuels available in the market, Brazil’s ethanol is the most efficient to reduce greenhouse effect gas emissions (GEEs), so that it is able to compete for advanced fuel quotas provided for in US laws regarding renewable fuels. Compared to emissions by vehicles running on gasoline, sugarcane ethanol would reduce the amount of GEEs launched into the atmosphere by 44% on average. For corn ethanol, in turn, the reduction would be 16%. Those figures took into account gases released along the whole production cycle and the use of that biofuel from plantations to vehicles on the road.
In spite of good results, Brazil’s ethanol producers were not happy with the evaluation. The most controversial point of the math was the inclusion of the so-called indirect use of land: deforesting estimated as a result of migration of farming displaced by plantations for biofuel raw materials. For sugarcane ethanol, indirect emission accounts for 46 of the 73 grams of CO2 per megajoule set by the US government. In corn ethanol, of a total of 99 grams of CO2 per megajoule, only 30 would come from indirect use of land. “EPA delayed until September 18 the public consultation to review the indexes publicised. Therefore, we are establishing, with the Food and Agriculture Policy Research Institute (FAPRI), a calculation model that is better for Brazil’s reality”, explained Lima. “We have 200 million hectares in pastures with low productivity. Expansion of sugarcane plantation will not take place over the forest”, he argued.

The differences in methodologies to calculate the so-called carbon cycle were evident in the workshop “Socioeconomic, Environmental and Land Use Impacts”, held in June by FAPESP’s Bioenergy Research Programme (BIOEN) in São Paulo. Three research studies were presented that measured the carbon balance resulting from sugarcane plantations. In the study by the University of Illinois, the balance is negative, that is, the plantation ultimately released GEEs. In the study conducted by the Centre for Nuclear Energy in Agriculture at São Paulo University (CENA/USP), the result was the opposite: plantations retained more carbon than the amount released by soil preparation. EMBRAPA Agrobiology came to a conclusion that is similar to that by CENA/USP, but considered that the accumulation of carbon in soils depends on their level of degradation. “Uncertainty and variability about the figures we work with are clear here”, said Heitor Cantarella, coordinator of BIOEN’S Impact Divisions. “We need standard methodologies; our intention is to create a working group to discuss that reconciliation in no hurry”, underscored Gláucia Souza, the programme’s coordinator.

Lame tripod



Sugar cane in hillsides flout law Environmental Measures in Pernambuco.

Just as ethanol and biodiesel processing companies in Brazil look at the international market, they are themselves the focus of important foreign buyers. In late 2008, for instance, the European Parliament approved the European Directive, a voluntary commitment by the European Union (EU) to reduce 20% of its GEE emissions by 2020 (over 1990 levels). As a strategy to reach that target, the Directive sets the adoption of at least 10% of renewable fuels in transport by 2010 and that they should undergo a certification process to guarantee that previously established social and environmental rules are met.

UE member countries have a July 2010 deadline to define criteria for that certification, but some principles are already agreed upon, such as preserving biodiversity and not using slave or degrading labour. Brazil’s biofuel has serious problems in both areas, besides efforts to improve its image. In São Paulo – the state that accounts for 60% of the country’s ethanol production – 157 processing companies have joined the Agro-environmental Protocol proposed by the State Environmental Department. The key point is the immediate end of sugarcane straw burning in new plantations and the shortening of the deadline for old ones to adjust (state law establishes 2021 as the deadline for mechanisable plantations to stop using fire and 2031 for non-mechanisable ones, and those deadlines have been advanced to 2014 and 2017, respectively). The Protocol, however, says nothing about one of the main bottlenecks for companies in the state: they do not respect the so-called legal reservation, that is, the 20% of vegetation cover in the property that should be preserved in the Atlantic Forest Biome. “You cannot call Programme Green Ethanol a protocol that does not mandate the existence of a legal reservation”, criticised Mário Mantovani, director of environmentalist NGO SOS Mata Atlântica.


Regarding labour-related matters, violations by sugarcane processing companies are yet more scandalous. The industry is first in the shameful national ranking of slave labourers in Brazil: last year, 2,553 people were freed from plantations (49% of the total), according to official data gathered by the Land Pastoral Commission (CPT). This year, by July 22, the Ministry of Labour and Employment (MTE)’s Mobile Inspection Group found other 951 workers in degrading conditions in sugarcane plantations, which is 47% of slave labourers freed during the period. One of them was Florisvaldo Suzart, a 43-year-old farm worker who left the state of Bahia to work in sugarcane plantations in the state of Rio de Janeiro.

On June 25, President Lula – the Brazilian ethanol’s poster boy – launched the National Commitment to Improve Labour Conditions in the Sugarcane Industry. The protocol was the result of a dialogue table established in July 2008, which included government, businesses, and workers’ representatives. It is not legally binding but it has been voluntarily joined by 323 of the 413 processing companies in the country. Three of them are included in the MTE’s dirty list, the federal government’s record of physical and legal persons held accountable in operations of slave labour inspections. At least other 16 have been caught in the act exploiting degrading labour.


Animal fat is the second main raw material used to make biodiesel in Brazil.


While sugarcane farming in Brazil is historically an activity carried out by large landowners, the federal government’s intention was that oleaginous crops used to produce biodiesel would strengthen family farming. The National Program for Production and Use of Biodiesel (PNPB), created in 2004, was aimed at including 200 thousand family farmers into the biodiesel production chain by 2008. The strategy was based on the creation of the Social Fuel Seal, granted to companies that reached a minimum percentage of raw material from family farming (varying from 10% to 30% according to the region of the country), through which they would be able to take part in all biodiesel public auctions and also to receive tax reductions. Data released by the Ministry of Agrarian Development (MDA) late last year, however, show that the total of small producers benefited by the programme was well behind that: only 37 thousand people have been served. When we look at the raw materials actually used to produce biodiesel in Brazil, the reason is understandable: soybean oil accounted for 81.1% of this year’s total production. Bovine fat, another by-product of agribusiness came in second, with 14.03%.



