Showing posts with label Stratfor. Show all posts
Showing posts with label Stratfor. Show all posts
Thursday, June 04, 2009
Geography and the Recession
I’m trying to not to actually post Stratfor’s lengthy twice-weekly reports (Geopolitics and Security) because they take so much space but I really liked this one by Peter Zeihan on The Geography of Recession. As a nation, we really are incredibly blessed by Geography: two oceans, terrific ports and a breadbasket served by linked, navigable rivers. Compared to the Geography of Europe, Russia and China, we’re almost too blessed to fail.
Tuesday, April 28, 2009
Stratfor on the First 100 Days (geopolitically)
George Friedman at Stratfor made the point in his book—The Next One Hundred Years—that administrations are often given very little choice when it comes to foreign relations due to “geopolitics.” Accordingly, administrations driven by national self-interest often have their policies foisted upon them rather than being driven by ideology. In today’s Stratfor newsletter, Friedman (somewhat self-servingly) makes the point that President Obama’s first one hundred days looks very much like the Bush administration save in two areas. First he comments about perception and atmosphere and how brilliantly the administration’s team has handled that on the European trip.
A very short part of his comments:
On the whole, the Europeans gave two big nos [on a German stimulus and help in Afghanistan], while the Americans gave a mild yes [Obama’s agreement to mildly support the IMF’s bailout of European banks]. In substantive terms, the U.S.-European relationship is no better than it was under Bush. In terms of perception, however, the Obama administration managed a brilliant coup, shifting the focus to the changed atmosphere that prevailed at the meeting. Indeed, all parties wanted to emphasize the atmospherics, and judging from media coverage, they succeeded. The trip accordingly was perceived as a triumph.
Campaign Promises and Public Perception
This is not a trivial achievement. There are campaign promises, there is reality and there is public perception. All presidents must move from campaigning to governing; extremely skilled presidents manage the shift without appearing duplicitous. At least in the European case, Obama has managed the shift without suffering political damage. His core supporters appear prepared to support him independent of results. And that is an important foundation for effective governance.
Next, he wrote of the trip to Turkey as the real area of change:
Turkey and the Substantial U.S. Shift
One substantial shift has taken place, however, and that one is with Turkey. The Obama administration has made major overtures to Turkey in multiple forms, from a presidential visit to putting U.S. anti-piracy vessels under Turkish command. These are not symbolic moves. The United States needs Turkey to counterbalance Iran, protect U.S. interests in the Caucasus, help stabilize Iraq, serve as a bridge to Syria and help in Afghanistan. Obama has clearly shifted strategy here in response to changing conditions in the region.
Intriguingly, the change in U.S.-Turkish relations never surfaced as even a minor issue during the U.S. presidential campaign. It emerged after the election because of changes in the configuration of the international system. Shifts in Russian policy, the U.S. withdrawal from Iraq and shifts within Turkey that allowed the country to begin its return to the international arena all came together to make this necessary, and Obama responded.
None of this is designed to denigrate Obama in the least. While many of his followers may be dismayed, and while many of his critics might be unwilling to notice, the fact is that a single concept dominated Obama’s first hundred days: continuity. In the face of the realities of his domestic political position and the U.S. strategic position, as well as the economic crisis, Obama did what he had to do, and what he had to do very much followed from what Bush did. It is fascinating that both Obama’s supporters and his critics think he has made far more changes than he really has.
Of course, this is only the first hundred days. Presidents look for room to maneuver after they do what they need to do in the short run. Some presidents use that room to pursue policies that weaken, and even destroy, their presidencies. Others find ways to enhance their position. But normally, the hardest thing a president faces is finding the space to do the things he wants to do rather than what he must do. Obama came through the first hundred days following the path laid out for him. It is only in Turkey where he made a move that he wasn’t compelled to make just now, but that had to happen at some point. It will be interesting to see how many more such moves he makes.
This report may be forwarded or republished on your website with attribution to www.stratfor.com
A very short part of his comments:
On the whole, the Europeans gave two big nos [on a German stimulus and help in Afghanistan], while the Americans gave a mild yes [Obama’s agreement to mildly support the IMF’s bailout of European banks]. In substantive terms, the U.S.-European relationship is no better than it was under Bush. In terms of perception, however, the Obama administration managed a brilliant coup, shifting the focus to the changed atmosphere that prevailed at the meeting. Indeed, all parties wanted to emphasize the atmospherics, and judging from media coverage, they succeeded. The trip accordingly was perceived as a triumph.
Campaign Promises and Public Perception
This is not a trivial achievement. There are campaign promises, there is reality and there is public perception. All presidents must move from campaigning to governing; extremely skilled presidents manage the shift without appearing duplicitous. At least in the European case, Obama has managed the shift without suffering political damage. His core supporters appear prepared to support him independent of results. And that is an important foundation for effective governance.
