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Diplomacy
24.01.2023 - Foto oficial da VII Cúpula da CELAC (52647149569)

Confederation of Latin American and Caribbean Nations as a strategy for integration with Asia and Africa

by Isaac Elías González Matute

Abstract This article analyzes the challenges and threats to global peace and stability, derived from the unipolar geopolitical vision of the United States and the application of the so-called “Donroe Doctrine”, promoted during the Trump administration and characterized by the “Maximum Pressure” strategy promoted by the America First Policy Institute. Through a methodology of documentary review of primary and secondary sources, together with a prospective analysis of risk trends, the strategic and leading role of CELAC in the defense of the interests of Latin America and the Caribbean is dimensioned, highlighting how this organization opens opportunities to strengthen trade relations with Asia and Africa, contributing to the construction of a multipolar world order by promoting initiatives such as China's Belt and Road as an alternative mechanism to the global economic war of the United States and its “US-CUM” project, framed in its foreign policy based on national security interests. Introduction 21st-century geopolitics has undoubtedly been characterized by strong pragmatism in the exercise of states’ foreign policy, balancing between two visions — specifically between the Unipolar Geopolitical Vision and the Multipolar Geopolitical Vision — which have categorized the praxis of international relations of the so-called Global North and Global South, respectively; a context that clearly shows a fervent struggle for political control of resources and for hegemony, where the United States competes for global supremacy with emerging poles of power such as Russia and China. Given the current international scenario, it becomes increasingly imperative to identify and understand both the needs and the challenges for the planet’s sustainable development, from a global perspective in all areas (economic, political, social, geographic, cultural, environmental, and military). In this regard, the present research prospectively analyzes the administration of President Donald Trump as part of the multidimensional threats that the U.S. represents not only for Latin America and the Caribbean but also for Africa and Asia, considering the impact of current U.S. foreign policy both on the American continent and for Africa and Asia. All of this is with a view to highlighting, through debate, the importance of rethinking CELAC as an international organization that systematically advances in a transition process from “Community” to “Confederation,” as an intergovernmental entity with the capacity to confront the threats of a unipolar geopolitical vision foreign policy, and in line with the goals established as development projects under the so-called “CELAC 360 Vision” [1], aligned with the Sustainable Development Goals (SDGs) of the 2030 Agenda, adopted by the United Nations (UN). Regarding the referred geopolitical transition, it is worth noting, as Guendel (2024) states: “The rising multipolarity will provoke, starting from this first decade of the 21st century, the emergence of historical events that mark the reaction to the expansion of Western geopolitical power to those old regions that were under another geopolitical influence. Among the most notable events, we must consider the processes of de-dollarization of the world economy, the war in Ukraine, the tension in the Taiwan Strait, and, of course, the war in Palestine. Under this reference, it is possible to characterize the current international geopolitical scenario as a moment of transition between the previous form of unipolar power and the new multipolar relations (123) [2]. Building on the above, the current geopolitical transition is a systemic process sustained by the multipolarity of international relations, driven by the struggle for power and the quest for economic dominance in both domestic and international markets. This has given rise to a growing trend in states’ foreign policy toward the construction of a multipolar world, where territorial governance over strategic resources forms part of the necessary geopolitical counterweight in regional dialogue, cooperation, and integration to face the challenges of the present century. The changes in the world order require Latin America and the Caribbean, Africa, and Asia to promote an idea of continental unity, framed within an anti-imperialist mindset, allowing progress toward Latin American, African, and Asian continentalism, compatible with the multipolar geopolitical vision, under the sustainable development approach put forward through the BRICS. Regarding this last international actor, Guendel (2024) notes: “In the development of a new phase of the globalization process after the end of the Cold War — what was geopolitically a new scenario for consolidating unipolar power relations — new lateral actors emerged, the so-called BRICS, which, by proposing alternative ways of thinking and economic relations favorable to Third World countries, would foster the emergence of a new global geopolitical scenario of multipolar relations (123). According to this scenario, the trend toward multipolarity in international relations —strengthened by globalization and technological advancements — will allow for the consolidation of a multipolar world, though not without first becoming a causal factor of various conflicts and challenges on a global scale, specifically in all spheres of power (economic, political, social, geographic, cultural, environmental, and military). Hence the importance of formulating a strategy for regional integration of Latin America, Asia, and Africa that aligns with global sustainable development plans — such as China’s Belt and Road Initiative — which, combined with the BRICS, constitute two fundamental pillars in strengthening the multipolar world. However, this will also accentuate the differences in geopolitical interests between the strategic agenda of the Global North (led by the U.S. through the G7) and that of the Global South (BRICS countries) regarding the projected economic growth of each. Having this in mind, the present research aims to analyze the challenges and threats to global peace and stability as a consequence of the U.S. unipolar geopolitical vision and the application of the so-called “Donroe Doctrine,” promoted by President Donald Trump and the policies advanced by his main think tank, the America First Policy Institute (AFPI), characterized by the “Maximum Pressure.” Development U.S.: Foreign policy oriented toward a new global fundamentalism The new White House administration, under the presidency of Donald Trump, challenges the so-called conservative Establishment [3] in the U.S., and according to Myriam Corte (2018), in her article on “Analysis of the U.S. ‘Establishment’” [4], the following statement is mentioned: “The residence of the current president is the site that houses political power, but at the same time reflects migratory power, since it is a construction built in the 18th century by African slaves, based on Irish architecture. As for the cabinet, it is made up of wealthy white men, who are responsible for administering power, but in the current administration some members have been accused of domestic abuse and misogynistic practices; therefore, it is important to identify whether Trump represents that old, conservative, and rigid establishment, or if there is any change” (1). According to what has been stated, there is undoubtedly a perception of a different stance associated with the “Deep State” Establishment in the U.S., with relevant structural changes that have a strong impact on both domestic and foreign policy. An example of this, according to Myriam Corte (2018), is represented in the very fact that: “Another variant is the Bible study group that was formed in the White House, as well as the group of fellows made up of 147 young people between the ages of 21 and 29, with a characteristic profile: all are wealthy individuals, among them the son of the president of the World Bank, who represent the new generation that will inherit power…” (1). In this context, the U.S.’s status as a major power revolves around a scenario of geopolitical conflict, even prioritizing its national interests over those of its main strategic allies, as a consequence of the systemic deterioration of its hegemony vis-à-vis Russia and China. This has generated hostile political actions as strategies to justify its territorial ambitions, in an attempt to counter the exponential growth of the BRIC and the crisis this represents for the global dollar system. A clear example of some hostile political actions is reflected in what happened with its European (NATO) partners recently, as well as with Canada, Mexico, and Greenland, becoming part of the geopolitical pragmatism promoted by the Donald Trump administration. Now, in direct relation to the unipolar geopolitical vision that characterizes U.S. foreign policy, it oscillates between defending the interests of the conservative Establishment and the postulates and ideals promoted by the AFPI [5], which maintain a clear influence in the conduct of U.S. foreign policy, acting as a think tank. Regarding this matter related to the influence of AFPI in the Donald Trump administration, it is worth mentioning some aspects associated with the practice of U.S. foreign policy for a better understanding of its current dynamics, which revolve around a new global fundamentalism with a marked unipolar geopolitical vision. Among them, we have the following: New global fundamentalism against the conservative national security establishment The AFPI serves as the main think tank for the Trump administration, according to Seibt (2024), who in his article “The America First Policy Institute, a discreet ‘combat’ machine for Donald Trump” [6], states the following: “America First” is often associated solely with Donald Trump’s isolationism. But behind the scenes, it is also linked to an ultra-conservative think tank with growing influence, the America First Policy Institute (AFPI)” (1); a fact that justifies the appointments made before and after Donald Trump’s swearing-in as President of the U.S., as he has been using an increasingly influential group in high-level decisions, subtly and systematically modifying changes in strategic agendas from the so-called “Deep State,” starting from what Seibt (2024) also refers to: “…the election of Brooke Rollins marks the consecration of AFPI’s influence, of which she is president, and which has been described by the New York Times as ‘a group as influential as it is little known’ in the orbit of Trumpism… Brooke Rollins is not the only person from AFPI that Donald Trump has chosen for his future government. Linda McMahon, chosen to be Secretary of Education, is the director of this think tank. And let us not forget Pam Bondi, who has been called to replace the too-controversial Matt Gaetz as Attorney General, and who oversees all the legal matters of the America First Policy Institute” (para. 5). In this context, there is clear evidence of AFPI’s influence within the Trump administration; therefore, to understand where the unipolar geopolitical vision recently adopted by the U.S. is headed — together with its prospective analysis — it is necessary to understand, from the very foundations of AFPI, how this organization envisions the path of what it calls, from a supremacist perspective, “America First.” To this end, it is enough to review the main AFPI website [7], where both its vision and analysis of what the U.S. should be, as well as how it should approach the exercise of foreign policy, are broken down and organized — with a curious detail that sets it apart: placing the interests of the American people above the interests of the conservative National Security establishment, stimulating the need to create a nation different from what they consider a “theoretical United States.” As AFPI (2025) states and describes: The Center for American Security at the America First Policy Institute defends Americans rather than a “theoretical United States” imagined by Washington’s national security establishment. The exercise of American power requires a clear justification, and an “America First” approach ensures that such power is used for the benefit of Americans. To promote this objective, the Center seeks to ensure the rigorous advancement of policies that constitute an authentically American alternative to the increasingly obsolete orthodoxy of Washington’s foreign and defense policy… (para. 2). As outlined, AFPI both promotes and warns about the exercise of power, prioritizing U.S. interests, as long as these remain distant from what it considers the “obsolete orthodoxy of foreign policy” that has characterized the U.S. for decades and centuries. In this sense, the likelihood increases of perceiving the presence or formation of a different establishment in the U.S., one that rivals the Anglo-Saxon conservatism rooted since the nation’s very founding. Domestically, the perception of a new global fundamentalism in U.S. foreign policy grows — one with an even more marked unipolar geopolitical vision of an imperialist nature — based on what AFPI (2025) doctrinally dictates in terms of foreign policy: The phrase “America First” refers to an approach rooted in the awareness of the United States’ unique role in the world and its unparalleled ability to do the most for others when its people are strong, secure, and prosperous. It means that any commitment of American lives or dollars abroad must bring concrete benefits to the American people. Every investment of U.S. resources must generate a substantial security benefit (para. 3). From this, it is possible to infer the direction of the U.S. strategic agenda under the current administration and doctrinally supported by AFPI as its main think tank. However, the deep changes that are occurring — both inside and outside the U.S. — and how the global economic and financial situation fluctuates because of these changes, in a certain way, compel major economies to reconsider new mechanisms for economic and financial coordination and cooperation. This includes strengthening regional integration frameworks that allow them to navigate the ongoing process of reconfiguring the current world order, laying the groundwork for the construction of a multipolar world. Proxy Control of Global Territorial Governance, Backed by the “Donroe Doctrine” The exercise of current U.S. foreign policy, characterized by a unipolar geopolitical vision under the new Trump administration, is the result of the application of a doctrine carefully designed and reformulated from its dogmas, supported by a strong religious fundamentalism and associated with racial supremacism; wherein the U.S. seeks to perpetuate its global hegemony by returning to its original imperialist character. All of this turns the exercise of U.S. power toward National Security, but with a practical approach different from the so-called “obsolete orthodoxy of conservative foreign policy.” As AFPI (2021) has emphasized since its founding: Religious freedom is a fundamental human right guaranteed not only in the Constitution of the United States but also in Article 18 of the United Nations Universal Declaration of Human Rights. It is a natural right inherent to all of humanity (para. 3). With the above, at first glance, AFPI appears to delineate its religious fundamentalism, oriented toward the promotion of a new global fundamentalism through the exercise of foreign policy that justifies its actions in favor of U.S. supremacist interests, in line with what AFPI (2021) reiterates as its mission on its platform: AFPI exists to promote policies that prioritize the American people. Our guiding principles are freedom, free enterprise, national greatness, U.S. military superiority, foreign policy engagement in the interest of the United States, and the primacy of American workers, families, and communities in all we do (para. 1). To this, we must add the disposition — regarding national security — of driving U.S. supremacism through the application of Hard Power [8], economic warfare, and the increased implementation of Unilateral Coercive Measures (UCMs) against any country that contravenes U.S. interests, by perpetuating interventionist policy in all spheres of power (economic, political, social, geographic, cultural, environmental, and military). An example of the above is referred to by AFPI (2025) on its website [9], as follows: The American victories in World War II and the Cold War established our country as “the last best hope for man on Earth.” The cause of freedom everywhere in the world depends on a strong United States. With our country secure, we can, with greater confidence, promote American security abroad. U.S. security is exemplified by a strong military, fair trade agreements, alliances that are equitable, aggressors who are isolated, and those who harm us, destroyed. The AFPI views American security abroad as a prerequisite for peace at home: always putting American interests first. This includes moving away from endless and unnecessary wars to rebuild the homeland, while also understanding our indispensable role in maintaining a peaceful world… (para. 4). With a brief reading of the above, it is possible to see at first glance the practical description of current U.S. foreign policy, starting from the fact of recent attempts to end the Ukrainian conflict; however, skepticism when addressing both the geopolitical feasibility and the reliability of the proposals made by the Trump administration reveals a hidden objective, particularly associated with proxy control of global territorial governance through hostile policies and the use of the government itself as a weapon. An example of this is the stimulation of a trade war by the U.S. against Canada, Mexico, and the European Union (NATO allies), all with the aim of establishing as a rule the use of Hard Power for political persuasion over strategic resources — an example of this being the recent (and forcibly) signed rare earths agreement by Ukraine — in favor of the United States. U.S.-CUM, a New Nation-State and Persuasive Technology: Utopia or Global Geopolitical Threat? Geopolitical changes in the 21st century are advancing in parallel with technology, the economy, and global energy interdependence. For this reason, the use of Persuasive Technologies [10], through various media and information channels, plays a fundamental role in creating opinion frameworks and the mass manipulation of perceptions on a global scale. In other words, in the Era of Disinformation, technology is the primary tool, stemming from the communication needs of modern society. In this regard, Tusa et al. (2019) state the following: “…fake news has always existed. What is happening now is a greater emergence on open and free access platforms, which causes this type of information to grow exponentially in a matter of seconds. Therefore, fake news creates a wave of disinformation, a fact that motivates academia and civil society to counter it, to achieve the return of good journalism and truthful information” (20). [11] In this context, current disinformation processes respond to pre-established objectives by power poles linked to fluctuating geoeconomic interests in the world order, in which the Global North with a unipolar geopolitical vision and the Global South with a multipolar geopolitical vision are in open confrontation. In relation to this, Valton (2022) points out: “…economic globalization, finance, and the development of new technologies have opened spaces for the new geoeconomy. Thus, geoeconomy as part of the process of change plays an essential role that affects international relations, with an impact on international trade, global markets, and conflicts in the quest for capital accumulation. Geopolitical interests are closely linked to the economic gains of major capitalist powers and transnational corporations in their eagerness to increase their revenues, maintain and expand their area of influence in other regions, at the expense of the indiscriminate exploitation of the natural resources of underdeveloped countries, with high poverty rates and environmental damage” (2). [12] Now, considering the unipolar geopolitical vision of U.S. foreign policy and the doctrinal influence of the AFPI in the new Trump administration, there is a curious growing communication campaign on different digital platforms, specifically associated with persuasive technologies, that fosters the perception of the creation of a new State called U.S.