The castor bean is one of the main challenges of PNPB, but not yet processed into biodiesel.

Ethanol and biodiesel are often called clean energy. Those who invest in them (such as businesspeople and the Brazilian government) believe that the increasing worldwide concern with global climate changes means good business opportunities. Such beliefs are based on sustainability marketing, which leads citizens to believe that they are contributing to make the world a better place by replacing gasoline and diesel with ethanol or biodiesel. However, the sustainability tripod of Brazilian biofuels – environmental, social, and economic – is lame.

If you need more information contact the

Centro de Monitoramento de Agrocombustíveis - Repórter Brasil
Rua Coronel Firmo da Silva, 282, São Paulo-SP, CEP 01255-040
Tel. +55 (11) 2506-6570, 2506-6562, 2506-6576 e 2506-6574 - biobr@reporterbrasil.org.br

fredag 17. juli 2009

Dispersal of Transgenes through Maize Seed Systems in Mexico

Dispersal of Transgenes through Maize Seed Systems in Mexico

George A. Dyer1*, J. Antonio Serratos-Hernández2, Hugo R. Perales3, Paul Gepts4, Alma Piñeyro-Nelson5, Angeles Chávez6, Noé Salinas-Arreortua7, Antonio Yúnez-Naude6, J. Edward Taylor1,8, Elena R. Alvarez-Buylla5*

Read the original here


1 Department of Agricultural and Resource Economics, University of California Davis, Davis, California, United States of America, 2 Universidad Autónoma de la Ciudad de México, México, Distrito Federal, México, 3 Departamento de Agroecología, El Colegio de la Frontera Sur, San Cristobal, Chiapas, México, 4 Department of Plant Sciences, University of California Davis, Davis, California, United States of America, 5 Laboratorio de Genética Molecular, Desarrollo y Evolución de Plantas, Instituto de Ecología, Universidad Nacional Autónoma de México, Distrito Federal, México, 6 El Colegio de México, Distrito Federal, México, 7 Universidad Autónoma Metropolitana, Distrito Federal, México, 8 Giannini Foundation of Agricultural Economics, Davis, California, United States of America

Abstract

Objectives
Current models of transgene dispersal focus on gene flow via pollen while neglecting seed, a vital vehicle for gene flow in centers of crop origin and diversity. We analyze the dispersal of maize transgenes via seeds in Mexico, the crop’s cradle.

Methods
We use immunoassays (ELISA) to screen for the activity of recombinant proteins in a nationwide sample of farmer seed stocks. We estimate critical parameters of seed population dynamics using household survey data and combine these estimates with analytical results to examine presumed sources and mechanisms of dispersal.

Results
Recombinant proteins Cry1Ab/Ac and CP4/EPSPS were found in 3.1% and 1.8% of samples, respectively. They are most abundant in southeast Mexico but also present in the west-central region. Diffusion of seed and grain imported from the United States might explain the frequency and distribution of transgenes in west-central Mexico but not in the southeast.

Conclusions
Understanding the potential for transgene survival and dispersal should help design methods to regulate the diffusion of germplasm into local seed stocks. Further research is needed on the interactions between formal and informal seed systems and grain markets in centers of crop origin and diversification.

Citation: Dyer GA, Serratos-Hernández JA, Perales HR, Gepts P, Piñeyro-Nelson A, et al. (2009) Dispersal of Transgenes through Maize Seed Systems in Mexico. PLoS ONE 4(5): e5734. doi:10.1371/journal.pone.0005734

Editor: Hany A. El-Shemy, Cairo University, Egypt

Received: February 13, 2009; Accepted: May 4, 2009; Published: May 29, 2009

Copyright: © 2009 Dyer et al. This is an open-access article distributed under the terms of the Creative Commons Attribution License, which permits unrestricted use, distribution, and reproduction in any medium, provided the original author and source are credited.

Funding: The work was supported by grant G38874-D from CONACYT (to AYN), grants from the William and Flora Hewlett Foundation (to JET) and UCMEXUS-CONACYT (to GAD, HPR, PG), grants 0538/A-1 from Secretaría del Medio Ambiente y Recursos Naturales (SEMARNAT) and Consejo Nacional de Ciencia y Tecnología, México (CONACYT) (to ERAB, ASH, NSA, APN, GAD), IN-221406 from UNAM (to ERAB) and 41848/A-1 from SEP (Secretaría de Educación Pública) – CONACYT (to ERAB), V027 from Conabio (to ERAB), and CN08-187 from UCMEXUS-CONACYT (to ERAB). The funders had no role in study design, data collection and analysis, decision to publish, or preparation of the manuscript.

Competing interests: The authors have declared that no competing interests exist.

* E-mail: gdyer{at}primal.ucdavis.edu (GAD); eabuylla{at}gmail.com (ERA-B)

Citation: Dispersal of Transgenes through Maize Seed Systems in Mexico
Dyer GA, Serratos-Hernández JA, Perales HR, Gepts P, Piñeyro-Nelson A, et al. 2009 Dispersal of Transgenes through Maize Seed Systems in Mexico. PLoS ONE 4(5): e5734. doi:10.1371/journal.pone.0005734

mandag 30. mars 2009

Lessons of Zimbabwe



As I have mentioned before that I totally disagree with sanctions against Zimbabwe established by the governments of the US and EU, and now supported also by US President Obama. I combat the sanctions because they are not effective and it is largely proved that sanctions affect mostly the ordinary people, the poor people.

In an effort to clarify some of issues on Zimbabwe I decided to reproduce an article published by the London Review of Books where political scientist Mahmood Mandani analyze the case of Zimbabwe. It is a great article and I believe everybody should read it and for that reason I reproduce it.