Next, he wrote of the trip to Turkey as the real area of change:
Turkey and the Substantial U.S. Shift
One substantial shift has taken place, however, and that one is with Turkey. The Obama administration has made major overtures to Turkey in multiple forms, from a presidential visit to putting U.S. anti-piracy vessels under Turkish command. These are not symbolic moves. The United States needs Turkey to counterbalance Iran, protect U.S. interests in the Caucasus, help stabilize Iraq, serve as a bridge to Syria and help in Afghanistan. Obama has clearly shifted strategy here in response to changing conditions in the region.
Intriguingly, the change in U.S.-Turkish relations never surfaced as even a minor issue during the U.S. presidential campaign. It emerged after the election because of changes in the configuration of the international system. Shifts in Russian policy, the U.S. withdrawal from Iraq and shifts within Turkey that allowed the country to begin its return to the international arena all came together to make this necessary, and Obama responded.
None of this is designed to denigrate Obama in the least. While many of his followers may be dismayed, and while many of his critics might be unwilling to notice, the fact is that a single concept dominated Obama’s first hundred days: continuity. In the face of the realities of his domestic political position and the U.S. strategic position, as well as the economic crisis, Obama did what he had to do, and what he had to do very much followed from what Bush did. It is fascinating that both Obama’s supporters and his critics think he has made far more changes than he really has.
Of course, this is only the first hundred days. Presidents look for room to maneuver after they do what they need to do in the short run. Some presidents use that room to pursue policies that weaken, and even destroy, their presidencies. Others find ways to enhance their position. But normally, the hardest thing a president faces is finding the space to do the things he wants to do rather than what he must do. Obama came through the first hundred days following the path laid out for him. It is only in Turkey where he made a move that he wasn’t compelled to make just now, but that had to happen at some point. It will be interesting to see how many more such moves he makes.
This report may be forwarded or republished on your website with attribution to www.stratfor.com
Tuesday, April 14, 2009
A little history to go with that Cuba policy relaxation
For what it’s worth, I think this has been a long time coming.
I certainly understand the US reluctance. The incarceration of their librarians is/was (I haven’t seen any news on that lately so maybe they’ve been released—see Nat Hentoff, formerly of the Village Voice, for details). However, since the fall of the Soviet Union, we should have been bribing and cajoling with gusto. It should have been a state by now except I don't know where we'd put the star.
Stratfor’s George Friedman on our historic obsession with the island state:
By George Friedman
The Cuban American National Foundation (CANF), a group vehemently opposed to the Cuban government, came out in favor of easing the U.S. isolation of Cuba last week. The move opens the possibility that the United States might shift its policies toward Cuba. Florida is a key state for anyone who wants to become president of the United States, and the Cuban community in Florida is substantial. Though the Soviet threat expired long ago, easing the embargo on Cuba has always held limited value to American politicians with ambitions. For them, Florida is more important than Cuba. Therefore, this historic shift alters the U.S. domestic political landscape.
In many ways, the U.S. policy of isolating Cuba has been more important to the Cubans than to the United States, particularly since the fall of the Soviet Union. The Cuban economy is in abysmal shape.
But the U.S. embargo has been completely ineffective on the stated goal of destabilizing the Cuban government, which has used the embargo as justification for economic hardship. Although the embargo isolates Cuba from its natural market, the United States, the embargo is not honored by Canada, Mexico, Europe, China or anyone else beyond the United States. That means Cuban goods can be sold on the world market, Cuba can import anything it can pay for, and Cuba can get investment of any size from any country wishing to invest on the island. Because it has almost complete access to the global market, Cuba’s economic problem is not the U.S. embargo. But the embargo does create a political defense for Cuban dysfunction.
It is easy to dismiss the embargo issue as primarily a matter of domestic politics for both nations. It is also possible to argue that, though Cuba was once significant to the United States, that significance has declined since the end of the Cold War. Both assertions are valid, but neither is sufficient. Beyond the apparently disproportionate U.S. obsession with Cuba, and beyond a Cuban government whose ideology pivots around anti-Americanism, there are deeper and more significant geopolitical factors to consider.
Cuba occupies an extraordinarily important geographic position for the United States. It sits astride the access points from the Gulf of Mexico into the Atlantic Ocean, and therefore is in a position to impact the export of U.S. agricultural products via the Mississippi River complex and New Orleans (not to mention the modern-day energy industrial centers along the Gulf Coast). If New Orleans is the key to the American Midwest’s access to the world, Cuba is the key to New Orleans.