-CUM. While this corresponds to a very subtle disinformation campaign and somewhat utopian in nature, it is nonetheless surprising that, in the facts and actions of the new White House administration, they have not stopped flirting with certain ideas related to the mentioned State in question.   To be more specific, the U.S.-CUM is a utopian idea of a territorial expansion of the current United States, adding the territorial spaces of Canada and Mexico with the goal of increasing the economic, political, financial, and military capacities of the U.S., to counter emerging powers and prevent the consolidation of a multipolar world. An example of this can be found in some posts made on the Reddit platform, a social network popular among the U.S. population, similar to Instagram, X, TikTok, and Facebook, among others. The U.S.-CUM utopia has now moved from a mere concept to a possible threat to global geopolitics, the moment the foreign policy of the Trump administration suggests the possibility of territorially adding Canada, turning it into the 51st state of the United States. Colvin (2025), in his AP article titled “Trump says he is serious about making Canada the 51st U.S. state,” refers to the following: President Donald Trump said he was serious about wanting Canada to become the 51st state of the United States in an interview aired Sunday during the Super Bowl pregame show… The United States is not subsidizing Canada. Americans purchase products from the resource-rich nation, including raw materials such as oil. Although the goods trade deficit has grown in recent years to $72 billion in 2023, it largely reflects U.S. imports of Canadian energy… (paras. 1-4). [13] In relation to the same policy undertaken with Canada, the Trump administration began a very dangerous strategy against its territorial neighbors, with the following actions: declaring Mexican drug cartels as terrorist groups (knowing how the U.S. has manipulated the concept of terrorism to justify military interventions), implementing migrant deportation policies, waging a fight against fentanyl, and additionally launching a tariff war with both Mexico and Canada. It has also reiterated its intention to annex Greenland, accompanied by threats of tariffs and a trade war against Denmark and other EU countries, including undermining the existence of NATO. All the above is carried out under the close advice and influence of the AFPI, clearly reflected in its supremacist doctrinal positions and aspirations to create a large imperialist nation. An example of these ambitions has been openly published by various international media outlets, including the news channel FRANCE24. In this outlet, Blandón (2025) refers to the following: During a meeting with NATO Secretary General Mark Rutte, U.S. President Donald Trump reiterated that control of Greenland is necessary to improve international security, while once again confirming his interest in annexing this territory… Outgoing Greenland Prime Minister Mute Egede responded on the social network Facebook: “The U.S. president has once again raised the idea of annexing us. Enough is enough!”, and added that he will call on the leaders of all parties to convince them to prevent it… (paras. 1, 2).   In other words, it is appropriate to infer that the direction and intentionality of the foreign policy of the new Trump administration is aimed at territorial expansionism and the promotion of proxy control of global territorial governance, supported by the “Donroe Doctrine” and enhanced through the use and development of Persuasive Technology, aligned with a global strategic agenda (influenced by the AFPI), which seeks to counter the strengthening of a multipolar world and perpetuate U.S. imperialist hegemony under a global supremacy fundamentalism. CELAC as a Geopolitical Counterweight to the Real Threat of the U.S. and Its New Imperialist Format for Hegemonic Survival The Community of Latin American and Caribbean States (CELAC), as an intergovernmental organization, currently acquires strategic value for the entire continent and its sustainable development, within the framework of creating new mechanisms for coordination, cooperation, and regional integration with Africa and Asia — especially China — through the Belt and Road Initiative, considering the entire current geopolitical context where markets play a predominant role in defining internal policies and in directly influencing the strategic agendas of each nation's foreign policy, according to constantly changing global challenges, heightened by the stance adopted by the Global North, led by the U.S., against the Global South, led by BRICS countries. Once the real threat posed by the U.S. has been identified — based on the unipolar geopolitical vision that has characterized the exercise of its foreign policy — this is compounded by the supremacist trend in implementing Unilateral Coercive Measures (UCMs) [14] against free and independent nations that, upholding the principle of self-determination, do not submit to or share the interests of the Anglo-Saxon establishment, promoted by the new U.S. administration. Now then, conducting a prospective analysis of how and on what grounds the U.S. sustains and describes its current hegemonic behavior, it is possible to predict, with certain elements and data, what its courses of action will be — courses that Latin America and the Caribbean, as well as Africa and Asia (especially China), should consider. Among these, the following stand out: Territorial Expansion of the U.S. Trade War The current trade war declared between the U.S., Canada, and Mexico — initially through the reciprocal imposition of tariffs — considering the influence of the AFPI as a U.S. Think Tank, is clearly perceived as territorial expansion, in search of proxy control over territorial governance previously mentioned, of all strategic resources in Latin America and the Caribbean. This comes because of the fiscal, economic, and financial weakening the U.S. is experiencing through the increase of public debt, which is practically unsustainable. In this sense, the actions taken by the Trump administration in appointing certain cabinet positions can be understood to some extent. However, it is curious and at the same time causal that many appointments obey and are related — directly and indirectly — to the training of officials associated with and linked to the AFPI, as part of its strategic objective. An example of this are the words of Colonel Robert Wilkie, co-chair of the Center for American Security, member of the AFPI, quoted by King (2025) in his press article titled “AFPI Welcomes President Trump’s Renewal of the American Dream”, where the following was stated, making direct reference to peace through strength: President Trump proclaimed that America is back, which means our Armed Forces are back: the greatest force for peace in the history of the world. He has restored the highest combat standards so that our soldiers fight, win, and return home to their loved ones as soon as possible. President Trump has restored the place of honor our warriors hold in the hearts and minds of the American people. He has restored America’s deterrent power and told the world that the most powerful words in the language are: “I am an American citizen.” Our borders are stronger, our seas safer, and every wrongdoer knows that the eagle is watching them. (para. 6) The above statement does not set aside its imperialist and supremacist character, denoting the philosophical and doctrinal thinking deeply rooted in the officials who hold government functions at all decision-making levels, promoting pro-U.S. policies that disrespect international law and encourage the establishment of a rules-based world order, with full disregard for the international rule of law. This is, in fact, a very complex and dangerous geopolitical situation, which threatens not only the self-determination of peoples, but also the ability to advance in areas of coordination, cooperation, and integration to achieve the Sustainable Development Goals (SDGs) adopted in the United Nations 2030 Agenda, to which CELAC countries adhere through the implementation of development plans seeking mutual benefit. Now then, the world order is in permanent change, with a tendency toward the consolidation of a multipolar world because of the crisis of capitalism and the Anglo-Saxon economic model represented in the Bretton Woods System. This situation favors the opening of new mechanisms supported by the multipolarity of international relations, depending on the behavior of the world economy, as a result of the policies of both the U.S. and emerging powers—especially the BRICS countries. However, it is precisely the economic pulse that will redefine the hostile actions of the U.S. in defense of its global hegemonic power, equally and in parallel influenced by the energy capacities of the world powers in conflict — an element that is preponderant in geopolitical influence. An example in this chapter is Russia’s advantage in gas and oil during the Ukrainian conflict. The exponential economic growth of the BRICS compared to the G7 is the clearest expression of the multilateral influence trend of member countries, in line with the multipolarity of international relations, where the geopolitical positioning of both the Global North (G7) and the Global South (BRICS) can be clearly observed. This economic and financial disparity accelerates the weakening of the Bretton Woods System and, consequently, the collapse of the dollar system within the Anglo-Saxon economic model, leading to the loss of hegemonic influence of the Global North countries — especially the U.S. as its main exponent. Other data are relevant when conducting a prospective analysis, with the aim of identifying growth and sustainable development opportunities, as well as understanding the challenges to achieving strategic objectives for comprehensive development by nations. Among the data to consider in the prospective analysis, we have the following chart, associated with excessive global consumption in the 21st century compared to the 20th century:   According to the chart on excessive global consumption, in only six years of progress into the 21st century, modern society has exceeded more than half of what it consumed in the 20th century, with a 75% increase above the average recorded over the last 100 years — a truly alarming percentage with a tendency to increase, as a consequence of economic activity, technological advancement, and the increase of armed conflicts worldwide. Within this context, the U.S. will increasingly seek to influence countries that significantly represent an economic interest in terms of territory, population density, manufacturing and industrial capacity, and geographic position. Through proxy control of territorial governance, it will aim to increase its hegemonic capacity in the economic and financial spheres against its main geopolitical rivals in the struggle for global supremacy — namely Russia and China — whose multipolar geopolitical vision entirely rivals the unipolar geopolitical vision of U.S. foreign policy. Given this scenario, CELAC presents a fundamental characteristic that allows it to move forward as a geopolitical counterweight to the U.S., broken down as follows:Territorial extension: all member countries together cover an enormous territorial space rich in strategic resources, with common areas of influence and mutual interest for sustainable development. Shared future, based on history, language, customs, and other cultural expressions that strengthen Latin American and Caribbean identity, which can be leveraged in the processes of regional consultation, cooperation, and integration with Africa and Asia. The increase in the hostile trend of U.S. foreign policy worldwide will require greater effort from CELAC to advance in consolidating full regional integration. However, the current progress of the intergovernmental organization has been limited to certain and specific areas, namely the economic, cultural, social, and political spheres of its members. Transition toward the Confederation of Latin American and Caribbean States as a strategy for geopolitical counterbalance and sustainable development For CELAC to consolidate itself as a geopolitical counterweight to U.S. hegemonic ambitions in the region, it must be grounded in the exercise of a foreign policy with a multipolar geopolitical vision, compatible with the mutual sustainable development interests of the Global South. In this regard, Palacio de Oteyza (2004), in his essay "The Imperial Image of the New International Order: Is This Political Realism?" states the following: “The second realistic image of the international order, partially compatible with the geoeconomic image, consists of a return to a traditional multipolar system of balance of power, but with a decisive weight given to the military factor. The multipolar system is characterized by the absence of a hegemon and a flexibility of alliances among the great powers, aimed at restraining any potential challenger” [13]. In this context, the geopolitical counterweight that CELAC needs to confront the U.S.’s hegemonic ambitions in the region — and even globally — is regional integration in other areas not currently contemplated by the Community of Nations due to its nature. That is, increasing integration in the military, geographic, and social spheres through the transition toward a confederation of nations would enhance international relations capabilities, contributing to the adoption of deterrent measures for the prevention of armed conflicts and even facilitating its integration into other centers of power with a multipolar geopolitical vision, such as the Association of Southeast Asian Nations (ASEAN), to further strengthen relations with both Russia and China and their respective sustainable development plans. Economic opening and new formulas for regional integration with Africa and Asia An economic opening is the result of the globalization process, the advancement of new technologies, and the effects of the exercise of states’ foreign policies in accordance with their interests and the geopolitical vision they adopt, for geopolitical analysis that enables the identification of risks, threats, and opportunities in the international arena. That said, within the framework of regional integration, CELAC must also prioritize investment sectors for the establishment of common development interests among CELAC, Africa, and Asia. One of the most notable current realities is the fact that the Global South’s economy began systematically, setting challenges and then experiencing growth in less time compared to the growth of the G20, led by the U.S., with China taking the lead according to the percentage value recorded in 2024. In this scenario, CELAC, by reconsidering its transition toward a Confederation of Latin American and Caribbean States, would allow for greater autonomy in its integration into the global architecture implied by the strengthening and consolidation of the BRICS at the global level as an alternative system to the Bretton Woods System. In doing so, advances toward strengthening regional integration — embedded within a new multipolar world, with the combined capabilities of the Global South — can become, more than a reality, a necessity to confront the real threats posed by the U.S., serving as a geopolitical counterweight and a tool for insertion into the multipolar world through continental alliances between Latin America and the Caribbean, with Africa and Asia. Conclusions It was possible to assess the leading role of CELAC and its strategic nature in defending the regional interests of Latin America and the Caribbean, opening a world of opportunities in trade relations with Asia and Africa for the construction of a multipolar world through the promotion of China’s Belt and Road Initiative as an alternative mechanism to confront the U.S. economic war on a global scale and its project to create the so-called “U.S.-CUM”, as part of its foreign policy based on its national security interests. In this regard, in an environment of geopolitical changes and international crisis, as part of the transition process toward the consolidation of a multipolar world, CELAC can promote or drive significant advances aimed at the creation of a Confederation of Latin American and Caribbean Nations (CONLAC) as part of a strategy for integration with Asia and Africa, considering the multipolar geopolitical vision shared by the Global South, where the concept of shared development represents a key point for international dialogue and cooperation — specifically in the economic, social, political, geographic, cultural, environmental, and military spheres. All of this would serve to act as a geopolitical counterweight to the threats and global challenges promoted by the U.S., in the exercise of its unipolar geopolitical vision in foreign policy, of an imperialist, hegemonic, and supremacist nature. Notes [1] Fuente: https://celacinternational.org/projects/[2] Revista Comunicación. Año 45, vol. 33, núm. 1, enero-junio 2024 (pp. 120-133). Fuente: https:// www.scielo.sa.cr/scielo.php?script=sci_arttext&pid=S1659-38202024000100120[3] Conjunto de personas, instituciones y entidades influyentes en la sociedad o en un campo determinado, que procuran mantener y controlar el orden establecido. Fuente: https://dpej.rae. es/lema/establishment[4] https://gaceta.politicas.unam.mx/index.php/poder-estadounidense/[5] https://americafirstpolicy.com/issues/security/national-security-defense[6] https://www.france24.com/es/ee-uu-y-canad%C3%A1/20241126-el-america-first-policy-institute-una-discreta-m%C3%A1quina-de-combate-de-donald-trump[7] https://americafirstpolicy.com/centers/center-for-american-security[8] El poder duro se da cuando un país utiliza medios militares y económicos para influir en el comportamiento o los intereses de otras entidades políticas. Es una forma de poder político a menudo agresiva, es decir, que utiliza la coerción. Su eficacia es máxima cuando una entidad política la impone a otra de menor poder militar o económico. Fuente: https://www. jagranjosh.com/general-knowledge/what-isthe-difference-between-hard-power-and-softpower-1608095574-1[9] https://americafirstpolicy.com/centers/center-for-american-security[10] La tecnología persuasiva está concebida para permitir que los usuarios voluntariamente cambien sus actitudes o comportamientos por medio de la persuasión y la influencia social. Al igual que la tecnología de control, utiliza actuadores y un algoritmo de influencia para ofrecerle información eficaz al usuario. Fuente: https://osha.europa.eu/es/tools-and-resources/eu-osha-thesaurus/term/70213i#:~:text=Context:,ofrecerle%20informaci%C3%B3n%20eficaz%20al%20usuario[11] https://revistas.usfq.edu.ec/index.php/perdebate/article/view/1550/2661[12] Fuente: https://www.cipi.cu/wp-content/uploads/2022/09/1-elaynevalton.pdf[13] https://apnews.com/article/trump-canadagolfo-america-super-bowl-bret-baier-musk-cc8848639493d44770e60e4d125e5a62[14] Medidas Coercitivas Unilaterales.[15] Revista CIDOB d’Afers Internacionals, núm. 64, p. 7-28 References Colvin, J. (2025, 9 de febrero). Trump dice que habla en serio al afirmar que Canadá sea el estado 51 de EEUU. AP News. https://apnews.com/article/trump-canada-golfo-america-super-bowl-bret-baier-musk-cc8848639493d44770e60e4d125e5a62Corte, M. (2018, 7 de mayo). Análisis del ‘establishment’ estadounidense. Gaceta UNAM. https://gaceta.politicas.unam.mx/index.php/poder-estadounidense/Guendel Angulo, H. (2024). Escenarios de transición: De la geopolítica mundial unipolar a la multipolar. Revista Comunicación On-line. https://www.scielo.sa.cr/scielo.php?script=sci_arttext&pid=S1659-38202024000100120Palacio de Oteyza, V. (2003). La imagen imperial del nuevo orden internacional: ¿es esto realismo político? Revista CIDOB d’Afers Internacionals, (64), 7-28. https://www.cidob.org/publicaciones/la-imagen-imperial-del-nuevo-orden-internacional-es-esto-realismo-politicoSeibt, S. (2024, 26 de noviembre). El America First Policy Institute, una discreta máquina de "combate" de Donald Trump. France24. https://www.france24.com/es/ee-uu-y-canad%C3%A1/20241126-el-america-first-policy-institute-una-discreta-m%C3%A1quina-de-combate-de-donald-trumpTusa, F., & Durán, M. B. (2019). La era de la desinformación y de las noticias falsas en el ambiente político ecuatoriano de transición. Perdebate. https://revistas.usfq.edu.ec/index.php/perdebate/article/view/1550/2661Valton Legrá, E. (2022). La geopolítica de la tecnología: una visión sistémica. CIPI. https://www.cipi.cu/wp-content/uploads/2022/09/1-elaynevalton.pdfZelada Castedo, A. (2005). Perspectiva histórica del proceso de integración latinoamericana. Revista Ciencia y Cultura, (17), 113-120. Universidad Católica Boliviana San Pablo, La Paz, Bolivia.