Lessons of Zimbabwe
Mahmood Mamdani
Published by LRB, 4 December 2008


It is hard to think of a figure more reviled in the West than Robert Mugabe. Liberal and conservative commentators alike portray him as a brutal dictator, and blame him for Zimbabwe’s descent into hyperinflation and poverty. The seizure of white-owned farms by his black supporters has been depicted as a form of thuggery, and as a cause of the country’s declining production, as if these lands were doomed by black ownership. Sanctions have been imposed, and opposition groups funded with the explicit aim of unseating him.

There is no denying Mugabe’s authoritarianism, or his willingness to tolerate and even encourage the violent behaviour of his supporters. His policies have helped lay waste the country’s economy, though sanctions have played no small part, while his refusal to share power with the country’s growing opposition movement, much of it based in the trade unions, has led to a bitter impasse. This view of Zimbabwe’s crisis can be found everywhere, from the Economist and the Financial Times to the Guardian and the New Statesman, but it gives us little sense of how Mugabe has managed to survive. For he has ruled not only by coercion but by consent, and his land reform measures, however harsh, have won him considerable popularity, not just in Zimbabwe but throughout southern Africa. In any case, the preoccupation with his character does little to illuminate the socio-historical issues involved.

Many have compared Mugabe to Idi Amin and the land expropriation in Zimbabwe to the Asian expulsion in Uganda. The comparison isn’t entirely off the mark. I was one of the 70,000 people of South Asian descent booted out by Idi Amin in 1972; I returned to Uganda in 1979. My abiding recollection of my first few months back is that no one I met opposed Amin’s expulsion of ‘Asians’. Most merely said: ‘It was bad the way he did it.’ The same is likely to be said of the land transfers in Zimbabwe.

What distinguishes Mugabe and Amin from other authoritarian rulers is not their demagoguery but the fact that they projected themselves as champions of mass justice and successfully rallied those to whom justice had been denied by the colonial system. Not surprisingly, the justice dispensed by these demagogues mirrored the racialised injustice of the colonial system. In 1979 I began to realise that whatever they made of Amin’s brutality, the Ugandan people experienced the Asian expulsion of 1972 – and not the formal handover in 1962 – as the dawn of true independence. The people of Zimbabwe are likely to remember 2000-3 as the end of the settler colonial era. Any assessment of contemporary Zimbabwe needs to begin with this sobering fact.

Though widespread grievance over the theft of land – a process begun in 1889 and completed in the 1950s – fuelled the guerrilla struggle against the regime of Ian Smith, whose Rhodesian Front opposed black majority rule, the matter was never properly addressed when Britain came back into the picture to effect a constitutional transition to independence under majority rule. Southern Rhodesia became Zimbabwe in 1980, but the social realities of the newly independent state remained embedded in an earlier historical period: some six thousand white farmers owned 15.5 million hectares of prime land, 39 per cent of the land in the country, while about 4.5 million farmers (a million households) in ‘communal areas’ were left to subsist on 16.4 million hectares of the most arid land, to which they’d been removed or confined by a century of colonial rule. In the middle were 8500 small-scale black farmers on about 1.4 million hectares of land.

This was not a sustainable arrangement in a country whose independence had been secured at the end of a long armed struggle supported by a land-hungry population. But the agreement that Britain drafted at Lancaster House in 1979 – and that the settlers eagerly backed – didn’t seem to take into account the kind of transition that would be necessary to secure a stable social order. Two of its provisions, one economic and the other political, reflected this short-termism: one called for land transfers on a ‘willing buyer, willing seller’ basis, with the British funding the scheme; the other reserved 20 per cent of seats in the House of Assembly for whites – 3 per cent of the population – giving the settler community an effective veto over any amendment to the Lancaster House terms. This was qualified majority rule at best. Both provisions had a time limit: 1990 for land transfers based on the market principle, and 1987 for the settler minority to set limits on majority rule. The deal sustained illusions among the settlers that what they had failed to achieve by UDI – Smith’s 1965 declaration of independence from the UK – and force of arms, they could now achieve through support from a government of ‘kith and kin’ (as Smith called it) in Britain. In reality, however, the agreement drew a line under settler privilege.

The inadequacy of the Lancaster House provisions for the decolonisation of land ensured that it remained the focus of politics in independent Zimbabwe. The course of land relations and land reform in Zimbabwe has over the years been meticulously documented by Sam Moyo, a professor who directs the African Institute of Agrarian Studies in Harare. Transfers during the first decade of independence were so minimal that they increased rather than appeased land hunger. The new regime in Harare, installed in 1980 and led by Mugabe and his party, Zanu, called for the purchase of eight million hectares to resettle 162,000 land-poor farming households from communal areas. But the ban on compulsory purchase drove up land prices and encouraged white farmers to sell only the worst land. As the decade drew to a close, only 58,000 families had been resettled on three million hectares of land. No more than 19 per cent of the land acquired between 1980 and 1992 was of prime agricultural value.

As the 1980s wore on, land transfers actually declined, dropping from 430,000 hectares per annum during the first half of the decade to 75,000 hectares during the second. The greater land hunger became, the more often invasions were mounted; in response, Mugabe created local ‘squatter control’ units in 1985, and they were soon evicting squatters in droves. At this point Zimbabwean law still defined a squatter in racial terms, as ‘an African whose house happens to be situated in an area which has been declared European or is set apart for some other reason’. By 1990, 40 per cent of the rural population was said to be landless or affected by the landlessness of dependent relations.

When the Lancaster House Agreement’s rules on land transfer expired in 1990, the pressure to take direct action was intensified by two very different developments: an IMF Structural Adjustment Programme and recurrent drought. Peasant production, which had been a meagre 8 per cent of marketed output at independence in 1980, and had shot up to 45 per cent by 1985, declined as a result of the programme. Trade-union analysts pointed out that employment growth also fell from 2.4 per cent in the late 1980s to 1.55 per cent in the period 1991-97. The percentage of households living in poverty throughout the country increased by 14 per cent in five years. There was now widespread squatting on all types of land, from communal areas to state land, commercial farms (mainly growing tobacco), resettlement areas and urban sites.

