On April 25, 2013, UN's Security Council established a 12,600-strong peacekeeping force for Mali. The United Nations Multidimensional Integrated Stabilization Mission (MINUSMA) is to take over and continue the security and stabilization task that the French-led military operation in cooperation with UN's African-led International Support Mission to Mali, AFISMA, initiated in January 2013. The aim of this report is to present a number of long- and short-term perspectives for the recently initiated peace- and state-building process in Mali by focusing on the historical, structural and political causes of the crisis in Mali. Understanding these causes and handling their derived conflict potentials provide a minimum of prerequisites for establishing long-term peace. The report is structured according to four intertwined conflict potentials: Mali's fragile state, the status and background of the Tuareg rebellion, the organized crime and the regional cooperation. .
Russia's strategy in the Arctic is dominated by two overriding discourses – and foreign policy directions – which at first glance may look like opposites. On the one hand, an IR realism/geopolitical discourse that often has a clear patriotic character, dealing with "capturing", "winning" or "conquering" the Arctic and putting power, including military power, behind the national interests in the area – which is why we, in recent years, have seen an increasing military build-up, also in the Russian Arctic. Opposed to this is an IR liberalism, international law-inspired and modernization-focused discourse, which is characterized by words such as "negotiation", "cooperation" and "joint ventures" and which has as an axiom that the companies and countries operating in the Arctic all benefit the most if they collaborate in peace and friendliness. So far, the IR liberalism discourse has set the trend of the Russian policy carried out in relation to the Arctic. Thus, it has primarily been the Russian Foreign Ministry and, above all, Foreign Minister Sergey Lavrov that have drawn the overall lines of the Arctic policy, well aided by the Transport Ministry and the Energy Ministry. On the other side are the Russian national Security Council led by Nikolai Patrushev and the Russian Defence Ministry headed by Sergey Shoygu, which both have embedded their visions of Russia and the Arctic in the IR realism/geopolitical discourse. Russia's president, Vladimir Putin, does the same. Nevertheless, he has primarily chosen to let the Foreign Ministry set the line for the Arctic policy carried out, presumably out of a pragmatic acknowledgement of the means that have, so far, served the Russian interests best. Moreover, it is worth noting that both wings, even though they can disagree about the means, in fact are more or less in agreement about the goal of Russia's Arctic policy: namely, to utilize the expected wealth of oil and natural gas resources in the underground to ensure the continuation of the restoration of Russia's position as a Great Power when the capacity of the energy fields in Siberia slowly diminishes – which the Russian Energy Ministry expects to happen sometime between 2015 and 2030. In addition to that, Russia sees – as the polar ice slowly melts – great potential for opening an ice-free northern sea route between Europe and Asia across the Russian Arctic, with the hope that the international shipping industry can see the common sense of saving up to nearly 4,000 nautical miles on a voyage from Ulsan, Korea, to Rotterdam, Holland, so Russia can earn money by servicing the ships and issuing permissions for passage through what Russia regards as Russian territorial water. The question is whether Russia will be able to realize its ambitious goals. First, the Russian state energy companies Gazprom and Rosneft lack the technology, know-how and experience to extract oil and gas under the exceedingly difficult environment in the Arctic, where the most significant deposits are believed to be in very deep water in areas that are very difficult to access due to bad weather conditions. The Western sanctions mean that the Russian energy companies cannot, as planned, obtain this technology and know-how via the already entered-into partnerships with Western energy companies. The sanctions limit loan opportunities in Western banks, which hit the profitability of the most cost-heavy projects in the Arctic. However, what hits hardest are the low oil prices – at present 50 dollars per barrel (Brent). According to the International Energy Agency (IEA), the fields in the Arctic are not profitable as long as the oil price is under 120 dollars per barrel. Whether Russia chooses to suspend the projects until the energy prices rise again – and until it has again entered into partnerships that can deliver the desired technology and know-how – or whether the Russian state will continuously pump money into the projects is uncertain. The hard-pressed Russian economy, with the prospects of