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This chapter explores political rights under international human rights law. It covers the right to self-determination, freedom of opinion and expression, freedom of thought, conscience and religion, freedom of association and assembly, electoral rights, and the right to participate in public affairs. The chapter examines the legal frameworks and standards for protecting these rights, the obligations of states to ensure their effective exercise, and the role of international bodies in monitoring and enforcing compliance. It also highlights the challenges in promoting political rights in different political and cultural contexts and the importance of fostering inclusive and participatory governance.
Tribes operated governments since time out of mind. Tribes developed institutions to manage their lands, people, and resources. While European arrival brought many hardships, tribes adapted, but eventually, tribes were forced onto reservations. Tribes endured attempts to exterminate their existence as distinct governments and cultures. Despite fifty years of the federal government’s tribal self-determination policy, tribes remain subject to excessive federal constraints on their sovereignty. Hence, tribes continue to struggle with crime and poverty. Tribes need greater autonomy to address the problems in their communities, and this requires treating tribes as nations again.
When tribes are allowed to operate as governments, states will push back because states fear tribal competition. In particular, states are concerned tribes will offer lower tax rates and other legal incentives to attract businesses to their land. This is a misguided concern. States already craft numerous exceptions to their laws, often designed specifically for their favorite corporations; plus, the source of state power over tribes is lacking. Apart from this, tribal development benefits states. New jobs in Indian country often employ non-Indians who purchase goods and pay taxes off reservation. Thus, tribal sovereignty also serves as a shield against state protectionism and promotes economic opportunities that benefit everyone.
Tribes struggle with many socioeconomic problems, including poverty and crime. Though the United States claims to support tribal self-determination, tribes remain subject to unique, federally imposed constraints on their sovereignty. This book argues removing the federal limitations on tribal sovereignty is the key to improving life in Indian country.
North America's Indigenous inhabitants operated effective governments long before European arrival. Tribes built cities, developed laws, and participated in transcontinental trade networks. European arrival, however, brought many hardships for Indians. Although tribes were guaranteed the right to self-govern on reservations, the United States imposed severe restraints on tribal autonomy resulting in socioeconomic maladies, such as poverty and crime. Today, federal policies continue to inhibit tribal self-governance. As a result, tribes continue to suffer from these social ills. Becoming Nations Again argues empowering tribal governments is the key to solving tribal problems. It moves to liberate tribes from the antiquated regulations that apply only to tribal lands and allow tribes to exercise jurisdiction over all people on their land. Once this occurs, tribes will be free to implement their own laws and participate in the federalist system. This title is also available as Open Access on Cambridge Core.
This paper begins with crises; environmental, social and democratic. And then it posits that in the midst of these crises there might be an opportunity. One that involves not so much “saving” democracy and sustaining current ways of life but shifting attentions towards potentially creating (re-creating) something different. Something we are calling eco-democracy. There have long been voices, calling for a more environmentally thoughtful form of democracy. After tracing a short discussion of this history including some of the critiques we turn to an exploration of eco-democracy in environmental education. Our argument is that some forms of environmental education are already thinking in more eco-democratic ways without necessarily naming the project as such. In order to do this, we focus on five ‘seedlings’ of eco-democracy that already exist in environmental education. These seedlings allow us to do two things. First, draw connections to Wild Pedagogies and second draw out four key considerations for environmental educators if they are interested in having more eco-democratic practices: voice, consent, self-determination and kindness. The paper ends with a short speculative exploration of what might happen pedagogically if environmental education were to assume an eco-democratic orientation through honouring voice, consent, self-determination, and kindness.
Adopting a human rights-based approach, this paper scrutinizes the treatment of illicit trafficking in cultural property as a human rights issue. The study focuses on the Iraqi contribution to the international agenda, revealing that Iraq co-sponsored at least 13 UN resolutions on the restitution of illegally expropriated cultural property, actively contributing to the negotiation of others, along with submitting its legal opinions on the drafts of relevant international documents, starting from as early as 1936 to culminate with the calls to stop cultural plunder feeding Western markets since the 1990s. Centering the Iraqi voices and adopting a critical decolonial rights-based perspective, the study showcases how illicit trade in cultural property clearly emerges as a violation of a state’s permanent sovereignty over its wealth and resources, negatively impacting its ability to guarantee the right to pursue economic, social, and cultural development for its people, as well as to freely dispose of their resources, the key components of the right to self-determination.