Diplomacy
NEW YORK, USA - JUNE 21 2013 - United Nations security council hall headquartered in New York City, in a complex designed by architect Niemeyer open to public.

The UN in crisis: Justice without power, power without justice

by Francisco Edinson Bolvaran Dalleto

Abstract The United Nations (UN), eighty years after its creation, faces a structural crisis that reveals the tension between justice and power. This essay examines how the design of the Security Council, with its veto power, perpetuates an unequal order inherited from 1945 and limits the effectiveness of the collective security system. Through theoretical perspectives — Morgenthau, Schmitt, Habermas, Falk, and Strange — it is shown that international law remains subordinated to power interests, that proclaimed universality masks hegemonies, and that global economic dynamics lie beyond institutional reach. Cases such as Kosovo, Libya, Gaza, and Myanmar illustrate the paralysis and delegitimization of the Responsibility to Protect. Considering this scenario, two paths emerge: reforming multilateralism with limits on the veto and greater representativeness or resigning to a fragmented order. The conclusion is clear: without adaptation, the UN will become a symbolic forum, making chronic its inability to respond to current challenges. Dag Hammarskjöld, the second Secretary-General of the UN, warned: “The United Nations was not created to take us to heaven, but to save us from hell.” [1] Eighty years after its founding, that promise seems to falter in the face of multiple wars, such as those in Gaza, Ukraine, Sudan, or Myanmar, among many others, with a sense of ineffectiveness, loss of prestige, and collective impotence being perceived: does the UN no longer fulfill the role it once assumed? At first glance, blame falls solely on the nature of the institution itself. But the root of the problem seems to lie not only in New York, but also in the main capitals of the world. The UN is nothing more than what States allow it to be. Its effectiveness depends on the will of those who comprise it; and the uncomfortable truth is that the great powers prefer to limit its scope rather than cede parcels of sovereignty. As John Rawls pointed out, a just international system requires that peoples accept common principles of justice. [2] Today, by contrast, it is a constant that collective interest systematically gives way to particular interest. The Security Council is the most evident symbol of this contradiction. It remains anchored in post-war logic, with five permanent members clinging to the privilege of the veto. That power, already met with skepticism in San Francisco in 1945, turned into a tool of paralysis. As Canada denounced in 2022, the veto is “as anachronistic as it is undemocratic” and has prevented responses to atrocities. [3] Aristotle said that “justice is equality, but only for equals.” [4] In the UN, the Assembly proclaims sovereign equality, while the Council denies it in practice: some States remain “more equal” than others. The UN Charter articulates its backbone in a few luminous rules: the prohibition of the use of force (Art. 2.4), non-intervention in internal affairs (Art. 2.7), and, as a counterbalance, the collective security system of Chapter VII (Arts. 39–42), which grants the Security Council the authority to determine threats to peace and authorize coercive measures. In parallel, Art. 51 preserves the right of self-defense against an “armed attack.” [5] This normative triangle — prohibition, collective security, defense — is the promise of a world governed by law and not by force, but it must be put into practice. In the 1990s, a dilemma arose: what to do when a State massacres its own population or is unable to prevent it? The political-legal response was the Responsibility to Protect (R2P), affirmed at the 2005 World Summit (paras. 138–139). [6] Its architecture is sequential: (I) each State has the primary responsibility to protect its population against genocide, war crimes, ethnic cleansing, and crimes against humanity; (II) the international community must help States fulfill that responsibility; and (III) if a State manifestly fails, the international community, through the Security Council, may adopt collective measures — preferably peaceful ones; as a last resort, coercive — case by case and in accordance with the Charter. Properly understood, R2P is not a license to intervene; it is a duty to protect framed within International Law. The historical record shows both its necessity and its perverse effects. Kosovo (1999) inaugurated, without authorization from the Council, the narrative of “humanitarian intervention,” based on a supposed “legitimate illegality.” [7] The precedent left a dangerous standard: humanitarian purposes invoked to circumvent the hard core of the Charter. Libya (2011) seemed to be the “ideal case” of R2P: the Council authorized “all necessary measures” to protect civilians. [8] However, the shift toward regime change eroded the trust of Russia and China, which since then have blocked robust resolutions on Syria, hollowing out the effectiveness of R2P. [9] The lesson is bitter: when protection is perceived as a vehicle of hegemony, the norm is delegitimized, and the veto becomes reflexive. Gaza and Myanmar display the other face of paralysis. In Gaza, the Council’s inability to impose sustainable ceasefires — despite patterns of hostilities that massively impact the civilian population — has shifted the debate to the General Assembly and the International Court of Justice through interstate actions and provisional measures. [10] In Myanmar, the genocide of the Rohingya mobilized condemnations, sanctions, and proceedings before the International Court of Justice (hereinafter, ICJ), [11] but did not trigger a coercive response from the Council. R2P exists on paper; its implementation is captive to the veto. Thus, the “right to have rights” that Arendt spoke of still depends on geopolitics. [12] History teaches that international law has always been strained by force. Rousseau warned that the strong seek to transform their power into law. [13] That is what the winners of 1945 did by crystallizing their hegemony in the Charter. And so, what Kant dreamed of as perpetual peace remains chained to an unequal order. [14] The UN, more than a republic of law, still seems a field of power. That fragility has opened space for alternatives. The BRICS, for example, have emerged as a heterogeneous bloc that combines the cohesion of historically homogeneous powers such as China and Russia with the diversity of India, Brazil, and South Africa. Paradoxically, their strength lies in articulating that heterogeneity against a common enemy: the concentration of power in the Security Council. [15] In a multipolar world, heterogeneity ceases to be a weakness and becomes a driver of plurality and resistance. The UN crisis is not only about security; it is also economic and distributive. The universalist promise of the Charter (Arts. 1.3 and 55–56, on cooperation for development) coexists with a global financial architecture whose heart beats outside the UN: the IMF and World Bank, designed in Bretton Woods, project a structural power — in Susan Strange’s terms — that conditions public policies, access to liquidity, and investment capacity. [16] The sovereign equality proclaimed in New York becomes blurred when the asymmetry of weighted voting in financial institutions (and the conditionality of credit) makes some States more “equal” than others. This is not a recent claim. Since the 1960s, the United Nations Conference on Trade and Development and, later, the Declaration on a New International Economic Order (1974), sought to correct structural problems such as the deterioration of terms of trade and the dependence between “center” and “periphery” countries, as Prebisch had pointed out. [17] However, the results were limited: ECOSOC lacks teeth, UNDP mobilizes cooperation but fails to change the rules of the system, and the 2030 Agenda sets important goals but without mandatory enforcement mechanisms. [18] The pandemic and the climate crisis have further worsened these inequalities, highlighting problems such as over-indebtedness, the insufficiency in the reallocation of Special Drawing Rights (SDRs), and climate financing that often arrives late and under unsuitable conditions. In this scenario, the New Development Bank of the BRICS emerges, seeking to open a path toward greater financial autonomy for developing countries. [19] International economic justice is the reverse side of collective security. Without fiscal space or technological transfer, the Global South remains trapped between development promises and adjustment demands. The UN has political legitimacy to outline a Global Economic Council (as proposed by the Stiglitz Commission in 2009) [20] to coordinate debt, international taxation, and global public goods, but it currently lacks normative muscle. The result is fragmentation: fiscal minilateralism, climate clubs, and value chains that distribute risks to the South and rents to the North. The solution does not lie simply in “more aid,” but in prudent rules such as: (I) a multilateral debt restructuring mechanism under UN auspices; [21] (II) effective international taxation on intangibles and the digital economy; [22] (III) binding compliance with the loss and damage fund in climate matters; [23] and (IV) a reform of quotas in IFIs that reflects the real weight of emerging economies. [24] Without constitutionalizing — even gradually — this economic agenda, sovereign equality will remain an empty liturgy and the discontent of the Global South a political fuel that erodes the UN from within. The truth is that the United Nations of 1945 no longer responds to the challenges of 2025. As the president of Brazil recently said: “The UN of 1945 is worth nothing in 2023.” [25] If States do not recover the founding spirit — placing collective interest above particular ones — the organization will remain prisoner of the veto and the will of a few. The question, then, is not whether the UN works, but whether States really want it to work. Taking the above into account, this essay will analyze the UN crisis from three complementary dimensions. First, the theoretical and philosophical framework that allows us to understand the tension between power and law will be addressed, showing how different authors highlight the structural roots of this contradiction. Second, historical episodes and current examples will be reviewed to illustrate the paralysis and democratic deficit of the organization. Finally, possible scenarios for the future will be projected, engaging in the exercise of evaluating the minimum reforms that could revitalize multilateralism in contrast to the alternative of critical global fragmentation. Considering all together, the argument is that the UN finds itself trapped between justice without power and power without justice, and that its survival depends on its ability to adapt to an international order radically different from that of 1945. I. The contradiction between power and law: Hans Morgenthau and political realism To understand the paralysis of the UN, it is useful to turn to Hans Morgenthau, a pioneer of realism in international relations. In his work “Politics Among Nations” (1948), he warned that the international order is always mediated by the balance of power and that legal norms only survive to the extent that they coincide with the interests of powerful States. [26] His idea is provocative: international law is not an autonomous order, but a language that powers use so long as it does not contradict their strategic objectives. Applied to the UN, this analysis is clear: the institution reflects less universal ethical commitment and more correlation of historical forces. The Security Council is not a neutral body, but the mirror of the hegemony of 1945, crystallized in Article 27 of the Charter, which enshrines the right of veto. The supposed universality of the UN is subordinated to a mechanism designed precisely to ensure that no action contrary to the superpowers could be imposed. Contemporary critiques confirm Morgenthau’s intuition. When Russia vetoes resolutions on Ukraine, [27] or the United States does the same regarding Gaza, [28] it becomes evident that international justice is suspended in the name of geopolitics. The legal is subordinated to the political. In this sense, the UN crisis is not an accident, but the logical consequence of its design, and what Morgenthau pointed out seventy years ago remains valid: as long as there is no coincidence between law and power, international norms will remain fragile. Political realism helps explain why the UN fails when it is most needed. States continue to act according to their national interests, even when this contradicts the international norms they themselves have subscribed to. The Security Council has become a space where powers project their strategies of influence, blocking collective actions whenever these affect their geopolitical priorities. The war in Ukraine, the invasion of Iraq in 2003, and the inaction in the face of the Rwandan genocide show that international law is applied selectively, reinforcing the idea that rules are valid only when they do not interfere with the power of the strongest. This pattern evidently erodes the legitimacy of the UN in the eyes of societies, because it generates the perception that the organization is incapable of representing the collective interest and, instead, merely reflects the correlation of forces of each historical moment. II. Carl Schmitt and the Myth of Universal Order Another voice that resonates is that of Carl Schmitt, who in “The Nomos of the Earth” (1950) argued that every international legal order arises from a founding political decision, that is, an act of power. [29] For Schmitt, there is no “universal law” that imposes itself; what is presented as universal is, in reality, the crystallization of a particular domain. The UN perfectly embodies this diagnosis. The founding discourse of San Francisco in 1945 spoke of “we the peoples of the United Nations,” [30] but in reality the Charter was written under the predominance of the winners of the Second World War. What was presented as a universal order of peace and security was, in fact, the codification of the Allied hegemony. Schmitt helps explain why the UN has never escaped that original logic. Although the General Assembly proclaims sovereign equality in Article 2 of the Charter, the structure of the Council reproduces the privilege of a few. [31] The international law of the UN appears, in Schmittian terms, as a “nomos” imposed by the winners, not as a true universal community. The consequence is a legitimate deficit that has persisted until today and explains much of the perception of ineffectiveness. The original structure of the UN perpetuates an unequal design that remains in force. The veto privilege is not only a defensive mechanism for the winners of the Second World War, but it has also functioned as a lock — one without keys — that prevents any real evolution of the system. Over eight decades, demands for reform have clashed with the resistance of those who benefit from keeping the rules intact. The contradiction is evident: developing States, which today represent the majority in the General Assembly, lack effective power in the most important decisions on international security. The gap between the universalist discourse of sovereign equality and the hierarchical practice of the Council undermines the credibility of the multilateral order. As long as this tension persists, the UN will hardly be able to become the space of global governance that the world requires more urgently than ever in the 21st century. III. Habermas and the Need for a Deliberative Community In contrast to this pessimism, Jürgen Habermas offers a different perspective. In “The Inclusion of the Other” (1996) and in later essays, he proposed moving toward a “constitutionalization of international law,” understood as the creation of a global normative space in which decisions are not based on force, but on rational deliberation. [32] From this perspective, the UN would be an imperfect embryo of a community of world citizens. The impact of this idea is enormous: it suggests that, beyond current deadlocks, the UN embodies the possibility of transforming power relations into processes of public deliberation. Article 1 of the Charter, which speaks of “maintaining international peace and security” and of “promoting friendly relations among nations,” can be read not only as a political mandate but also as a normative ideal of cosmopolitan coexistence. [33] Criticism of Habermas is evident: his proposal errs on the side of idealism in a world where national security interests remain paramount. However, his contribution is valuable because it allows us to think of the UN not only as a paralyzed body but also as a field of normative struggle. The problem is not only the strength of the vetoes but also the lack of will to transform that space into a true deliberative forum. [34] Thinking of the UN as a deliberative community requires recognizing that its current procedures do not guarantee authentic dialogue. Debate in the General Assembly is often reduced to formal statements, while crucial decisions, as everyone knows, are taken in restricted circles. The lack of effective mechanisms for the participation of non-state actors, such as regional organizations or civil society, further limits the inclusive character of the institution. Genuine deliberation should open spaces where multiple voices can influence decision-making processes, not only through speeches but by building binding consensus. However, the most powerful States fear losing control over the international agenda, which generates a vicious circle: an elitist governance system is maintained that protects privileges, but at the cost of sacrificing legitimacy and effectiveness. Thus, the promise of a deliberative order is reduced to a normative horizon that has not yet been realized. IV. Richard Falk and the Global Democratic Deficit A more recent contribution comes from Richard Falk, jurist and former UN rapporteur, who has insisted on the “democratic deficit” of the international order. In his view, the UN suffers from a structural contradiction: while the Charter proclaims the sovereignty of peoples, in practice it concentrates power in a small club of States. [35] This not only limits its effectiveness but also erodes its legitimacy in the eyes of the peoples of the world. The case of Palestine is emblematic. The General Assembly has repeatedly recognized the right of the Palestinian people to self-determination, but the veto in the Council blocks any effective measure. [36] Falk interprets this as evidence that the UN operates under a “democracy of States” but not under a “democracy of peoples.” The impact is devastating: millions of people perceive the organization not as a guarantor of rights, but as an accomplice to inequality. This leads us to a brief analysis of the International Criminal Court (ICC), born from the Rome Statute (1998), which promised a civilizational breakthrough: that the most serious crimes (“which affect the international community as a whole”) would not go unpunished. [37] Its design is cautious: complementarity (it acts only if the State is unwilling or unable), restricted jurisdiction (genocide, crimes against humanity, war crimes, and — with limits — aggression), and jurisdiction based on territory, nationality, or referral by the Security Council. The two major milestones of the Council — referrals of Darfur (2005) and Libya (2011) —demonstrated both the potential and the limits. There were procedural advances and arrest warrants, but also contested operative clauses and very little cooperation for arrests. [38] The implicit message to the Global South was ambiguous: justice is universal, but its activation depends on the map of alliances in the Council. At the same time, key powers are not parties to the Statute (United States, China, Russia) and yet influence when the Court acts. The result fuels the argument of “winners’ justice” that several African foreign ministries have raised. The Court has tried to rebalance its map: investigations in Afghanistan, Palestine, and Ukraine, as well as arrest warrants against high-ranking authorities in cases of aggression or serious international crimes, have partly disproved the idea of a one-sided persecution. But the Achilles’ heel persists: without State cooperation, there are no executions of warrants; without the Council, there is no activation in key contexts; with the Council, there is a veto. In addition, Article 16 of the Statute allows the Council to suspend investigations for 12 renewable months, a political valve that subordinates the judicial to the geopolitical. [39] Integrating Falk’s critique into this essay makes it possible to highlight that the UN crisis is not only institutional but also democratic. Article 1.2 of the Charter proclaims respect for the principle of equal rights and the self-determination of peoples, but this ideal becomes empty when the veto power systematically contradicts it. [40] The democratic deficit of the UN is not limited to the Security Council but runs through the entirety of its institutional architecture. Developing countries have little influence on global economic governance, despite being the most affected by decisions on debt, trade, or climate financing. Unequal representation in bodies such as the IMF and the World Bank, together with dependence on international cooperation, reproduces relations of subordination that contradict the principles of equality and self-determination. Moreover, world citizenship lacks a real channel of influence: peoples see their demands diluted in state structures that do not always — or almost never — reflect their needs. This divorce between peoples and States turns the UN into an incomplete democracy, where the most vulnerable collective subjects fail to make their voices heard. Overcoming this limitation is essential to restoring the legitimacy of multilateralism. V. Susan Strange and the Geopolitics of the Economy Finally, Susan Strange adds another dimension: the economic one. In “The Retreat of the State” (1996), she argued that power in the contemporary world does not reside only in States, but also in transnational forces — financial markets, corporations, technologies — that escape institutional control. [41] The UN, designed in 1945 under the logic of sovereign States, lacks instruments to govern this new scenario. The impact is evident. While the Security Council is paralyzed in debates over traditional wars, global crises such as climate change, pandemics, or the regulation of artificial intelligence show that real power has shifted toward non-state actors. [42] Strange warns that if international institutions do not adapt to this reality, they risk becoming irrelevant. In this sense, the UN faces not only a problem of veto or representativeness, but also a historical mismatch: it was designed for a world of States and conventional wars, but today we live in a world of transnational interdependencies. The Charter, in its Article 2.7, continues to emphasize non-interference in the internal affairs of States, but this clause seems insufficient to govern global threats that transcend borders. [43] And it is vitally important to note that the global threats of the 21st century do not fit the traditional paradigm of interstate wars that has been preconceived. Challenges such as climate change, pandemics, and technological revolutions pose risks that no State can face alone. However, the UN lacks effective mechanisms to coordinate global responses in these areas. The fragmentation of climate governance, competition for vaccines during the pandemic, and the absence of clear rules to regulate large digital corporations illustrate the magnitude of the challenge. In this context, state sovereignty proves insufficient, and the principle of non-interference becomes obsolete. If the UN does not develop innovative instruments that integrate transnational actors and strengthen multilateral cooperation, it risks becoming a merely declarative forum, incapable of offering concrete solutions to the problems that most affect contemporary humanity — and it is important that these critiques be heard before it is too late. VI. Current Scenarios All the above opens up a momentous dilemma of our time: either we reform multilateralism so that law contains “force,” or we normalize “exception” forever. [44]Scenario A: A minimal but sufficient cosmopolitan reform. A critical group of States —supported by civil society and epistemic communities — agrees to self-limit the veto in situations of mass atrocities (ACT-type codes of conduct), promotes the expansion of the Council with some permanent presence of the Global South (India, Brazil, Germany, Japan, and one African seat, probably South Africa), and strengthens “Uniting for Peace” mechanisms to circumvent blockages. [45] The ICJ gains centrality with advisory opinions politically bound by prior compliance commitments, the ICC ensures interstate cooperation through regional agreements, and the UN creates a rapid civil deployment capacity for the protection of civilians, minimal cybersecurity, and climate response. [46] In the economic sphere, a Global Economic Council emerges within the orbit of the UN to coordinate debt, climate, and international taxation with common standards. [47] Scenario B: Ordered fragmentation of anarchy. Blockages become chronic. Security shifts to ad hoc coalitions and minilateralisms (NATO Plus, QUAD, expanded BRICS), economic governance is decided in restricted membership forums, and the UN remains a symbolic forum without decision-making capacity. [48] Exception becomes the rule: “preventive interventions,” widespread unilateral sanctions, proliferation of private military companies, opaque cyber-operations, and a data ecology controlled by a few platforms. [49] International law endures as a language, but its social force dissipates; incentives push toward strategic autonomy and legal security by blocs. In other words, the future of the UN will depend on its ability to balance justice and force in an international environment marked by multipolarity. I insist that one possible path is to advance toward gradual reforms that strengthen transparency, broaden the representativeness of the Council, and grant greater autonomy to the General Assembly and judicial bodies. Another, far more radical, is the consolidation of parallel mechanisms that de facto replace the role of the UN through regional alliances, ad hoc coalitions, and alternative economic forums. Both paths involve risks: reform may stagnate in the lowest common denominator, while fragmentation may deepen inequalities and conflicts. However, what seems clear is that maintaining the status quo will only prolong paralysis and further weaken the legitimacy of the multilateral system. The choice between reform or irrelevance will, ultimately, be the decisive dilemma of the 21st century. I believe that three milestones will indicate where we are headed: (1) effective adoption of commitments to abstain from vetoes in the face of mass atrocities; (2) funded and operational implementation of the climate loss and damage mechanism; (3) cooperation with the ICC in politically sensitive cases, without ad hoc exceptions. [50] VII. Conclusion: Between Disillusionment and Hope The UN marks eighty years caught in Pascal’s dilemma: “force without justice is tyranny, justice without force is mockery.” [51] The diagnosis is clear: the Security Council has turned justice into a mockery, while the great powers have exercised force without legitimacy. [52] The result is a weakened organization, incapable of responding to the most urgent tragedies of our time. However, it would be a mistake to fall into absolute cynicism. Despite its evident limitations and alongside all that has been mentioned, the UN remains the only forum where 193 States engage in dialogue, the only space where there exists even a minimal notion of common international law. [53] Its crisis should not lead us to abandon it, but rather to radically rethink it. Perhaps the path lies in what Habermas calls a “constitutionalization of international law,” as previously proposed, or in a profound reform of the Security Council that democratizes the use of force. [54] History teaches that institutions survive if they manage to adapt. [55] If the UN does not, it will be relegated to the status of a giant that humanity needs but that is paralyzed, a symbol of a past that no longer responds to the challenges of the present. [56] But if States recover something of the founding spirit of 1945, perhaps it can still save us from hell, even if it never takes us to heaven. [57] VIII. References [1] Dag Hammarskjöld. Hammarskjöld. Citado en Brian Urquhart. New York: Alfred A. Knopf, 1972.[2] John Rawls. The Law of Peoples. Cambridge, MA: Harvard University Press, 1999.[3] Permanent Mission of Canada to the United Nations. Statement on the Veto. UN General Assembly, 26 April 2022.[4] Aristóteles. Política. Traducido por Antonio Gómez Robledo. México: UNAM, 2000.[5] Naciones Unidas. Carta de las Naciones Unidas. San Francisco: Naciones Unidas, 26 de junio de 1945.[6] Naciones Unidas. World Summit Outcome Document. A/RES/60/1, 24 October 2005.[7] Jean-Jacques Rousseau. The Social Contract. New York: Penguin, 1968.[8] Immanuel Kant. Perpetual Peace: A Philosophical Sketch. 1795; repr., Indianapolis: Hackett, 2003.[9] Oliver Stuenkel. The BRICS and the Future of Global Order. Lanham: Lexington Books, 2015.[10] Susan Strange. States and Markets. London: Pinter, 1988. 11. Hedley Bull. The Anarchical Society: A Study of Order in World Politics. New York: Columbia University Press, 1977.[12] Kenneth Waltz. Theory of International Politics. Reading, MA: Addison-Wesley, 1979.[13] Martha Finnemore. National Interests in International Society. Ithaca: Cornell University Press, 1996.[14] Alexander Wendt. Social Theory of International Politics. Cambridge: Cambridge University Press, 1999.[15] Francis Fukuyama. The End of History and the Last Man. New York: Free Press, 1992.[16] Samuel Huntington. The Clash of Civilizations and the Remaking of World Order. New York: Simon & Schuster, 1996.[17] Joseph Nye. Soft Power: The Means to Success in World Politics. New York: Public Affairs, 2004.[18] Joseph Nye. The Future of Power. New York: Public Affairs, 2011.[19] Robert Keohane y Joseph Nye. Power and Interdependence. Boston: Little, Brown, 1977.[20] Robert Keohane. After Hegemony: Cooperation and Discord in the World Political Economy. Princeton: Princeton University Press, 1984.[21] Stephen Krasner. Structural Conflict: The Third World Against Global Liberalism. Berkeley: University of California Press, 1985.[22] Robert Cox. “Social Forces, States and World Orders: Beyond International Relations Theory.” Millennium: Journal of International Studies 10, no. 2 (1981): 126–55.[23] Robert Cox. Production, Power, and World Order: Social Forces in the Making of History. New York: Columbia University Press, 1987.[24] Charles Kindleberger. The World in Depression, 1929–1939. Berkeley: University of California Press, 1973.[25] John Ikenberry. After Victory: Institutions, Strategic Restraint, and the Rebuilding of Order after Major Wars. Princeton: Princeton University Press, 2001.[26] John Ikenberry. Liberal Leviathan: The Origins, Crisis, and Transformation of the American World Order. Princeton: Princeton University Press, 2011.[27] Paul Kennedy. The Rise and Fall of the Great Powers. New York: Random House, 1987.[28] Michael Doyle. Ways of War and Peace: Realism, Liberalism, and Socialism. New York: W. W. Norton, 1997.[29] Charles Beitz. Political Theory and International Relations. Princeton: Princeton University Press, 1979.[30] Andrew Moravcsik. “Taking Preferences Seriously: A Liberal Theory of International Politics.” International Organization 51, no. 4 (1997): 513–53[31] Peter Katzenstein, ed. The Culture of National Security: Norms and Identity in World Politics. New York: Columbia University Press, 1996.[32] Friedrich Kratochwil. Rules, Norms, and Decisions: On the Conditions of Practical and Legal Reasoning in International Relations and Domestic Affairs. Cambridge: Cambridge University Press, 1989.[33] Nicholas Onuf. World of Our Making: Rules and Rule in Social Theory and International Relations. Columbia: University of South Carolina Press, 1989.[34] Christian Reus-Smit. The Moral Purpose of the State: Culture, Social Identity, and Institutional Rationality in International Relations. Princeton: Princeton University Press, 1999.[35] Martha Finnemore y Kathryn Sikkink. “International Norm Dynamics and Political Change.” International Organization 52, no. 4 (1998): 887–917.[36] Michael Barnett y Martha Finnemore. Rules for the World: International Organizations in Global Politics. Ithaca: Cornell University Press, 2004.[37] Ian Hurd. After Anarchy: Legitimacy and Power in the United Nations Security Council. Princeton: Princeton University Press, 2007.[38] Allen Buchanan y Robert Keohane. “The Legitimacy of Global Governance Institutions.” Ethics & International Affairs 20, no. 4 (2006): 405–37.[39] Thomas Franck. The Power of Legitimacy among Nations. New York: Oxford University Press, 1990.[40] David Held. Democracy and the Global Order: From the Modern State to Cosmopolitan Governance. Stanford: Stanford University Press, 1995.[41] Ian Hurd. After Anarchy: Legitimacy and Power in the United Nations Security Council. Princeton: Princeton University Press, 2007.[42] Permanent Mission of Canada to the United Nations. Statement on the Veto. UN General Assembly, 26 April 2022.[43] Oliver Stuenkel. The BRICS and the Future of Global Order. Lanham: Lexington Books, 2015.[44] Naciones Unidas. World Summit Outcome Document. A/RES/60/1, 24 October 2005.[45] Corte Internacional de Justicia. Advisory Opinions. La Haya: CIJ, varios años.[46] Naciones Unidas. Report of the High-level Panel on Threats, Challenges and Change. A/59/565, 2 December 2004.[47] Samuel Huntington. The Clash of Civilizations and the Remaking of World Order. New York: Simon & Schuster, 1996.[48] Robert Keohane. After Hegemony: Cooperation and Discord in the World Political Economy. Princeton: Princeton University Press, 1984.[49] Thomas Franck. The Power of Legitimacy among Nations. New York: Oxford University Press, 1990.[50] Joseph Nye. The Future of Power. New York: Public Affairs, 2011.[51] Blaise Pascal. Pensées. París: Éditions Garnier, 1976.[52] Brian Urquhart. Hammarskjöld. New York: Alfred A. Knopf, 1972.[53] Naciones Unidas. Charter of the United Nations. San Francisco: Naciones Unidas, 1945.[54] Jürgen Habermas. The Postnational Constellation: Political Essays. Cambridge, MA: MIT Press, 2001.[55] John Ikenberry. Liberal Leviathan: The Origins, Crisis, and Transformation of the American World Order. Princeton: Princeton University Press, 2011.[56] Paul Kennedy. The Rise and Fall of the Great Powers. New York: Random House, 1987.[57] David Held. Democracy and the Global Order: From the Modern State to Cosmopolitan Governance. Stanford: Stanford University Press, 1995.