(click image to enlarge)
[again, you really have to click to see the map]
Access to the Atlantic from the Gulf runs on a line from Key West to the Yucatan Peninsula, a distance of about 380 miles. Running perpendicular through the middle of this line is Cuba. The Straits of Florida, the northern maritime passage from the Gulf to the Atlantic, is about 90 miles wide from Havana to Key West. The Yucatan Channel, the southern maritime passage, is about 120 miles wide. Cuba itself is about 600 miles long. On the northern route, the Bahamas run parallel to Cuba for about half that distance, forcing ships to the south, toward Cuba. On the southern route, after the Yucatan gantlet, the passage out of the Caribbean is made long and complicated by the West Indies. A substantial, hostile naval force or air power based in Cuba could blockade the Gulf of Mexico — and hence the American heartland.
Throughout the 19th century, Cuba was of concern to the United States for this reason. The moribund Spanish Empire controlled Cuba through most of the century, something the United States could live with. The real American fear was that the British — who had already tried for New Orleans itself in the War of 1812 — would expel the Spanish from Cuba and take advantage of the island’s location to strangle the United States. Lacking the power to do anything about Spain itself, the United States was content to rely on Madrid to protect Spanish interests and those of the United States.
Cuba remained a Spanish colony long after other Spanish colonies gained independence. The Cubans were intensely afraid of both the United States and Britain, and saw a relationship with Spain — however unpleasant — as more secure than risking English or American domination. The Cubans had mixed feelings about the prospect of formal independence from Spain followed by unofficial foreign domination.
But in 1895, the Cubans rose up against Spain (not for the first time) in what turned into the struggle that would culminate in the island’s independence from the country. With a keen interest in Cuba, Washington declared war on Spain in 1898 and invaded Cuba. The Spanish were quickly defeated in the Spanish-American War and soon withdrew from the island. For the United States, the main goal was less about gaining control of Cuba itself (though that was the net result) than about denying Cuba to other world powers.
The United States solved its Cuban problem by establishing a naval base at Guantanamo Bay on the island. Between this base and U.S. naval bases in the Gulf and on the East Coast, British naval forces in the Bahamas were placed in a vise. By establishing Guantanamo Bay on the southern coast of Cuba, near the Windward Passage between Cuba and Haiti, the United States controlled the southern route to the Atlantic through the Yucatan Channel.
For the United States, any power that threatened to establish a naval presence in Cuba represented a direct threat to U.S. national security. When there were fears during World War I that the Germans might seek to establish U-boat bases in Cuba — an unrealistic concern — the United States interfered in Cuban politics to preclude that possibility. But it was the Soviet Union’s presence in Cuba during the Cold War that really terrified the Americans.
From the Soviet point of view, Cuba served a purpose no other island in the region could serve. Missiles could be based in many places in the region, but only Cuba could bottle up the Gulf of Mexico. Any Soviet planner looking at a map would immediately identify Cuba as a key asset; any American planner looking at the same map would identify Cuba in Soviet hands as a key threat. For the Soviets, establishing a pro-Soviet regime in Cuba represented a geopolitical masterstroke. For the United States, it represented a geopolitical nightmare that had to be reversed.
Just as U.S. medium- and intermediate-range ballistic missiles in Turkey put the Soviet heartland in the crosshairs during the Cold War, Soviet missiles deployed operationally in Cuba put the entire U.S. Eastern Seaboard at risk. Mere minutes would have been available for detection and recognition of an attack before impact. In addition, the missiles’ very presence would serve as a significant deterrent to conventional attack on the island — which is why it was so important for the United States not to allow an established missile presence in Cuba.
The final outcome of the U.S.-Soviet standoff pivoted on the Cuban Missile Crisis of 1962, which ended in an American blockade of Cuba, not a Soviet blockade of the Gulf. It was about missiles, not about maritime access. But the deal that ended the crisis solved the problem for the United States. In return for a U.S. promise not to invade Cuba, the Soviets promised not to place nuclear missiles on the island. If the Soviets didn’t have missiles there, the United States could neutralize any naval presence in Cuba — and therefore any threat to American trade routes. Fidel Castro could be allowed to survive, but in a position of strategic vulnerability. One part of Washington’s strategy was military, and the other part was economic — namely, the embargo.
Throughout Cuba’s history as an independent nation, the Cubans simultaneously have viewed the United States as an economic driver of the Cuban economy, and as a threat to Cuban political autonomy. The Americans have looked at Cuba as a potential strategic threat. This imbalance made U.S. domination of Cuba inevitable. Cuban leaders in the first half of the 20th century accepted domination in return for prosperity. But there were those who argued that the island’s prosperity was unequally distributed, and the loss of autonomy too damaging to accept. Castro led the latter group to success in the 1959 revolution against U.S.-supported Cuban President Fulgencio Batista. The anti-Castro emigres who fled to the United States and established an influential community of anti-Castro sentiment had been part of the elite who prospered from Cuba’s high level of dependence on the United States.
