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Defense & Security
Prime Minister Rishi Sunak greets Volodymyr Zelensky

Zelensky’s European tour has won critical support for Ukraine’s counter-offensive

by Stefan Wolff

Zelensky’s European tour has won critical support for Ukraine’s counter-offensiveAs the war in Ukraine intensifies, President Volodymyr Zelensky has concluded a series of successful visits to Rome, Berlin, Paris and London to shore up support from key allies. The timing of Zelensky’s visit is critical for Ukraine’s efforts on the battlefield and beyond. It has allowed the Ukrainian presidenta and his main European allies to coordinate their approach on the economic and diplomatic fronts of the war as well, which will be equally decisive in determining how this war will end, and when. Military support from his allies has been on top of Zelensky’s agenda during his whistle-stop tour of Europe. And finally, it seems that Ukraine’s European allies are following in Washington’s footsteps and moving beyond their earlier hesitation to provide Kyiv with more equipment for its upcoming counter-offensive in Bakhmut. On Saturday, May 13, ahead of Zelenskiy’s arrival in Berlin, Germany announced a further €2.7 billion (£2.35 billion) of support, including much-needed quantities of artillery ammunition. In addition, German arms manufacturer Rheinmetall confirmed a joint venture with Ukraine’s Ukroboronprom to build and repair tanks in Ukraine. On Sunday, May 14, Zelensky secured promises in Paris from the French president, Emmanuel Macron, for new armoured vehicles and air defence systems. On Monday, May 15, British prime minister Rishi Sunak agreed to provide Ukraine with hundred of attack drones, in addition to the Storm Shadow cruise missiles that have already been delivered to strengthen Ukraine’s air defences. These commitments are important for providing Ukraine with the ammunition, equipment, training and repairs the country needs against a Russian adversary that has significant manpower advantages. This does not guarantee a sweeping success of the anticipated Ukrainian counter-offensive, but it will make serious gains on the battlefield more likely for Kyiv. And it signals a commitment by its western partners to back this offensive with more than encouraging noises.The sanctions gameThe war in Ukraine is not only fought, and can not only be won, on the battlefield. From the beginning, the western approach was twofold: strengthen Ukraine and weaken Russia. The latter was achieved through unprecedented sanctions, with the EU now on its tenth sanctions package since Russia annexed Crimea in 2014. The EU is now discussing the eleventh sanctions package, this time with a focus on enforcing existing sanctions and closing loopholes by imposing secondary sanctions against countries, companies and individuals deliberately circumventing the existing sanctions against Russia. Sanctions will also be discussed at the G7 summit in Hiroshima, Japan, from May 19 to 21. Further measures are expected to target the Russian energy sector and place more limitations on exports to Russia. The four European countries Zelensky visited in the past few days – France, Germany, Italy and the UK – are all members of the G7, while the EU attends as an observer. Including other members the US, Japan and Canada, the G7 represents some of Ukraine’s most powerful partners who will send an unambiguous message to Russia concerning sanctions and their enforcement. This will not break the Russian war machine, but it will make it more costly, including for Russia’s few remaining allies, to sustain the war effort in Ukraine at the current level. Seen from this longer-term perspective, it also makes Ukrainian gains in any counter-offensive more sustainable by limiting Russia’s capabilities to mount any offensives in the future.The third front: diplomacyMeanwhile, Chinese envoy Li Hui is beginning his tour of European capitals, including Moscow and Kyiv, to explore a political settlement for the war in Ukraine. This made it important for Zelensky to be sure that his red lines are clearly understood, accepted and communicated by Rome, Berlin, Paris and London. The support from these European capitals is no longer in doubt. And neither is support from Brussels. Nato secretary general Jens Stoltenberg was clear in his message at the Copenhagen Democracy Summit on May 15: he expects the alliance to commit to a multi-year support programme to help Ukraine move towards Nato military standards. This will be discussed at the Nato summit in Vilnius in July. The EU is considering a new China strategy, including how it can engage with China on the war in Ukraine. The union is open to such an engagement and has cautiously welcomed China’s position paper in this respect. But it is a major win for Zelensky that the president of the European Commission, Ursula von der Leyen, backed Zelensky’s peace plan which, among other things, rules out any territorial compromises. Zelensky’s visits to Rome, Berlin, Paris and London are part of an ongoing positioning of the major allies in this war. For the Ukrainian president, it was critical to make sure that he keeps the west united behind his efforts to defeat Russia. His apparent success in doing so indicates that he presented his European counterparts with a credible plan and realistic requirements for support. Yet it is also clear that Kyiv and its partners in Europe and beyond realise that there will eventually come a point at which they will have to negotiate an end to the war with Russia. The evident strength of western unity and commitment that has transpired over the past few days is as much a message of support to Ukraine as it is one of deterrence for Russia and caution to China. The way it will be received there will determine how soon a negotiated settlement will be possible that restores Ukraine’s sovereignty and territorial integrity.

Diplomacy
Joe Biden holding hands with Chinese President Xi Jinping

Biden’s ‘de-risk’ from China policy has a few flaws

by Nathaniel Sher

In order to ‘walk, chew gum, and play chess’ at the same time, the US will have to both invest at home and sign more trade deals. A speech late last month by Jake Sullivan, President Biden’s national security adviser, on “Renewing American Economic Leadership” clarified that the administration wants to build resilience to “de-risk” from China. But dealing with Beijing will require more than investing at home. Washington also needs to re-engage in negotiations with China to manage difficulties in the bilateral relationship. And to better compete, the United States should get back into the business of signing trade deals. As Trade Representative Katherine Tai quipped during her 2021 confirmation hearing, the United States can “walk, chew gum, and play chess” at the same time. The Biden administration should not only invest in domestic resilience, but also participate in new trade agreements and negotiate directly with Beijing. Over the past two years, China joined the Regional Comprehensive Economic Partnership (RCEP), began acceding to the Digital Economy Partnership Agreement (DEPA), and applied to the Comprehensive and Progressive Agreement for Trans-Pacific Partnership (CPTPP). China’s integration into these new frameworks will create efficiencies in its own economy, while binding Beijing closer to the rest of Asia. Meanwhile, the United States does not expect to see the first “real outcomes” from the Indo-Pacific Economic Framework (IPEF) until the end of 2023, more than one year after its announcement. IPEF, moreover, lacks the market-access agreements characteristic of other, more substantive economic agreements. It is not surprising, then, that the 2023 Lowy Institute Asia Power Index ranks China 100 out of 100 on its “economic diplomacy” index, while the United States receives a ranking of only 34.6. The 2023 State of Southeast Asia survey similarly shows that only 21.9 percent of respondents view the United States as a leader in championing free trade, down from 30.1 percent in 2022. To be fair, Beijing has significant ground to cover before its markets become as free and as open as those in the United States. What many trade partners care about, however, is not where China and the United States have been, but where they are going. To many, it appears as if Washington is turning inward while Beijing continues to open its markets. This leads to the second error in Jake Sullivan’s “new consensus” on international economic policy. He expresses fatalism about China’s economic trajectory without giving credence to the possibility that China may change, or that the United States can play a role in influencing Beijing’s behavior. Sullivan explains, when “President Biden came into office, we had to contend with the reality that a large non-market economy had been integrated into the international economic order in a way that posed considerable challenges.” In response, Sullivan focuses on building domestic “resilience” and “capacity” to reduce America’s dependence on China. Washington appears to have given up on addressing the non-market practices contributing to U.S. dependence on China in the first place, including state subsidies and dumping. The administration also seems to have forgotten that access to low-priced imports is an important factor in the competitiveness of U.S. firms and the standard of living of American consumers. Fatalism about China’s trajectory tracks with the Biden administration’s overall Indo-Pacific Strategy, which does not seek to “change the PRC but to shape the strategic environment in which it operates.” Fortunately, Treasury Secretary Janet Yellen has bucked the trend by stating that she hopes to “engage” with Beijing “in an important and substantive dialogue on economic issues.” Not trying to influence Beijing, on the other hand, would give up an essential element of any effective China policy. Of course, prior negotiations were by no means unqualified successes. The Trump administration’s “phase one” trade deal largely failed to change Beijing’s behavior, in part, because the bilateral purchase agreements effectively, as Yukon Huang and Jeremy Smith of the Carnegie  Endowment for International Peace put it, “prescribed state-managed trade over market forces.” Other negotiations, however, have seen more success. Former Treasury Secretary Hank Paulson was able to persuade Beijing to revalue its currency by more than 20 percent in the late 2000s, helping to level the trade relationship. China’s WTO accession negotiations also moved the needle on the country’s economic policy. While Beijing failed to carry out many of its WTO commitments, China did reform key aspects of its economy and, notably, slashed its average tariff level from 15.3 percent in 2001 to 9.8 percent over the next decade. U.S. policymakers should learn the lessons of past negotiations rather than standing by as U.S.-China economic relations deteriorate further. One way to pressure Beijing to continue along the path of reform and opening up would be to carry out negotiations in concert with U.S. friends and allies. The Trump administration gave up significant leverage by dealing with Beijing bilaterally, outside the parameters of the international trade system. Plurilateral negotiations with U.S. partners — many of whom share U.S. grievances — may be more effective at convincing China to change course. The consequences of not having an effective economic dialogue with Beijing will become more apparent over time. Despite Washington’s wishes, China is simply not going away. Beijing will continue to join new trade agreements and integrate itself deeper into the global economy, even as the United States focuses on building resilience at home.