Defense & Security
Bricked wall with stop terrorism sign

Causes of women involement in terrorism

by Eraj Farooqui

AbstractThis paper explores the complex factors that contribute to women's participation in terrorism, a subject that has attracted more scholarly interest, particularly in the wake of 9/11. The discipline is nonetheless politicised and divided despite a great deal of study, which is frequently made worse by a lack of primary data. Women, who are typically thought of as quiet and non-violent, have taken on important roles in terrorist groups, especially during the 1990s, where they have participated in high-profile attacks and leadership roles. The study identifies the main factors: political, religious, personal, and gender equality—that motivate women's participation. Examples show how different organisations differ in that some encourage women to participate actively, while others limit their positions. The study also examines how terrorism has changed over time, with a particular emphasis on its gendered aspects, and assesses how contemporary organisations such as the Islamic State have reshaped the roles of women in terrorist networks. Finally, by illuminating the ideological, cultural, and societal factors that lead to women's radicalisation and involvement, this research offers an in-depth examination of the relationship between gender and terrorism.Keywords:  Terrorism , Women , Political , Religion , Personal , Gender-equality Introduction The reasons behind female terrorism have been extensively studied and debated by numerous academics. Even though there is a wealth of study, a substantial portion of it is contradictory or incomplete. Frequently, the highly politicised word of terrorism has led to contradictory claims in the research. To understand why individuals resort to women terrorism, scholars highlight political, religious, social, and personal causes. In our culture, women were seen as housewives and peaceful members of society, and terrorist groups were controlled by men. Research on women and terrorism can be done on a variety of subjects; however, this paper will mostly focus on the causes of why women participate in terrorism. After 9/11 the academic research on scholarly papers on terrorism have increased by 300% since 9/11.[1] The connection between terrorism and gender is often overlooked due to governments' reluctance to reveal the primary causes and the reluctance to provide reliable data. Researchers often avoid original sources for security reasons. A 2009 review by Karen Jacques and Paul J. Taylor found a reluctance to describe events, excessive narrative analysis, and reliance on secondary sources. [2] The word "terror" comes from the Latin verb "terrere" which means to frighten. It was originally used by the Romans in 105 B.C. to characterise the terror that engulfed Rome during the attack by the Cibri tribe. During the French Revolution’s Reign of Terror, Maximilien Robespierre incited fear among the people.[3]The word "terrorist" was used by Edmund Burkey in the Regicide Peace letter. With the end of Reign of Terror, the word ‘terrorism’ gained popularity.[4] Terrorism, a deliberate use of force or intimidation, is a significant issue in the 21st century, often driven by ideological, religious, or political factors. However, the term "terrorism" has no widely recognised definition. There are four distinct stages of modern terrorism. The first wave of terrorism began in Russia and spread to Western Europe and the United States, using revolutionary and anarchist beliefs.[5]  The final wave is founded on religious beliefs that the world is currently dealing with. This wave started in 1979 when Iran underwent an Islamic revolution. Because of gender norms, terrorists are frequently perceived as masculine attackers. Women are perceived as powerless, passive, and victims during times of conflict, but it is important to remember that if they participate in terrorism, they may pose a greater threat than men.[6]And since 1990, women have gained prominence in terrorist organisations, assuming leadership positions and taking part in more brutal assaults. More media attention is given to female attackers, and people are more curious about the motivations behind their actions. Additionally, terrorist organisations are recruiting more women as a result of this. Although they have historically been involved in terrorist organisations, women's numbers have been small. As an example, the number of female suicide attackers has surged from eight in the 1980s to well over 100 since 2000, indicating a growth in the involvement of women in terrorist actions.[7]  On the other hand as per Bloom’s report over 257 suicide attacks were carried out by female bombers between 1985 and 2010, accounting for 25% of all terrorist incidents. Since 2002, the proportion of female bombers in several nations has surpassed 50%.[8]The first known incidence of female political violence happened in 1878, when Zasulich shot Fedor Trepov, the governor of Saint Petersburg. David Rapoport identified this as one of the four waves of modern terrorism.[9] Weinberg and Eubank claim that women have primarily assumed leadership positions in left-wing revolutionary bands while being assigned to inferior positions in right-wing organisations. They mostly perform supporting and auxiliary functions for numerous religious institutions. [10]Gender, Palestinian Women, and Terrorism: Women's Liberation or Oppression? was written by Anat Berko and Edna Erez. stated that during his questioning, he discovered that many Palestinian men did not approve of women participating in suicide bombings because they saw them as inferior to men.[11] After doing study with a local terrorist organisation, Jacques and Taylor chose 30 male and female suicide bombers. He finished by studying the fact that males prefer to join terrorist organisations for religious and nationalistic reasons, but female suicide terrorists are motivated by personal ones. Mia Bloom’s book the Bombshell: Women and Terrorism examines the motivations of women who participate in terrorism,[12] with an emphasis on relationships, respect, revenge, and redemption. According to Vetter and Perlstein, one of the reasons why women join terrorist organisations is because of gender equality. However, Jacques and Taylor disagree with this notion.[13]The main reason women join the LTTE is to fight for gender equality; they participate in every aspect of the group and do so to avoid being discriminated against and repressed by the male-dominated society.  The following studies will provide an academic perspective on the causes of women's involvement in terrorism. The main focus will be on four causes: political, religious, personal, and gender equality, as well as a list of important terror occurrences conducted by female terrorists as a result of some key ideological beliefs. Religious Cause: Religious convictions have been the foundation of many terrorist organisations throughout history. The Crusaders can be categorised as a terrorist group. Although the Crusaders' main objective was to propagate Christianity, they also committed heinous acts of terrorism. The Iranian Revolution of 1979 was the fourth wave of contemporary terrorism, and David Rapport claims that it was the first instance of religious terrorism in the modern era. Religious terrorism's core principle is the promotion of violence in the name of furthering religious beliefs. For example, Al-Qaeda and ISIS promote an Islamic caliphate globally.[14] However, attempting to do so by using cruel and aggressive methods. Islam and terrorism have become more associated since 9/11, as terrorist organisations have posed a serious threat to Western ideologies and societal influences.[15] Gonzalez-Perez notes that suicide bombers frequently use the idea of martyrdom and benefits in the afterlife to lure people into justifying their acts.[16] Women are also part of religious terrorist organisations but there are two argument over women involvement in jihadi group. As explaind by Muhammad Khayr Haykal in his book Al-Jihad wa al-qital fi al-siyasah al-shar'iyyah. 1. Women were seen as having a responsibility in raising money for Jihadis, caring for children, and providing medical treatment.[17] 2.    The Islamic state should set up training facilities for women to learn how to wield weapons and combat techniques, according to Islamic legal expert Muhammad Khayr Haykal. According to him, all Muslims should be held accountable for jihad if it turns into fard ‘ayn, and women must be prepared for this possibility in order to perform their duty. This strategy permits the practice of female jihadism in martyrdom missions and on the battlefield.[18] Role of women in Al-Qaeda According to Robet Pape in his book Dying to Win: The Strategic Logic of Suicide Terrorism.[19]Highlights that male terrorists affiliated with Al-Qaeda oppose women's participation in terrorism. However the Tamil Tigers used twenty-three female attackers, the Palestinians used six, the Lebanese used six, the Chechens used fourteen, and the PKK used ten. Consequently, he concluded that Islamic fundamentalists oppose female fighters.[20] However, after the rise of the Islamic state, which encourages women to join their organisation and accept arms, the Pape argument is no longer regarded as legitimate. For example, some 200 women joined the Islamic State in Syria in 2014 after migrating from Western nations. Additionally, they more than doubled their numbers in 2015, reaching over 550 women.[21] This suggests that the Islamic State may assign women a direct role, such as suicide bombing, in a way that is different from that of many other jihadist organisations, such as the Taliban and Al Qaeda.  In Al-Qaeda the women played a secondary role for.e.g: Al Qaeda also benefited strategically from the assistance that women provided. For instance, the female terrorists of Al Qaeda were strongly using the internet to try to convince men to join the worldwide Jihad. Some males are inclined to join these groups because they feel ashamed of their masculinity as a result of these communication strategies.[22]Women's roles in jihadist organisations are valued in that they bear children and raise them to be potential recruits for terrorist organisations. Usama Bin Laden thanked women by saying: "You have inspired and encouraged [men] to join jihad, and you have raised all the men who fought in Palestine, Lebanon, Afghanistan, and Chechnya, and you are the ones who produced the squadron of heroic men who carried out the raids in New York and Washington."[23] On the other hand Ayman al-Zawahiri's wife, Umayma al-Zawahiri, also urged her "Muslim sisters" to raise their kids on the love of jihad in God's way and "to induce their brothers, husbands, and sons to protect Muslims' lands and properties. To support (male) jihadists with prayers and financial support. [24] Al Khansa'a was one of the authors of the online magazine that inspired Muslim sisters with her articles; while she did not advocate for women to fight in combat, she did counsel them to stay in shape and exercise so they would be prepared for jihad.[25] Al-Qaeda Iraq's founder and Al-Qaeda member Abu Musab al Zarqawi urged Iraqi women to join the military. In Talafa, Iraq, a US military recruiting centre was the target of the first female suicide bomber. According to the announcement made by al Qaeda in Iraq on its website, "A blessed sister carried out a brave strike defending her beliefs. May God include our sister among the group of martyrs.’’[26]According to Mia Bloom the attack was carried out under the alias "ghost group" because it was still forbidden for Al Qaeda Central to collaborate with women on suicide bombings.[27] The identities of male suicide bombers are mentioned by AQI members, but the names of female suicide bombers are never mentioned. As a result, it is challenging to determine the purpose or driving force for their membership in terrorist organisations. Despite the lack of data regarding female suicide bombers, certain enquiries and interviews provide us with comparable reasons why they chose to join AQI as female terrorists. After losing a loved one, women join terrorist organisations in order to kill the offender and get revenge for the deaths of their husbands and brothers. Furthermore, AQI members urged young females to die as martyrs, claiming that they would immediately enter heaven and be the prophet Muhammad's neighbours.[28] Al-Qaeda is therefore mostly a male organisation that discourages women from engaging in violent activities. Women's roles are limited to becoming teachers, fund-raisers, social media advocates, and moms of potential jihadists. Role of women in Islamic State(IS) Islamic State was founded in 1999. The Islamic State had the greatest number of foreign terrorist fighters in history, making it a unique terrorist organisation. About 41,490 foreign nationals from 8 nations joined the Islamic State with the goal of restoring the caliphate. Of the foreign terrorist fighters, about 4761 (13%) were female. Following Eastern Europe (44%), Western Europe (42%), the Americas, Australia, and New Zealand (36%), and other regions, Eastern Asia had the greatest percentage (70%) of women connected with the Islamic State.[29] The biggest motivation for joining an Islamic terrorist organisation is religion. Women typically played a supporting role in Islamic terrorist organisations prior to the rise of the Islamic State. However, the role of women in these organisations has grown stronger after the fall of Al-Qaeda and the rise of Islamic State in the Middle East. Muriel Dagauque, a Muslim woman who converted to Islam and was married to a Muslim man, was one of the Islamic State suicide bombers. She moved to Iraq with her spouse from Europe in order to become a martyr, and on November 9, 2005, she bombed herself.[30] Many jihadist suicide bombers are comforted by the assurance that they will be sitting next to God (Allah), experiencing only joy and no agony, before the first drop of their blood ever hits the earth.[31]Women joined the Islamic State mostly for religious reasons. Umm Layth, also known as Aqsa Mahmood, was a 21 year old Scottish university student who travelled to Syria to take part in Islamic State terrorist activities. Mahmood expressed her opinions on jihad with the following sentences.: "If not you, then your grandkids or their grandchildren. But do not worry, our cubs will eventually shed your blood. This Islamic dominion will become well-known and dreaded all over the world. Choose a side; this is a fight against Islam. You may either support them or support us.''[32] Role of women Chechnya Terrorism: Islam is the predominant religion in Chechnya, and Wahhabist terror ideology is linked to Chechen terrorism, particularly suicide terrorism.[33]The Wahhabi sect appears to have spread to the Chechen territories through other terror cells in the Middle East, such as al Qaeda.[34] This ideology which glorifies martyrdom and promotes jihad in order to establish a worldwide Muslim caliphate is a rationale for carrying out acts of retaliation and acting on behalf of a national separatist movement.[35] Chechen women, due to their Islamic influence, often wear black and traditional Muslim clothing, such as a head scarf or jilbab, which allows them to conceal weapons and bombs, as seen in the Dulbrov theatre incident.[36] Religion is one factor that contributes to women joining terrorist organisations, but it is not the only one; other factors also play a role. Political Cause According to Gus Martin, terrorism can occur under a variety of circumstances when there is political repression. First, the group is resentful of the injustices they perceive in society. The group also believes that their social dissent is insignificant. Last but not least, the group believes that there are problems with the system that can be fixed, which leads them to confront the conflict.[37] Despite the widespread belief that women do not participate in political violence, women have been planning attacks and taking part in political violence since 1800.[38] Violence is a tactic used by women who are dissatisfied with the government, have their opinions ignored, and are under-represented in organisational structures With anarchist and revolutionary beliefs, anarchism was the beginning point of the first wave of contemporary terrorism, which swept from Western Europe to America. Nonetheless, women's political motive persisted until the second wave of terrorism, when nationalism emerged as the primary driver of women's participation in terrorism.[39] However, they were only allowed to serve as scouts and messengers during the second wave of terrorism. David Rapoport claims that because women once again assumed leadership roles, there are some similarities between the first and second waves.[40] Vera Zasulich shot the governor of St. Petersburg; she said that she had a political purpose for doing so because the governor was well-known for his Polish insurrection and had ordered to execute political prisoner Arkhip Bogolyubov. This infuriated the revolutionary forces, and six people made the decision to kill the governor, but Zasulich was the first to take the initiative. This was the beginning of the first wave of terrorism. Despite the fact that women participated in political violence, her case is notable as the first instance of female political violence in the modern era or the first to be acknowledged. [41] Russian university students founded the group, which specifically targeted political figures. Vera Figner and Gesia Gelfman, Sofia Perovskaya, and three ladies from Narodnaya Volya had a key role in the March 13, 1881, assassination of Russian Emperor Alexander II in St. Petersburg.[42] The reason behind this act was that Tsar Alexander II released his renowned Emancipation Manifesto in 1861 after the Russian intellectuals struggled to achieve their demands. This was intended to end the peasantry's enslavement and, if feasible, bring about a new, more liberal era. Perovskaya and other disappointed reformers decided to accelerate change as it became evident that this new age was a false dawn. As a result, hundreds of revolutionaries left St Petersburg in 1874 to tour the Russian countryside and read pamphlets to the peasants about socialism, nihilism, and anarchism in an attempt to educate them for the day when they would destroy the Tsar.[43] In 1954 the Algerian muslim formed a group called National Liberation Front. Their major goal was to achieve independence from the colonial power France. FLN rose to prominence thanks to its female members, Zohra Drif, Dajmila Bouhard, and Samia Lakhdar. They were able to cross the French checkpoint and leave bombs in various locations, and as a result, three people died in an explosion on September 3, 1956, and several others were injured.[44]This movement occurred at the time of second wave of contemporary terrorism which was based on the idea of nationalism and anticolonialism. As per reports between 1970 and 1984, 451 Italian women joined terrorist organisations and then engaged in political violence. The bulk of these women had degrees and performed identical duties to those of male terrorists, they found, with 35% of them being students, 23% being clerks, secretaries, nurses, technicians, and 20% being instructors. A paramilitary group called Red Brigade was established in 1970 and was engaged in terrorist activities around the nation. Because it supported Italy's withdrawal from NATO and dominated the Marixist-Leninist worldview. Known for its kidnapping and murderous activities, Red Brigades also killed former Italian Prime Minister Aldo Moro and abducted James L. Dozier, a senior US officer at NATO. Barbara Balzerian had murdered him. Many female members of the Red Brigades participated in the group's violent assaults, and Margherita Cagol (Mara), one of the Red Brigade's co-founders and one of the first victim in an armed conflict with the police, became a symbol of the left-wing movement.[45]The most violent communist organisation throughout the 1970s and 1980s was the Red Army Faction which engaged in ideologically motivated terrorism in West Germany. Ulrike Meinhof and Gudrun Ensslin, co-founders, protested consumerism by burning a department store in Frankfurt in 1968.[46] A major problem is the Chechen people's desire for independence from Russia, which is driven by their nationalist and separatist beliefs. In the lengthy history of the Chechen Republic, Russians, have been the target of several violent attacks. Since June 7, 2000, Khava Barayeva and Luisa Magomadova stormed the temporary headquarters of an elite OMON (Russian Special Forces) squad in Alkhan Yurt, Chechnya, sparking the start of Chechnya's "Black Widows" movement. With two fatalities and five injuries, the incident brought attention to the group's notorious actions.