This chapter identifies and examines the elements determining the legal content of any given theory of, or positive law provision for, the human right to resist. It reviews the primary triggers or conditions for activation, indicating the ‘right to resist what’, including ‘tyranny’, ‘oppression’, and ‘other violations’. It reviews the secondary triggers or conditions for activation, indicating the ‘right to resist when’, in particular the necessity condition. It also reviews both aspects of the personal scope, being the rights-holders, indicating ‘who may resist’, and also the duty-bearers, indicating ‘whose corresponding duty’. It identifies a four-fold typology of legitimate ‘object and purpose’, or ‘right to resist why’, being for human rights enforcement, for self-defence, for self-determination, and for ‘peace’ or human security. The final element examined is the material scope of application, or ‘right to resist how’, identifying three competing approaches to permissible means, and affirming proportionality limitations and other applicable limitations in international human rights law and international criminal law, as well as grounds for discretionary non-exercise. This general analytical template for identification and comparison of elements and therefore content is then applied to the evidence of legal sources of the right considered in Chapters 5–7.
The human right to resist is a contemporary legal concept with an ancient pedigree. Although it has received recognition in constitutions, customary international law and human rights treaties, and acknowledgment by leading publicists of international law, it remains obscure compared to other human rights. In this innovative and comprehensive book, Shannonbrooke Murphy addresses the perennial question of who has a 'right' to resist – and what, when, why, and how, from a legal perspective. Using a systematic and comparative approach to analyzing both the theoretical concept and the provisions in positive law, this study aims to establish that a 'right to resist' can be recognized and codified as an enforceable 'human right', proposing a common conceptual language and an analytical framework for evaluating the legal basis of claims. Murphy makes a strong and detailed case for a firmer place for the 'right to resist' in the human rights lexicon.
This chapter analyzes the norm impasses over the status of Kosovo after its declaration of independence in February 2008 and over the status of South Ossetia and Abkhazia following the 2008 August war. Both cases happened within quick succession, revolved around the same well-established norms in the United Nations (UN) Charter – the rights to territorial integrity vs. self-determination – and showed an interesting reversal of sides: While the United States (US) and European states recognized Kosovo’s statehood and rejected Russia’s emphasis on Serbian territorial integrity, the US and European states rejected Russia’s support of South Ossetia’s statehood and emphasized Georgian territorial integrity. These norm impasses became protracted because each side received social support from key audiences, or at least only muted criticism, for their interpretations, lowering the cost of disagreement. These disputes show both the power and limits of international law: The US’s sui generis frame and Russia’s quasi-legal argumentation indicate that there is a strong collective expectation regarding using international law to justify claims. Yet these cases also indicate that protracted norm impasses weaken individual norms: Unclear norm meaning gives leeway for interpretation, which can be used to craft interpretations that appeal to important audiences and thereby reduce pressure to abandon contested norm interpretations.
This article reviews the literature on nationalism and ethnic mobilization. I first discuss the different strands of research in the field, highlighting three key sources of division that characterize existing literature: geography, ethnic cleavage type, and strategy of mobilization. Arguing that the lack of dialogue between different niches of research can undermine the accumulation of general knowledge, I propose an integrated perspective on nationalism and ethnic mobilization that serves to assimilate findings from these separate niches. I conclude by discussing how such an integrated perspective can enhance our knowledge of the causes, dynamics, and consequences of ethnic mobilization.