Defense & Security
Flag of Philippines and USA

A look at the expanded ambit of the Washington-Manila MDT

by Pratnashree Basu

The further strengthening of ties between the US and the Philippines is indicative of the breadth and scope of maritime security arrangements in the region.Only four months into the year and 2023 has already been very busy in terms of United States (US) engagement in the Indo-Pacific, particularly in East Asia and the South China Sea. During Philippine President Ferdinand Marcos Jr’s recent visit to the US, alongside reaffirming the continuation of the broader ambit of bilateral partnership, the two countries established ‘ground rules’ on US-Philippine defence cooperation on 3 May. The US and the Philippines have a long-standing treaty partnership that dates back to the post-World War II era. The treaty partnership began with the signing of the Mutual Defense Treaty (MDT) in 1951, which established a framework for military cooperation and mutual defence between the two countries, making Manila the oldest ally of Washington in the region. Beijing, quite expectedly, has expressed its disapproval of this new development characterising it as Washington’s attempt at drawing Southeast Asian nations into a small clique to contain China. Beijing’s usual reaction whenever the US conducts outreach in the region comprises various versions of the narrative that Washington is forcing countries to sacrifice their sovereign identities by becoming pawns in the latter’s efforts to destabilise the region and turn countries against China. Mao Ning, a spokesperson for the Chinese Foreign Ministry stressed that the South China Sea is not a hunting ground for countries outside of it. Meanwhile, the state-run foreign-language news channel, CGTN, warned against President Marcos’s ‘dangerous courtship.’The reinforced scope of the US-Philippines defence partnershipInterestingly, in addition to reiterating US commitments as Manila’s treaty partner and referencing the strong need for maintaining peace and stability in the South China Sea, the joint statement noted that the two sides “affirm the importance of maintaining peace and stability across the Taiwan Strait” as an indispensable element of global peace and security. Defence ties between the US and the Philippines have indeed expanded to include, first the South China Sea and now, the Taiwan Strait. What this indicates is a steady consolidation of security frameworks in the region that would form bulwarks against Beijing’s repeated and expanding overtures into the South China Sea and pressures on Taiwan. Given that the Taiwan Strait lies at a distance of only 800 miles from Manila, it is not surprising that the security of the Strait has been included under the expanded purview of Washington and Manila’s treaty partnership. Under the basic framework of the MDT, the US and the Philippines agreed to come to each other’s aid in the event of an attack by an external aggressor. The MDT has been an important part of the US-Philippines relationship, providing a basis for close military cooperation and joint training exercises. The US has provided military aid and assistance to the Philippines, helping to modernise its armed forces and improve its capabilities in areas such as maritime security and counterterrorism. Despite episodic friction over issues such as human rights and the rule of law, the US-Philippines treaty partnership remains an important part of both countries’ foreign policy agendas. As the geopolitical landscape in Asia continues to evolve, the US-Philippines treaty partnership will likely remain an important pillar of stability and cooperation in the region. Now, the partnership includes a broadening of “information sharing on the principal threats and challenges” to the peace and security of the US and the Philippines. The upgraded ‘ironclad’ alliance commitments also make room for the inclusion of new sites which could contribute to the enhancement of Manila’s maritime security and modernisation efforts under the U.S.-Philippines Enhanced Defense Cooperation Agreement. It also creates a greater space for US involvement in the improvement of local and shared capacities in the delivery of humanitarian assistance and disaster relief.What this means for the Indo-PacificPresident Marcos’s visit comes close on the heels of South Korean President Yoon’s visit to Washington which resulted in the latter agreeing to send an Ohio-class nuclear ballistic missile submarine to Seoul to strengthen deterrence against Pyongyang’s recent nuclear flexing. Earlier in April, Manila allowed Washington access to four additional military bases for joint training, pre-positioning of equipment and building of facilities such as runways, fuel storage, and military housing. Access to these new locations is significant as two of them—Isabela and Cagayan—are positioned facing Taiwan while the Palawan base is in proximity to the Spratly Islands—a source of a long-standing dispute between China and the Philippines. The two countries have agreed to resume joint maritime patrols in the South China Sea and Manila is also assessing a trilateral security pact involving Japan. In mid-April, before President Marcos’s visit, the two countries participated in their largest-ever joint military drills, Exercise Balikatan, in the South China Sea. China is decidedly furious at the pace and scope of these new developments. Undoubtedly, steps like these are strategic and oriented towards boosting the defence postures of ‘like-minded’ countries in the region. But despite Beijing’s strong censure, these measures are indicative of the breadth and scope of maritime security arrangements in the region being on the course to be further strengthened.

Defense & Security
Radiation sign over Ukrainian map, Nuclear powers station in Ukraine

Ukraine’s Zaporizhzhia Nuclear Power Plant: The Looming Specter of Europe’s Most Serious Risk

by Najmedin Meshkati , Zhamilya Mussaibekova

Located in southeastern Ukraine, Zaporizhzhia Nuclear Power Station (ZNPP) is Europe’s largest power plant that produced 23% of all Ukrainian electricity before Russia's invasion.  This critical energy source is amidst the chaos and destruction of the ongoing Russia-Ukraine conflict, a harrowing struggle that has wrought immeasurable suffering and upheaval upon the region. Following its capture by the Russian forces on March 4th 2022, there have been drastic disruptions to safe energy production and a heightened global concern for nuclear safety in the region. Introduction and backgroundZaporizhzhia Nuclear Power Plant (ZNPP), located in the Ukrainian city of Enerhodar, was built by Soviet design in the 1980s, with its last reactor being connected to the grid in 1995.  Amongst the ten largest nuclear facilities in the world, the Zaporizhzhia power plant consists of six water-cooling and water-moderating pressurized reactors. A global nuclear scare started on February 24, 2022, when Ukraine informed the International Atomic Energy Agency (IAEA) that “unidentified armed forces” have taken control of all facilities of Chornobyl Nuclear Power Plant located in the Exclusion zone. The IAEA appealed for maximum restraint to avoid any action that may put the country’s nuclear facilities at risk and stressed the IAEA’s 2009 General Conference decision that “any armed attack on and threat against nuclear facilities devoted to peaceful purposes constitutes a violation of the principles of the United Nations Charter, international law and the Statute of the Agency”. Later that week, on March 2nd, Russia stated that its military forces have taken control of the territory around Ukraine’s Zaporizhzhya Nuclear Power Plant. The next day, a large number of Russian tanks and infantry broke through the block-post into the town of Enerhodar, just a few kilometers from the ZNPP. Director General Grossi, appealed for “an immediate halt to the use of force at Enerhodar and called on the military forces operating there to refrain from violence near the nuclear power plant.” By March 4th, Ukraine informed the IAEA that the ZNPP had been shelled overnight, and a fire broke out on site. Although no essential equipment was affected, the first military action      resulted in the activation of the IAEA’s Incident and Emergency Centre in full response. At the end of the day, Ukraine announced that Russian forces had taken control of the ZNPP, but the power plant continued to be operated by its regular staff.  At the time, out of the plant’s six reactor units, two had undergone controlled shut down, two were being held in low power mode, one was shut down for maintenance and one was operating at 60 percent power. ZNPP’s dire situation since March 4, 2022Before the conflict, the ZNPP had access to the grid through four high-voltage power lines, but they have now all fallen victim to the fighting. The back-up power lines connecting the ZNPP to a nearby thermal power station are also down. The plant had also previously temporarily lost direct access to the electricity grid but could then still receive power through available back-up lines, or from one of its reactors that was still operating at the time. The Russian conquest was soon followed by disruptions in the electricity supply to the nuclear power plant, one of the seven indispensable pillars of nuclear safety. Less than two weeks after Russian forces seized the plant, Zaporizhzhia lost one of its three power lines. Since then, mainly as a result of shelling or other military action nearby, the nuclear plant has suffered numerous power cuts, mainly as a result of shelling. Although it has emergency diesel generators that are available to provide backup power, a secure off-site power supply from the grid is integral to ensuring nuclear safety.  Thus, following its first complete external power outage in August, Director General Rafael Mariano Grossi set off from the Agency’s headquarters on an IAEA Support and Assistance Mission to Zaporizhzhia (ISAMZ) to undertake vital safeguards activities at the plant.  That October, Zaporizhzhia lost its last remaining external power source due to renewed shelling, and had to rely on diesel generators again to cool the reactor and support other nuclear safety and security functions. In the next week, Zaporizhzhia lost all external power two more times, receiving electricity from a backup system for the third time in a span of ten days. Similar incidents unfolded in November as well, as the IAEA Director General continued to urge for the critical need to demilitarize the zone.  Based on historical data and industry experience, the nuclear industry aims for an average unplanned outage rate of less than 0.1 per reactor per year which statistically would mean less than one unplanned outage every 10 years. Zaporizhzhia Nuclear Power Plant experienced six in the past year alone. Cold shutdown of the ZNPP reactors doesn’t remove the risk – Spent fuel pools need constant coolingThe fission reaction that generates heat in a nuclear power plant is produced by positioning a number of uranium fuel rods in close proximity. Shutting down a nuclear reactor involves inserting control rods between the fuel rods to stop the fission reaction.The reactor is then in cooldown mode as the temperature decreases. According to the U.S. Nuclear Regulatory Commission, once the temperature is below 200 degrees Fahrenheit (93 Celsius) and the reactor coolant system is at atmospheric pressure, the reactor is in cold shutdown. When the reactor is operating, it requires cooling to absorb the heat and keep the fuel rods from melting together, which would set off a catastrophic chain reaction. When a reactor is in cold shutdown, it no longer needs the same level of circulation. It was announced on September 11, 2022 by Energoatom, operator of the ZNPP that it was shutting down the last operating reactor of the plant’s six reactors, reactor No. 6. The operators have put the reactor in cold shutdown and this shutdown has mitigated a risk. Spent fuel pools also need constant circulation of water to keep them cool. And they need cooling for several years before being put in dry casks. One of the problems in the 2011 Fukushima disaster in Japan was the emergency generators, which replaced lost off-site power, got inundated with water and failed. In situations like that you get “station blackout” – and that is one of the worst things that could happen. It means no electricity to run the cooling system. In that circumstance, the spent fuel overheats and its zirconium cladding can cause hydrogen bubbles. If you can’t vent these bubbles they will explode, spreading radiation. If there is a loss of outside power, operators will have to rely on emergency generators. But emergency generators are huge machines – finicky, unreliable gas guzzlers. And you still need cooling waters for the generators themselves. The biggest worry is that Ukraine suffers from a sustained power grid failure. The likelihood of this increases during a conflict, because pylons may come down under shelling or gas power plants might get damaged and cease to operate.  According to one of the IAEA’s latest updates (#154, April 21, 2023):  “As a result of the warmer weather, the operator has started to put reactor Unit 6 in cold shutdown which is expected to be reached by the weekend, leaving only Unit 5 in hot shutdown to produce hot water and steam for the site. The two reactors were in hot shutdown during the winter to provide steam and heating to the ZNPP as well as heating to the nearby city of Enerhodar, where many plant personnel live.” The cooling pumps for the spent fuel pools need much less electricity than the cooling pumps on the reactor’s primary and secondary loops, and the spent fuel cooling system could tolerate a brief electricity outage. Now, at least if the plant loses offsite power, the operators won’t have to worry about cooling an operating reactor with cranky diesel generators. However, the plant still needs a reliable source of electricity to cool the six huge spent fuel pools that are inside the containment structures and to remove residual heat from the shutdown reactors. The serious risk of military actions for spent fuel storage racksOne more important factor is that the spent fuel storage racks in the spent fuel pools at the Zaporizhzhia Nuclear Power Plant were compacted to increase capacity, according to a 2017 Ukrainian government report to the IAEA. The greater number and more compacted the stored spent fuel rods, the more heat they generate and so more power is needed to cool them. There is also a dry spent fuel storage facility at the plant. Dry spent fuel storage involves packing spent fuel rods into massive cylinders, or casks, which require no water or other coolants. The casks are designed to keep the fuel rods contained for at least 50 years. However, the casks are not under the containment structures at the plant, and, though they were designed to withstand being crashed into by an airliner, it’s not clear whether artillery shelling and aerial bombardment, particularly repeated attacks, could crack open the casks and release radiation into the grounds of the plant. The closest analogy to this scenario could be a terrorist attack that, according to a seminal study by the National Research Council, could breach a dry cask and potentially result in the release of radioactive material from the spent fuel. This could happen through the dispersion of fuel particles or fragments or the dispersion of radioactive aerosols.  This would be similar to the detonation of a “dirty bomb,” which, depending on wind direction and dispersion radius, could result in radioactive contamination. This in turn could cause serious problems for access to and work in the plant. According to the IAEA’s latest update at the time of writing this analysis (#155, April 28, 2023): “IAEA experts present at Ukraine’s Zaporizhzhya Nuclear Power Plant (ZNPP) were again forced to shelter this week after missile attack warnings, with the sound of continued shelling in the distance as military activity continues in the region. In addition, one landmine exploded near the site, Director General Rafael Mariano Grossi said today…The increased military presence and activity in the region again underlines the importance and urgency of agreeing on the protection of the plant, Director General Grossi added.”What is going on and what can be doneWe need to begin to realize and emphasize that the need for compromise extends beyond Russia alone. There has been a certain reticence around the acknowledgement that Ukraine, despite being the “aggrieved” country, must also be willing to make concessions.  To designate Russia as the sole provoker of hostilities at the Zaporizhzhia plant is an objective falsity. It would be illogical for Russia to shell the plant once it has already seized control, unless there were provocations from the Ukrainian side. Interestingly, in spite of countless calls to pacify the region from Ukrainian and international diplomatic leaders, The Times of London on April 7, 2023 published a report detailing a failed Ukrainian attack on the Russian-controlled Zaporizhzhia Nuclear Power Plant (ZNPP) that took place in October 2022. Ukrainian special forces launched an attack on the ZNPP, deploying US-provided HIMARS rockets at the site — an attempt that ultimately failed because of a stronger Russian counteroffensive. Any sort of projectiles nearing the site of a nuclear power plant is an inherently hazardous and potentially catastrophic assault, regardless of the origin of the launch.   Given the high stakes involved and the potential for irreparable harm, it is imperative for even Ukrainian forces to exercise restraint and refrain from any military action that could escalate the conflict, including airstrikes on Zaporizhzhia, even if it is under Russian control. Taking into account the tumultuous events that have transpired at Zaporizhzhia this past year, for the sake of preventing a global nuclear disaster, it is pertinent to prioritize nuclear safety. Counterintuitive as it may seem, it may be more prudent for Ukraine to strategically withdraw from the ZNPP site and attempt to repatriate it later in the war, when more comprehensive diplomatic negotiations can happen and Russia potentially depletes its resources.  War, in our opinion, is the worst enemy of nuclear safety. This is an unprecedented and volatile situation. Only through active, pragmatic engineering and nuclear diplomacy can an amenable and lasting solution to this vexing problem be found. In the foreword of President John F. Kennedy’s book, Profiles of Courage, his brother, Robert Kennedy said, President Kennedy was fond of quoting Dante that “the hottest places in Hell are reserved for those who, in a time of great moral crisis, maintain their neutrality” (December 18, 1963).  The potential catastrophic consequences of the Zaporizhzhia nuclear power plant conflict demand action and a willingness to take a stance.  For Ukraine, taking a stance can mean stepping back and protecting the world from a nuclear calamity. The failure to do so risks being condemned to the “hottest places in Hell,” not in a figurative sense, but in a literal one. As the memory of the Chornobyl Disaster of 1986 still lingers, the potential danger posed by Zaporizhzhia's six reactors far surpasses that of the single reactor that caused the Chornobyl disaster. In the unfortunate event of an explosion, the repercussions would be hexfold that of Chernobyl's catastrophic aftermath, marking a somber moment in the history of nuclear power. Despite the uncertainty surrounding the outcome of the  Russia-Ukraine conflict, the end of this protracted war is imminent. Even if we are facing problems that, as Robert Kennedy put it, people “fifty, even ten years ago, would not have dreamed would have to be faced,” it is of utmost importance to prioritize humanity above political objectives.  Following Dr. Henry Kissinger’s advice, Ukraine may like to exercise diplomacy, which “is the art of restraining power”, rather than brute force to repatriate its own Zaporizhzhia Nuclear Power Plant, considering the high risks associated with military action on site. Ukrainians should not shame their military officers if they retreat from Zaporizhzhia, but rather, commend them for their strategic investment into the future prosperity of their country, their continent and possibly, their planet. A true measure of a hero lies not in their victories, but in their willingness to fight for what is right, even in the face of overwhelming odds. Right now, possibly accepting status quo at Zaporizhzhia is, at least in our opinion, what is the most right, but most certainly what is imperative. With Russia’s adamant military politics, Ukraine would be bravely resisting aggression on behalf of the world, on behalf of a future.  We realize that the IAEA has called on Russia and Ukraine to set up a “safety and security protection zone” around the plant. However, the IAEA is a science and engineering inspectorate and technical assistance agency. Negotiating and establishing a protection zone at a nuclear power plant in a war zone is entirely unprecedented and totally different from all past IAEA efforts. Establishing a protection zone requires negotiations and approvals at the highest political and military levels in Kyiv and Moscow.  It could be accomplished through backchannel, Track II-type diplomacy, specifically nuclear safety-focused engineering diplomacy. In the meantime, the IAEA needs strong support from the United Nations Security Council in the form of a resolution, mandate or the creation of a special commission. Admittedly, this is only a stopgap measure. In parallel with the International Atomic Energy Agency’s effort under the leadership of its Director, General Rafael Mariano Grossi, we believe that the U.N. Security Council should immediately empower a special commission to mediate between the warring parties. It could be modeled after the United Nations Monitoring, Verification and Inspection Commission in 2000, and appoint a prominent, senior international statesman as its head. We believe the person should be of the caliber and in the mold of the legendary former director general of the International Atomic Energy Agency, Dr. Hans Blix of Sweden. Blix led the agency at the time of the Chernobyl accident in 1986 and commands respect in today’s Russia and Ukraine. The great Prussian military theorist Carl Philipp Gottfried von Clausewitz once said: “War is a mere continuation of policy by other means.”  These words still resonate today, reminding us that the quest for peace is not just about putting an end to violence, but about forging a path towards progress and prosperity. It is incumbent upon us to recognize that bringing an end to this conflict is not merely a cessation of violence, but a catalyst for the advancement of policy. As we strive towards resolving conflicts and achieving a lasting peace, it is our duty to recognize that this effort is not merely a tactical move, but a transformative one. By embracing a policy-driven approach, we can internalize the true nature of conflict, and use it as a means to move forward and effect real change. So let us be bold, but at the same time be pragmatic, and let us remember the words of Clausewitz as we work towards a brighter future for all. Let us see war not as an end in itself, but as a means to an end – a means to build a world where conflict is a thing of the past, and policy is the key to progress. President John F. Kennedy’s bold vision for political courage and making compromises in his aforementioned book, Profiles of Courage, also beautifully applies to this very context of Ukraine preserving its principles of sovereignty and territorial integrity while tactfully compromising with Russia over safeguarding Zaporizhzhia: “We shall need compromises in the days ahead, to be sure. But these will be, or should be, compromises of issues, not of principles. We can compromise our political positions, but not ourselves. We can resolve the clash of interests without conceding our ideas... Compromise does not mean cowardice. Indeed it is frequently the compromisers and conciliators who are faced with the severest tests of political courage as they oppose the extremist views of their constituents.”