Cuban history has been characterized by an oscillation of views about the United States, with Cubans both wanting what it had to offer and seeking foreign powers — the Spanish, the British the Soviets — to counterbalance the Americans. But the counterbalance either never materialized (in the case of the British) or, when it did, it was as suffocating as the Americans (in the case of the Soviets). In the end, Cuba probably would have preferred to be located somewhere not of strategic interest to the United States.
The U.S. obsession with Cuba does not manifest itself continuously; it appears only when a potentially hostile major power allies itself with Cuba and bases itself there. Cuba by itself can never pose a threat to the United States. Absent a foreign power, the United States is never indifferent to Cuba, but is much less sensitive. Therefore, after the end of the Cold War and the Soviet collapse, Cuba became a minor issue for the United States — and political considerations took precedence over geopolitical issues. Florida’s electoral votes were more important than Cuba, and the status quo was left untouched.
Cuba has become a bit more important to the United States in the wake of the August 2008 Russo-Georgian war. In response to that conflict, the Americans sent warships into the Black Sea. The Russians responded by sending warships and strategic bombers into the Caribbean. High-profile Russian delegations have held talks with Cuba since then, increasing tensions. But these tensions are a tiny fraction of what they once were. Russia is in no way a strategic threat to American shipping in the Gulf of Mexico, nor is it going to be any time soon, due to Russia’s limited ability to wield substantive power in such a distant theater.
But Cuba is always an underlying concern to the United States. This concern can subside, but it cannot go away. Thus, from the American point of view, Russian probes are a reminder that Cuba remains a potential threat. Advocates of easing the embargo say it will help liberalize Cuba, just as trade relations liberalized Russia. The Cuban leadership shares this view and will therefore be very careful about how any liberalization is worked out. The Cubans must be thoroughly convinced of the benefits of increased engagement with the United States in order for Havana to sacrifice its ability to blame Washington for all of its economic problems. If Cuba opens too much to the United States, the Cuban regime might fall. In the end, it might be the Cubans who shy away from an end to the embargo. The Americans have little to lose either way.
But that is all politics. The important thing to understand about Cuba is the historic U.S. obsession with the island, and why the Cubans have never been able to find their balance with the United States. The answer lies in geopolitics. The politics in play now are simply the bubble on the surface of much deeper forces.
This report may be forwarded or republished on your website with attribution to http://www.stratfor.com/
I certainly understand the US reluctance. The incarceration of their librarians is/was (I haven’t seen any news on that lately so maybe they’ve been released—see Nat Hentoff, formerly of the Village Voice, for details). However, since the fall of the Soviet Union, we should have been bribing and cajoling with gusto. It should have been a state by now except I don't know where we'd put the star.
Stratfor’s George Friedman on our historic obsession with the island state:
By George Friedman
The Cuban American National Foundation (CANF), a group vehemently opposed to the Cuban government, came out in favor of easing the U.S. isolation of Cuba last week. The move opens the possibility that the United States might shift its policies toward Cuba. Florida is a key state for anyone who wants to become president of the United States, and the Cuban community in Florida is substantial. Though the Soviet threat expired long ago, easing the embargo on Cuba has always held limited value to American politicians with ambitions. For them, Florida is more important than Cuba. Therefore, this historic shift alters the U.S. domestic political landscape.
In many ways, the U.S. policy of isolating Cuba has been more important to the Cubans than to the United States, particularly since the fall of the Soviet Union. The Cuban economy is in abysmal shape.
But the U.S. embargo has been completely ineffective on the stated goal of destabilizing the Cuban government, which has used the embargo as justification for economic hardship. Although the embargo isolates Cuba from its natural market, the United States, the embargo is not honored by Canada, Mexico, Europe, China or anyone else beyond the United States. That means Cuban goods can be sold on the world market, Cuba can import anything it can pay for, and Cuba can get investment of any size from any country wishing to invest on the island. Because it has almost complete access to the global market, Cuba’s economic problem is not the U.S. embargo. But the embargo does create a political defense for Cuban dysfunction.
It is easy to dismiss the embargo issue as primarily a matter of domestic politics for both nations. It is also possible to argue that, though Cuba was once significant to the United States, that significance has declined since the end of the Cold War. Both assertions are valid, but neither is sufficient. Beyond the apparently disproportionate U.S. obsession with Cuba, and beyond a Cuban government whose ideology pivots around anti-Americanism, there are deeper and more significant geopolitical factors to consider.