The demand for land reform came from two powerful groups at extreme ends of the social spectrum yet both firmly in Mugabe’s camp: the veterans of the liberation war and the small but growing number of indigenous businesses, hitherto the main beneficiaries of independence under majority rule. At the end of the liberation war in 1980, 20,000 guerrillas had been incorporated into the national army and other state organisations, and the rest – about 45,000 – had had to fend for themselves. They found it difficult to survive without land or a job, which is why land occupations began in the countryside soon after independence.

Mugabe and the Zanu leaders tended at first to dismiss complaints from veterans as expressions of resentment on the part of the rival liberation movement, Joshua Nkomo’s Zapu, which had been marginalised in 1980. But after Zanu and Zapu signed a unity accord in 1987, former fighters from both groups became involved in land agitation. Their most significant joint initiative was to form a welfare organisation, the Zimbabwe National Liberation War Veterans Association (ZNLWVA) in 1988, which called for pensions to be paid and land redistributed. It soon gained a large membership drawn from most sections of Zimbabwean society and from the two ethnic groups – the Shona majority and the Ndebele – which had defined Zanu and Zapu respectively. Its members, about 200,000 of them, came from a variety of classes, employed and unemployed, urban and rural, with positions in different branches of the state and party and the private sector. Although their strength lay in the countryside, the war vets formed the only alliance that was both independent of Mugabe and Zanu-PF, and could claim to have national support, giving them a decisive advantage over the better organised but urban-based trade-union federation in the power struggle that would shortly tear the country apart.

War vets were among the first targets of Structural Adjustment, when its effects began to be felt in 1991. Entire departments and ministries that had been heavily staffed by ex-combatants were disbanded and the stage set for a series of high-profile confrontations between veterans and government. Mugabe accused the vets of being ‘armchair critics’ at the inaugural conference of the ZNLWVA in April 1992; they went on to organise street demonstrations, lock top government and party officials in their offices, interrupt Mugabe’s Heroes’ Day speech in 1997, intervene in court sessions and besiege the State House.

After the Lancaster House Agreement had expired, the government tried to occupy the middle ground by shifting from the ‘willing buyer, willing seller’ formula with a new law, the Land Acquisition Act of 1992, which gave the state powers of compulsory purchase, though landowners retained the right to challenge the price set and to receive prompt compensation. By the late 1990s, market-led land transfers had dwindled to a trickle. So had British contributions to the fund set up to pay landowners, with a mere £44 million paid out between 1980 and 1992, much less than anticipated at Lancaster House. When New Labour took over in 1997, Clare Short, the minister for international development, claimed that since neither she nor her colleagues came from the landed class in Britain – ‘my own origins are Irish and as you know we were colonised not colonisers,’ she wrote to the Zimbabwean minister of agriculture and land – they could not be held responsible for what Britain had done in colonial Rhodesia.

This effective default coincided with a rise inside Zimbabwe of demands for compulsory acquisition. Veterans led land occupations at Svosve and Goromonzi in 1997, clashing with Mugabe and Zanu-PF. They were joined by local chiefs and party leaders, peasants and spirit mediums (who had played a key role in the liberation war against Ian Smith). The next year, a wave of co-ordinated land occupations swept across the country, with veterans receiving critical support from the Indigenous Business Development Centre (IBDC), an affirmative action lobby set up in 1988 by members of the new black bourgeoisie. From now on, two very different elements huddled under the war vets’ banner: the landless victims of settler colonialism and the elite beneficiaries of the end of settler rule.

It was largely for his own purposes, but also as a response to pressure from squatters, occupiers and their local leaders, as well as from sections of the new black elite, that in 1999 Mugabe decided to revise the constitution drafted at Lancaster House. Two major changes were envisaged: one would allow him to stay in power for two more terms and would ensure immunity from prosecution for political and military leaders accused of committing crimes while in office; the other would empower the government to seize land from white farmers without compensation, which was held to be the responsibility of Britain. The proposals were put to a referendum in February 2000 and defeated: 45.3 per cent of voters were in favour. But only a little more than 20 per cent of the electorate had cast a vote. The urban centres of Harare and Bulawayo were three to one against adoption; voting in the countryside was marked by large-scale abstentions. Post-colonial Zimbabwe had reached a turning point.

Very early on, the colonial bureaucracy had translated the ethnic mosaic of the country into an administrative map in such a way as to allow minimum co-operation and maximum competition between different ethnic groups and areas, ensuring among other things that labour for mining, manufacture and service was not recruited from areas where peasants were needed on large farms or plantations. These areas, as it happened, were mainly Shona and so, unsurprisingly, when the trade-union movement developed in Rhodesia, its leaders were mostly Ndebele, and had few links with the Shona leadership of the peasant-based liberation movement (Mugabe belongs to the Shona majority). I remember listening to the minister of labour in Harare in 1981 complain that workers had failed to support the nationalist movement. When I suggested that it might be useful to turn the proposition around and ask why the nationalist movement had failed to organise support among workers, there was silence.

The Shona-Ndebele divide so conspicuous in the two guerrilla movements produced great tension after independence between the mainly Shona government and the mainly Ndebele labour movement, with Mugabe’s ferocious repression in Ndebele areas in 1986 remaining the bloodiest phase in post-independence Zimbabwean history. The slaughter in Matabeleland was followed by a ‘reconciliation’ that paved the way for a unity government in 1987, but Zanu-PF leaders thereafter suspected all protest – from whatever source – of concealing an Ndebele agenda.