Diplomacy
Chinese president Xi Jinping on the phone screen and Volodymyr Zelensky the president of Ukraine

Beijing’s Kyiv outreach is about acquiring a global role for itself

by Harsh V. Pant

It aims to signal its diplomatic ascendance and challenge Washington as the big shaper of outcomes. Late last month, Chinese President Xi Jinping finally made that much hoped-for call to Ukraine’s President Volodymr Zelensky and informed the world that his nation “always stood on the side of peace.” This was the first outreach by Beijing to Ukraine since  the latter’s invasion by Russia last February, and Zelensky was keen on this engagement, especially after Xi’s visit to Moscow in March. Ukraine views China as an important interlocutor that can engage with Russia and seems to have been encouraged by the “long and meaningful” phone call between the two leaders that in its view would “give a powerful impetus to the development of our bilateral relations.” Last week, Ukraine’s finance minister also suggested that Kyiv should use its bilateral relationship with China as leverage to bring an end to Russia’s full-scale invasion, though he refused to consider China as a friend. The Chinese President has been reported as saying that China, “as a responsible majority country,” would “neither watch the fire from the other side, nor add fuel to the fire, let alone take advantage of the crisis to profit.” But there was no suggestion that Beijing would be doing anything meaningful going forward. The call and associated choreography had more to do with positioning China as a global power that is willing to engage in resolving problems, as opposed to the US that is creating more trouble by continuing to support Ukraine and prolonging the war. China has already laid out its cards on the table when it comes to the Ukraine crisis. It had released a 12-point position paper on the political settlement of the Ukraine crisis earlier this February. In an attempt to present itself as a neutral peace broker, Beijing has enunciated a few standard principles, including respect for the sovereignty of all countries, resumption of peace talks, keeping industrial and supply chains stable and opposition to unilateral sanctions  as well as the use of nuclear weapons. Taking this forward, China has decided to send special representatives to Ukraine and hold talks with all parties in an attempt at peace-making. But beyond these principles, China’s credentials are hardly supportive of a larger role as a peace-maker, as it has long refused to view its ties with Ukraine and Russia at the same level. Russia has shown no inclination to step back from its aggression and Ukraine is seemingly preparing to launch a large-scale counter-offensive against Russian forces in a bid to retake territory in the east and south for which it has been preparing for months now. While Moscow has given no indication of backing down, perhaps assuming that it has time on its side and waiting for the Western consensus on backing Ukraine to collapse, Ukrainian forces feel that the weaponry delivered by the West over the past few months is likely to give them the momentum needed to shape battlefield realities in their favour. China is also unlikely to be viewed as an honest broker, given its ties with Russia that are increasingly becoming tighter. And despite repeated statements that the “sovereignty, independence and territorial integrity of all  countries must be effectively upheld,” Beijing has not only refused to acknowledge Russia’s violation of Ukrainian sovereignty, but has continued to privilege its partnership with Moscow. Though Xi’s visit to Moscow in March did not result in any concrete help to Russia, it did signal to the West that  the China-Russia entente can shape the global balance of power in ways that can be deleterious to Western interests. More than anything else, Chinese posturing in the Ukraine conflict is aimed at the West. In its position paper, Beijing talks about the need to abandon a “Cold War mentality” and argues that “the legitimate security interests and concerns of all countries must be taken seriously and addressed properly,” making it clear that it largely agrees with Moscow’s perspective that it was the West that created the conditions for this war with the expansion of the North Atlantic Treaty Organization (Nato). China has also been critical of Western sanctions on Russia, arguing that “relevant countries should stop abusing unilateral sanctions and ‘long-arm jurisdiction’ against other countries, so as to do their share in de-escalating the Ukraine crisis.” Both of these issues are germane for the long-term trajectory of China’s role on the global stage amid deepening tensions with the US. For China, clearly, this crisis is more about itself than it is about Russia. As China comes out of its covid- induced isolation, it would like to have a stable international environment for a sustained economic recovery. But it is also using an opportunity to emerge as a key global interlocutor by venturing into diplomatic arenas it has been shy of in the past, taking advantage of the West’s recent inward orientation. This effort was exemplified by its attempt to bring Iran and Saudi Arabia together in the highly volatile Middle East. China’s attempt at emerging as a global peace-maker is about presenting a diplomatic challenge to the US on the global stage. Beijing may not have much of an impact on the eventual outcome of the Ukraine crisis, but it is signalling that it is no longer shy of showcasing its growing diplomatic heft.