Cuba occupies an extraordinarily important geographic position for the United States. It sits astride the access points from the Gulf of Mexico into the Atlantic Ocean, and therefore is in a position to impact the export of U.S. agricultural products via the Mississippi River complex and New Orleans (not to mention the modern-day energy industrial centers along the Gulf Coast). If New Orleans is the key to the American Midwest’s access to the world, Cuba is the key to New Orleans.
(click image to enlarge)
[again, you really have to click to see the map]
Access to the Atlantic from the Gulf runs on a line from Key West to the Yucatan Peninsula, a distance of about 380 miles. Running perpendicular through the middle of this line is Cuba. The Straits of Florida, the northern maritime passage from the Gulf to the Atlantic, is about 90 miles wide from Havana to Key West. The Yucatan Channel, the southern maritime passage, is about 120 miles wide. Cuba itself is about 600 miles long. On the northern route, the Bahamas run parallel to Cuba for about half that distance, forcing ships to the south, toward Cuba. On the southern route, after the Yucatan gantlet, the passage out of the Caribbean is made long and complicated by the West Indies. A substantial, hostile naval force or air power based in Cuba could blockade the Gulf of Mexico — and hence the American heartland.
Throughout the 19th century, Cuba was of concern to the United States for this reason. The moribund Spanish Empire controlled Cuba through most of the century, something the United States could live with. The real American fear was that the British — who had already tried for New Orleans itself in the War of 1812 — would expel the Spanish from Cuba and take advantage of the island’s location to strangle the United States. Lacking the power to do anything about Spain itself, the United States was content to rely on Madrid to protect Spanish interests and those of the United States.
Cuba remained a Spanish colony long after other Spanish colonies gained independence. The Cubans were intensely afraid of both the United States and Britain, and saw a relationship with Spain — however unpleasant — as more secure than risking English or American domination. The Cubans had mixed feelings about the prospect of formal independence from Spain followed by unofficial foreign domination.
But in 1895, the Cubans rose up against Spain (not for the first time) in what turned into the struggle that would culminate in the island’s independence from the country. With a keen interest in Cuba, Washington declared war on Spain in 1898 and invaded Cuba. The Spanish were quickly defeated in the Spanish-American War and soon withdrew from the island. For the United States, the main goal was less about gaining control of Cuba itself (though that was the net result) than about denying Cuba to other world powers.
The United States solved its Cuban problem by establishing a naval base at Guantanamo Bay on the island. Between this base and U.S. naval bases in the Gulf and on the East Coast, British naval forces in the Bahamas were placed in a vise. By establishing Guantanamo Bay on the southern coast of Cuba, near the Windward Passage between Cuba and Haiti, the United States controlled the southern route to the Atlantic through the Yucatan Channel.
For the United States, any power that threatened to establish a naval presence in Cuba represented a direct threat to U.S. national security. When there were fears during World War I that the Germans might seek to establish U-boat bases in Cuba — an unrealistic concern — the United States interfered in Cuban politics to preclude that possibility. But it was the Soviet Union’s presence in Cuba during the Cold War that really terrified the Americans.
From the Soviet point of view, Cuba served a purpose no other island in the region could serve. Missiles could be based in many places in the region, but only Cuba could bottle up the Gulf of Mexico. Any Soviet planner looking at a map would immediately identify Cuba as a key asset; any American planner looking at the same map would identify Cuba in Soviet hands as a key threat. For the Soviets, establishing a pro-Soviet regime in Cuba represented a geopolitical masterstroke. For the United States, it represented a geopolitical nightmare that had to be reversed.
Just as U.S. medium- and intermediate-range ballistic missiles in Turkey put the Soviet heartland in the crosshairs during the Cold War, Soviet missiles deployed operationally in Cuba put the entire U.S. Eastern Seaboard at risk. Mere minutes would have been available for detection and recognition of an attack before impact. In addition, the missiles’ very presence would serve as a significant deterrent to conventional attack on the island — which is why it was so important for the United States not to allow an established missile presence in Cuba.
The final outcome of the U.S.-Soviet standoff pivoted on the Cuban Missile Crisis of 1962, which ended in an American blockade of Cuba, not a Soviet blockade of the Gulf. It was about missiles, not about maritime access. But the deal that ended the crisis solved the problem for the United States. In return for a U.S. promise not to invade Cuba, the Soviets promised not to place nuclear missiles on the island. If the Soviets didn’t have missiles there, the United States could neutralize any naval presence in Cuba — and therefore any threat to American trade routes. Fidel Castro could be allowed to survive, but in a position of strategic vulnerability. One part of Washington’s strategy was military, and the other part was economic — namely, the embargo.