[47]According to the report, women were responsible for 47% of all terrorist incidents and 81% of suicide attacks in the Chechen region between 2000 and 2005.[48] For more than 30 years, the Liberation Tigers of Tamil Eelam (LTTE) battled the Sri Lankan central government, mostly because of the Tamil minority's ethnic oppression. Their goal was to establish their own nation in Sri Lanka's north and east.[49] The use of female suicide bombers and the LTTE's high proportion of female members were well-known. The proportion of female LTTE members varied between 20 and 30 percent, with some estimates reaching as high as 50 percent in certain years.[50]According to LTTE theorist Anton Balasingham's wife, Adele Ann, a Tamil woman's decision to join the group was a sign to society that she was dissatisfied with the status quo and had the ability to rebel against authority.[51]To sum up, female revolutionaries have contested the idea that they are less capable of committing acts of terrorism or have less political clout, and. Additionally, nationalism and revolution are the main goals of the majority of terrorist organisations that are focused on women. Personal reason Personal causes, such as revenge, family instability, rape, personal tragedy, and revenge, are important motivations for the individual to join terrorism. Women are more likely to cite these as their original motivation in joining terrorist organizations than men. Mia Bloom, Jaques and Taylor, and Robert Pape have all proposed that the reasons behind female terrorists are different from those of male terrorists. According to them, the emotions of female terrorists such as family problems, discontent, and the desire to commit suicide are what motivate them. These motivations are further divided by Bloom into four categories: respect, relationship, revenge, and redemption. [52] 1. Women who experience sexual assault, including rape, may retaliate violently; some may even choose suicide bombing as a last resort. After women were raped in Iraq, Samira Ahmad Jassim, dubbed the "mother" of suicide bombers, was accused of encouraging rape victims to commit honour suicide and conducting 28 suicide attacks, according to the Die Welt article..[53] 2. During the Chechen War, Russian soldiers sexually assaulted many Chechen women. According to estimates from Doctors Without Borders, 85 percent of Chechen women experienced sexual assault at the hands of law enforcement and military during the Chechen War. Journalist Svetlana Makunina claims that after being drugged and raped, Chechen women were left with no choice but to commit suicide bombing.On the evening of May 21, 1991, LTTE suicide bomber Dhanu killed former Indian Prime Minister Rajiv Gandhi at an election rally in Sriperumbudur, Tamil Nadu. She clarified that she took this action after being gang-raped by Indian peacekeeping troops. 3. Another crucial element that encourages women to join terrorist groups is relationships. Family members and relatives, who are important in the recruitment process, could function as a conduit between the terror group and women. Sidney Jones claims that while some women freely choose to wed male terrorists, others are coerced by their relatives.[54] Many women join ISIS for a variety of reasons, including a desire to contribute to the caliphate, a desire for friendship with like-minded individuals, or direct pressure by family members and acquaintances.[55] For e.g., Shamima Begum was influenced by her friend Sharmena to join IS. Barbara Victor, Army of Roses: Inside the World of Palestinian Women Suicide Bombers stated that instead of acting on their own initiative, female Palestinian suicide bombers are “at the mercy of, or in love with, their handlers.”[56] (women join terrorist organisations because they are forced by male) 4. Guillermo Galdos, and “Eliana Gonzales,” points out that male influence is not an essential prerequisite for recruiting women into violent organizations. In order to join revolutionary movements, women have reported willingly leaving their boyfriends, husbands, and kids. The oldest woman in Columbia's Fuerzas Armadas Revolucionarias de Colombia (FARC), Eliana Gonzales Acosta, for instance, abandoned her husband, sister, and daughter to join the group.[57] 5. Many people who have been directly impacted by the acts of another group resort to terrorism. The revenge theory is the name given to this. An individual is more inclined to engage in terrorism if they have lost a friend or loved one to a terrorist organisation or the military.[58] Additionally, according to Jacques and Taylor, revenge influences people's decision to join terrorist groups.[59] In literature and art, the stereotype that women are more revengeful than males is mirrored. According to William Cosgrove's The Mourning Bride, "Heaven is furious, like love turned to hate, and Hell is furious, like a woman scorned.”[60]Russian negotiator suggests the difference between men and women is that “[Chechen women] are ‘zombified’ by their own sorrow and grief.[61] The Russian and international press called Chechen women bombers "Black Widows" as it was revealed that many were acting in retribution for the deaths of their husbands, kids, and brothers.[62]Since the takeover of the Dubrovka Theatre in October 2002, nineteen female bombers have appeared in black mourning garments with bombs attached to their bodies. They held 850 people hostage for two and a half days. Until Russian forces imposed persecution on the people and executed the terrorist. While these motivations were not limited to revenge or family difficulties, they were also gender specific. There are more men killed in these battles, resulting in an imbalance of women battling for retribution. Furthermore, women constitute the majority of rape victims in these communities, which motivates them to join. Gender Equality: According to Vetter and Perlstein, one of the reasons why women join terrorist organisations is because of gender equality. However, Jacques and Taylor disagree with this notion.[63]FARC, or Revolutionary Armed Forces of Colombia, was established to combat societal inequality and provide women with opportunities for advancement. Despite being predominantly dominated by women, the organization offers women's rights, sexual freedom, and opportunities for advancement in a patriarchal society.[64] FARC recruits in rural areas, where women often have fewer opportunities, highlighting the organization's societal focus on women's rights.[65]A woman who had spent many years of her life in the FARC (Fuerzas Armadas Revolucionarias de Colombia—Ejército del Pueblo, or Revolutionary Armed Forces of Colombia—People's Army) was interviewed by Anne Phillips in 2012.[66]For the numerous reasons mentioned above, this woman, code-named "Athena," joined the FARC before turning thirteen. She explains why she joined this group  as it provides gender equality. She had economic reasons because she was from a rural area and lacked access to economic and educational opportunities. Women in Colombia's rural communities face a lack of opportunities, which leads to prostitution. Many women turn to the FARC as a viable alternative to prostitution. The FARC gives women a stable income. Women turn to the FARC because they are guaranteed food and other requirements. They are given the same opportunities as males and are able to support themselves. Also, by women joining terrorist organizations they are challenging gender stereotypes in their societies. O’Rourke says that women dislike these gender norms and rise out against them in opposition of the stereotyped female in their culture.[67]The LTTE gives women the same incentive to advance gender equality. According to LTTE women, they felt liberated and empowered within the organisation. By establishing sexual limitations and providing equal training chances, the LTTE established an environment that was equal for men and women. Women held leadership roles inside the LTTE and believed they were on par with the men themselves. Often, women join these groups to either learn about or escape gender inequality. CONCLUSION: The primary goal of this article was to examine the primary motivator for women to join terrorist organisations. For more than a century, women have been participating in terrorist activities, but only in recent decades have studies of terrorism examined female terrorists. Political, religious, personal, and gender equality are some of the motivations for women to join terrorist groups and participate in liberation movements. Since the 19th century, women have joined a variety of terrorist organisations; some conduct these horrible deeds to defend their beliefs or territory. Religion is another reason these women wish to sacrifice themselves in the name of Islam. They act in this way because they believe that, despite their crimes, they will be admitted to heaven if they commit murder for Islam. Women's terrorist operations might occasionally be motivated by personal issues. Although forced marriage, family issues, rape, the death of a loved one, and defiance of the patriarchal society are some of the main causes, other traumas could also influence their choices. However, each of the four factors has a major impact on women's decision to participate in terrorism. Al-Qaeda and Islamic State, for example, are heavily influenced by religion. The Tamil Tigers and FARC, on the other hand, are primarily driven by personal motives and gender equality. Furthermore, the political cause of Red Brigade and the National Liberation Front has been their main source of motivation. "Personal, political, and religious motivations are the main cause behind women's involvement in terrorism," claim Cunningham and Bloom. In order to curb terrorists' actions in the modern world, it is critical to comprehend their objectives and the reason behind their organisation. Furthermore, since many highly educated women have joined terrorist organisations, we cannot claim that education may have a major influence. There is extremely little research on gender and terrorism, particularly on women's participation in terrorist actions. To determine the primary reason women, participate in terrorism, we must conduct additional research in this field. Due to the fact that the information offered is highly generalised. What steps should the government take to prevent women from joining terrorist organisations? What other variables might encourage women to join terrorist organisations? Researchers from all social science fields should conduct some research on these pressing concerns as political scientists alone are unable to provide these answers. Bibliography[1] Jessica Shepherd, “The Rise and Rise of Terrorism Studies,” last modified July 3, 2007, accessed December 10, 2024, https://www.theguardian.com/education/2007/jul/03/highereducation.research.[2] Jessica Shepherd, “The Rise and Rise of Terrorism Studies,” last modified July 3, 2007, accessed December 10, 2024, https://www.theguardian.com/education/2007/jul/03/highereducation.research.[3] Ariel Merari, Driven to Death: Psychological and Social Aspects of Suicide Terrorism, 1st ed. (NewYork: Oxford University Press, 2010).[4]Zeynep Bayar, “The Role of Women in Terrorism,” City University of New York (CUNY) , accessed December 15, 2024, https://academicworks.cuny.edu/cgi/viewcontent.cgi?article=4346&context=gc_etds.[5] David Rapoport, The Four Waves of Modern Terrorism (Washington DC: Georgetown University Press, 2004), 46–73.[6] “Women and Terrorist Radicalization Final Report,” Organization for Security and Co-Operation in Europe (Organization for Security and Co-operation in Europe, January 1, 2013), last modified January 1, 2013, accessed December 13, 2024, https://www.osce.org/files/f/documents/4/a/99919.pdf.[7] LindseyA O’Rourke, “What’s Special about Female Suicide Terrorism?,” Security Studies 18, no. 4 (December 2, 2009): 682.[8] Mia Bloom, “What’s Special about Female Suicide Terrorism,” Gender Studies 28, no. 1–2 (June 1, 2011): 682.[9] David Rapopart, The Four Waves of Modern Terrorism (Washington DC: Georgetown University, 2004).[10] Leonard Weinberg and William L Eubank, “Women’s Involvement in Terrorism,” Gender Studies 28, no. 2 (June 2011): 22–49.[11] Anat Berko, “Gender Palestinian Women, and Terrorism: Women’s Liberation or Oppression?,” ed. Edna Erez, Studies in Conflict and Terrorism 30, no. 6 (April 27, 2007): 493–519.[12] Mia Bloom, Bombshell: Women and Terrorism (Philadelphia: University of Pennsylvania Press, 2011).[13] Karen Jacques and Paul J. Taylor, “Male and Female Suicide Bombers: Different Sexes, Different Reasons?,” Studies in Conflict and Terrorism 31, no. 4 (April 10, 2008).[14] Rosemarie Skaine , Female Suicide Bombers (United Kingdom: McFarland, 2006).[15] Graham Bird, Brock Blomberg, and Gregory Hess, “International Terrorism: Causes, Consequences and Cures,” World Economy 31 (2008): 259.[16] Rosemarie Skaine , Female Suicide Bombers (United Kingdom: McFarland, 2006), 12.[17] Ibn al Bukhari, Sahih Al- Bukhari. Trans Muhammad Muhsin Khan (United States: Islamic University, 1979).[18] Muhammad Khayr Haykal, Jihad and Fighting according to the Shar‘ia Policy (Beirut: Dar al-Barayiq, 1993).[19] Robert A. Pape, Dying to Win: The Strategic Logic of Suicide Terror (NewYork: Random House Books, 2005).[20] Rosemarie Skaine , Female Suicide Bombers (United Kingdom: McFarland, 2006).[21] Erin Marie Saltman and Melanie Smith, Till Martyrdom Do Us Part’: Gender and the ISIS Phenomenon (Institute for Strategic Dialogue, May 22, 2015).[22] Zeynep Bayar, “The Role of Women in Terrorism,” City University of New York (CUNY) , accessed December 15, 2024, https://academicworks.cuny.edu/cgi/viewcontent.cgi?article=4346&context=gc_etds.[23] Nelly Lahoud, “The Neglected Sex: The Jihadis’ Exclusion of Women from Jihad,” Terrorism and Political Violence 26, no. 5 (February 20, 2014).[24] Nelly Lahoud, “Umayma Al-Zawahiri on Women’s Role in Jihad,” Jihadica, last modified February 26, 2010, https://commons.lib.jmu.edu/cgi/viewcontent.cgi?article=1422&context=honors201019.[25] Mia Bloom, “What’s Special about Female Suicide Terrorism,” Gender Studies 28, no. 1–2 (June 1, 2011).[26] “Woman Suicide Bomber Strikes Iraq,” BB, last modified September 28, 2005, http://news.bbc.co.uk/2/hi/middle_east/4289168.stm. [27]Ibid[28] Aqeel Hussein and Damien McElroy, “Mother of All Suicide Bombers’ Warns of Rise in Attacks,” The Telegraph, last modified November 15, 2008, https://www.telegraph.co.uk/news/worldnews/middleeast/iraq/3464411/Mother-of-all-suicide-bombers-warns-of-rise-in-attacks.html.[29] Joana Cook and Gina Vale, From Daesh to “Diaspora”: Tracing the Women and Minors of Islamic State (International Centre for the Study of Radicalisation, 2018).[30] Zeynep Bayar, “The Role of Women in Terrorism,” City University of New York (CUNY) , accessed December 15, 2024, https://academicworks.cuny.edu/cgi/viewcontent.cgi?article=4346&context=gc_etds.[31] Mia Bloom, Bombshell: Women and Terrorism (Philadelphia: University of Pennsylvania Press, 2011).[32] Susan Swarbrick, “Scots ‘Jihadi Bride’ Talks of ‘Revenge’ in Hate-Filled Blog,” The Herald, last modified July 6, 2015, https://www.heraldscotland.com/news/13415875.scots-jihadi-bride-talks-of-revenge-in-hate-filled-blog/.[33] W. Andy Knight and Tanya Narozhna, “Social Contagion and the Female Face of Terror: New Trends in the Culture of Political Violence,” Canadian Foreign Policy Journal 12, no. 1 (March 14, 2011).[34] Ibid.,33[35] Ibid.,33[36] LindseyA O’Rourke, “What’s Special about Female Suicide Terrorism?,” Security Studies 18, no. 4 (December 2, 2009): 690.[37] Gus Martin , Understanding Terrorism: Challenges, Perspectives, and Issues , 8th ed. (SAGE Publications, Inc, 2024), 60.[38] Maha Butt, “Feminist IR Theory and Terrorism,” International Affairs Forum, accessed December 16, 2024, https://www.ia-forum.org/Content/ViewInternal_Document.cfm?contenttype_id=0&ContentID=9152#:~:text=Analyzing%20terrorism%20from%20a%20feminist's,female%20terrorists%20as%20'women%20terrorists..[39] David Rapoport, The Four Waves of Modern Terrorism (Washington DC: Georgetown University Press, 2004), 46–73.[40] Elena Gapova, “Gender Equality vs. Difference and What Post-Socialism Can Teach Us,” Womens Studies International Forum 59 (November 1, 2016).[41] “Vera Zasulich,” Wikipedia, https://en.wikipedia.org/wiki/Vera_Zasulich#cite_note-5.[42]Elena Gapova, “Gender Equality vs. Difference and What Post-Socialism Can Teach Us,” Womens Studies International Forum 59 (November 1, 2016).[43] James Crossland, “The Women Who Ended an Emperor,” History Workshop, last modified April 21, 2021, https://www.mybib.com/#/projects/39m8D0/citations/new/webpage.[44] Zeynep Bayar, “The Role of Women in Terrorism,” City University of New York (CUNY) , accessed December 15, 2024, https://academicworks.cuny.edu/cgi/viewcontent.cgi?article=4346&context=gc_etds.[45] Ruth Glynn , Approaching Women, Terror, and Trauma in Cultural Perspective, 2013.[46] “Andreas Baader and Ulrike Meinhof,” Encyclopedia.com, accessed January 2, 2025, https://www.encyclopedia.com/history/encyclopedias-almanacs-transcripts-and-maps/andreas-baader-and-ulrike-meinhof.[47] Anne Speckhard and Khapta Akhmedova, “Black Widows: The Chechen Female Suicide Terrorists,” The Institute for National Security Studies, last modified August 2006, https://www.inss.org.il/wp-content/uploads/2017/08/Female-Suicide-Bombers-63-80.pdf.[48] Anne Speckhard and Khapta Ahkmedova, “The Making of a Martyr: Chechen Suicide Terrorism,” Studies in Conflict & Terrorism 29, no. 5 (September 22, 2006).[49]Peng Wang, “Women in the LTTE: Birds of Freedom or Cogs in the Wheel?,” Journal of Politics and Law 4, no. 1 (2011).[50] Karla J. Cunningham, “Cross-Regional Trends in Female Terrorism,” Studies in Conflict and Terrorism 26, no. 3 (May 2003).[51]“Liberation Tigers of Tamil Eelam (LTTE),” South Asia Terrorism Portal, https://www.satp.org/satporgtp/countries/srilanka/terroristoutfits/ltte.htm.[52] Karen Jacques and Paul J. Taylor, “Male and Female Suicide Bombers: Different Sexes, Different Reasons?,” Studies in Conflict & Terrorism 31, no. 4 (2008).[53]Mia Bloom, “What’s Special about Female Suicide Terrorism,” Gender Studies 28, no. 1–2 (June 1, 2011).[54] Sidney Jones, “Inherited Jihadism: Like Father, like Son,” International Crisis Group, last modified July 4, 2007, https://www.crisisgroup.org/asia/south-east-asia/indonesia/inherited-jihadism-father-son.[55] Daniel Milton and Brian Dodwell, “Jihadi Brides? Examining a Female Guesthouse Registry from the Islamic State’s Caliphate,” Combating Terrorism Center 11, no. 5 (May 2018).[56]Edward E. Azar, “Protracted International Conflicts: Ten Propositions,” International Interaction 12, no. 1 (January 9, 2008).[57]“GENDER and TERRORISM: MOTIVATIONS of FEMALE TERRORISTS ,” DNI.gov, https://www.dni.gov/files/documents/FOIA/DF-2023-00139-Gender_and_Terrorism_Thesis.pdf.[58]LindseyA O’Rourke, “What’s Special about Female Suicide Terrorism?,” Security Studies 18, no. 4 (December 2, 2009): 710.[59]Karen Jacques and Paul J. Taylor, “Male and Female Suicide Bombers: Different Sexes, Different Reasons?,” Studies in Conflict & Terrorism 31, no. 4 (2008): 322[60] “GENDER and TERRORISM: MOTIVATIONS of FEMALE TERRORISTS ,” DNI.gov, https://www.dni.gov/files/documents/FOIA/DF-2023-00139-Gender_and_Terrorism_Thesis.pdf.[61]Ibid.,63[62] Anne Speckhard and Khapta Ahkmedova, “The Making of a Martyr: Chechen Suicide Terrorism,” Studies in Conflict & Terrorism 29, no. 5 (September 22, 2006).[63]Karen Jacques and Paul J. Taylor, “Male and Female Suicide Bombers: Different Sexes, Different Reasons?,” Studies in Conflict & Terrorism 31, no. 4 (2008).[64]Natalia Herrera and Douglas Porch, “‘Like Going to a Fiesta’ – the Role of Female Fighters in Colombia’s FARC-EP,” Small Wars & Insurgencies 19, no. 4 (January 26, 2009).[65]Mia Kazman, “Women of the FARC,” William J.Perry Center, accessed December 23, 2024, https://wjpcenter.org/wp-content/uploads/2023/09/Women-of-the-FARC.pdf[66]Christine Balling, “Why Women Turn to the FARC -- and How the FARC Turns on Them,” Foreign Affairs, last modified June 1, 2012, accessed December 23, 2024, https://www.foreignaffairs.com/articles/colombia/2012-06-01/fighting-mad.[67]LindseyA O’Rourke, “What’s Special about Female Suicide Terrorism?,” Security Studies 18, no. 4 (December 2, 2009): 702

Defense & Security
Lima, Peru - August 12, 2012: Seizure of drug or cocaine cargo in a truck with international destination. Packages filled with cocaine and the fight against drug trafficking.