recession, increasing inflation, increasing flight of capital, rising interest rates and a continuously low oil price, provides a market economic incentive for suspending the projects until further notice. Whether the Kremlin will think in a market economic way or a long-term strategic way is uncertain – but, historically, there has been a penchant for the latter. One of the Kremlin's hopes is that Chinese-Russian cooperation can take over where the Western-Russian cooperation has shut down. Russia has long wanted to diversify its energy markets to reduce its dependence on sales to Europe. At the same time, those in the Kremlin have had a deeply-rooted fear of ending up as a "resource appendix" to the onrushing Chinese economy, which so far has been a strong contributing reason for keeping the Russian-Chinese overtures in check. The question now is whether the Western sanctions can be the catalyst that can make Russia overcome this fear and thus, in the long term, support the efforts to enter into a real, strategic partnership with China. ; Russia's strategy in the Arctic is dominated by two overriding discourses – and foreign policy directions – which at first glance may look like opposites. On the one hand, Russia have an IR realism/geopolitical discourse that often has a clear patriotic character, dealing with "exploring", "winning" or "conquering" the Arctic and putting power, including military power, behind the national interests in the area – which is why we, in recent years, have seen an increasing military build-up, also in the Russian Arctic. Opposed to this is an IR liberalism, international law-inspired and modernization- focused discourse, which is characterized by words such as "negotiation", "cooperation" and "joint ventures" and which has as an axiom that the companies and countries operating in the Arctic all benefit the most if they cooperate peacefully.
Denne artikkelens hovedargument er at det i overveldende grad er økonomien som har vært den drivende faktor bak Forsvarets omstilling etter den kalde krigen, inkludert da invasjonsforsvar ble forlatt som forsvarskonsept i 2001. De sikkerhetspolitiske endringene har først og fremst vært utnyttet retorisk for å begrunne nedbygging av forsvarsstrukturen, når den økonomiske nødvendigheten ikke lenger lot seg skjule. Kostnader forbundet med økt deltagelse i internasjonale operasjoner har kun i svært beskjeden grad bidratt til reduksjonen i forsvarsstrukturen – kostnadene var her alt for lave til å kunne gi noen troverdig årsaksforklaring alene. Årsaken er i stedet at forsvarsbudsjettene etter den kalde krigen ikke kompenserte for den reelle kostnadsutviklingen i sektoren. Det resulterte i et kjøpekrafttap som gradvis tæret på Forsvaret.
Abstract in English:Economy – the Driving Force behind Norwegian Defence Transformation after the Cold WarThe main conclusion of this article is that to an overwhelming degree, economic factors have been the driving force behind the transformation of the Norwegian Armed Forces following the end of the Cold War, including the discontinuation of anti-invasion defence as a level of ambition in 2001. The changes in international affairs have been used rhetorically to justify the downsizing of the force structure, when the financial necessity could no longer be concealed or ignored. Additional costs caused by participation in international operations overseas have only to a very limited extent contributed to the sweeping reduction of the armed forces, since these costs were far too small to explain the cutbacks. The actual financial reason is that the defence budgets throughout the 1990s and 2000s did not compensate for the growth in real term costs in the defence sector, particularly those pertaining to the acquisition and operation of modern weapon platforms and systems. This resulted in a loss of purchasing power which gradually wore down the force structure.
Igennem de sidste to år (2018–2019) er den førte danske politik i forhold til Kina blevet mere ambivalent. Særligt når det gælder kinesiske investeringer, er Danmark blevet mere forsigtig. Denne artikel undersøger hvilke faktorer, der har haft betydning for Danmarks skiftende politik i forhold til kinesiske investeringer, gennem to større case-studier: Kinesiske investeringer i Grønland og Huawei i Danmark. Kort fortalt udpeges her tre faktorer, der er afgørende for Danmarks politik i forhold til kinesiske investeringer: for det første landets langvarige økonomiske ideologi som en lille, åben økonomi, svarende til øvrige nordiske lande og som medlem af EU, med et pragmatisk behov for udenlandske markeder; for det andet en stærk, national tro på demokrati og statens forsvarsalliance med USA, herunder dets dedikerede medlemskab af NATO; og for det tredje opkomsten af fremmedfjendske og nationalistiske politiske partier, der udfordrer den tidligere mere afbalancerede og pragmatiske tilgang kendetegnende for større partier samt går ind for et mere anti-kinesisk standpunkt.