Throughout Cuba’s history as an independent nation, the Cubans simultaneously have viewed the United States as an economic driver of the Cuban economy, and as a threat to Cuban political autonomy. The Americans have looked at Cuba as a potential strategic threat. This imbalance made U.S. domination of Cuba inevitable. Cuban leaders in the first half of the 20th century accepted domination in return for prosperity. But there were those who argued that the island’s prosperity was unequally distributed, and the loss of autonomy too damaging to accept. Castro led the latter group to success in the 1959 revolution against U.S.-supported Cuban President Fulgencio Batista. The anti-Castro emigres who fled to the United States and established an influential community of anti-Castro sentiment had been part of the elite who prospered from Cuba’s high level of dependence on the United States.
Cuban history has been characterized by an oscillation of views about the United States, with Cubans both wanting what it had to offer and seeking foreign powers — the Spanish, the British the Soviets — to counterbalance the Americans. But the counterbalance either never materialized (in the case of the British) or, when it did, it was as suffocating as the Americans (in the case of the Soviets). In the end, Cuba probably would have preferred to be located somewhere not of strategic interest to the United States.
The U.S. obsession with Cuba does not manifest itself continuously; it appears only when a potentially hostile major power allies itself with Cuba and bases itself there. Cuba by itself can never pose a threat to the United States. Absent a foreign power, the United States is never indifferent to Cuba, but is much less sensitive. Therefore, after the end of the Cold War and the Soviet collapse, Cuba became a minor issue for the United States — and political considerations took precedence over geopolitical issues. Florida’s electoral votes were more important than Cuba, and the status quo was left untouched.
Cuba has become a bit more important to the United States in the wake of the August 2008 Russo-Georgian war. In response to that conflict, the Americans sent warships into the Black Sea. The Russians responded by sending warships and strategic bombers into the Caribbean. High-profile Russian delegations have held talks with Cuba since then, increasing tensions. But these tensions are a tiny fraction of what they once were. Russia is in no way a strategic threat to American shipping in the Gulf of Mexico, nor is it going to be any time soon, due to Russia’s limited ability to wield substantive power in such a distant theater.
But Cuba is always an underlying concern to the United States. This concern can subside, but it cannot go away. Thus, from the American point of view, Russian probes are a reminder that Cuba remains a potential threat. Advocates of easing the embargo say it will help liberalize Cuba, just as trade relations liberalized Russia. The Cuban leadership shares this view and will therefore be very careful about how any liberalization is worked out. The Cubans must be thoroughly convinced of the benefits of increased engagement with the United States in order for Havana to sacrifice its ability to blame Washington for all of its economic problems. If Cuba opens too much to the United States, the Cuban regime might fall. In the end, it might be the Cubans who shy away from an end to the embargo. The Americans have little to lose either way.
But that is all politics. The important thing to understand about Cuba is the historic U.S. obsession with the island, and why the Cubans have never been able to find their balance with the United States. The answer lies in geopolitics. The politics in play now are simply the bubble on the surface of much deeper forces.
This report may be forwarded or republished on your website with attribution to http://www.stratfor.com/
Thursday, April 09, 2009
Stratfor: Trouble Brewing in Georgia
Per Stratfor Alert:
Summary
Georgian opposition movements have planned mass protests for April 9, mostly in Tbilisi but also around the country. These protests could spell trouble for President Mikhail Saakashvili. The Western-leaning president has faced protests before, but this time the opposition is more consolidated than in the past. Furthermore, some members of the government are expected to join in the protests, and Russia has stepped up its efforts to oust Saakashvili.
Analysis
Related Link Intelligence Guidance (Special Edition): April 8, 2009
Opposition parties inside Georgia are planning mass protests for April 9, mainly in the capital city of Tbilisi but also across the country. The protests are against President Mikhail Saakashvili and are expected to demand his resignation. This is not the first set of rallies against Saakashvili, who has had a rocky presidency since taking power in the pro-Western “Rose Revolution” of 2003. Anti-government protests have been held constantly over the past six years. But the upcoming rally is different: This is the first time all 17 opposition parties have consolidated enough to organize a mass movement in the country. Furthermore, many members of the government are joining the cause, and foreign powers — namely Russia — are known to be encouraging plans to oust Saakashvili.
The planned protests in Georgia have been scheduled to coincide with the 20th anniversary of the Soviet crackdown on independence demonstrators in Tbilisi. The opposition movement claims that more than 100,000 people will take to the streets — an ambitious number, as the protests of the past six years have not drawn more than 15,000 people. But this time around, the Georgian people’s discontent is greatly intensified because of the blame placed on Saakashvili after the Russo-Georgian war in August 2008. Most Georgians believe Saakashvili pushed the country into a war, knowing the repercussions, and into a serious financial crisis in which unemployment has reached nearly 9 percent.