Drug trafficking as a transnational system of power: origins, evolution, and perspectives

by World & New World Journal

Drug trafficking is the illegal trade, in large quantities, of drugs or narcotics (RAE, 2025). However, while this definition is accurate, it is insufficient to describe the complexity of a global phenomenon that transcends borders and involves the production, purchase, and distribution of illicit substances. Drug trafficking has developed hand in hand with global trade and interconnection (Saldaña, 2024). In other words, the evolution of drug trafficking is closely linked to globalization, which has strengthened the logistical, technological, and financial networks that enable its expansion. Therefore, more than isolated crime, drug trafficking must be understood as a transnational system of power that feeds on globalization itself. Drug Trafficking as a Transnational System of Power Drug trafficking is described by some authors as a profoundly complex transnational phenomenon resulting from globalization (Luna Galván, Thanh Luong, & Astolfi, 2021). This phenomenon involves and connects global networks of production, logistics, financing, and consumption, all made possible by economic interdependence, information technologies, and established global logistical routes. These authors analyze drug trafficking from a multidimensional perspective, identifying seven interrelated spheres that sustain this activity: the economic (money laundering and investment diversification), institutional (corruption and institutional capture), organizational (organized criminal networks and advanced logistics), social (presence in territories with state vacuums and community legitimization), technological (use of cryptomarkets, encryption, and innovation), geopolitical (route adaptability and resilience against state policies), and cultural (narratives and subcultures that normalize illicit practices) (Luna Galván, Thanh Luong, & Astolfi, 2021). These dimensions form a web of relationships in which criminal groups not only control the flow of drugs but also influence economic and political structures. As Interpol (n.d.) warns, this global network undermines and erodes the political and economic stability of the countries involved, while also fostering corruption and generating irreversible social and health effects. Furthermore, drug trafficking is intertwined with other crimes — such as money laundering, corruption, human trafficking, and arms smuggling — thus forming a globalized criminal ecosystem, a global issue and a national security concern for nations worldwide. Origins and historical context There are records of the use of entheogenic drugs for ritual or medicinal purposes in Mesoamerican cultures — such as the Olmecs, Zapotecs, Mayas, and Aztecs (Carod Artal, 2011) — as well as in Peru (Bussmann & Douglas, 2006), the Amazon region, and even today among the Wixárika culture in Mexico (Haro Luna, 2023). Likewise, there was widespread and diverse drug use among the ancient Greeks and Romans, including substances such as mandrake, henbane, belladonna, cannabis, and opium, among others (Pérez González, 2024). However, modern drug trafficking can trace its origins to the First Opium War (1839–1842) between the Chinese Empire (Qing Dynasty) and the British Empire, marking the first international conflict directly linked to the drug trade. During the second half of the 19th century and the early 20th century, several drugs —such as heroin, cocaine, cannabis, and amphetamines — made their debut in the pharmaceutical field, being used in medicines and therapeutic remedies (López-Muñoz & Álamo González, 2020). This period is considered the pharmaceutical revolution, characterized by the emergence of researchers, research centers, and major discoveries in the field. During that time, the term “drug” began to be associated with “addiction.” The pharmaceutical revolution had its epicenter in Germany; however, it was the British and Americans who promoted its expansion (Luna-Fabritius, 2015) and contributed to the normalization of psychoactive substance consumption. Military promotion, use and dependence Armed conflicts — from the U.S. Civil War (1861–1865) to the First World War (1914–1918) — played a key role in spreading and promoting the military use of psychoactive substances. For instance, stimulants such as alcohol, cocaine, amphetamines, and methamphetamines were used to combat sleep, reduce fatigue, boost energy, and strengthen courage, while depressants like opium, morphine, and marijuana were used to relieve combat stress and mitigate war trauma (Marco, 2019). The dependence that developed led to a process of expansion among the civilian population, which entered a period of mass experimentation that often resulted in substance abuse and chemical dependency (Courtwright, 2001). In response, the first restrictive laws emerged, particularly in the United States (López-Muñoz & Álamo González, 2020). However, the high demand for certain substances, such as opium, gave rise to the search for markets capable of meeting that demand. Thus, Mexico — influenced by Chinese immigration that introduced the habit of smoking opium in the country — became, by the 1940s, the epicenter of poppy cultivation and opium processing in the region known as the Golden Triangle (Sinaloa, Durango, and Chihuahua). It became the main supplier for drug markets in the United States and other parts of the continent, at times providing up to 90% of the demand during periods of shortage (Sosa, 2025). Even during World War II (1939–1945) — when the traditional supply of heroin and morphine to Europe was disrupted — Mexico strengthened its role in the illicit trade by providing smoking opium and processed morphine or heroin. These developments, alongside the implementation of opiate regulations in Mexico, helped consolidate and structure Mexican drug trafficking, which has persisted for more than sixty years (Sosa, 2025). Social expansion and regulatory restrictions The end of World War II brought stricter restrictions and regulations, but that did not prevent socio-cultural movements such as the hippie movement (in the 1960s) from adopting the use of marijuana, hashish, LSD, and hallucinogenic mushrooms (Kiss, 2025) without facing severe repercussions. That same hippie movement — which promoted pacifism and opposed the Vietnam War (1955–1975) — in one way or another encouraged drug use among young people. Moreover, the demand for substances by returning veterans led to the internationalization of drug markets, fostering, for example, the heroin trade from Southeast Asia (Laos, Myanmar, and Thailand) (Saldaña, 2024). The Nixon administration and the US “War on Drugs” The dependency became so severe that it was considered a public health emergency in the United States. On June 18, 1971, Richard Nixon declared the “War on Drugs” at an international level, labeling drug trafficking as “public enemy number one” (Plant & Singer, 2022). Nixon’s strategy combined international intervention with increased spending on treatment and stricter measures against drug trafficking and consumption (Encyclopedia.com, n.d.), along with the creation of the Drug Enforcement Administration (DEA) in 1973. Although the War on Drugs was officially declared in 1971, it had a precedent in 1969 with the failed Operation Intercept, whose goal was to combat marijuana trafficking across the U.S.–Mexico border (M. Brecher, 1972). As part of his international strategy, Nixon launched several operations such as Operation Condor with Mexico (1975 and 1978), Operation Stopgap in Florida (1977), and Operation Fulminante, carried out by Colombian President Julio César Turbay in 1979. Most of these efforts were aimed at combating marijuana trafficking. The results were mixed, but the consequences were significant, as drug traffickers resisted and adapted — giving rise to a more active and violent generation and marking the consolidation of modern drug trafficking. The Consolidation of Modern Drug Trafficking: Colombia and Reagan Era. During the 1980s and 1990s, drug trafficking evolved into a highly organized industry. Figures such as Félix Gallardo [1], Amado Carrillo Fuentes [2], Pablo Escobar [3], Carlos Lehder [4], Griselda Blanco [5], Rafael Caro Quintero [6], and later Joaquín “El Chapo” Guzmán Loera [7], among others (Wikipedia, 2025), symbolized the growing power of the cartels in Colombia and Mexico. During this period, criminal organizations consolidated their operations, and the profits from drug trafficking fueled violence and corruption. Moreover, the struggle for power — not only in Mexico, Colombia, Peru, or the United States but also in other regions of Latin America — and the competition for markets led to greater sophistication, as well as the construction of infrastructure and distribution networks. Pablo Escobar’s famous phrase, “plata o plomo” (“silver or lead”), reflects the immense power and influence that drug traffickers wield, even over governments and authorities. Colombia, through the Cali and Medellín cartels, dominated the production and export of cocaine via a triangulation network that connected through Mexico or the Caribbean, with the final destination being the United States, where the Reagan administration (1981–1989) intensified the War on Drugs, focusing on criminal repression rather than public health. The Reagan’s War on Drugs was characterized for setting aggressive policies and legislative changes in the 1980s which increased the law enforcement and the punishment, as a consequence the prison penalties for drug crimes skyrocketed from 50,000 in 1980 to more than 400,000 by 1997 (HISTORY.com Editors 2017) Mexican cartels consolidation and Mexico’s transition to a consumer nation Around the same time, on the international arena, following the fragmentation of the Guadalajara Cartel in the 1980s, the emergence of new Mexican cartels — the Sinaloa Cartel, Gulf Cartel, Tijuana Cartel, and Juárez Cartel — combined with the downfall of Colombia’s Cali and Medellín cartels in the mid-1990s, catapulted Mexican cartels into prominence. They seized control of trafficking routes and diversified their operations, thus consolidating their role in the global drug market. Later, the September 11, 2001, attacks altered U.S. security policy, affecting border transit, increasing security measures, and tightening inspections along the southern border with Mexico (Rudolph, 2023) — one of the main drug distribution routes into the United States. Although some studies suggest that U.S. security policies at land ports of entry had only marginal pre- and post-9/11 effects (Ramírez Partida, 2014), in reality, these measures significantly impacted Mexico more than the US. Mexico transitioned from being primarily a producer, distributor, and transit country for drugs to also becoming a consumer nation. In 2002, more than 260,000 people were reported to use cocaine, whereas today the number exceeds 1.7 million addicts, according to data from the federal Secretariat of Public Security (Alzaga, 2010). Likewise, the ENCODAT 2016–2017 survey shows that the percentage of Mexican adolescents who had consumed some type of drug increased from 1.6% in 2001 to 6.4% in 2016 (REDIM, 2025). By disrupting one of the main drug distribution routes to the United States, the situation led to drugs being redistributed and sold within Mexican territory. This, combined with the country’s social and economic conditions, facilitated the recruitment of young people by organized crime groups (Becerra-Acosta, 2010) for the domestic distribution of drugs. Mexico and the Contemporary War on Drug Trafficking The escalation of violence caused by the power struggle among Mexican cartels became so critical that President Felipe Calderón (2006–2012) declared an open war against organized crime on December 10, 2006 (Herrera Beltrán, 2006). His strategy involved deploying the armed forces throughout Mexican territory, as well as obtaining financial aid, training, and intelligence through the Mérida Initiative from the United States to support the fight against drug trafficking and organized crime in Mexico and Central America (Embassy of the United States in Mexico, 2011). His successor, Enrique Peña Nieto (2012–2018), shifted the focus toward prevention and civil protection, although he continued the militarization process and the transformation of police institutions (BBC News, 2012). The strategies of Calderón and Peña Nieto — often grouped together — while questioned and criticized (Morales Oyarvide, 2011), achieved significant arrests, including figures such as “La Barbie,” “La Tuta,” “El Menchito,” “El Chapo,” “El Marro,” and “El Ratón.” They also eliminated key figures like Arturo Beltrán Leyva, Ignacio Coronel Villarreal, Antonio Cárdenas Guillén, Heriberto Lazcano Lazcano, and Nazario Moreno González. Later, during the presidency of Andrés Manuel López Obrador (2018–2024), the strategy shifted once again toward a stance of “hugs, not bullets,” showing clear signs of passivity that allowed cartel expansion (Fernández-Montesino, 2025). His successor, Claudia Sheinbaum (2024–2030), on the other hand, has navigated both internal and external pressures (particularly from the United States), seeking to balance intelligence, coordination, and attention to structural causes (Pardo, 2024), although continued militarization suggests a hybrid strategy remains in place. Fentanyl and synthetic drugs: The future of drug trafficking The president of the International Narcotics Control Board (INCB), Jallal Toufiq, said that “the illicit drug industry represents a major global public health threat with potentially disastrous consequences for humankind.” In addition, the 2024 INCB Annual Report found that illicit synthetic drugs are spreading and consumption is increasing, moreover, these could overtake some plant-based drugs in the future. (International Narcotics Control Board 2025) The press release before mentioned also points out that Africa, Middle East, East and Southeast Asia and the Pacific drug markets are increasing, while production in Central America, Peru, Colombia and the Caribbean keeps on developing. On the other hand, the opioid crisis (fentanyl) remains a serious problem for North America and the cocaine keeps affecting Europe with a spillover Africa. (International Narcotics Control Board 2025). The fentanyl crisis in North America is well documented. Data show an increase of 540% in overdose deaths between 2013 and 2016 (Katz 2017), with 20,100 deaths in the USA, while by 2023, the number increase to 72,776 deaths (USA Facts 2025). On the other hand, Canada has reported 53,821 deaths between January 2016 and March 2025 (Government of Canada 2025), while Mexico reported only 114 deaths from 2013 to 2023 (Observatorio Mexicano de Salud Mental y Adicciones 2024). These figures reveal not only the unequal regional impact of the synthetic opioid crisis but also the ongoing adaptation of organized crime networks that sustain and expand these markets. Evolution and Diversification of Organized Crime The phenomenon of adaptation, evolution, and diversification of new illicit markets is not an isolated issue. Experts such as Farah & Zeballos (2025) describe this in their framework Waves of Transnational Crime (COT). The first wave is represented by Pablo Escobar and the Medellín Cartel, pioneers in moving tons of cocaine to the U.S. market through Caribbean routes. The second wave is represented by the Cali Cartel, which perfected the model and expanded trafficking routes through Central America and Mexico — still focusing on one product (cocaine) for one main market (the United States). The third wave is characterized by the criminalization of criminal structures, the use of armed groups (such as the FARC in Colombia), and the use of illicit production and trafficking as instruments of state policy, with clear effects on public policy functioning. At this stage, there is product diversification, with the main market remaining the U.S., but expansion reaching Europe (Farah & Zeballos, 2025). Finally, the fourth wave — the current stage — is defined by total diversification, a shift toward synthetic drugs, and global expansion, involving extra-regional groups (Italian, Turkish, Albanian, and Japanese mafias), where many operations function “under government protection.” This fourth wave offers clear examples of collusion between criminal and political spheres, which is not new. However, the arrest of Genaro García Luna (Secretary of Public Security under Calderón), the links between high-profile Mexican politicians and money laundering or fuel trafficking (Unidad de Investigación Aplicada de MCCI, 2025), and even Trump’s statements claiming that “Mexico is largely governed by cartels” (DW, 2025) reveal a reality in which drug trafficking and criminal organizations are no longer merely producers and distributors of illicit substances. Today, they possess the power and capacity to establish parallel governance systems, exercise territorial control, infiltrate institutions and local economies, and even replace core state functions (Farah & Zeballos, 2025). Future Perspectives and Challenges Currently, drug trafficking and organized crime represent structural threats. It is well known and widely studied what drug trafficking means for public security and health, but it has now also become a threat to politics, democracy, and the rule of law. With divided opinions, many analysts argue that the war on drugs has failed — in addition to being costly and, in many cases, counterproductive (Thomson, 2016). Punitive strategies have generated more violence without truly addressing the social causes behind the phenomenon (Morales Oyarvide, 2011). In this context, a paradigm shift is necessary: drug trafficking should not be approached solely as a security issue, but also as a public health and social development problem. Drug use has been a historical constant, and its total eradication is unrealistic. The key lies in harm-reduction policies, international cooperation, and inclusive economic development. Moreover, organized crime demonstrates adaptive resilience, making its eradication difficult — especially given that its operational capacities are so diversified, it maintains alliances with groups worldwide, and globalization and new technologies continually help it reinvent itself. Furthermore, even political and economic tensions among the United States, Mexico, Canada, and China are now intertwined with the trade of synthetic drugs — particularly fentanyl —, revealing the geopolitical magnitude of the problem (Pierson, 2024). Conclusion In summary, drug trafficking has ceased to be a marginal activity and has become a transnational structure capable of influencing politics, the economy, and society. Its persistence can be explained not only by the profitability of the business but also by social inequality, institutional corruption, and sustained global demand. History demonstrates that repression has not eradicated the problem but rather transformed it. Today, it is essential to rethink drug policies from a comprehensive approach that integrates security, public health, education, and international cooperation. Only through a multidimensional strategy will it be possible to contain a phenomenon that — more than an illicit economy — constitutes a global form of parallel governance that challenges the very foundations of the modern state. Notes[1] Miguel Ángel Félix Gallardo, also known as “El Jefe de Jefes” (“The Boss of Bosses”), “El Padrino” (“The Godfather”), or “The Drug Czar”, was one of the founders of the Guadalajara Cartel. [2] Amado Carrillo Fuentes, known as “El Señor de los Cielos” (“The Lord of the Skies”), was the former leader of the Juárez Cartel. [3] Pablo Escobar was the founder and former leader of the Medellín Cartel. [4] Carlos Lehder was the co-founder of the Medellín Cartel. [5] Griselda Blanco, known as “The Black Widow,” “The Cocaine Queen,” or “La Patrona” (“The Boss”), was a founder of the Medellín Cartel. [6] Rafael Caro Quintero, known as “El Narco de Narcos” (“The Drug Lord of Drug Lords”), was one of the founders of the Guadalajara Cartel. [7] Joaquín Guzmán Loera, known as “El Chapo,” was the former leader of the Sinaloa Cartel. ReferencesAlzaga, Ignacio. 2010. 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Drugs and the Making of the Modern World.» Editado por Cambridge. (Harvard University Press).DW. 2025. Trump dice que México está "gobernado por los carteles". 19 de Febrero. https://www.dw.com/es/trump-dice-que-m%C3%A9xico-est%C3%A1-gobernado-por-los-carteles/a-71666187.Embajada de los Estados Unidos en México. 2011. Iniciativa Mérida. 22 de Junio. http://spanish.mexico.usembassy.gov/es/temas-bilaterales/mexico-y-eu-de-un-vistazo/iniciativa-merida.html.Encyclopedia.com. s.f. President Nixon Declares "War" on Drugs. https://www.encyclopedia.com/science/medical-magazines/president-nixon-declares-war-drugs?utm_source=chatgpt.com.Farah, Douglas, y Pablo Zeballos. 2025. ¿Por qué el crimen organizado es cada vez más grave en América Latina? 19 de Septiembre. https://latinoamerica21.com/es/por-que-el-crimen-organizado-es-cada-vez-mas-grave-en-america-latina/.Fernández-Montesino, Federico Aznar. 2025. México y la guerra contra el narcotráfico. 20 de Mayo. https://www.defensa.gob.es/documents/2073105/2564257/Mexico_2025_dieeea36.pdf/1d38d679-f529-7d1e-130c-71a71cf0447c?t=1747593702946.Government of Canada. 2025. Opioid- and Stimulant-related Harms in Canada. 23 de September. Último acceso: 5 de November de 2025. https://health-infobase.canada.ca/substance-related-harms/opioids-stimulants/.Haro Luna, Mara Ximena. 2023. Los hongos en la cultura wixárika. https://arqueologiamexicana.mx/mexico-antiguo/los-hongos-en-la-cultura-wixarika.Herrera Beltrán, Claudia. 2006. El gobierno se declara en guerra contra el hampa; inicia acciones en Michoacán. 12 de Diciembre. https://www.jornada.com.mx/2006/12/12/index.php?section=politica&article=014n1pol.HISTORY.com Editors. 2017. Just Say No. 31 de May. Último acceso: 5 de November de 2025. https://www.history.com/articles/just-say-no.International Narcotics Control Board. 2025. Press release: The deadly proliferation of synthetic drugs is a major threat to public health and is reshaping illicit drug markets, says the International Narcotics Control Board. 4 de March. Último acceso: 5 de November de 2025. https://www.incb.org/incb/en/news/press-releases/2025/the-deadly-proliferation-of-synthetic-drugs-is-a-major-threat-to-public-health-and-is-reshaping-illicit-drugs-markets--says-the-international-narcotics-control-board.html#:~:text=In%20its%202024%20Annu.Interpol. s.f. Tráfico de drogas. https://www.interpol.int/es/Delitos/Trafico-de-drogas.Katz, Josh. 2017. The First Count of Fentanyl Deaths in 2016: Up 540% in Three Years. 2 de September. Último acceso: 5 de November de 2025. https://www.nytimes.com/interactive/2017/09/02/upshot/fentanyl-drug-overdose-deaths.html?smid=tw-nytimes&smtyp=cur.Kiss, Teresa. 2025. Movimiento hippie. 18 de Octubre. https://concepto.de/movimiento-hippie/.López-Muñoz, Francisco, y Cecilio Álamo González. 2020. Cómo la heroína, la cocaína y otras drogas comenzaron siendo medicamentos saludables. 25 de June. https://theconversation.com/como-la-heroina-la-cocaina-y-otras-drogas-comenzaron-siendo-medicamentos-saludables-140222.Luna Galván, Mauricio, Hai Thanh Luong, y Elisa Astolfi. 2021. «El narcotráfico como crimen organizado: comprendiendo el fenómeno desde la perspectiva trasnacional y multidimensional.» Revista De Relaciones Internacionales, Estrategia y Seguridad 199-214. doi:https://doi.org/10.18359/ries.5412.Luna-Fabritius, Adriana. 2015. «Modernidad y drogas desde una perspectiva histórica.» Revista mexicana de ciencias políticas y sociales 60 (225). https://www.scielo.org.mx/scielo.php?script=sci_arttext&pid=S0185-19182015000300021.M. Brecher, Edward. 1972. Chapter 59. The 1969 marijuana shortage and "Operation Intercept". https://www.druglibrary.org/Schaffer/library/studies/cu/CU59.html.Marco, Jorge. 2019. Cocaína, opio y morfina: cómo se usaron las drogas en las grandes guerras del siglo XX. 7 de Diciembre. https://www.bbc.com/mundo/noticias-50687669.Morales Oyarvide, César. 2011. El fracaso de una estrategia: una crítica a la guerra contra el narcotráfico en México, sus justificaciones y efectos. Enero-Febrero. https://nuso.org/articulo/el-fracaso-de-una-estrategia-una-critica-a-la-guerra-contra-el-narcotrafico-en-mexico-sus-justificaciones-y-efectos/.Observatorio Mexicano de Salud Mental y Adicciones. 2024. Informe de la demanda y oferta de fentanilo en México: generalidades y situación actual. Abril. Último acceso: 2025 de November de 2025. https://www.gob.mx/cms/uploads/attachment/file/910633/Informe_Fentanilo_abril_2024.pdf.Pardo, Daniel. 2024. Cómo es el plan de seguridad que Claudia Sheinbaum anunció en plena crisis de violencia en México. 8 de Octubre. https://www.bbc.com/mundo/articles/c1wn59xe91wo.Peréz González, Jordi. 2024. Del opio al cannabis. Drogas en Grecia y Roma, una peligrosa adicción de plebeyos y emperadores. 19 de Enero. https://historia.nationalgeographic.com.es/a/drogas-grecia-roma-peligrosa-adiccion-plebeyos-emperadores_14533.Pierson, David. 2024. El fentanilo tiene otro auge, ahora como arma diplomática de Donald Trump contra China. 26 de Noviembre. https://www.nytimes.com/es/2024/11/26/espanol/mundo/fentanilo-china-trump.html.Plant, Michael, y Peter Singer. 2022. Why drugs should be not only decriminalised, but fully legalised. August. https://www.newstatesman.com/ideas/2022/08/drugs-should-be-decriminalised-legalised.Ramírez Partida, Héctor R. 2014. «Post-9/11 U.S. Homeland Security Policy Changes and Challenges: A Policy Impact Assessment of the Mexican Front.» Norteamérica 9 (1). https://www.scielo.org.mx/scielo.php?script=sci_arttext&pid=S1870-35502014000100002.Real Academia Española. 2025. narcotráfico. https://www.rae.es/diccionario-estudiante/narcotr%C3%A1fico.REDIM. 2025. 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Energy & Economics
Automated AI industry robot and robotic arms assembly in factory production. Concept of artificial intelligence for industrial revolution and automation manufacturing process NLP