The Zimbabwe Congress of Trade Unions, formed in 1981 with the blessing of the government, had by the end of the decade distanced itself from its Zanu patrons, purged internal corruption and elected an independent leadership. In the 1990s it spearheaded the national agitation against Structural Adjustment and the one-party state that acquiesced in it. Yet its organisation in the countryside was confined to workers on commercial farms. The ZCTU had at first been an umbrella body for private sector unions. The spectacular growth of ZCTU, its organisation of public sector workers, has been written about by two Zimbabwean social historians, Brian Raftapolous and Ian Phimister. After independence, workers in the rapidly Africanised public sector had retained close links to the government. But this began to change when the Structural Adjustment Programme led to public sector job losses and many African workers – especially veterans – were dismissed. When government workers came out on strike in 1996, the ZCTU was able to establish a base in the public sector. A general strike in 1997 and mass stay-aways the following year set the trade unions against the government. Civil servants – including teachers and health workers – who had declared allegiance to the ruling party and the state now began to affiliate to the ZCTU. In 1998, it organised a National Constituent Assembly, with the participation of civic, NGO and church groups.

By the time Mugabe put forward amendments to the Lancaster House constitution, an impressive alliance of forces – not only trade unions, churches, civic and NGO groups, but white farmers and Western governments – was arrayed for battle. The Movement for Democratic Change was formed a few months before the 2000 referendum, to campaign for a ‘no’ vote. The coalition was diverse, containing, on the one hand, public sector workers trying to roll back the tide of Structural Adjustment; on the other, uncompromising free-marketeers such as Eddie Cross, the MDC secretary of economic affairs and a senior figure in the Confederation of Zimbabwe Industries, who was intent on privatising almost everything, including education.

The veterans reacted to the defeat of the constitutional proposals by launching land occupations in Masvingo province. This prompted a split in the ruling party. With Mugabe out of the country, the acting president, Joseph Msika, told the police to torch the new squatter shacks. This was consistent with Zanu-PF policy: in the early days, Mugabe had been praised as a ‘conciliator’ by the international community for ensuring the security and property of those whites who remained in Zimbabwe, and evicting black squatters. Two decades later the position had changed: the support of the whites was no longer so important to Mugabe, and he was under enormous pressure from the veterans. With much to gain from casting his lot in with the rural insurgency, he returned from his trip and announced that there would be no government evictions. As land occupations spread to every province – 800 farms were occupied at the height of the protests – the split in the government and party hierarchy deepened. Inevitable tension between the executive and the judiciary undermined the rule of law; the executive sacked a number of judges, replacing them with others more sympathetic to land reform, and enacted pro-squatter legislation.

‘Fast-track’ land reform was now underway. The types of land that would be acquired compulsorily were specified by the government: unused or underutilised land, land owned by absentees or people with several farms; land above a certain area (determined by region) and land contiguous with communal areas. The white owners of around 2900 commercial farms listed for compulsory acquisition and redistribution were given 90 days to move out. Government directives specified that ‘owners of farms marked for redistribution will be compensated for improvements made on the land, but not for the land itself, as this land was stolen from the original owners in the colonial era.’

The closing date for ‘fast-track’ land acquisition – August 2002 – came and went, but occupations continued unimpeded until mid-2003, and on a diminished scale for a year or so after that. Chiefs fought for land for their constituents and for themselves, and so did their counterparts in the state bureaucracy and the private sector. In Matabeleland, a minority of pro-MDC chiefs were sceptical of land reform, but later submitted claims. The black elite made a brazen land grab in direct contravention of the ‘one person, one farm’ policy, provoking a hue and cry in society at large and within the ruling party; the government set up a presidential commission to determine the facts. Crucially, in 2005 the government passed an amendment declaring all agricultural land to be state land. Land was seized from nearly 4000 white farmers and redistributed: 72,000 large farmers received 2.19 million hectares and 127,000 smallholders received 4.23 million hectares.

What land reform has meant or may come to mean for Zimbabwe’s economy is still hotly disputed. Recently there have been signs that scholarly opinion is shifting. A study by Ian Scoones of Sussex University’s Institute of Development Studies – in collaboration with the Programme for Land and Agrarian Studies (PLAAS) at the University of the Western Cape – challenges some of the conventional wisdom in media and academic circles within and beyond Zimbabwe. The problem with this wisdom is that certain highly destructive aspects of reform – coercion; corruption and incompetence; cronyism in the redistribution of land; lack of funds and an absence of agricultural activity – have come to stand for the whole process. In particular, Scoones identifies five myths: that land reform has been a total failure; that its beneficiaries have been largely political cronies; that there is no new investment in the new settlements; that agriculture is in ruins; and that the rural economy has collapsed. Researchers at PLAAS have been quick to point out that over the past eight years small-scale farmers ‘have been particularly robust in weathering Zimbabwe’s political and economic turmoil, as well as drought’. Ben Cousins, the director of PLAAS and one of the most astute South African analysts of agrarian change – who had previously argued that the land reform would destroy agricultural production – now says that the future of Zimbabwe lies in providing small farmers with subsidies so that food security can be achieved. According to researchers at the African Institute for Agrarian Studies in Harare, new farms need to receive subsidised maize seed and fertiliser for a few seasons before achieving full production. Some might give up during this period, but not many – partly because the land tenure system doesn’t allow land sales; only land permits or leases can be acquired.

Zimbabwe has seen the greatest transfer of property in southern Africa since colonisation and it has all happened extremely rapidly. Eighty per cent of the 4000 white farmers were expropriated; most of them stayed in Zimbabwe. Redistribution revolutionised property-holding, adding more than a hundred thousand small owners to the base of the property pyramid. In social and economic – if not political – terms, this was a democratic revolution. But there was a heavy price to pay.