Georgia’s opposition has always been fractured and so has only managed to pull together sporadic rallies rather than a real movement. But the growing discontent in Georgia is allowing the opposition groups to finally overcome their differences and agree that Saakashvili should be removed. Even Saakashvili loyalists like former Parliament Speaker Nino Burjanadze and former Georgian Ambassador to the United Nations Irakli Alasania have joined the opposition’s cause, targeting Saakashvili personally. The problem now is that opposition members still do not agree on how to remove the president; some are calling for referendums on new elections, and some want to install a replacement government to make sure Saakashvili does not have a chance to return to power. But all 17 parties agreed to start with large-scale demonstrations in the streets and go from there.
If the movement does inspire such a large turnout, it would be equivalent to the number of protesters that hit the streets at the height of the Rose Revolution, which toppled the previous government and brought Saakashvili into power in the first place.
Saakashvili and the remainder of his supporters are prepared, however, with the military on standby outside of Tbilisi in order to counter a large movement. During a demonstration in 2007, Saakashvili deployed the military and successfully — though violently — crushed the protests. But that demonstration consisted of 15,000 protesters; it is unclear if Saakashvili and the military could withstand numbers seven times that.
(click image to enlarge)
[not really--click on link for map.]
There is also concern that protests are planned in the Georgian secessionist region of Adjara, which rose up against and rejected Saakashvili’s government in 2004 after the Rose Revolution. This region was suppressed by Saakashvili once and has held a grudge ever since, looking for the perfect time to rise up again. Tbilisi especially wants to keep Adjara under its control because it is home to the large port of Batumi, and many of Georgia’s transport routes to Turkey run through it. If Adjara rises up, there are rumors in the region that its neighboring secessionist region, Samtskhe-Javakheti, will join in to help destabilize Saakashvili and the government. Georgia already officially lost its two northern secessionist regions of Abkhazia and South Ossetia to Russian occupation during the August 2008 war and is highly concerned with its southern regions trying to break away.
These southern regions, like the northern ones, have strong support from Russia; thus, Moscow is square in the middle of tomorrow’s activities. Russia has long backed all of Georgia’s secessionist regions, but has had difficulty penetrating the Georgian opposition groups in order to organize them against Saakashvili. Though none of the 17 opposition groups are pro-Russian, STRATFOR sources in Georgia say Russian money has been flowing into the groups in order to nudge them along in organizing the impending protests.
Russia has a vested interest in breaking the Georgian government. Russia and the West have been locked in a struggle over the small Caucasus state. That struggle led to the August 2008 Russo-Georgian war, after which Moscow felt secure in its control over Georgia. Since Russian President Dmitri Medvedev and U.S. President Barack Obama met April 1 and disagreed over a slew of issues, including U.S. ballistic missile defense installations in Poland and NATO expansion to Ukraine and Georgia, Russia is not as secure and is seeking to consolidate its power in Georgia. This means first breaking the still vehemently pro-Western Saakashvili. This does not mean Russia thinks it can get a pro-Russian leader in power in Georgia; it just wants one who is not so outspoken against Moscow and so determined to invite Western influence.
The April 9 protests are the point at which all sides will try to gain — and maintain — momentum. The 2003 Rose Revolution took months to build up to, but the upcoming protests are the starting point for both the opposition and Russia — and opposition movements in Georgia have not seen this much support and organization since the 2003 revolution. April 9 will reveal whether or not things are about to get shaken up, if not completely transformed, in Georgia.
Summary
Georgian opposition movements have planned mass protests for April 9, mostly in Tbilisi but also around the country. These protests could spell trouble for President Mikhail Saakashvili. The Western-leaning president has faced protests before, but this time the opposition is more consolidated than in the past. Furthermore, some members of the government are expected to join in the protests, and Russia has stepped up its efforts to oust Saakashvili.
Analysis
Related Link Intelligence Guidance (Special Edition): April 8, 2009
Opposition parties inside Georgia are planning mass protests for April 9, mainly in the capital city of Tbilisi but also across the country. The protests are against President Mikhail Saakashvili and are expected to demand his resignation. This is not the first set of rallies against Saakashvili, who has had a rocky presidency since taking power in the pro-Western “Rose Revolution” of 2003. Anti-government protests have been held constantly over the past six years. But the upcoming rally is different: This is the first time all 17 opposition parties have consolidated enough to organize a mass movement in the country. Furthermore, many members of the government are joining the cause, and foreign powers — namely Russia — are known to be encouraging plans to oust Saakashvili.