Seven emerging technologies shaping the future of sustainability and innovation

by World & New World Journal

Introduction Technological innovation is accelerating at an unprecedented pace, reshaping how societies generate energy, transport people and goods, produce food, fight disease, and explore space. Across multiple sectors, groundbreaking solutions are emerging in response to global challenges such as climate change, public health threats, energy insecurity, and resource scarcity. This article examines seven transformative technologies — from wireless electric-vehicle charging roads and regenerative ocean farming to graphene applications and disease-eliminating robots — each demonstrating how science and engineering are redefining sustainability, resilience, and human capability in the 21st century. 1. Wireless Electric Vehicles Charging Roads Electric Vehicles (EVs) have become key technology to decarbonise road transport, a sector that accounts for over 15% of global energy-related emissions. The increase of their sales globally exceeded 17 million in 2024, and it is forecasted to surpass the 20 million units by 2025. (IEA, 2025) Source: IEA analysis based on country submissions and data from the European Automobile Manufacturers Association (ACEA), European Alternative Fuels Observatory (EAFO), EV Volumes and Marklines. Despite this growth, several concerns continue to slow down their widespread adoption. Limited charging infrastructure, battery-related autonomy issues, high purchase costs, slow charging times, and the environmental impact of the battery productions remain major obstacle. The broader EV industry, however, is actively developing new technologies to overcome these challenges. (Automotive Technology, 2025) In this context, one of the most pressing challenges is energy supply – specifically, the need for better batteries and more accessible charging points. To address this bottleneck, a promising new trend has emerged: wireless roads capable of charging EVs while they drive. This technology could fundamentally transform the charging experience and significantly reduce dependence on stationary chargers. The idea is simple, a system that supplies power to EVs while driving, using embedded inductive coils (wireless charging) or conductive rails on the road, in other words a dynamic or in-motion charging on the road. In fact, this technology already exists and there are several examples worth mentioning: - South Korea: introduced in 2013, the first road-powered electric vehicle network, in which electrical cables were buried below the surface and wirelessly transfer energy to the electric vehicles via magnetic resonance. An electrified road has the advantage of eliminating the plug-in infrastructure and vehicles usually require a smaller battery, reducing weight and energy consumption. In 2009, KAIST introduced the OLEV (online electric vehicle), a type of EV that uses wireless dynamic charging through inductive coils embedded in the road. The OLEV public transport buses were later used in the 2013 first electric road in the city of Gumi, which consisted of a network of 24 km, by 2015 the number of OLEV buses increased to 12 (Anthony, 2013) and another bus line was launched in Sejong that same year. (SKinno News, 2021)- Sweden: a 1.6 km road linking Stockholm Arlanda airport to a logistic site outside the capital city was a pilot project achieved in 2016. (The Guardian, 2018), (Carbonaro, 2022) However, the Swedish government didn’t stop there and by 2020 they built a wireless road for heavy trucks and buses in the island city of Visby, and they are planning to expand it to the 13-mile E20 highway – logistic hub between Hallsberg and Örebro – and even have a plan of further 3,000 km of electric roads in Sweden by 2035. (Min, 2023), (Dow, 203)- USA: a quarter mile (400 m) section of road through the Corktown area of Detroit was changed to a wireless electric road. Electreon was the company in charge of the project. (Paris, 2024), (6abc Philadelphia, 2025)- France, Norway and China: Electreon – a leading provider of wireless charging solutions for EVs – has partnered and gained projects for wireless highways in France – a section of the A10 highway (Electric Vehicle Charging & Infrastructure, 2023) –, Norway – evaluation of wireless charging for AtB’s BRT routes in Trøndelag (Foster, Electreon to install the first wireless electric road in Norway, 2023) – and China – not wireless but in an 1.8 km electrified highway in Zhuzhou. (Foster, China demonstrates electrified highway, 2023) While all these examples show a “tendency” to switch into wireless roads, it is important to highlight three points to keep that are decisive and have slowed down the transition: in first place, these wireless roads are being targeted mainly for freight trucks and buses, the second point is the initial cost of the infrastructure is high and third point is the technology that should be added to the EVs. 2. Fire Suppression Using Sound Waves Seth Robertson and Viet Tran, engineering students from George Mason University in Virginia designed a fire extinguisher that uses sound waves to put out flames. Their device emits low-frequency sound waves that disrupt the conditions necessary for a fire to sustain itself, meaning that no foam, powder, chemicals or water are needed to extinguish a fire, just sound. In order to understand how it can be possible to extinguish fire with sound it is necessary to remember that a fire needs heat, fuel and oxygen to survive, if one of these elements does not appears, there is no fire, under this principle, Robertson and Tran’s prototype uses sounds to separate the oxygen from the flame, as a result, the fire extinguish. The interesting part is that the sound must have the right frequency, specifically between 30 to 60 Hz – low frequency sounds. The sound waves will act as pressure waves moving the air molecules back and forth, and in the right frequency, the movement will disrupt the flames’ structure, separating the oxygen molecules and the fire will simply die out with the lack of these molecules. Potential applications include small kitchen fires or small fires, while unfortunately, large-scale structural or wildland fires still remain a challenge, mostly due to the environmental factors, like wind, air density and flame intensity, that can be a hurdle in uncontrolled environments. Moreover, the generation of low-frequency sound waves powerful enough to suppress fires requires a significant amount of energy. Nonetheless, an early prototype consists of an amplifier to generate low-frequency sound and a collimator to focus the sound waves directly on the fire, and as mentioned before, one limitation is that specialized equipment is required to produce the high-pressure sound waves. Still, research has been carried out recently and it is expected that this technology could be a non-destructive and less damaging method for firefighters soon. https://www.youtube.com/watch?v=uPVQMZ4ikvM 3. Regenerative Ocean Farming Regenerative ocean farming is a climate-friendly model of aquaculture where seaweed and/or shellfish are grown in a way that requires no freshwater, feed or fertilizer, as the crops naturally filter nutrients from the water and capture carbon and nitrogen. This farming model can benefit coastal ecosystems and communities by increasing food security, creating jobs, improving water quality, protecting coastlines, supporting ocean justice (Urban Ocean Lab, 2023) and most importantly, mitigating climate change. Ocean farming can rely on a polyculture system – cultivate a mix of shellfish and seaweeds – or just a single species system. While the climate conditions determine the species to grow, it does not affect the system itself. The system follows a vertical layer farming way, in which farms use ropes that extend vertically from the surface to the seabed, in addition to the use of different levels and cages for scallops, oysters or clams, for example, as shown in Figure 2. Other species like kelp, abalone, purple sea urchins or sea cucumbers can also be harvested. Figure 2: Ocean farming diagram. Source: Urban Ocean Lab The big advantage is the maximization of the ocean space, producing more food in a smaller footprint, in addition to the use of the benefits of the species – seaweed and shellfishes – which are both natural filters that help to clean the water and absorb excess nutrients, combating ocean acidification and reducing marine pollution (Hassan, 2024) naturally. Moreover, the versatility of these species allows them to use them in other areas, such as biofuels, soil fertilizers, animal feed or cosmetics and not only for human food. Around the world, there are several projects that have adopted this methodology (Hassan, 2024): 1. GreenWave (USA): increased biodiversity by 50%, reduced nitrogen level in water by 20% and created sustainable job opportunities for locals.2. Ocean’s Halo (Ireland): annual harvest of 500 tons of kelp, creation of 20 jobs in rural areas and carbon footprint reduction by 30%3. Kitasaku Marine (Japan): Nori production increased by 25%, coastal water quality improved by 15% and local support of 50 locals.4. Catalina Sea Ranch (USA): harvested 1 million pounds of mussels annually, increased local biodiversity by 20% and created 10 new jobs.5. Blue Ventures (Madagascar): harvested 146 tonnes of red seaweed, plus they have created a sea cucumber market with a value of $18,000 and 700 farmers have been trained to farm in the ocean. (Blue Ventures Conservation, 2015)6. Havhøst (Ocean Harvest) (Denmark): they are growing seaweed, mussels and the European flat oyster in 30 communities along the Danish coast. In addition, they focus on educational activities to introduce ocean farming to more people. (Waycott, 2022) Overall ocean farming creates a positive environmental impact; it provides a sustainable food source and economic opportunities for the local people and the industry. Of course it faces challenges, but it has become a way to mitigate climate change and protect the ocean. 4. Wave Energy Generators There are two types of waves. Surface waves are generated by a combination of wind passing over the sea’s surface raising up water and gravity pulling it back down. In a technical way, warm air rises and expands, creating areas of low pressure compared to places with cooler air. Air then moves from high-pressure areas to low-pressure areas. This movement of air is wind and when it rushes across the surface of the Earth it creates waves in oceans. (Lumley, 2025) On the other hand, underwater waves are sound waves produced by earthquakes or volcanic eruptions; these waves travel by compressing and expanding the water. (Kadri, 2025) In both cases temperature variations and other factors can affect the nature of the waves. For instance, wave energy or wave power harnesses the ocean’s waves to generate energy by converting a wave’s kinetic energy into electricity. Wave power is a form of renewable and sustainable energy which has potential cost benefits over solar and wind but faces technological challenges limiting its large-scale adoption in electricity generation and water desalination. (Lumley, 2025) The nature of the waves makes wave energy the world’s largest source of energy with a potential of annual global production of 29,500 TWh, according to the Intergovernmental Panel on Climate Change (IPCC, 2012). In addition, it works well in tandem with other renewables such as wind. (Ocean Energy Europe, s.f.) In terms of technology itself, wave energy has relied on the next devices: 1. Point absorbers: floating buoys that capture the vertical movement of waves, which then is harnessed through a cable anchored to the seabed. The vertical movement of the waves is subsequently transformed into electricity via converters (alternators, generators or hydraulic systems). These are usually mounted on the seabed in shallower water and are connected to the floating buoys.2. Oscillating water columns (OWCs): a partially submerged, hollow structure connected to an air turbine through a chamber. These devices use the rise and fall of the waves to compress air, the air is forced to move back and forth in the chamber and creates a strong air flow that powers the turbine, generating electricity.3. Overtopping devices: a floating structure made of segments linked together, which lifts up and down with the waves. These devices harness wave energy by allowing waves to flow into a reservoir, which then releases the water through turbines to generate electricity. Design, flow dimensions, turbine efficiency and structural elements influence their efficiency. Source: BKV Energy Despite its huge potential and considering it as a clean energy source with no GHG emissions, the main concern related to wave energy is the marine life affectation – including habitat alteration, noise pollution or collision risks for marine life. On the other hand, high costs, complex design, maintenance and technological constraints also have become a problem, still, the potential of this continuous energy is huge compared to the more limited wind energy, for example. (Lumley, 2025) Despite all that, there are some active projects being developed in different parts of the world, for example: Azura Wave Power (tested in Hawaii), Anaconda WEC (UK’s prototype), CalWave (in California), CETO (tested in Australia and expected to be tested in Spain too), Crestwing (tested in Denmark), HiWave-5 (Swedish-based tested in Portugal), the Wave Energy Program (in India) or the Ocean Grazer WEC (developed in The Netherlands), among many others. (Wikipedia, 2019) 5. SpinLaunch SpinLaunch is a spaceflight technology development company working on mass accelerator technology to move payloads to space. This innovative space company is known for their Meridian Space and their Suborbital Accelerator. The Meridian Space is a low-cost, highly differentiated LEO satellite communications constellation which offers speed, reliability and flexibility (SpinLaunch, 2025). The company has partnered, and investments have been achieved in order to launch 280 satellites (Berger, 2025) as part of their satellite constellation, which will satisfy the needs in any area needed such as maritime, national security, communications, corporate networks, aviation, military, etc. The highlight of these satellites is their mass that is only 70 kg, and its facility to be launched in one or two rockets. On the other hand, SpinLaunch is aiming to build a kinetic launch system that uses centrifugal force instead of traditional rockets and spins a rocket around at speeds up to 4700 mph (7,500 km/h) before sending it upward toward space. At 60 km or so altitude, the rocket would ignite its engines to achieve orbital velocity. To achieve this, they have built a Suborbital Accelerator prototype, in Spaceport America, New Mexico. This prototype is a 33-meter vacuum chamber that can launch payloads from 800 to 5000 mph. Several tests have already been carried out, being the 10th the latest on September 27th, 2025. (Young, 2025) SpinLaunch hopes to have a 100-meter Orbital Lauch system by 2026. The engineering behind these systems is as follows: both systems are circular accelerators, powered by an electric drive that uses a mechanical arm to sling payloads around in circles to reach incredibly high speeds of up to 5,000 mph. They then release the payload through a launch tube and spaceward. (Young, 2025) The company claims that their method is cheaper as it eliminates 70% of the fuel compared to the traditional rocket launch, in addition, the infrastructure is less, and it is more environmentally friendly than the traditional methods. However, the limitations are seen in the payload weight (no more than 400 kg per payload) and their resistance (payloads must be able to withstand up to 10,000 G’s of force during the centrifugal acceleration process) Source: SpinLaunch. 6. Disease-Eliminating Robots “Disease-eliminating robots” encompass a diverse set of robotic and AI-driven systems designed to prevent, monitor, and treat infectious diseases while minimizing human exposure to risk. These technologies operate at multiple scales — from environmental disinfection in hospitals to microscopic interventions inside the human body. Environmental disinfection robots are among the most established applications. Devices such as Xenex and UVD Robots utilize pulsed ultraviolet (UV-C) light to destroy viral and bacterial DNA, effectively sterilizing hospital rooms within minutes (UVD Robots, 2023; Xenex, 2024). Others deploy vaporized hydrogen peroxide (VHP) to disinfect enclosed environments like train carriages and operating rooms (WHO, 2022). These systems substantially reduce hospital-acquired infections (HAIs) and cross-contamination risks. In medical and clinical settings, robotics contribute to precision and safety. Surgical robots such as Intuitive Surgical’s da Vinci and Ion platforms enable minimally invasive operations with reduced infection risk and faster recovery times (Intuitive Surgical, 2024). At the microscopic level, nanorobots are under development for targeted drug delivery, capable of navigating the bloodstream to deliver chemotherapy agents directly to tumor sites, thereby minimizing systemic side effects (Lee et al., 2023). Meanwhile, biofilm-removing microbots are being engineered to eradicate bacterial colonies on medical implants and dental surfaces (Kim et al., 2022). Automated systems are also emerging for precise injections, such as intravitreal therapies for ocular diseases, helping reduce clinician workload and human error (Zhou et al., 2024). Beyond clinical contexts, robots support public health surveillance and disease prevention. Prototypes like MIT’s “Luigi” sewage-sampling robot autonomously collect wastewater data to monitor community-level infections and anticipate outbreaks (MIT News, 2025). In precision agriculture, AI-guided robotic systems detect infected crops early, controlling plant disease spread and protecting global food security (FAO, 2023). Collectively, these robotic systems demonstrate the increasing convergence of automation, biotechnology, and artificial intelligence in safeguarding human and environmental health. By taking on tasks that are dangerous, repetitive, or biologically hazardous, disease-eliminating robots represent a pivotal advancement in the global strategy for infectious disease control and public health resilience. 7. Graphene Graphene is the world’s thinnest material, consisting in a single layer of carbon atoms arranged in a hexagonal honeycomb lattice. Despite its thinnest it is stronger than steel and diamond. In addition, graphene is flexible, transparent, conductive, light, selectively permeable and a 2D material. In summary it is a versatile material with many different applications and that has gained attention since its isolation in 2004 by Russian and Nobel prize scientists Andre Geim and Konstantin Nocoselov. (Larousserie, 2013) The characteristics of graphene make them an important player in the energy, construction, health and electronics sectors. In a deeper analysis, its high conductivity is valuable for battery life, autonomy and energy efficiency. Its lightness is suitable for manufacturing drone batteries, which reduce their weight, and the drone’s weight too. Graphene’s transparency and flexibility could be used in screen devices including cell phones, televisions or vehicles – Samsung already produced a flat screen with graphene electrodes. In addition, its high resistance and excellent heat and electric conductivity make them valuable for the light industry. Other sectors that are beneficial from graphene include the construction and manufacturing sector. For example, adding 1 g of graphene to 5 kg of cement increases the strength of the latter by 35%. Another example refers to Ford Motor Co., that is adding 0.5% of graphene to increase their plastic strength by 20%. (Wyss, 2022) Graphene has become a promising material, and it has been studied and tested to be used as a replacement or equivalent of silicon in microelectronics. It has been used in sports, like tennis rackets made by Head or in electric cars concepts like BASF and Daimler-Benz Smart Forvision. Bluestone Global Tech partnered with mobile phone manufacturers for the first graphene-based touchscreen to be launched in China. (Larousserie, 2013) Paint with graphene for a better thermal regulation in houses; bones, prosthesis, hearing aids or even diagnosis of diseases could also rely on graphene. (Repsol, 2025) Nowadays, its costs are high, but the graphene is going through a moment of intense academic research that surely in some years will end up with even more promising results and applications. Conclusion Together, these seven emerging technologies form a powerful snapshot of the future. Their diversity — spanning transportation, renewable energy, aquaculture, aerospace, robotics, and advanced materials — reflects the multi-sectoral nature of today’s global challenges. Yet they share a common purpose: to create more sustainable, efficient, and resilient systems capable of supporting a rapidly changing world. Wireless charging roads challenge the limits of mobility; ocean farming and wave energy reimagine how we use marine ecosystems; SpinLaunch and graphene redefine what is physically possible; and disease-eliminating robots transform public health. These innovations are still evolving, but they show that the solutions to some of humanity’s most pressing problems already exist — they simply need investment, scaling, and political will. By embracing these technologies and continuing to pursue scientific discovery, societies can accelerate the transition toward a cleaner energy future, safer communities, healthier ecosystems, and a more equitable and technologically advanced world. References 6abc Philadelphia. (2025, Juky 11). Electric vehicle tech: The rise of wireless charging roads. Retrieved from YouTube: https://www.youtube.com/watch?v=9NzJO67JIUE Abing, H. (n.d.). The Sonic Fire Extinguisher That’s Changing Firefighting. Retrieved from Rareform Audio: https://www.rareformaudio.com/blog/sonic-fire-extinguisher-sound-waves Anthony, S. (2013, August 6). World's first road-powered electric vehicle network switches on in South Korea. Retrieved from ExtremeTech: https://www.extremetech.com/cars/163171-worlds-first-road-powered-electric-vehicle-network-switches-on-in-south-korea Automotive Technology. (2025). What Are the Biggest Challenges Facing Electric Vehicle Adoption Today? Retrieved from Automotive Technology: https://www.automotive-technology.com/articles/what-are-the-biggest-challenges-facing-electric-vehicle-adoption-today BBC Earth. (2023, March 3). Are Underwater Farms the Future of Food? | Our Frozen Planet | BBC Earth. Retrieved from YouTube: https://www.youtube.com/watch?v=93nk2xIRcbk&t=11s Berger, E. (2025, April 4). SpinLaunch—yes, the centrifuge rocket company—is making a hard pivot to satellites. Retrieved from Ars Technica: https://arstechnica.com/space/2025/04/spinlaunch-yes-the-centrifuge-rocket-company-is-making-a-hard-pivot-to-satellites/ Blue Ventures Conservation. (2015). Community-based aquaculture. Pioneering viable alternatives to fishing. Retrieved from Blue Ventures: https://blueventures.org/wp-content/uploads/2021/03/BV-Aquaculture-Factsheet-2015.pdf Carbonaro, G. (2022, June 24). Wireless charging for electric cars is already here - but the technology isn’t for everybody yet. Retrieved from euro news: https://www.euronews.com/next/2022/06/24/wireless-charging-roads-for-electric-cars-ev-technology-is-here-fiat-stellantis Dow, C. (203, May 16). Sweden will build the world's first EV charging road. Retrieved from TopGear: https://www.topgear.com/car-news/electric/sweden-will-build-worlds-first-ev-charging-road Electric Vehicle Charging & Infrastructure. (2023, July 20). Electreon, together with Vinci, wins tender for first wireless electric road in France. Retrieved from Electric Vehicle Charging & Infrastructure: https://www.evcandi.com/news/electreon-together-vinci-wins-tender-first-wireless-electric-road-france Ellen MacArthur Foundation. (2024, March 20). 3D Ocean Farming | Transforming tradition. Retrieved from YouTube: https://www.youtube.com/watch?v=6PqvHaaL6EQ&t=225s Emergent Team. (n.d.). Using Sound Waves to Put Out Fire: The Story of Two George Mason University Students. Retrieved from Emergent: https://www.emergent.tech/blog/sound-waves-to-put-out-fire FAO. (2023). AI and Robotics in Precision Agriculture: Combating Plant Diseases. Foster, J. (2023, March 29). China demonstrates electrified highway. Retrieved from Electric Vehicle Charging & Infrastructure: https://www.evcandi.com/news/china-demonstrates-electrified-highway Foster, J. (2023, June 28). Electreon to install the first wireless electric road in Norway. Retrieved from Electric Vehicle Charging & Infrastructure: https://www.evcandi.com/news/electreon-install-first-wireless-electric-road-norway George Mason University. (2015, February 6). Pump Up the Bass to Douse a Blaze: Mason Students' Invention Fights Fires. Retrieved from YouTube: https://www.youtube.com/watch?v=uPVQMZ4ikvM Greenwave. (2025). Regenerative Ocean Farming. Retrieved from Greenwave: https://www.greenwave.org/our-model Hassan, T. (2024, October 15). Vertical Ocean Farming. Retrieved from AgriNext Conference: https://agrinextcon.com/vertical-ocean-farming-sustainable-and-shellfish/ IEA. (2025). Electric Vehicles. Retrieved from IEA: https://www.iea.org/energy-system/transport/electric-vehicles Intuitive Surgical. (2024). da Vinci and Ion Robotic Systems Overview. IPCC. (2012). Renewable Energy Sources and Climate Change Mitigation. Retrieved from IPCC: https://www.ipcc.ch/site/assets/uploads/2018/03/SRREN_Full_Report-1.pdf Kadri, U. (2025, April 7). Wave energy’s huge potential could finally be unlocked by the power of sound – new research. Retrieved from The Conversation: https://theconversation.com/wave-energys-huge-potential-could-finally-be-unlocked-by-the-power-of-sound-new-research-253422 Kim, J. et al. (2022). “Microbotic Eradication of Biofilms on Medical Implants.” Nature Biomedical Engineering, 6(11), 1215–1226. Larousserie, D. (2013, November 22). Graphene - the new wonder material. Retrieved from The Guardian: https://www.theguardian.com/science/2013/nov/26/graphene-molecule-potential-wonder-material Lee, S. et al. (2023). “Nanorobotic Drug Delivery Systems for Cancer Therapy.” Science Advances, 9(4), eabq1234. Lumley, G. (2025, March). What Is Wave Power? Retrieved from BKV Energy: https://bkvenergy.com/learning-center/what-is-wave-energy/ MIT News. (2025). “Luigi: A Robot for Wastewater Epidemiology.” Min, R. (2023, July 06). Sweden is building the world's first permanent electrified road for EVs to charge while driving. Retrieved from euro news: https://www.euronews.com/next/2023/05/09/sweden-is-building-the-worlds-first-permanent-electrified-road-for-evs NOAA. (n.d.). 3D Ocean Farming. Retrieved from NOAA: https://oceantoday.noaa.gov/fullmoon-3doceanfarming/welcome.html Ocean Energy Europe. (n.d.). Wave energy. Retrieved from Ocean Energy Europe: https://www.oceanenergy-europe.eu/ocean-energy/wave-energy/#:~:text=Wave%20energy%20technology Paris, M. (2024, January 31). Wireless charging: The roads where electric vehicles never need to plug in. Retrieved from BBC: https://www.bbc.com/future/article/20240130-wireless-charging-the-roads-where-electric-vehicles-never-need-to-plug-in Porter, A. (2024, June 20). What is Aquaculture? An Overview of Sustainable Ocean Farming. Retrieved from PBS: https://www.pbs.org/articles/a-guide-to-hope-in-the-water-and-aquaculture Repsol. (2025). An innovative and revolutionary material. Retrieved from Repsol: https://www.repsol.com/en/energy-move-forward/innovation/graphene/index.cshtml SKinno News. (2021, July 8). Charging while driving – electrified road for electric vehicles. Retrieved from SKinno News: https://skinnonews.com/global/archives/6253 SpinLaunch. (2025). Pioneering The Next Generation of Satellite Broadband. Retrieved from SpinLaunch: https://www.spinlaunch.com/meridianspace The Guardian. (2018, April 12). World's first electrified road for charging vehicles opens in Sweden. Retrieved from The Guardian: https://www.theguardian.com/environment/2018/apr/12/worlds-first-electrified-road-for-charging-vehicles-opens-in-sweden Urban Ocean Lab. (2023, November). What is Regenerative Ocean Farming? Retrieved from Urban Ocean Lab: https://urbanoceanlab.org/resource/regenerative-ocean-farming-factsheet UVD Robots. (2023). Next-Generation UV-C Disinfection Systems for Hospitals. Waycott, B. (2022, January 10). Regenerative ocean farming is trending, but can it be a successful business model? Retrieved from Global Seafood Alliance: https://www.globalseafood.org/advocate/regenerative-ocean-farming-is-trending-but-can-it-be-a-successful-business-model/ WHO. (2022). Guidelines on Hydrogen Peroxide Disinfection in Healthcare Settings. Wikipedia. (2019, June). List of wave power projects. Retrieved from Wikipedia: https://en.wikipedia.org/wiki/List_of_wave_power_projects Wyss, K. (2022, November 29). Graphene is a proven supermaterial, but manufacturing the versatile form of carbon at usable scales remains a challenge. Retrieved from The Conversation: https://theconversation.com/graphene-is-a-proven-supermaterial-but-manufacturing-the-versatile-form-of-carbon-at-usable-scales-remains-a-challenge-194238 Xenex. (2024). LightStrike Germ-Zapping Robot: Clinical Outcomes and Use Cases. Young, C. (2025, October 18). SpinLaunch just catapulted a NASA payload into the sky for the first time. 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Diplomacy
Digital chatbot interface translating several global languages, representing multilingual AI technology in customer service. business communication systems