The first casualty was the rule of law, already tenuous by 1986. When international donors pressured the regime in the run-up to the parliamentary elections of 2000 by suspending aid and loans – a boycott favoured by the MDC and the unions – the government simply fixed the result in its favour. In the violence that followed, more than a hundred people died, including six white farmers and 11 black farm labourers. Some of the violence was government-sponsored and most of it state-sanctioned. The judiciary was reshaped, local institutions in rural areas narrowly politicised, and laws were passed which granted local agencies the powers necessary to crush opponents of land reform. Denouncing his adversaries in the trade unions and NGOs as servants of the old white ruling class, Mugabe authorised the militias and state security agencies to hound down opposition, as repression and reform went hand in hand. In 2003, the leading independent newspaper, the Daily News, was shut down. While jubilant government supporters applauded the sweep of the revolution in agrarian areas, the opposition denounced the repression that accompanied it. Land reform had been ruthless, but in 2004, the violence began to abate. There was noticeably less violence surrounding the parliamentary elections of 2005.

In retrospect, it is striking how little turmoil accompanied this massive social change. The explanation lies in the participation of key rural figures in ad hoc but officially sanctioned land committees. When first introduced in 1996, these committees had mixed fortunes, some not functioning at all, others becoming instruments of this or that group of squatters. But a radical change occurred in 2000, when the committees were expanded to include centrally appointed security officials, ruling party representatives and local government personnel, as well as local veterans and traditional leaders. Charged with implementing fast-track land reform, these committees sidelined the old local administrative structures. They also had a national impact, since they reported to similarly constituted provincial committees, which in turn reported to the Ministry of Local Government. It was the infusion of veterans that gave the new semi-bureaucratic committees the edge over their wholly bureaucratic counterparts. Local committees usually comprised between 15 and 30 members. The veterans formed ‘base camps’ represented by ‘committees of seven’ which took the lead in identifying land for acquisition as well as finding prospective beneficiaries (mostly from veterans’ waiting lists and rosters in former ‘communal areas’). They also judged disputes, punished petty criminals and allocated farm equipment, seeds and so on. In a word, the committees co-ordinated everything, thus constituting new centres of power.

The second casualty of the reform was farm labourers. There were about 300,000 in all, around half of them part-time. Fast-track reform resulted in a massive displacement of these workers, who were traditionally drawn from migrant labour. Nearly a fifth came from neighbouring states and were regarded with suspicion by peasants in communal areas; even if they’d been born locally, they were often seen as foreigners and denied citizenship rights. Migrants and women (many employed as casual labour) were the weakest links in the rural mobilisation for land reform. Many were thought to have been encouraged by landowners to vote against the government’s constitutional proposals, and the anti-land-reform lobby certainly tried to organise farm workers, ostensibly to protect their jobs, but really to protect the white ownership of farms. When the workers rallied by the MDC, civil society activists and white farmers clashed with veteran-led occupiers, they came off badly. Occupiers held meetings to explain to workers what was at stake and eventually came themselves to distinguish between white farms, not only on the basis of size, proximity to communal areas, and the amount of unused land, but also on the basis of the farmer’s attitudes, particularly on race and towards his workers, and whether he had participated in the counter-insurgency during the independence struggle.

Some of the 150,000 full-time farm workers threw in their lot with the occupiers, though usually not on the farms where they had been employed. About 90,000 kept their jobs on sugar and tea estates, and on new or already established tobacco and horticulture farms. About 8000 were granted land, but most were denied it on the grounds that they or their elders had come from foreign countries, though some were given citizenship. Many went from steady employment to contract or casual work; many others were forced to supplement their meagre incomes through fishing, petty trading, theft and prostitution.

The best publicized casualties of the land reform movement were the urban poor who hoped to benefit from extending land invasions to urban areas. The veterans spearheaded occupations of urban residential land in 2000-1. Housing co-operatives and other associations followed their lead and set up ‘illegal’ residential or business sites. But the state feared that it would lose control over towns to the MDC if the land reform movement was allowed to spread and met these occupations with stiff repression, including Operation Restore Order/ Murambatsvina, a surprise military-style intervention in 2005 in which tens of thousands of families were evicted. Not surprisingly, those who opposed land reform in rural areas were the strongest critics of government efforts to stifle occupations in urban areas.

The final casualty was food production: Zimbabwe, once a food surplus country, is today deficient in both foreign exchange and food. In 2002-3, half the population depended on food aid: this was a drought year and the figures improved in 2004-5. The UN now estimates that nearly half the country’s 13.3 million inhabitants will once again be dependent on food aid in 2009, after another drought year. A million of these are poor, urban residents who can’t afford imported food. The rest are peasants, most of them hit by drought. Climate change is clearly a factor here, its role most obvious in marginal land: the communal areas worked by millions of small farmers. A 2002 World Food Programme study noted that there had been three droughts in Zimbabwe since 1982 and that the 2002 drought, which also affected several neighbouring countries in Southern Africa, was the worst in 20 years. The WFP estimated that 12.8 million people in the region would require assistance as a result of that drought and that in Zimbabwe alone, overall production would decline by 25 per cent, with cereal production down 57 per cent and maize, the staple in the diet of ordinary Zimbabweans, down by a devastating two-thirds.

To separate out the effect of drought and that of reform – and thus to understand how land reform has hit production – one needs first to distinguish between three groups of agricultural producer: local white farmers, who were the target of the land reform; peasants with farms in communal areas; and foreign corporations, whose large farms (except for small tracts of unused land) remain intact. Harry Oppenheimer, for example, lost most of his private land, but his firm, Anglo American, kept its sugar estates, which it then sold to Tongaat Hulett, a South African firm with 15,000 hectares in Zimbabwe. In a nutshell, white commercial farmers focused on export crops, whereas communal farmers were the major source of food security. The production of tobacco, hitherto the main source of foreign exchange, is concentrated in large-scale commercial farms; it has seen the most severe decline, almost entirely as a result of land reform. Maize and cotton are peasant crops and have not really been directly affected by land reform, but have suffered badly from prolonged drought – maize production was down by 90 per cent between 2000 and 2003. In contrast, the production of crops – sugar, tea, coffee – grown mainly by the large corporate plantations has remained steady.