Abstract in English:Denmark's Policy on Chinese Investments: Pragmatism Balancing with Increasing Threat PerspectivesDuring the past two years (2018–2019), Denmark's policy towards China has become more ambivalent. In particular, Denmark has become more cautious about inward Chinese investments. This article examines the factors that have affected Denmark's changing policy on Chinese investment, with two major case studies: Chinese investments in Greenland, and Huawei in Denmark. In a nutshell, it points out three decisive factors: first, the country's long-term ideology as a small, open economy, similar to other Nordic countries and as a member of the EU, with a pragmatic need for foreign markets; second, a strong national belief in democracy and the state's defense alliance with the United States, including its dedicated NATO membership; and third, the rise of xenophobic and nationalist political parties, challenging the earlier more balanced and pragmatic approach characteristic of larger parties as well as advocating a more anti-Chinese stance.
Av historiska, ekonomiska och säkerhetspolitiska orsaker är Finland ett "minst sannolikt fall" (least likely case) vad gäller oro över kinesiska investeringar. Finland har inom EU haft det högsta relativa handelsberoendet av Kina. Sedan år 2016 är Finland även ett av de EU-länder som fått mest investeringar från Kina absolut sett. Finland, som inte är NATO-medlem, har oproblematiska relationer till Kina och en öppen ekonomi, som ännu för några år sedan välkomnade kinesiska investeringar. Landet har också en ovanligt lång obruten tradition av inhemsk lagstiftning om utländska investeringar som sedan 1992 kan betecknas som liberal. Under de senaste två åren har det emellertid bland policyeliten och i den allmänna diskussionen skett en drastisk förändring i synen på kinesiska investeringar som närmast kan betecknas som en gestalt shift. En påföljd av detta är att behovet av en bättre helhetsbild om kinesiska investeringar har identifierats. Informationsutbyte och koordinering mellan olika myndigheter har förbättrats på många sätt. Samtidigt har man även fördjupat nordiskt myndighetssamarbete och informationsutbyte om relevant lagstiftning och praxis inom området. Även om samarbete kring utländska investeringar inte ingick i Stoltenberg-rekommendationerna år 2009, så kan man se det som ett naturligt led i intensifierat nordiskt säkerhetssamarbete.
Abstract in English:The Canary That Fell Silent. Finland's Gestalt Shift on Chinese InvestmentsFor a mixture of historical, economic and security policy reasons Finland can be regarded as a least likely case with regard to apprehensiveness over Chinese investments. Within the EU, Finland has had the highest relative trade dependence on China. Since 2016, Finland is also one of the EU member states that have attracted the most Chinese investment in absolute terms. Finland, which is not a NATO member, has unproblematic relations with China and an open economy that up until a few years ago welcomed Chinese investments. The country also has an unusually long unbroken tradition of domestic legislation regarding foreign investments, which since 1992 can be characterised as liberal. However, during the last two years, there has been a drastic change in views on Chinese investments, both among the policy elite and in the public debate. This change can be regarded as a veritable gestalt shift. As a corollary, a need for a better overview of Chinese investments has been identified. Information exchange and coordination between various governmental departments has been improved in several ways. Simultaneously, cooperation and information exchange between relevant Nordic authorities regarding relevant legislation and praxis has also deepened. Although the 2009 Stoltenberg recommendations did not encompass cooperation on foreign investments, this can be seen as a natural leg in intensified Nordic security cooperation.