Digital sovereignty is a fluid and complex concept. This chapter highlights the necessity to consider digital sovereignty strategies, policies, and governance mechanisms from a holistic and long-term perspective. Digital sovereignty plays a pivotal role in fostering self-determination, while remaining critical to cybersecurity and the control capabilities of the “digital sovereign.” The “sovereign” can be an individual, a community, a corporation, a state, or a group of states. Taking an agnostic approach to digital sovereignty, the authors explore diverse practices and provide insight into what this concept means in practical terms. Digital technologies can facilitate enormous advancements to be put at the service of people, but can also be weaponized against individuals, corporations, and nation-states. BRICS countries’ approaches offer telling examples of not only how and why the need for digital sovereignty can emerge but also how dysfunctional the implementation of digital sovereignty policies may become without a coherent and long-term vision. Ultimately BRICS experiences illustrate that enhancing a digital sovereign’s self-determination, cybersecurity, and control is likely to reduce the undue influence of other digital actors. However, the success of a digital sovereignty strategy largely depends on the understanding, consistency, resourcefulness, and, ultimately, organizational capabilities of aspiring digital sovereigns.
This chapter traces how the concept of ethnicity emerged as a depoliticised alternative to nationality. By the end of the nineteenth century, the triumph of nationalism as the hegemonic source of state legitimacy had resulted in the politicisation of the nation concept. This conceptual linkage of ‘nation’ with ‘state’ opened up a terminological vacuum: If nationhood implied statehood, what label should be given to those stateless nations and national minorities that had neither a state of their own nor the political capacity to acquire one? Against this backdrop, the chapter traces how an embryonic concept of ethnicity was articulated to fill in the terminological void. The chapter’s empirical focus is on the early twentieth-century academic literature on nationalism and the establishment of the world’s first international minority rights regime after the First World War. The argument also has significant implications for debates surrounding the conceptual distinction between ‘civic’ and ‘ethnic’ nationalism.
An (ongoing) interrogation of colonial wrongdoing is important for debates on decolonisation, restorative justice, racial and gender equality and global political and socio-economic equality. This article presents a theoretical study of colonialism’s legal-political injustices and aims to (re)turn the discussion on colonialism to the field’s most powerful insight, i.e. that of of epistemic violence and injustice. This article also suggests that the reach of this historical injustice went much further than the politics of autonomy, usurpation of territorial rights, political disenfranchisement and resource appropriation. To address the question of colonialism’s distinctiveness as a political mission, which has been discussed in recent debates within analytic philosophy, it argues that colonialism’s epistemic injustice, which denied the very existence and the traditions of the colonised, is the foundational and distinctive feature of colonialism as a political system and which drives its continued impact to this day.
For many postcolonies, a national currency—like a constitution, flag, or passport—was a necessary accompaniment to independence. Money and credit were more than potent symbols of decolonization; they were means of constituting a new political order. This Introduction argues that the monetary regimes established in Kenya, Uganda, and Tanzania aimed to remake their independent societies, turning savings, loans, and other financial instruments into the infrastructure of citizenship and statecraft. These instruments tried to create a “government of value” in which personal interest and collective advance were aligned through mechanisms that were simultaneously ethical and economic, cultural and political. They did so because colonial subjects experienced empire as not only political domination but also a constraint on economic liberties. Yet, the ensuing decolonization was at best partial, not least because the value of national currencies depended on the accumulation of foreign money. Moreover, the independent political economy of East Africa created new inequalities and divisions. Struggles over money, credit, and commodities would animate a series of struggles between bankers and bureaucrats, farmers and smugglers in the coming decades. By detailing the notion of the “moneychanger state,” this chapter provides the conceptual frameworks to understand these conflicts in new ways.
This chapter offers a synthetic overview of the range of international law issues that arose during the course of the Vietnam War, especially as Americans took over from the French after Dien Bien Phu in 1954 and moved towards massive escalation between 1964 and 1973. The chapter begins with the debate about what law applied to the conflict, which turned on the legal status of South Vietnam. The chapter then asks what claims were possible and plausible when it came to the legality of American intervention in the war. Next, the chapter addresses the different kinds of warfare in which the United States engaged, from its bombing campaigns over North Vietnamese territory and waters to the changing forms of its counterinsurgency in the South and, later, across the Cambodian border. Finally, the chapter concludes by examining the legal legacy of Vietnam: not only how it led to the most significant substantive development of the laws of war since the Geneva Conventions, the First and Second Additional Protocols, but also, and equally importantly, how it ensured that international law would play (for good or ill) a central role in debate over and analysis of all future conflicts.