Besides drought and reform, there is a third cause of declining production: the targeted donor boycott. Zimbabwe has been the target of Western sanctions twice in the last 50 years: once after UDI in 1965 (very ‘soft’ sanctions, which did not stop the country becoming the second most industrialised in sub-Saharan Africa by the mid-1970s) and again after Zimbabwe’s entry into the Congo war in August 1998. Zimbabwe’s involvement in the war was not well received in the West. Participants in the donor conference for Zimbabwe that year were decidedly lukewarm about committing funds. Britain announced a review of arms sales to Zimbabwe and, after the conference, again disclaimed any responsibility for funding land reform. The following year the IMF suspended lending to Zimbabwe, while the US and the UK decided to fund the labour movement, led by the ZCTU, first to oppose constitutional change and then to launch the MDC as a full-fledged opposition party. Its enemies have claimed that, by the late 1990s, the ZCTU was dependent on foreign sources for two-thirds of its income. Once ‘fast-track’ land reform began in 2000, the Western donor community shut the door on Zimbabwe.

The sanctions regime, led by the US and Britain, was elaborate, tested during the first Iraq war and then against Iran. In 2001 Jesse Helms, previously a supporter of UDI, sponsored the Zimbabwe Democracy and Economic Recovery bill (another sponsor was Hillary Clinton) and it became law in December that year. Part of the act was a formal injunction on US officials in international financial institutions to ‘oppose and vote against any extension by the respective institution of any loan, credit or guarantee to the government of Zimbabwe’. In autumn 2001 the IMF had declared Zimbabwe ‘ineligible to use the general resources of the IMF’ and removed it from the list of countries that could borrow from its Poverty and Growth Facility. In 2002, it issued a formal declaration of non-co-operation with Zimbabwe and suspended all technical assistance. The US legislation also authorised Bush to fund ‘an independent and free press and electronic media in Zimbabwe’ and to allocate six million dollars for ‘democracy and governance programmes’. This was fighting talk, Cold War vintage. The normative language of sanctions focuses less on the issues that prompted them in the first place – Zimbabwe’s intervention in the Congo war and the introduction of fast-track reform – than on the need for ‘good governance’. In citing the absence of this as a reason for its imposition of sanctions in 2002, the EU violated Article 98 of the Cotonou Agreement, which requires that disputes between African, Caribbean and Pacific (ACP) countries and the EU be resolved by the joint EU-ACP Council of Ministers.


Clearly, the old paradigm of sanctions – isolation – has given way to a more interventionist model, which combines punishment of the regime with subsidies for the opposition. So-called ‘smart’ sanctions are intended to target the government and its key supporters. In 2002, the US, Britain and the EU began freezing the assets of state officials and imposing travel bans. Only four days after the EU imposed sanctions, the US expanded the list of targeted individuals to include prominent businessmen and even church leaders, such as the pro-regime Anglican bishop, Nolbert Kunonga.

Nonetheless, sanctions mainly affect the lives of ordinary people. Gideon Gono, governor of the Reserve Bank of Zimbabwe, wrote recently that the country’s foreign exchange reserves had declined from $830 million, representing three months’ import cover in 1996, to less than one month’s cover by 2006. Total foreign payments arrears increased from $109 million at the end of 1999 to $2.5 billion at the end of 2006. Foreign direct investment had shrunk from $444.3 million in 1998 to $50 million in 2006. Donor support, even to sectors vital to popular welfare, such as health and education, was at an all-time low. Danish support for the health sector, $29.7 million in 2000, was suspended. Swedish support for education was also suspended. The US issued travel warnings, blocked food aid during the heyday of land reform and opposed Zimbabwe’s application to the Global Fund to Fight Aids – the country has the fourth highest infection rate in the world. Though it was renewed in 2005, the Zimbabwe grant is meagre. Agriculture has been affected too: scale matters, but no one disputes that subsidies are vital for agriculture to be sustainable, and sanctions have made it more difficult to put a proper credit regime in place.

Despite the EU’s imposition of sanctions in the run-up to the parliamentary elections of 2002, Mugabe polled 56.2 per cent of the vote against Morgan Tsvangirai of the MDC’s 42 per cent. There were widespread allegations of Zanu-PF violence and last-minute gerrymandering, with polling stations in urban areas – Tsvangirai’s electoral base – closing early and extra stations being set up in rural areas, where Mugabe’s support was assured. Nonetheless, it was clear that support for Zanu-PF was higher than in the pre-fast-track elections of 2000. Bush and Blair refused to recognise the outcome, but Namibia, Nigeria and the South African observer team, which had monitored the elections, concluded that the result was legitimate. Whatever the truth of the matter, the Africans could do little in the face of mounting Western pressure, from Britain especially: a three-member panel of Commonwealth countries – Australia, Nigeria and South Africa – was convened to consider the question of Zimbabwe. There were reports of intense pressure from Tony Blair on Thabo Mbeki. The panel suspended Zimbabwe from the Commonwealth for a year. Zimbabwe withdrew from the organisation.

The experience of land reform in Zimbabwe has set alarm bells ringing in South Africa and all the former settler colonies where land shortage is still an issue. In South Africa especially, the upheaval and bitterness felt in Zimbabwe seems to suggest that the ‘Malaysian path’ to peaceful redistribution and development is not inevitable. An anxious South Africa and less powerful members of the Southern Africa Development Community tend to feel that sanctions, along with other destabilising policies pursued by the West against Zimbabwe, have only made matters worse. SADC states have long tried to reconcile the need to resist Western influence with the fact that they serve as a bridge between Africa and the wealthy Western economies, but South Africa’s non-confrontational policy vis-à-vis Mugabe – which Mbeki pursued despite mounting criticism from the ANC and the unions in South Africa – along with its provision of fuel and electricity to its northern neighbour, set it at odds with Western governments. South Africa and the SADC states describe their approach as one of ‘non- interference’, ‘stabilisation’ and ‘quiet diplomacy’, but the West sees it as a deliberate effort to undermine sanctions, and critics in South Africa – most recently Mandela – have found the Mbeki line much too conciliatory.