Norsk klima-utenrikspolitikk har ligget ganske fast frem til i dag. På 2020-tallet, i det avgjørende tiåret for klimapolitikken, blir imidlertid den norske linjen utfordret. Det skyldes at en nasjonal forutsetning som hittil har vært Norges fremste styrke, nemlig det fornybare kraftsystemet, ikke lenger opplagt kan ivareta den samme funksjonen i norsk klima-utenrikspolitikk. Det fornybare kraftsystemet og en aktiv utenrikspolitikk for fleksible ordninger i internasjonalt klimasamarbeid har ivaretatt den norske legitimiteten. Fremover vil derimot kravene til hva klimapolitikken skal levere skjerpes kraftig, når elektrifisering og industriell omstilling skal bidra til å nå klimamålene. En energiomstilling som svarer til ambisjonsnivået i klimapolitikken, vil bety at klima-utenrikspolitikken må balansere flere hensyn enn tidligere. Ingenting ved klimapolitikken er lenger kun innenrikspolitikk.
Nordsjøen står overfor en storstilt havvindutbygging. Uavhengig av hva Norge gjør vil europeisk havvindsutbygging dreie Europa i retning av økt gjensidig avhengighet, både fysisk i form av grenseoverskridende infrastruktur, og regulatorisk, gjennom felles regler for salg av kraft over landegrenser. Jo mer omfattende det grønne skiftet blir, jo tydeligere blir det at norsk og europeisk energiomstilling henger sammen, og at denne gjensidig avhengige energiomstillingen er av de aller viktigste komponentene i Norge og andre staters klimapolitikk. Denne omstillingen trigger imidlertid sterke suverenitetsimpulser i mange norske politiske partier. En storstilt norsk havvindutbygging reiser kontroversielle spørsmål om finansiering, ilandføring og kabelforbindelser, som alle med betydelig sannsynlighet åpner for vanskelige politiske dragkamper. Energiomstilling er nå en helt nødvendig del av en videreutviklet norsk klima-utenrikspolitikk. Det innebærer en utenrikspolitikk som utfordrer norsk suverenitet i langt større grad enn tidligere. Det beveger norsk klima-utenrikspolitikk potensielt fra kontinuitet og konsensus til uenighet og strid.
Abstract in English:Power Shortage on the Horizon: Norwegian Climate Foreign Policy from Consensus to Conflict?Until recently, Norwegian climate foreign policy has been relatively consensual. In the 2020s – the decisive decade for climate politics – the Norwegian stance is however being challenged. This is because a national precondition that until now has been Norway's foremost strength, i.e., the renewable power system, can no longer uphold the same function in Norwegian climate foreign policy. The renewable power system and an active foreign policy emphasizing flexible mechanisms in international climate cooperation have preserved the legitimacy of Norwegian climate policies. However, in the future, climate policies will face dramatically sharpened demands, as reaching the climate goals will now also depend on electrification and industrial change. An energy transition that corresponds to the upgraded climate policy ambitions implies a climate foreign policy that needs to balance more concerns than in the past. There is now no element of climate policy that is domestic politics only.
The North Sea is facing a major offshore wind power expansion. Irrespective of what Norway decides, a European offshore expansion will move Europe towards greater mutual interdependence, both physically in terms of border-crossing infrastructure, and regulatory, through common rules and regulations for the sale of power across national borders. The more extensive the green energy transition becomes, the more obvious it is that Norwegian and European energy transitions are connected, and that this mutually interdependent energy transition constitutes one of the most important components of the climate policies of Norway and other states. This transition, however, triggers strong sovereignty impulses in many Norwegian political parties. A major Norwegian offshore wind power expansion raises controversial questions about financing, how and where to connect the wind parks to the grid, and subsea cable connections. There is a considerable likelihood that Norwegian offshore wind policy will be characterized by major political tugs-of-war. Energy transition is now a completely necessary part of the development of Norwegian climate foreign policy. This implies a foreign policy that challenges Norwegian sovereignty to a far greater extent than before, which potentially moves Norwegian climate foreign policy from continuity and consensus to disagreement and strife.