Diplomacy
President of China Xi Jinping with Chinese flag

China Prepares for a Long “Struggle”

by Tuvia Gering

Chinese leader Xi Jinping was unanimously “reelected” for another five-year term at the Two Sessions, and the Chinese government approved significant changes in the party-state structure to counter the US-led West’s dominance and promote economic and technological self-sufficiency. At the same time, China is engaging in diplomatic activism in the Middle East and elsewhere, forcing Israel to reconsider regional dynamics and prepare for a protracted state of “struggle” between the two superpowers.  In March 2023, Chinese leader Xi Jinping marked several highly successful events. Internally, he was “reelected” for a third term as President, and externally, he brokered a normalization agreement between Saudi Arabia and Iran – without any American involvement. These two developments coincided with the Two Sessions, China’s annual parliament meeting, where Xi passed far-reaching reforms aimed at increasing China’s economic and technological self-reliance in the face of Western adversaries. Judging by his remarks, it appears that under Xi China will continue its proactive foreign policy directed against the US-led global order. This in turn will test Israel’s ability to continue to maintain a balanced foreign policy vis-à-vis the two superpowers. Israel must now account for China’s growing influence in diplomatic and security theaters in the Middle East, as well as Beijing’s closer relations with Iran and Russia. To ensure its own security and economic interests, it must reconsider the regional dynamic while engaging in dialogue with the relevant actors. Finally, the escalation of tensions between the superpowers forces Jerusalem to prepare for extreme scenarios, most notably war in the Taiwan Strait. After a decade as president, Xi Jinping was unanimously reelected by the Chinese parliament for another five-year term. The vote – in which Xi was the sole candidate – was held as part of the annual Two Sessions, the Chinese legislature’s most important political gathering. The main event usually takes place over a seven-day period in March, when approximately 3,000 delegates from the National People’s Congress (NPC) – the legislative body – and some 2,000 delegates from the top political advisory body, the Chinese People’s Political Consultative Conference (CPPCC), convene in Beijing. In the course of the gathering, the Premier delivers a work report, while the delegates pass legislation, make amendments to the country’s constitution, and approve appointments in various state bodies. This year’s events were especially significant because they occurred immediately following the 20th Congress of the Chinese Communist Party (CCP), held in October 2022. At that gathering, which takes place every five years, Xi was also appointed to a third term as general secretary of the CCP and Chairman of the Central Military Commission. Since the 1980s, every five years, the CCP has introduced widespread reforms in the structure of the party-state. Previous reforms included changes to the balance of power between the Party and the state in ways that conformed to the incoming leadership's priorities and vision, as well as domestic and foreign developments. This year, the NPC approved significant changes in the party-state structure, continuing the trend in which the CCP under Xi has been "swallowing up" the government, with the lines between the two becoming increasingly blurred. These changes reflect Xi's belief that only a strong and centralized party can deal with domestic and foreign challenges, particularly the United States, China's main strategic rival. Indeed, during a heavily-publicized meeting at the start of the Two Sessions between Xi and representatives of the Chinese business sector, the Chinese leader stunned the audience by launching a direct attack against Washington, which he blamed for "the unprecedented severe challenges" that China is facing, and for trying to "contain, blockade, and suppress" China. What made his remarks particularly noteworthy was that despite rising tensions between the superpowers in recent years, Xi avoided explicitly naming and shaming the United States, instead allowing Chinese diplomats to spar with Western hawks. As a matter of fact, an examination of Xi’s writings reveals that even early in his political life, he saw the West, and the United States in particular, through a Cold War prism. However, it was the trade war waged by the Trump administration, which later escalated into a comprehensive technological and geopolitical war, that reinforced for him the need for economic and technological independence. The Biden administration went even further in its efforts to prevent China from gaining access to critical technology, and unlike its predecessor, has been successful in securing allies’ support. The Chinese countermeasures can be found in its most recent reforms, which included increasing the powers of the Ministry of Science and Technology (MoST) through the establishment of a new decision making body, the Central Science and Technology Commission, which is likely to be headed by Xi himself. Some of the ministry's specialized functions were transferred to relevant government ministries as part of the restructuring. The changes will allow the ministry to focus on macro-management of competition in innovation and to foster local development of basic research, core technologies, and a solution to the problem of the "bottleneck" imposed by the West, such as restrictions on China's import of microchips and airplane engines. In addition, a new institution, the National Data Bureau, will be tasked with managing digital resources, under the auspices of the Chinese government’s top macroeconomic management agency, the National Development and Reform Commission (NDRC). This year's reforms likewise highlighted China's financial sector, with the establishment of the new National Financial Regulatory Administration (NFRA) and expanded powers for the China Securities Regulatory Commission (CSRC). It was also decided to cut 5 percent of the central government and party workforce. Beyond the economic rivalry with the United States, the ramifications of the war in Ukraine, and COVID-19 restrictions, Beijing faces a host of internal challenges: a skyrocketing debt-to-GDP ratio (at the end of 2022, it stood at 273 percent), a declining population, a real estate bubble, natural resource pollution, a slowdown in imports and exports, high savings levels among households, and income inequality. If the rivalry with the United States intensifies – for example, if China were to invade Taiwan – Beijing would have to anticipate the imposition of additional sanctions, similar to those that Russia has been struggling with for the past year. Yet until such time as the situation vis-à-vis the United States reaches a critical stage, if at all, and against the backdrop of increasing concern in the international business community about the direction China is heading under Xi, Beijing is attempting to project to the world “business as usual.” At the conclusion of the Two Sessions, the incoming prime minister, Li Qiang, appeared to be smiling as he told foreign reporters that the United States and China must cooperate, because “there are no winners in a conflict.” He also promised that he would ensure a competitive, market-oriented, and fair environment that would protect the rights of Chinese and foreign businesses. However, here too the Party’s “invisible hand” was evident when he added that “the role of the new government is to execute and implement the important decisions and plans laid out by the CPC Central Committee.” The new appointments of other senior positions reflected the same ambivalence that Li expressed in his remarks. On the one hand, the Congress decided to extend the terms of 24 of the 26 ministers and national commissions, among them the head of the China’s central bank, Yi Gang, and Finance Minister Liu Kun, even though they had reached retirement age. One of the two new appointees, on the other hand, is Minister of National Defense Li Shangfu, who has been sanctioned by the US since 2018 for purchasing Russian weapons. Unlike his predecessors, who had battle experience, Li is an aerospace engineer in training. He was the former director of the People's Liberation Army's (PLA) space and cyber programs, as well as the deputy commander of the PLA's Strategic Support Force, which was in charge of China's space, cyber, and electronic warfare capabilities. Aside from the obvious defiance toward the US, his appointment demonstrates the importance that China places on modernizing China's military technology, given the ever-increasing restrictions imposed on technological imports to China. Self-sufficiency should not be confused with isolationism. The agreement brokered by Beijing between Saudi Arabia and Iran on March 10 – while  the Two Sessions were in session – was the clearest indication that China intends to maintain its active foreign policy. Granted, China pushed through an open door, given the conflicting parties’ inherent need for an agreement to focus on their economies, and only time will tell whether the agreement will hold; nonetheless, this was the first time that Beijing has led any kind of mediation effort, let alone successfully, and the United States was not even in the room. In doing so, China has demonstrated that it can use its dominant economic and commercial position to advance diplomatic and security objectives, ostensibly as an "alternative" to the United States. China’s global ambitions are not limited to the Middle East. The Belt and Road Initiative (BRI), as stated in the government's work report, will celebrate its tenth anniversary in October. What began as a central-southeast Asian initiative has evolved into a global network of "silk roads" emanating from China and extending into space, with hundreds of massive infrastructure projects worth over $1 trillion in 146 countries. The BRI has had to deal with a number of implementation and funding challenges over the years, so it has been scaled back. At the same time, Chinese officials emphasize that it will remain a focal point of Beijing's foreign policy, with the emphasis shifting to smaller but more strategic projects such as bolstering global supply chains and cooperating in the digital domain, as well as healthcare, public policy, renewable energy, and people-to-people and diplomatic ties. Xi has unveiled other ambitious projects in recent years, most notably the Global Development Initiative (GDI), which is tasked with promoting the United Nations' goals for sustainable development, and the Global Security Initiative (GSI). At the conclusion of the Two Sessions, Xi announced the Global Civilization Initiative (GCI), the details of which remain unknown. As with the BRI, any success story that can be classified as development or security will be attributed to them, even if it occurred years before these initiatives. This is what happened with the Saudi-Iranian agreement or the Chinese peace initiative to end the Ukrainian war, both of which Beijing hailed as shining examples of the GSI in action. In practice, these initiatives reflect Beijing's desire to reshape the global order to reflect its interests and values, while undermining the United States-led West's dominance in its spheres of influence. For example, Xi described the GCI as "a new form of human civilization" that "shatters the myth that modernization is equal to Westernization. The bottom line is that the Two Sessions and the extension of Xi’s term of office indicate that China will continue to push itself to the forefront of the international stage. The next five years will be defined by a stronger push for self-sufficiency, financial stability, and technological advancement. At the same time, China will not close itself off to the rest of the world. On the contrary, China will not back down from "a struggle" against what Xi refers to as the West's and the United States' "attempts to blackmail, contain, and blockade" it. This spirit was evident during the first press conference given by China's new foreign minister, Qin Gang, who warned that "if the United States does not hit the brakes, but continues to speed down the wrong path...there will surely be conflict and confrontation." While Western doors are closing in on China, Beijing will continue to see Israel as a backdoor for securing core technologies that will help it achieve self-reliance, rendering Israel obsolete in the long run. This is evident in the recent influx of Chinese commercial delegations to Israel, following Beijing's lifting of travel restrictions. Simultaneously, the US-Israel Strategic High-Level Dialogue on Technology, launched during President Joe Biden's July visit to Jerusalem, will examine Israeli-Chinese cooperation, particularly in the less regulated hi-tech sector and academia. The agreement reached between Saudi Arabia and Iran, as well as Xi's recent visit to Russia, during which the parties agreed to "increase contacts over security issues in the Persian Gulf," indicates that China's diplomatic activism in the Middle East will only grow. The evolving situation in which China and the US both play key roles in regional geopolitics – against the backdrop of increased competition between the two countries and the war in Ukraine – forces Israel to reconsider regional dynamics. In order to prevent Iran from acquiring military nuclear power in peaceful means, Jerusalem must deepen its dialogue with Washington, Beijing, Moscow, and its Arab partners in the Negev Forum on regional security and economic interests. Finally, if a conflict between China and the United States is truly "inevitable," Israel must prepare for the worst-case scenario, in which two superpowers go to war in the Taiwan Strait, and consider the implications for its relations with Beijing.