Moderate-to-vigorous physical activity (MVPA) is beneficial for health, and reducing sedentary behavior (SB) is recommended in international guidelines. People with mental illnesses are at higher risk of preventable diseases than the general population, partly attributable to lower MVPA and higher SB. Self-determination theory provides a framework for understanding how motivation regulates behavior. This study aimed to evaluate the contribution of different forms of motivation for physical activity (amotivation, controlled, autonomous) to MVPA and SB in people with mental illnesses.
Methods
Cross-sectional self-reported and accelerometer-derived MVPA and SB in people with a range of mental illnesses across four countries were pooled for analysis (Australia, Belgium, England, Uganda). Motivation for physical activity was measured using the Behavioural Regulation in Exercise Questionnaire (BREQ). Regression analyses were used to investigate the association of MVPA and SB with amotivation, controlled, autonomous motivations, controlling for mental health and demographic variables.
Results
Autonomous motivation was associated with 31% higher self-reported MVPA, and amotivation and controlled motivation were associated with 18% and 11% lower self-reported MVPA, respectively (n = 654). In contrast, controlled motivation was positively associated with SB (n = 189). Having physical comorbidities or an alcohol use disorder was associated with lower MVPA (n = 318). Sub-analyses with accelerometer-derived MVPA and SB (n = 139 and n = 145) did not reveal any associations with motivational forms.
Conclusions
Findings with an international sample support the universal relevance of motivation in promoting health-related behavior. Strategies for facilitating autonomous motivation should be utilized by health professionals seeking to support people with mental illnesses to become physically active.
This chapter investigates (1) whether there is a convincing justification for the All-Affected Principle, (2) whether it is best understood as substantive or procedural principle, and (3) whether it provides a useful way to approach boundary questions. Though the All-Affected Principle is often justified as realizing self-determination in political decision-making, I argue that the AAP does not do so. Instead, the ideal of self-determination, properly understood, supports individual and collective autonomy rights, and institutional arrangements that are at odds with a global democracy of the all-affected.
This article serves as a commentary on Michael Hallsworth’s 2023 piece, ‘A manifesto for applying behavioural science,’ featured in Nature Human Behaviour. The manifesto was prompted by methodological, practical and normative critiques directed at behavioural science and its role in public policy. In this commentary, I argue that the manifesto presents numerous insightful and constructive reform proposals regarding the scope, methods and values in behavioural science, which can help advance the field of behavioural public policy. While there is much to agree with, I contend in this commentary that applied behavioural science can and should delve deeper into the study of socially and culturally embedded processes of goal formation. Additionally, it should explore the institutional conditions necessary for individuals to formulate their goals competently and in a self-determined manner.
The dispute over the Matthew and Hunter Islands (MHIs) has long been a constant strain on Vanuatu-French relations. The article examines this dispute in light of the Chagos Advisory Opinion and a few other cases concerning territorial disputes. It first submits that sovereignty over the MHIs had never been raised until 1962, when, at the occasion of a private claim, France and Britain, the two administering powers of the New Hebrides at that time, considered the issue. The two states reached an agreement in 1965, asserting that the MHIs were part of the French colony of New Caledonia and not the British-French Condominium of the New Hebrides. This article then considers the legal implications and lawfulness of the agreement, which did not take into account the local populations’ will. Although there are some important differences between the Chagos and MHIs disputes, mainly due to the fact that the MHIs are uninhabited, the applicability of the right of self-determination to both cases is nevertheless beyond doubt. The article contends therefore that the 1965 Agreement between France and Britain may constitute a violation of the right to self-determination of the people of the New Hebrides (Vanuatu), who were not consulted on the decision to attach the MHIs to the French territory of New Caledonia, and suggests that there may be, however, some other legal principles under international law that can come into play. Finally, the article contends that negotiated solutions could be a potential way forward for the parties involved.