Digital Soft Power: Reinvention of the Spanish-Speaking World

by World & New World Journal

Introduction Soft-power dynamics have gained importance in the global arena. Moving from the classical cultural approach to the digital realm, soft power has now the ability to shift and transform geopolitics through technological influence. In the age of AI – where digital competitiveness across language blocs determines access to innovation, data, and influence – the emergence of a robust, multilingual digital ecosystem has become essential. Within this landscape, Spanish has become a key player. Spanish is a Romance language from the Indo-European language family that is spoken by around 636 million people worldwide. This number represents 7.6% of the global population and makes it the third most widely spoken mother tongue, after Mandarin and Hindi. Therefore, holding that position, Spanish has rapidly become one of the most influential languages in the digital sphere, this can be seen in the fact that Spanish ranks as the second most used language on the web, surpassed only by English. In fact, this digital presence is not a coincidence, it is part of a rapid digital reinvention driven by demographic strength, expanding connectivity, regional and local policies modernization, and a growing tech-savvy diaspora. Therefore, this transformation can be said to be reshaping Spanish-speaking economies, is enabling new digital ecosystems, and is positioning several Spanish-speaking countries as emerging innovation and digital hubs. As the transformations unfold, the digital reinvention of the Spanish-speaking world presents a powerful case of how linguistic, demographic, and technological forces converges to reshape geopolitical and economical power through digital soft-power. Figure 1: Spanish speaking countries. Source: Speak easy. The Acceleration Drivers For a better understanding, there are multiple forces that can explain why this shift is happening now. In economic terms, the demand for fintech, e-commerce, and mobile-based services has grown as Latin America’s expanding middle class accelerates the shift toward digital consumer habits. In demographic terms, with over 60% of the region’s population under 35 years old, it has one of the world’s youngest digital workforces. In addition, the large Spanish-speaking diaspora in the U.S. and Europe further amplifies cross-border entrepreneurship, remittances, and cultural-technological exchange. Moreover, global connectivity — expanded through fiber, 4G/5G networks, the widespread smartphone adoption and including digital transformation projects and financing — has enabled digital inclusion and remote-work globalization. While governments have also introduced strategic initiatives, such as digital identity programs, fintech sandboxes, and AI policies, helping structure the ecosystem. Key Regions Leading the Transformation Spain has become a European gateway for Spanish-speaking startups by providing access to EU-wide digital infrastructure, funding programs, and regulatory harmonization. For instance, Barcelona and Madrid – usually ranked among Europe’s top tech hubs –, and initiatives like ‘España Digital 2026’ or the AI Strategy 2020 have played an important role in supporting Spain in this regard. In addition, Spain is also home of one of the European Blockchain Service Infrastructure (EBSI) nodes and has hosted major innovation events like 4YFN or the Mobile World Congress, which help Latin American founders integrate into the EU market In the Americas, Argentina stands out for its strong AI talent pipeline and world-class developer community. The country produces one of the highest numbers of software engineers per capita in Latin America – just behind Brazil and Mexico –, and some Argentinian Universities – like the UBA and UTN – are constantly top-ranked in math and computer sciences in the region. In addition, Argentina is home to pioneering companies such as Auth0 or Mural, while its AI scene has also contributed to multilingual datasets and early experimentation with Large Language Models (LLM) fine-tuning tailored to Spanish and regional dialects. Argentina’s neighbor, Chile, has taken a leadership role in digital governance, cybersecurity, and regulatory modernization. In 2021, Chile became the first Latin American country to pass a National AI Policy, and it is among the first to establish a Fintech Law and regulatory sandbox, enabling companies like NotCo, Fintual, and Betterfly to scale with legal clarity. In terms of digital governance, Chile’s Digital Government Division is internationally recognized for its interoperability standards and cybersecurity strategy aligned with OECD recommendations. Colombia is another key player in the region as it is rapidly scaling its digital workforce and fintech ecosystem, becoming one of the fastest-growing digital economies in Latin America. For instance, companies such as Rappi, Addi, and Mercado Pago Colombia have turned the country into a logistics and payments innovation center. In addition, the Colombian government has boosted initiatives like Misión TIC 2022 – which objective was to train over 100,000 citizens in software development – or GovTech Colombia – aiming to accelerate digital procurement – to strength its young-tech talent base. Finally, Uruguay is known for having built one of the strongest digital infrastructures in the hemisphere. In this context, Uruguay – ranked among the top in digital connectivity worldwide – has a universal fiber-optic coverage and nearly 100% of households connected to high-speed internet through the public telecom company ANTEL. In addition, its digital ID system, Ceibal, and its national e-government platform, AGESIC, are considered global benchmarks for digital public infrastructure in the region. Figure 2: LATAM Fintech ecosystem growth. Source: Finn Summit. Data collected by Finnovista and the IDB within the framework of this report (2023) and historical data. The 2023 report considers 26 LAC countries, including The Bahamas, Barbados, Belize, Guyana, Haiti, Jamaica, Suriname and Trinidad and Tobago. https://www.finnosummit.com/en/fintech-ecosystem-in-latin-america-and-the-caribbean-exceeds-3000-startups/ Where does innovation happen? As read in the previous section, innovation is happening already across different key sectors. For instance, AI and LLMs are rapidly being adapted to Spanish, Indigenous languages, and regional contexts. At the same time, the region’s fintech and digital banking sectors are expanding at remarkable speed, positioning Latin America as one of the world’s most dynamic fintech environments. On the other hand, smart cities and digital public infrastructure — such as digital IDs, online government portals, and interoperable public services — are being deployed across major urban areas. In parallel, the EdTech sector is training millions of new professionals and turning the region into an exporter of digital-skilled talent. Finally, e-commerce and logistics innovations are also undergoing transformation, they are evolving introducing blockchain and Web3 frameworks, enabling new forms of decentralized marketplaces and governance. Together, these developments reveal how the Spanish-speaking world is building a connected and technologically adaptive innovation landscape. Figure 3: Innovation competitiveness scores of certain Spanish-speaking countries. Source: ITIF. Latin American Subnational Innovation Competitiveness Index 2.0 https://itif.org/publications/2025/09/22/latin-american-subnational-innovation-competitiveness-index-2/ Challenges However, despite the rapid progress shown, several issues continue to limit the digital transformation of the Spanish-speaking world. First, the digital divide remains a major challenge, particularly between urban centers with high-speed connectivity and rural or low-income areas where access to broadband, devices, and digital skills is still limited. Therefore, the resulting gap is visible in education, financial inclusion, and the ability of smaller communities to participate in the digital economy. The second challenge is the regulatory lag, which is also slowing the adoption of emerging technologies such as AI, cryptocurrency, and automation. This can be visible in the fact that many countries are still developing comprehensive frameworks for data protection, AI ethics, and digital asset oversight, usually leaving innovators operating in uncertain legal environments in the meantime. The third challenge is talent mobility. The region continues to experience significant brain drain as skilled workers tend to migrate to the U.S. and Europe. Even though there is an emerging countertrend of “brain return” thanks to remote-work global hiring, competitive salaries in tech, and new government incentives aimed at retaining or repatriating talent, still is not enough and is a challenge to be addressed. Finally, the fourth challenge is the cybersecurity risks, which have also become a big problem. Latin America has become one of the regions most targeted by ransomware and phishing attacks, vulnerabilities in public infrastructure, small businesses, and critical sectors have been highlighted in most of these attacks. In addition, the spread of misinformation and weak data-governance systems further threaten trust in digital services and democratic institutions. What Comes Next? Although significant challenges remain, addressing them requires aligning technological growth with stronger governance, skilled talent, sustained investment in human capital, and resilient digital infrastructure. Therefore, the next phase of digital reinvention will likely focus on region-wide AI standards, cross-border digital markets, and stronger public-private collaboration to scale infrastructure, talent pipelines, and cybersecurity. Thus, countries that successfully integrate education reforms, innovation incentives, and robust digital institutions will position themselves as global players in emerging technologies. Conclusion Spanish, as the third most spoken language in the world, provides a unique base for building a shared digital ecosystem that could connect people across continents – or the world. This linguistic advantage – combined with a young population, a growing connectivity, and a wave of technological innovation – has positioned the Spanish-speaking world at a pivotal moment of digital reinvention. Countries within the Spanish-speaking sphere are not only adapting new tools or technologies; they are building digital public infrastructure, developing and exporting tech talent, and contributing and participating in the global development of AI, fintech, and smart-city solutions. Still, innovation on its own is not enough. Consequently, closing the gap in the digital divide, strengthening cybersecurity, modernizing regulations, and finding ways to retain and reverse brain drain remain the main challenges. If governments and private actors succeed in building resilient digital institutions and harmonizing regional standards, the Spanish-speaking world could emerge as a major center of global technological influence. Ultimately, this transformation has the potential not just to modernize economies, but to redefine how more than 600 million Spanish speakers participate – and shape – in the digital age. Referencias AGESIC (Agencia de Gobierno Digital) (2023). Digital Government Strategy of Uruguay 2020–2025. https://www.gub.uy/agesic/ BIS (Bank for International Settlements) (2022). Fintech Regulation and Payment Systems in Latin America and the Caribbean. https://www.bis.org/publ/bppdf/bispap124.pdf CAF (2022). GovTech Index for Latin America — Colombia Chapter. https://scioteca.caf.com/handle/123456789/1916 CAF (2022). Urban Mobility Observatory: Digital Public Infrastructure in Latin American Cities. https://www.caf.com/en/knowledge/ CB Insights (2023). Global Fintech Report: Q4 2023 — Latin America Section. https://www.cbinsights.com/research/report/fintech-trends-q4-2023/ CMF Chile (2022). Ley Fintech y Marco Regulatorio para Innovación Financiera. https://www.cmfchile.cl ECLAC (2022). 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