Diplomacy
Flag of USA and China on a processor, CPU or GPU microchip on a motherboard. US companies have become the latest collateral damage in US - China tech war

What Exactly Does Washington Want From Its Trade War With Beijing?

by Yukon Huang , Genevieve Slosberg

With relations at an all-time low, punitive actions targeting China have become politically popular, even if they have no analytical basis. Five years ago, then president Donald Trump launched a tariff-fueled trade war with China designed to reduce the bilateral trade deficit. His successor, President Joe Biden, then added a decoupling focus by restricting high-tech exports and curtailing professional and financial links. Both wanted to reduce imports of manufactured goods and bring home more jobs. How should one judge the effectiveness of their policies? Back then, and even more so today, the logic of Trump’s fixation on trade deficits made little sense. But security concerns have now become the rationale for reducing America’s trade relations with China and undercutting China’s growth potential. Against these yardsticks, the results are mixed but on balance unconvincing, given the costs in the form of inflationary pressures, repressed export growth, and a projected decline in global output. But U.S. politicians from both parties strongly support these restrictive measures because the costs are not obvious to their constituents, while the benefits from appearing to be tough on China resonate well with voters. Rising trade deficits The recent U.S. Census Bureau data indicate that the politically sensitive U.S. merchandise trade deficit with China was larger in 2022 than when Trump became president, while America’s overall trade deficit hit an all-time high of $1.18 trillion. This reinforces the views of nearly all the economists surveyed at the launching of Trump’s trade war: that the tariffs would not reduce U.S. trade deficits and the costs would be paid largely by Americans. For the Trump administration, the wild card was the “phase one” purchase agreement, which called for an increase of $200 billion in China’s imports from the United States. But state-to-state purchase agreements have no logical basis when global trade is largely shaped by the market-driven decisions of firms and consumers and subject to unpredictable events such as the coronavirus pandemic. Economic principles tell us that how much a country saves and spends determines its trade balance. The combination of Trump’s large tax cuts and Biden’s huge expenditure initiatives has led to soaring budget deficits, which are mirrored in record trade deficits. All this has little to do with China. Yet the Biden administration still insists that China honor the purchase agreement and links the removal of tariffs to its fulfillment. Asking China to honor an agreement that made no sense to begin with as a condition for dropping another equally ineffective policy defies logic. Trade diversification but increasing import dependence on other countries But this focus on bilateral trade numbers overlooks the sharp decline in China’s share of trade with the United States. Whereas China accounted for 47 percent of the U.S. trade deficit in 2017, it accounted for only 32 percent last year, with most of this decline offset by the increasing shares of other East Asian economies. Europe’s share of America’s overall trade deficit also declined from 21 percent to 18 percent. Only Canada and Mexico, via the United States-Mexico-Canada Agreement (USMCA), were able to increase their share from 11 to 18 percent. More insights can be gleaned from looking at the components of trade. Although the value of U.S. imports from China was essentially the same in 2022 as it was in 2017, total U.S. imports increased by about $900 billion during this period. As a result, China’s share of the total, made up largely of manufactured goods, fell from 22 to 17 percent. This decline, however, did not reduce America’s dependency on imports of manufactured goods. The share of imports relative to overall expenditures on manufactured goods rose steadily to 34 percent in 2022 from 23 percent two decades ago. The decline in China’s share of U.S. imports of manufactured goods was more than offset by imports from other countries, notably Mexico and Vietnam. These two developing countries, more than others, were able to import heavily from the United States based on their locational advantages and free trade agreements. Vietnam and China share a border and are linked by the ASEAN-China trade agreement, while Mexico and the United States also share a border and are linked by the USMCA trade agreement. Less noticed, however, is the behind-the-scenes role that China plays in supplying the components and materials for these other countries’ exports to the United States. Most of Vietnam’s increased exports were in product lines where U.S. imports from China fell, such as computer accessories and telecommunication equipment. China’s exports to Vietnam have more than doubled since 2017, and its trade surplus nearly tripled by 2022. China’s exports to Mexico increased by nearly 30 percent last year, on top of a 50 percent increase in 2021. China may be exporting less to the United States directly, but it is now indirectly exporting more. This explains why China’s share of global manufacturing production has continued to increase from 26 percent in 2017 to 31 percent in 2021. As for U.S. exports, the total averaged about $1.5 trillion from 2017 to 2020 but then jumped to $1.9 trillion in 2022. But this increase was not in manufactured goods but in exports of energy products and chemicals to Europe, spurred by the Ukraine crisis. The trade war did little to expand U.S. exports to China, the share of which fell from 8.4 percent in 2017 to 7.5 percent in 2022. Costs and benefits of decoupling According to one study, U.S. firms were handicapped by tariff-related higher costs of their imported inputs, and coupled with China’s retaliatory tariffs, this resulted in U.S. exports to China being 23 percent lower than they would have been in the absence of the trade war. The consequence is that America’s trade war policies generated very little growth in exports of manufactured products, despite the priority given to those policies by both the Trump and Biden administrations. If the purpose of the U.S. punitive actions toward China was to weaken China economically, there is no clear evidence of that happening. By developing alternative export markets and tapping pandemic-driven demand in the West for manufactured goods, China pushed its share of global exports to record levels in recent years. Meanwhile, China’s imports as a share of its GDP have been declining steadily, from a high of 28 percent in the early 2000s to 17 percent in 2022. One could argue that the world has become more dependent on China in trade while China has become less dependent on the world. The benefits of decoupling—if any—should be weighed against the costs imposed on U.S. consumers and producers and damage done to the export competitiveness of U.S. firms. To counter such tendencies, the Biden administration is promoting domestic manufacturing with subsidies in the Inflation Reduction Act. Such actions can be justified for strategic reasons, but the rationale is weakened by protectionist Buy America conditions. U.S. policymakers often counter by pointing to China’s use of subsidies to promote strategic industries, but Chinese firms were keen to import key technologies and components to ensure that their products were globally competitive on cost and performance grounds. The recent semiconductor and other U.S. restrictions on China’s access to high-tech products are also problematic because these products are “dual use,” with a much larger commercial market relative to military applications. Such restrictions hurt the many U.S. firms that derive significant revenues from selling to China and may contravene World Trade Organization guidelines. The costs of trade-related distortionary policies can be substantial. One oft-cited study estimates that taxpayers end up paying about $250,000 for each job saved in typical Buy America programs. At a broader level, a recent International Monetary Fund study estimates that a combination of U.S. trade and technological decoupling measures could reduce global GDP by some 7 to 12 percent. Ultimately, the problem lies in the lack of clarity on U.S. policy objectives. What does it mean to undercut China, and how will the United States know if it has succeeded? With U.S.-China relations at an all-time low, punitive actions targeting China have become politically popular, even if they have no analytical basis. The reality is that the United States and China have no choice but to continue trading with each other. But with security overriding commercial considerations, the economic interdependence built up over decades is now being reversed, leaving everyone worse off.

Diplomacy
Currencies of US, China, Russia

Can Russia and China unseat the Dollar from its throne?

by Sauradeep Bag

​Although the dollar continues to be the dominant global currency, Russia and China could dent this dominance. In the aftermath of global financial exclusion, Russia has had to make some strategic adaptations. The West’s sanctions had crippling consequences, and the Kremlin scrambled to find alternatives. In light of these developments, China became an important ally, and the Yuan—its currency—has taken on a more prominent role. It is telling that in Russia, the yuan has surpassed the United States Dollar (USD) in trading volume, a feat achieved a year after the Ukraine conflict, which triggered a series of sanctions against Moscow. As Russia and China band together, one wonders what other shifts will take place and how they will shape the future. Change is afoot, and the Russian market bears witness. The month of February saw a watershed moment as the yuan surged past the dollar in monthly trading volume for the first time. The momentum continued into March as the gap between the two currencies widened, showcasing the growing sway of the yuan. It’s an impressive feat, considering that the yuan’s trading volume on the Russian market was once quite insignificant. The winds of change blew through Russia’s financial system as the year progressed. Additional sanctions had taken their toll on the few remaining banks that still held power to make cross-border transactions in the currencies of countries that had been deemed “unfriendly” by the Kremlin. One such bank was Raiffeisen Bank International AG, whose Russian branch played a significant role in facilitating international payments within the country. However, the lender found itself under the watchful eye of both European and US authorities, which only added to the pressure. These events spurred the Kremlin and Russian companies to shift their foreign-trade transactions to currencies of countries that had not imposed sanctions.Converging coalitionsThe bond between Russia and China is growing stronger, with both nations seeking to bolster their positions on the global stage. Their alliance has spread across various spheres: military, economic, and political. With relations between Russia and the West crumbling, China has emerged as a key partner for Russia, providing it with the necessary support to counter economic and political pressure. On the other hand, China is keen on expanding its global reach, especially in the Eurasian region, and sees Russia as an important ally in this regard. President Xi Jinping’s recent visit to Moscow and his pledge to expand cooperation are likely to take this partnership to greater heights. Trade and investment ties are set to grow stronger, with both nations seeking to reduce their dependence on Western economies. Russia’s focus on infrastructure development and mega projects is also likely to benefit from China’s expertise in these areas. Energy is another significant area of collaboration, with Russia being a leading exporter of oil and gas and China being the world’s largest importer of these resources. Technology is also an essential domain, with both countries investing heavily in research and development to remain competitive in the global economy. While the alliance between Russia and China will likely have far-reaching geopolitical consequences, it is a complicated relationship with both nations pursuing their interests, even as they work towards common goals. As a result of Western sanctions, Russia has shifted its foreign trade transactions away from the dollar and euro to currencies of non-restricted countries. By doing so, the Kremlin and Russian companies hope to decrease their dependence on the Western financial system and explore new avenues for conducting their trade and economic activities. This shift in strategy reflects Russia’s determination to maintain its economic stability despite restrictions on its access to the global financial system. It also underlines the growing importance of alternative currencies in global trade as countries strive to minimise the impact of sanctions and safeguard their economic interests.Structural overhaulsThe Russian Finance Ministry was not immune to the winds of change either. Earlier this year, it made the switch from the dollar to the yuan for its market operations. It even went a step further by devising a new structure for the national wealth fund, earmarking 60 percent of its assets for the yuan. The Bank of Russia joined the chorus, urging its people and businesses to consider moving their assets to the rouble or other currencies considered “friendly.” This would help mitigate the risk of having their funds blocked or frozen. As the world undergoes a seismic geopolitical shift, it seems Russia is moving in tandem, searching for ways to secure its economic future. However, the dollar still reigns supreme in the Russian market. Even with all the changes taking place, it remains the most widely used currency, ceding its throne only occasionally to the yuan. This underscores the enduring dominance of the dollar, which has played a significant role in Russia’s financial landscape for years. However, as the world continues to evolve, one wonders how long it can hold on to its crown.