In 2007, SADC called for an end to sanctions against Zimbabwe and international support for a post-land-reform recovery programme, but earlier this year Western countries brought their influence to bear on key SADC members – Botswana and Zambia – to split the organisation. Ian Khama, the president of Botswana, went so far as to announce publicly that he would not recognise the results of the 2008 elections. The pressure on SADC came not only from Western countries, but from trade-union movements in the region, in particular Cosatu of South Africa, which has strong links with the ZCTU. Here is another striking aspect of the current Zimbabwe crisis: it is not just Western and pro- Western governments that have joined the sanctions regime, but many activists and intellectuals, for the most part progressives, have aligned themselves with distant or long-standing enemies in an effort to dislodge an authoritarian government clinging to power on the basis of historic grievances about the colonial theft of land. Symbolic of this was the refusal by Cosatu-affiliated unions to unload a cargo of Chinese arms destined for Zimbabwe when the An Yue Jiang sailed into Durban in April.

The arguments, which are not new, turn on questions of nationalism and democracy, pitting champions of national sovereignty and state nationalism against advocates of civil society and internationalism. One group accuses the other of authoritarianism and self-righteous intolerance; it replies that its critics are wallowing in donor largesse. Nationalists speak of a historical racism that has merely migrated from government to civil society with the end of colonial rule, while civil society activists speak of an ‘exhausted’ nationalism, determined to feed on old injustices. This fierce disagreement is symptomatic of the deep divide between urban and rural Zimbabwe. Nationalists have been able to withstand civil society-based opposition, reinforced by Western sanctions, because they are supported by large numbers of peasants. The tussle between these groups has even greater poignancy in former settler colonies than it had a generation earlier in former colonies north of the Limpopo, for the simple reason that the central legacy of settler colonialism – the land question – remained unresolved and explosive after independence. Southern African leaders have tried, with some success, to put out the fires in Zimbabwe before they spread beyond its borders. It is worth noting that the agreement between Zanu-PF and the MDC signed in September and brokered by Mbeki accepts land redistribution as irreversible and registers disagreement only over how it was carried out; it also holds Britain responsible for compensating white farmers. In the wake of Mbeki’s resignation as president of South Africa it is vital that this agreement remains in place. Few doubt that this is the hour of reckoning for former settler colonies. The increasing number of land invasions in KwaZulu Natal, and the violence that has accompanied them, indicate that the clock is ticking.
Bibliographical Note

Moyo, Sam & Paris Yeros (2005b), ‘Land Occupations and Land Reform in Zimbabwe: Towards the National Democratic Revolution’, in Reclaiming the Land, edited by Sam Moyo and Paris Yeros, London: Zed Books; Moyo, Sam and Paris Yeros (2007), ‘The Radicalised State: Zimbabwe’s Interrupted Revolution’, Review of African Political Economy, 111; Moyo, Sam & Paris Yeros (forthcoming), ‘After Zimbabwe: State, Nation and Region in Africa’, in S. Moyo, P. Yeros & J. Vadell (eds.), The National Question Today: The Crisis of Sovereignty in Africa, Asia and Latin America; Chambati, W. and S. Moyo, Fast Track Land Reform and the Political Economy of Farm Workers in Zimbabwe, Harare: AIAS Monograph Series, forthcoming For a critical point of view, see, Lloyd Sachikonye, “The Land is the Economy: Revisiting the Land Question,” African Security Review 14(3), 2005; and, Raftopoulos, Brian & Ian Phimister (2004), ‘Zimbabwe Now: The Political Economy of Crisis and Coercion’, Historical Materialism, 12: 4; Patrick Bond and Masimba Manyanya, Zimbabwe's Plunge - Exhausted Nationalism, Neoliberalism and the Search for Social Justice, Merlin Press, 2002; Henry Bernstein, ‘Land reform in Southern Africa in World Historical Perspective,’ ROAPE 96, 2003

On the non-Zimbabwean debate on the land reform, see, http://www.lalr.org.za/news/a-new-start-for-zimbabwe-by-ian-scoones.html (accessed on 27 September, 2008); IRIN, “Small Scale Farming Seen As the Only Alternative to Food Insecurity,” 22 September 2008. For a contrary point of view, see, Henry Bernstein, ‘Land reform in Southern Africa in World Historical Perspective,’ Review of African Political Economy 96, 2003

On war veterans, see, Sadomba, W (2006) War veterans and the land occupation movement in Zimbabwe, forthcoming, Harare;

On climate change and the impact of drought, see, C.H. Matarira, J.M. Makadho, F.C. Mwamuka, "Zimbabwe: Climate Change Impacts on Maize Production and Adaptive Measures for the Agricultural Sector," Interim Report on Climate Change Country Studies, 1995, www.gcrio.org

On sanctions, see, Gregory Elich, ‘Zimbabwe Under Siege,’ Swans Commentary Zimbabwe Under Seige, http://www.swans.com/library/art8/elich004.html; Dr. Gideon Gono: How sanctions are ruining Zimbabwe, opinion piece, African Business, 2007.

On the debate among progressive intellectuals in Zimbabwe, see, Sam Moyo and Paris Yeros, ‘The Zimbabwe Question and the Two Lefts.’ Forthcoming in Historical Materialism, vol. 14, no. 4, 2007

From the LRB letters page: [ 18 December 2008 ] R.W. Johnson, Terence Ranger, Matthias Tomczak, Mahmood Mamdani [ 1 January 2009 ] Timothy Scarnecchia, Jocelyn Alexander and 33 others, Gavin Kitching, Mahmood Mamdani.

Mahmood Mamdani is Herbert Lehman Professor of Government in the Departments of Anthropology, Political Science and International Affairs at Columbia University. He is from Uganda.