Defense & Security
President Vladimir Putin with his military personnel

Armies and Autocrats: Why Putin’s Military Failed

by Zoltan Barany

AbstractThis essay analyzes the failure of Vladimir Putin’s military in Ukraine in terms of five key factors. The first of these is Putin’s monopolization of control over the armed forces, which has driven critical voices and honest debates out of military and defense matters. Second is the failure of reform: Efforts to overhaul the bloated, ill-equipped post-Soviet military have not produced a twenty-first century fighting force that can match the world’s best armies or counter their capabilities. Third, Russia’s military has been unable to attract talented young people. Fourth, Russia’s mammoth defense industry produces too few weapons, and those it does turn out cannot match sophisticated Western arms. Finally, the operations in Georgia, Crimea, and Syria were conducted against feeble adversaries and said zero about how Russian forces would perform in a conventional land war against a resolute, well-armed enemy. In short, the Russian military is a reflection of the state that created it: Autocratic, security-obsessed, and teeming with hypercentralized decisionmaking, dysfunctional relations between civilian and military authorities, inefficiency, corruption, and brutality. Before and even shortly after Russian president Vladimir Putin invaded Ukraine on 24 February 2022, most experts predicted that Russia’s military would make short work of its southwestern neighbor’s defenders. The conventional wisdom held that while Russia’s forces had fallen on hard times after the Cold War, Putin’s more than two decades of rule had transformed them into an effective military machine. In early 2014, Russian troops in unmarked green-camouflage uniforms had taken Crimea from Ukraine with little bloodshed or even exertion. Two years later, one analyst called the intervention of the Russian Air Force on the side of the Bashar al-Assad regime in Syria “the most spectacular military-political event of our time.” In 2021, another commentator pointed to successful campaigns not only in Ukraine and Syria but also in Georgia (2008) while crediting Putin with having “overseen a thorough transformation of the Russian Armed Forces.” Flawed appraisals such as these are based on a misunderstanding of Russia’s military landscape. The Russian military is a quintessential reflection of the state that created it: Autocratic, security-obsessed, and teeming with hypercentralized decisionmaking, dysfunctional relations between civilian and military authorities, inefficiency, corruption, and brutality. We should note five key points. The first is that Putin’s monopolization of control over the armed forces and refusal to allow an independent legislature have driven critical voices and searching, honest debates out of military and defense matters. Second is the failure of reform—as the world can now see, efforts to overhaul the bloated, ill-equipped post-Soviet military have not produced a twenty-first–century fighting force that can match the world’s best armies or counter their capabilities. Third, Russia’s military has been unable to attract talented young people. Senior officers stubbornly refuse to delegate authority, robbing juniors of chances to develop initiative and leadership qualities, while most noncommissioned officers (NCOs) and their troops are poorly prepared. Fourth, Russia’s mammoth defense industry—largely owned and run by the state—produces too few weapons, and those it does turn out cannot match sophisticated Western arms. Finally, the operations in Georgia, Crimea, and Syria proved nothing: They were conducted against feeble adversaries and said zero about how Russian forces would perform in a conventional land war against a resolute, well-armed enemy. In a constitutional democracy, the legislature and the executive are both involved in controlling the armed forces. The chain of command is codified, as are respective institutional responsibilities vis-`a-vis the military. Laws likewise prescribe the potential uses of the military in various domestic and external scenarios. The national legislature passes the defense budget and supervises its disbursement, the chief executive acts as commander-in-chief, the defense minister is not a serving officer, and civilians—including those in the media and defense-focused NGOs—offer advice and scrutiny. In authoritarian states, the executive directly controls the military while the national legislature (if one exists) and regional authorities have no say. There is no safe place for independent security-policy experts, scholars, or journalists to function. The Kremlin runs the Russian armed forces, and today the Kremlin means Putin. He has few confidants. Since 2012, his principal advisors in the security realm have been Defense Minister Sergei Shoigu (who has no military background) and General Valery Gerasimov, the armed forces chief of staff. They serve entirely at the pleasure of the president—who summarily dismissed each man’s predecessor. Putin’s frustration with the Defense Ministry’s handling of the “special military operation” in Ukraine (to say “war” or “invasion” can bring a Russian citizen years in jail) has led to the marginalization of Shoigu, who nonetheless has kept his job despite strident criticism from prominent Russian nationalists. When Putin came to power in 2000, the military and its top brass held considerable sway over foreign and defense policy, military reform included. Since then, Putin has wrestled control of all military and security forces into his own hands. During Defense Minister Anatoly Serdyukov’s tenure (2007–12), bloodless purges removed from the general staff officers who disagreed with the Kremlin’s ideas about military reform, who were thought too independent-minded and unwilling to give Putin constant support. Serdyukov cut the Central Military Administration staff by more than 30 percent, mostly getting rid of generals and colonels. For the last dozen years, Russian generals have been Putin’s servants. Their careers depend not merely on their professional competence but on their personal loyalty to him. On paper the Defense Ministry answers to parliament and its committees on defense and security, but in practice the ministry answers to the Presidential Administration alone. The president decides whether, when, where, and how to deploy the military, at home or abroad. Putin is a centralizer; while Russia remains nominally federal, local councils have lost capacity to perform even traditional tasks such as calling up reservists, as recent events have shown. Journalists who have dared to write objectively on defense issues have been hit with heavy jail time even for open-source reporting. Membership in NATO—a defensive alliance espousing liberal-democratic principles—may constrain an authoritarian such as Hungary’s Prime Minister Viktor Orbán from seeking to “adjust” his country’s borders, but Putin faces no such obstacle. He dominates the Collective Security Treaty Organization (comprising ex-Soviet republics), while the “dictators’ club” that is the Shanghai Cooperation Organization in no way constrains his grip on the Russian military. For more than a decade, Russia’s army has been indisputably Putin’s army; no trace of institutionally balanced civilian authority, transparency, or accountability impedes his control over it.Reform InterruptusAt the Cold War’s end, Russian political and military leaders were aware of their forces’ shortcomings. For most of the 1990s, however, little happened beyond a reduction in force size. Generals opposed structural changes, political elites lacked the will to push back, and resources were scarce. The Russian army won the First and Second Chechen Wars (1994–96; 1999–2009) against a tiny breakaway region, but with an operational performance that was embarrassing. The August 2008 defeat of Georgia, another small and underfunded neighbor, also underlined Russia’s military deficiencies. Systems for command, control, communications, and intelligence performed so poorly that at times officers had to borrow war correspondents’ cellphones to reach troops. The air force admitted that it had four aircraft downed during the twelve-day conflict (the Georgians claimed to have shot down 21), losses that would have easily been avoided had unmanned aerial vehicles (UAVs or drones) been on hand to fly reconnaissance. Russian sources acknowledged that tanks and warplanes had seen no overhaul since the Afghan War (1979–89), “smart” weapons and modern communications systems had been unavailable, and the Defense Ministry had relied on “favorite suppliers” known for making obsolete armaments. In response to such weaknesses, the reform program begun in 2008 sought to turn a Soviet-legacy military still based on mass mobilization into a leaner, more professional force ready for combat. Even if Ukraine has laid bare their limits, the changes made since 2008 have been considerable. With carte blanche from Putin, Defense Minister Serdyukov pensioned off or cashiered enough stubborn senior officers to break institutional resistance. The military’s structure was rationalized and streamlined. The number of large units shrank from 1,890 to 172, while 65 military colleges became ten and sixteen Soviet-era military districts became four. A main purpose of the defense reforms was to bridge the deep qualitative gap between Russian and NATO military personnel that the brief Russo-Georgian War had highlighted, or at least to improve the training and combat readiness of the nonelite troops who have always filled most Russian units. Modernizers also wanted to stabilize the army’s troop strength at a million. Russian official data are best treated with skepticism, but it appears that the total personnel strength of the Russian armed forces (land, naval, and air) has been between 700,000 and 900,000 over the past decade. Serdyukov reduced the size of the officer corps, phased out praporshchiki (roughly equivalent to warrant officers), and drastically increased the number of “contract” (professional) soldiers. In a bid to make professional soldiering more attractive, money went to improve the working conditions, housing, welfare, and pensions of servicemen and their families. Shoigu carried on the reform process, raising the number of contract soldiers to 410,00 by 2020, when conscripts in uniform numbered only 260,000. The conscripts are a token of Russia’s limitations: The Kremlin would like to have a fully professional military but cannot afford it, so the draft is needed to fill the ranks. The reform plan called for a half-million contract soldiers by 2019, but only 405,000 were said to have been signed up and that figure is likely inflated. As of 2012, contract soldiers were paid 25 percent more than the average Russian civilian, and military benefits were comparatively generous as well. But inflation has been a key problem. Its erosion of contract soldiers’ pay and benefits has made military careers less enticing and driven down applicant quality: The military has been chasing not only fewer but less desirable recruits. Without able contract recruits, the dream of a high-quality, NCO-enabled Russian military can never come true. A traditional weakness of Soviet or Russian armies going back to czarist days has been the absence of career NCOs. A modern military relies on professional “noncoms”: They enjoy significant autonomy; keep commissioned officers and enlisted personnel working together; and give to the troops training, discipline, and (not least) hands-on leadership “at the sharp end.” Russia’s military reform recognized the need for a professional NCO force; within ten years after the Georgian campaign, contractors predominated in what were considered NCO billets. But questions remained about the depth of their training and the degree of initiative accorded them in an army where the idea of delegating authority downward has long been a foreign concept. In 2009, the Defense Ministry established an NCO academy, but the two-thousand graduates that it produces each year do not seem to have been enough to transform army culture. In 2010, seventy-thousand of the junior officers whom Serdyukov had discharged had to be recommissioned in order to keep doing what in the West would be classed as NCOs’ jobs. The available data suggest, and the war in Ukraine has confirmed, that Russia is a long way from fielding the kind of proficient NCO force that is essential to a modern military, and which Ukraine itself is increasingly displaying through its own performance under arms. Reform never even touched other areas. These include combat medicine, something that Western armies have worked hard on in recent decades. Quickly bringing together wounded soldiers and critical care is key, but the Russian military with its history of tolerating high casualties has focused little on this. Young Russian army doctors who resigned their commissions protested that they had been issued “practically nothing” to work with in terms of equipment and could “provide only first aid.”Generals and SoldiersLack of trust in subordinates and reluctance to delegate mark every command level of the Russian military. The Soviet-era practice of waiting for orders to filter down from headquarters—a custom meant to leave no room for independent thinking and creativity—often results in missed opportunities on the battlefield. Serdyukov dismissed or eased out about a third of senior officers, including the last group of critical thinkers who might have disagreed with Kremlin policy. He made senior generals’ promotion prospects depend on their ability to read the signs emanating from the Presidential Administration. Even at the top of the military hierarchy, generals are wary of taking initiative for fear of angering superiors who now include Putin himself. Nonetheless, it seems that some in the high command did question Putin’s plan going in, especially the idea of a lightning strike to seize Kyiv, warning that Russian troops and equipment were not up to the task. When the doubters turned out to be correct, the Kremlin apparently allowed these generals to draw up a new strategy. They then turned the conflict into a war of attrition based on the old Russian standby of overwhelming firepower. When massed artillery and aerial bombardment failed too, as fighting around the vital southern city of Kherson and Ukrainian breakthroughs in other sectors showed, Putin shook up his roster of senior commanders three times. In April, in June, and again in September, the Kremlin changed generals in search of better combat performance. In early October, Putin gave General Sergei Surovikin the task of turning the war around even as Ukrainian forces carried on with counterstrikes around the flanks and into the rear areas of surprised Russian formations. Surovikin’s qualifications include experience in complex combat environments as well as a reputation for “total ruthlessness,” “corruption and brutality,” and mistreating subordinates. In other words, he promises to be a perfect fit for Putin and his army. We can also see Putin’s distrust of his high command in his ever deeper personal involvement in military decisions. As the Ukrainians counterattacked in September 2022, he told his generals that he himself would now set strategy. His micromanagement of the war extends to making low-level tactical decisions and giving orders to frontline generals from the Kremlin. According to Western intelligence sources, the Russian president “is making operational decisions at the level of a colonel or brigadier,” helping to determine the movements of forces and ordering stands “at all costs” (an approach that leads to troop and equipment losses as units banned from making tactical retreats fall prey to encirclement). Putin’s heightened involvement likely stems from his realization that early in the war his commanders kept him in the dark about how badly Russian forces were faring against unexpectedly nimble and fierce Ukrainian resistance. But should Putin, who has no military background, ever have expected his forces to do well in Ukraine? Starting in 2008, military education and training of all ranks did improve. There were more drills, including large-scale joint exercises featuring tens of thousands of personnel from different Russian services. Beefed-up flight hours for military aviators and improved maintenance routines for their aircraft reduced mechanical failures and combat losses in Georgia and Syria. To put all this in context, however, it must be stressed that outside a few elite units, Russian training and maintenance standards across the board have never been more than modest, and hardly reach the levels that characterize the world’s top militaries. Despite pay raises, the Russian armed forces have been unable to attract the best and brightest of young Russians in the face of competition from the civilian labor market. Housing remains a problem for officers with families, and for years pay has not kept up with inflation. In many units, conditions are poor and junior officers are treated with contempt as superiors play favorites. Anecdotal evidence suggests that many officers with employment opportunities outside the military resign their commissions. The 2018 decision to revive the post of zampolit (political officer) in units as small as infantry companies harks back to the Soviet era and signals that the state doubts its soldiers’ loyalty. Mandatory military service has been unpopular. Many of those who can afford to avoid it (by bribing army doctors to declare them unfit) do so, while the most desperate flee the country or even deliberately injure themselves to evade the draft. The brutal hazing of raw recruits, sometimes with tragic results, remains a problem despite efforts to curtail it. In 2008, the period of mandatory active service was halved to a single year, which means that after training a soldier is available for just six months of duty. Most troops that the army considers combat-ready are not draftees, though (perhaps surprisingly) conscripts make up about a quarter of elite commando units. The army planned to reduce its intake of conscripts to 150,000 by 2021, but missed that goal. As the Ukraine war grinds on, unwilling draftees will become more common, and the army will increasingly have to rely on poorly trained and motivated soldiers. Putin’s 21 September 2022 call-up of 300,000 reservists put new focus on manpower issues just ten days before the beginning of the fall conscription period. Many experts believe that mobilizing hundreds of thousands of reservists will prove exceedingly difficult. So far, the call-up has fallen disproportionately on ethnic minorities. These include nomadic reindeer herders from northeastern Yakutia (5,600 kilometers from Kyiv) as well as the Crimean Tatars, long repressed by Soviet and Russian regimes and vocal opponents of the peninsula’s annexation. Even if those mobilized are actual reservists, it is likely that only a fraction of them have had regular training in the years since they left active duty. It will be months before these troops can add to Moscow’s war effort. In a September 29 video call with advisors, Putin publicly admitted “mistakes” such as call-ups of fathers with children, people with chronic illnesses, and some over military age. Mobilized soldiers, some of them middle-aged, have complained that they were kept in “cattle conditions,” had to buy their own food, and received ill-fitting boots and uniforms as well as old, poorly kept weapons. The president left it to regional governors and officials below them to fix the problems, not mentioning that his own policies have undermined local governments’ capacities. During the first week after the mobilization declaration, at least 200,000 young Russians and their families absconded to neighboring countries including Kyrgyzstan and Mongolia, as well as farther afield. The absconders were joining millions of their fellow citizens, many of them young and highly educated, who have voted with their feet against Putin’s war. In recent years, elite troops and private military firms in Moscow’s employ have done much of Russia’s fighting. The best known among the latter is the Wagner Group, a mercenary outfit possibly named for the German composer and established in 2014 by Dmitri Utkin, a former special-forces lieutenant-colonel, and Yevgeny Prigozhin, an oligarch from Putin’s inner circle with multiple Soviet-era criminal convictions. The unit is allegedly overseen by Russia’s military-intelligence agency, the GRU, in which Utkin served. How Wagner gets paid remains murky, but funds likely come from state sources as well as oligarchs. Wagner operatives in their insignia-free uniforms were the “little green men” who first appeared during Putin’s Crimea takeover, and since then have taken part in armed conflicts in Syria as well as several African states including Libya, Mali, Mozambique, and Sudan. Reportedly, more than a thousand Wagner mercenaries have deployed to Luhansk Oblast in the Donbas region of eastern Ukraine and have suffered heavy casualties. Wherever they go, human-rights violations and war crimes follow.Failings of a State-Run Defense IndustryThe Russian state is the main owner of the industries that yield most of its income (energy, banking, arms, and transport) and is directly involved in running them. As state-owned corporations, defense companies enjoy cheap credit, debt relief, and freedom from competitive market pressures. Although the state has invested heavily in the defense industry and has seen success in some areas, on balance Russia’s arms makers have failed to narrow the distance—and especially the quality gap—between their wares and those of the world’s leading weapons producers. Starting around 2005, Moscow’s defense reforms and ambitious armaments programs began to demand serious military-spending hikes. The Stockholm International Peace Research Institute and the International Institute for Strategic Studies in London broadly agree that the Russian military budget swelled from about US$20 billion in the late 1990s to more than four times that amount in 2015, before subsiding to its current official figure of $65.9 billion (or 4.1 percent of Russia’s 2021 Gross Domestic Product). In nominal terms, this is less than a tenth of annual U.S. defense spending, but there is reason to think that these figures grossly understate the real volume of Russian military expenditures. Using Purchasing Power Parity (PPP) measures, Moscow’s effective military expenditures may be as high as $200 billion per year. In recent years, only the United States, China, and India have had defense budgets that exceed Russia’s. Russia’s State Armament Program of 2011–20 aimed to breathe new life into the defense industry by commissioning it to manufacture or refurbish 70 percent of the military’s weaponry. Official sources claim that the industry achieved this. It developed new artillery, introduced some highly accurate cruise missiles, delivered several hundred new tanks (including the highly touted T-90M), and updated hundreds more with improved armor and electronics. Almost five-hundred new fighter jets, mainly Su-27s and MiG-31s armed with radar-guided missiles, were to boost Russian airpower to a new level, with hundreds of new combat helicopters and modernized older warplanes securing Moscow’s domination of the skies. The latest State Armament Program, which began in 2020 and is to end in 2027, is more modest and focuses on advancing mobility, logistics, and the optimization and standardization of extant weapons systems. Over the past decade, Russia has become the world’s second-largest arms exporter behind the United States. Russia’s share of sales in this market from 2017 through 2021 was 19 percent while the U.S. share was 39 percent. Seeing the mediocre performance and vulnerability to Western weapons (such as the U.S.-made Javelin antitank missile) of Russian arms in Ukraine, countries that have been buying military hardware from Russia (the top three customers are China, India, and Egypt) may think twice about purchasing from Moscow again. The systemic and structural challenges that beset Russia’s defense industry are not going away. Supply-chain problems delay deliveries. Money to replace outdated machine tools and pay for research and development is lacking, while neglect of quality control is common. A recent analysis concluded: Centralized and inefficient bureaucracies, weak intellectual property rights and rule of law, poor investment climate, pervasive corruption, and insufficient funding are among the problems that hinder swift progress in fields that are particularly dependent on creating a breeding ground for creativity and the free exchange of ideas.Russian arms makers are a long way from producing weapons that can compete with Western weapons in technological sophistication and general quality. Large-scale building of precision-guided munitions, targeting systems, and heavy-strike long-range drones is beyond the reach of Russian industry. The onset of conflict with Ukraine in 2014 cost the Russian military-industrial establishment its longstanding and beneficial ties to Ukrainian weapons producers. Now sanctions have cut off Russia’s access to the Western optics and electronics that are key to advanced modern weapons. Expanding existing factories will be hard, as funds and other requisites are not there. Ambitious plans announced with much fanfare and bluster have often come to little or nothing. In 2008, the first year of military reform, there was a proposal to create autonomous mobile forces teaming airborne, naval-infantry, and special-forces components, but nothing has come of it. The widely publicized program to produce a fifth-generation fighter, the Sukhoi Su-57, is now more than twenty years old and has generated nothing but a few prototypes. The Su-57 is the first stealth aircraft Russia has ever attempted. Meant to be capable of both air-to-air and air-to-ground combat, it is supposed to be Russia’s answer to the U.S.-built Lockheed Martin F-35 Lightning II, thousands of which are being produced for the United States and multiple allies around the world, including nine or more NATO countries. Technical setbacks, India’s decision to pull its financing, and a December 2019 crash (the first publicly known) make it doubtful that the Su-57 will be ready for full-scale production anytime soon. Since Soviet times, the security sector has been among the most troubled parts of the economy when it comes to graft and corruption In the twenty-first century, Russia has become, in Karen Dawisha’s fitting formulation, “Putin’s kleptocracy.” Transparency International’s Corruption Perceptions Index for 2021 gave Russia a corruption score of 29, putting it far closer on the 100-point honesty scale to the world’s most corrupt country (South Sudan with an 11) than to its least corrupt (Denmark, Finland, and New Zealand with an 88 each). As defense minister, Serdyukov made it a major goal to root out or at least curb the bribery and fraud often tied to arms procurement, as well as the misuse of funds set aside to improve living conditions for the troops. Putin fired Serdyukov in 2012 because of the latter’s links to a Defense Ministry official charged with embezzlement. Large-scale corruption continues, with often hundreds of millions of dollars disappearing. A Russian military prosecutor recently admitted that about a fifth of the Defense Ministry’s budget was stolen; other officials said that it could be as high as two-fifths. Few experts would disagree with former Russian foreign minister Andrei Kozyrev’s recent claim that the corruption—and the fear of telling Putin about it—had left Russia with a “Potemkin military.”Under Arms and UnderwhelmingHow are Russian forces doing in Ukraine? It is impossible to discern precisely because most Western sources are Ukraine-friendly, while both Ukrainian and Russian media have incentives to bend the truth. That said, Russia’s military performance has been far below what most experts expected. Experts have been surprised because their assumptions were faulty. The Russian military’s track record going back to 2008 may have looked impressive on the surface, but it was compiled against weak adversaries. Georgia is very small, and its miniscule army was poorly organized to boot. In Crimea, Moscow’s troops faced little resistance. In Syria, much was made of Russian airpower’s renewed capabilities, but it was up against insurgents whose air-defense capabilities were modest at best. Russia also sent into these lesser-scale operations mostly elite troops and special forces, not average soldiers. In short, the Russian military experienced nothing like the demanding combat environment that it has met with in Ukraine. As of this writing, the war in Ukraine is almost a year old. The course of the fighting has undercut the many experts who claimed that post-2008 Russia had clawed its way into the first class of the world’s military powers. So far, Russian forces from the top down have failed most of the tests facing them in Ukraine. Military planners seldom do well to underestimate an opponent. After seizing Crimea, Putin predicted that Kyiv could be taken in two weeks; in 2022, he shrank that figure to two days. The Russian high command underestimated how many soldiers it would need to attack Ukraine while overestimating the number of locals who would welcome them. Conquering a city such as Kyiv, with its three-million people spread over 839 square kilometers split by a large river and its tributaries, would have required a massive number of collaborators. Once the plan for a quick air-mobile strike at the Ukrainian capital’s downtown collapsed amid firefights with fast-reacting Ukrainian forces at Antonov Airport northwest of the city on February 24 and 25, Russia’s campaign fell apart. Misconceived operational plans, careless logistics, and the lack of combined-arms coordination all suggest deep deficiencies in Russia’s high command. The invaders handled their tanks poorly, trying to drive them forward without proper logistical support or infantry escorts to keep Ukrainian drones and ambush teams at bay. In the skies, overcautious Russian pilots “punched below their weight,” failing to translate their superior airpower into gains on the ground. Russian troops struggled to use their communications systems and failed to disrupt their enemies’ access to satellite signals. Stories of Ukrainian soldiers using smartphones in combat to call their trainers in the United Kingdom for advice, like the ability of those defending the Azovstal steel works in Mariupol to stay in electronic touch with Ukrainian intelligence throughout the five-week siege in April and May, hint at Russian ineptitude. Troops’ general sloppiness—their neglect of small but important tasks such as properly inflating truck tires, for instance—proved costly to Russia’s war effort. As the war drags on, it is unlikely that fresh Russian officers and soldiers dispatched to Ukraine will be better prepared and equipped, or will perform better, than those whom they replace. Nuclear threats could easily backfire: If Russia were to “go atomic,” it might lose its remaining allies, misgauge wind direction and have fallout drift back over Russian territory, or find itself directly at war with a NATO alliance capable (even without nuclear weapons) of inflicting massive destruction on Russian military assets. Further, Russia’s stocks of tactical and medium-range nuclear warheads are, like many Russian weapons, Soviet leftovers. They have been sitting in scattered storage sites for decades. The work of rendering these warheads operational would involve much effort and risk of human error. There is a good chance it would also be detected by Western intelligence given the known locations of stockpiles, the limited number of units even capable (on paper) of handling and firing these warheads, and the travel distances to the theater of conflict that would be involved. The underlying theme of the assault on Ukraine has been the yawning gap between what Putin and his forces want to do, on the one hand, and what they can do, on the other. Ambition is not ability. A Revitalized Ukrainian Army Just a few years ago, Ukraine’s military itself was facing daunting challenges. An ambitious reform program was launched in 2006, but it failed amid political instability, corruption, and inadequate resources eaten by inflation and the 2008 global financial crisis. This top-down overhaul was also poorly conceived: Ukraine was striving to create an all-professional force with cutting-edge technology and advanced command and control in defiance of institutional and funding constraints. Moscow’s 2014 aggression against Crimea and the Donbas shook authorities out of this reverie and into a push for swift change in the Armed Forces of Ukraine (AFU). Under President Petro Poroshenko (2014–19), naval and defense-industry reform succumbed to infighting and embezzlement, but the creation of an autonomous special-forces command with four-thousand troops was a success. The 2014 events showed that large numbers of soldiers would be needed to defend Ukraine against Russia. The draft, abolished in 2013, was brought back in 2014. More innovatively, the AFU also became a community-based military. The financially strapped government appealed to civil society, the large Ukrainian diaspora around the world, and ordinary people to help fund the AFU and to join its ranks. New organizations cropped up “to equip, uniform, protect, and improve the Ukrainian Army as soon as possible” and to supply much-needed military equipment—their donations made up 4 percent of the Ukrainian defense budget in 2015. Another significant change that partly relieved the AFU’s manpower shortage was the creation of volunteer battalions that already by 2014 comprised more than ten-thousand fighters. While raising some disciplinary concerns, they proved effective in the conflict against separatists in eastern Ukraine and are likely to play a consequential defense role for years to come. Finally, Western countries led by the United States and Britain but also including (remarkably) Germany have sent lethal military aid that makes Kyiv’s forces measurably more effective on the battlefield. As of mid-October 2022, Washington had offered about $66 billion—a sum more than eleven times larger than Ukraine’s entire 2021 defense budget. The help has been high in both quantity and quality, including as it has sophisticated items such as U.S.-made M142 HIMARS mobile precision multiple-rocket launchers, British- and U.S.-made M777 155-millimeter howitzers, various types of UAVs, and more. Between 2015 and February 2022, active-duty British soldiers trained more than 22,000 Ukrainian recruits in western Ukraine through a program called Operation Orbital. As of September 2022, instructors from Canada, Denmark, Finland, Lithuania, the Netherlands, New Zealand, and Sweden were joining U.K. soldiers to give accelerated training to thousands more Ukrainians at camps in Britain. The programs teach junior officers, NCOs, and soldiers to think critically and make independent frontline decisions without waiting for permission from commanders sitting at distant headquarters. Ukraine’s military has been everything that Putin’s army has not. The smaller country has managed to convert its own recent reforms and massive Western aid into combat advantages. Defending their own soil, Ukrainian volunteer and professional soldiers alike have excelled in drive, courage, and resourcefulness. President Volodymyr Zelensky has been a revelation: Ukrainians are fortunate to have been led by a clear-thinking and uncompromising figure who knows that this is a contest between democracy and tyranny. The war has made Ukrainian nationhood (long denied by Russian nationalists of Putin’s type) undeniable and has underscored the larger but too-easily-forgotten truth that freedom is not free. Opposition to the invasion has also brought Western democracies closer together as members of NATO, which is adding Finland and Sweden to its ranks. If NATO continues to stand united behind Ukraine, David will have very good chances against Goliath.

Diplomacy
Central Asian migrants in the airport

By Sending Migrants to Ukraine, the Kremlin is Damaging Ties With Central Asia

by Sher Khashimov

By continuing to rely on Russia’s ethnic minorities and foreign labor migrants to do its dirty work in Ukraine, the Kremlin is inadvertently damaging ties to its former colonies. A young Uzbek man named Fakhriddin has died in Ukraine after being recruited from a Russian prison, where he had been serving a five-year prison sentence, to work on a construction project in Russia-occupied eastern Ukraine. Fakhriddin, who died when a shell hit the site he was working on, is one of the latest casualties of Russia’s push to use Central Asian natives not only on Ukrainian battlefields, but also in the reconstruction of battle-torn occupied territories. Hundreds if not thousands of Central Asian migrants are being hired to work in Russian-occupied Ukrainian territory, despite dangerous conditions and warnings from their governments not to go to Ukraine. Most of these migrants are used in the reconstruction of war-ravaged cities like Mariupol and Donetsk; others dig trenches and collect dead bodies on the frontlines. Female migrants from Central Asia are also offered jobs in military hospitals, canteens, and factories in occupied eastern Ukraine. Vacancies are posted on major employment websites like Headhunter and the classifieds site Avito, as well as some regional employment websites, and shared via social media and in migrant communities or advertised by construction companies directly. Employers promise to cover travel expenses to Ukraine, accommodation, meals, and uniforms. Salaries range from $2,000 to $3,300 a month: significantly more than laborers can earn in Russia. Yet despite the enticing promises, Central Asian migrants face the same issues in Russia-occupied Ukraine as they do in Russia itself: unsanitary conditions, unheated living quarters, and poor treatment by employers. Multiple reports indicate that migrants are either underpaid or not paid at all. Some disillusioned workers who have tried to leave Ukraine were not permitted by Russian border guards to re-enter Russia, forcing them to continue working in dangerous conditions on the frontlines while facing criminal prosecution from Kyiv and their home governments for participating in the invasion. These hostile conditions in eastern Ukraine put Central Asian labor migrants and their governments in a bind. Central Asia’s population continues to grow rapidly, with around half of the region’s population now under thirty years old. A lack of employment options and underdeveloped education systems combined with economies wrecked by nepotism, the COVID-19 pandemic, and capital flight mean many younger Central Asians are forced to move abroad to find work.  Central Asian governments, particularly those of Kyrgyzstan, Tajikistan, and Uzbekistan, have become accustomed to exporting excess labor capacity in order to generate much-needed revenue for households through remittances, relieve domestic pressure to create jobs, and provide public goods and services. Politically, migration serves as a pressure valve that prevents the buildup of unemployment-fueled social and political frustration and helps undemocratic regimes to stay in power. Russia remains the primary destination for these labor migrants. Familiarity with the Russian language and culture stemming from a shared Soviet past, geographic proximity, and Russia’s acute need for labor migrants continues to keep Central Asia in Moscow’s orbit. Streamlined processes for obtaining citizenship for highly qualified personnel from former Soviet republics, such as doctors and engineers, adds to Russia’s allure, particularly to those from Tajikistan and Kyrgyzstan, the most remittance-dependent countries in the region. After a pandemic-induced dip, the number of Kyrgyz, Tajiks, and Uzbeks registered to work in Russia is peaking again. According to Russian Interior Ministry data, as many as 978,216 Kyrgyz, 3,528,319 Tajiks, and 5,837,363 Uzbeks entered Russia intending to work in 2022. Some people are likely to have been counted twice in these figures, as they reflect the number of registered border crossings, but they are still at a five-year high. Now the economic downturn in Russia and pressure to work in Russia-occupied Ukraine might contribute to changes in regional labor migration patterns—both at the grassroots level and from the top—that started during the pandemic. While Uzbekistan has become a popular destination for migrants from Turkmenistan, Kazakhstan has emerged as a popular alternative destination to Russia for a growing number of Uzbeks, Tajiks, and Kyrgyz (precise numbers are harder to find as many migrants take advantage of the lack of visa requirements to work illegally and avoid paying taxes).  Central Asian governments, facing domestic pressure to keep their nationals from dying in Ukraine, are also looking for ways to reduce their employment dependence on Russia by diversifying migration destinations and providing migrants with more resources. Uzbekistan has been working with Kyrgyzstan and Kazakhstan on the bilateral improvement of migration flows. Last December, the Uzbek and British governments discussed collaboration on labor migration during another round of economic talks. USAID has just opened a second consultation center in Uzbekistan for labor migrants, in Samarkand. In early 2022, Kyrgyzstan’s Labor Ministry created a center for employment abroad; later that year, the governments of Kyrgyzstan and South Korea signed an agreement guaranteeing additional employment opportunities for Kyrgyz nationals in South Korea.  This search for labor migration alternatives is part of Central Asia’s slow realignment away from its all-encompassing dependence on Russia: a nuanced dance the regional governments must perform without directly antagonizing the former metropole.  Central Asian governments refused to side with Russia in condemning the UN resolution to end the war in Ukraine. Russia’s regional integration projects are unlikely to expand, as Uzbekistan continues to decline invitations to join the Eurasian Economic Union, and Russia’s defeats in Ukraine have weakened the reputation of the Moscow-led Collective Security Treaty Organization. Finally, Central Asian foreign ministers in February welcomed U.S. Secretary of State Antony Blinken to the first ministerial-level engagement of the C5+1 Diplomatic Platform—which represents U.S. engagement with Kazakhstan, Kyrgyzstan, Tajikistan, Turkmenistan, and Uzbekistan—in the region since its 2015 founding. This realignment can also be seen on the cultural front: the popularity of the Russian language is declining, while local languages are seeing growing interest in them since the invasion of Ukraine. Local governments are cutting the number of Russian language lessons in schools and renaming streets. The issue of decolonization and anti-colonial solidarity is as salient as it has ever been since the collapse of the Soviet Union.  By continuing to rely on Russia’s ethnic minorities and foreign labor migrants to do its dirty work in Ukraine, the Kremlin is inadvertently damaging ties to its former colonies. The longer the conflict drags on, the more incentive Central Asian republics will have to manage their dependence on Russia in exporting their excess labor. It’s hard to see Central Asia quitting on Russia entirely, but the relationship is sure to grow more nuanced and less lopsided in the months to come.