The planned protests in Georgia have been scheduled to coincide with the 20th anniversary of the Soviet crackdown on independence demonstrators in Tbilisi. The opposition movement claims that more than 100,000 people will take to the streets — an ambitious number, as the protests of the past six years have not drawn more than 15,000 people. But this time around, the Georgian people’s discontent is greatly intensified because of the blame placed on Saakashvili after the Russo-Georgian war in August 2008. Most Georgians believe Saakashvili pushed the country into a war, knowing the repercussions, and into a serious financial crisis in which unemployment has reached nearly 9 percent.
Georgia’s opposition has always been fractured and so has only managed to pull together sporadic rallies rather than a real movement. But the growing discontent in Georgia is allowing the opposition groups to finally overcome their differences and agree that Saakashvili should be removed. Even Saakashvili loyalists like former Parliament Speaker Nino Burjanadze and former Georgian Ambassador to the United Nations Irakli Alasania have joined the opposition’s cause, targeting Saakashvili personally. The problem now is that opposition members still do not agree on how to remove the president; some are calling for referendums on new elections, and some want to install a replacement government to make sure Saakashvili does not have a chance to return to power. But all 17 parties agreed to start with large-scale demonstrations in the streets and go from there.
If the movement does inspire such a large turnout, it would be equivalent to the number of protesters that hit the streets at the height of the Rose Revolution, which toppled the previous government and brought Saakashvili into power in the first place.
Saakashvili and the remainder of his supporters are prepared, however, with the military on standby outside of Tbilisi in order to counter a large movement. During a demonstration in 2007, Saakashvili deployed the military and successfully — though violently — crushed the protests. But that demonstration consisted of 15,000 protesters; it is unclear if Saakashvili and the military could withstand numbers seven times that.
(click image to enlarge)
[not really--click on link for map.]
There is also concern that protests are planned in the Georgian secessionist region of Adjara, which rose up against and rejected Saakashvili’s government in 2004 after the Rose Revolution. This region was suppressed by Saakashvili once and has held a grudge ever since, looking for the perfect time to rise up again. Tbilisi especially wants to keep Adjara under its control because it is home to the large port of Batumi, and many of Georgia’s transport routes to Turkey run through it. If Adjara rises up, there are rumors in the region that its neighboring secessionist region, Samtskhe-Javakheti, will join in to help destabilize Saakashvili and the government. Georgia already officially lost its two northern secessionist regions of Abkhazia and South Ossetia to Russian occupation during the August 2008 war and is highly concerned with its southern regions trying to break away.
These southern regions, like the northern ones, have strong support from Russia; thus, Moscow is square in the middle of tomorrow’s activities. Russia has long backed all of Georgia’s secessionist regions, but has had difficulty penetrating the Georgian opposition groups in order to organize them against Saakashvili. Though none of the 17 opposition groups are pro-Russian, STRATFOR sources in Georgia say Russian money has been flowing into the groups in order to nudge them along in organizing the impending protests.
Russia has a vested interest in breaking the Georgian government. Russia and the West have been locked in a struggle over the small Caucasus state. That struggle led to the August 2008 Russo-Georgian war, after which Moscow felt secure in its control over Georgia. Since Russian President Dmitri Medvedev and U.S. President Barack Obama met April 1 and disagreed over a slew of issues, including U.S. ballistic missile defense installations in Poland and NATO expansion to Ukraine and Georgia, Russia is not as secure and is seeking to consolidate its power in Georgia. This means first breaking the still vehemently pro-Western Saakashvili. This does not mean Russia thinks it can get a pro-Russian leader in power in Georgia; it just wants one who is not so outspoken against Moscow and so determined to invite Western influence.
The April 9 protests are the point at which all sides will try to gain — and maintain — momentum. The 2003 Rose Revolution took months to build up to, but the upcoming protests are the starting point for both the opposition and Russia — and opposition movements in Georgia have not seen this much support and organization since the 2003 revolution. April 9 will reveal whether or not things are about to get shaken up, if not completely transformed, in Georgia.
Friday, March 27, 2009
More on Drug Trafficking from STRATFOR
STRATFOR on the Central American Role:
By Stephen Meiners
As part of STRATFOR’s coverage of the security situation in Mexico, we have observed some significant developments in the drug trade in the Western Hemisphere over the past year. While the United States remains the top destination for South American-produced cocaine, and Mexico continues to serve as the primary transshipment route, the path between Mexico and South America is clearly changing.
These changes have been most pronounced in Central America, where Mexican drug-trafficking organizations have begun to rely increasingly on land-based smuggling routes as several countries in the region have stepped up monitoring and interdiction of airborne and maritime shipments transiting from South America to Mexico.
The results of these changes have been extraordinary. According to a December 2008 report from the U.S. National Drug Intelligence Center, less than 1 percent of the estimated 600 to 700 tons of cocaine that departed South America for the United States in 2007 transited Central America. The rest, for the most part, passed through the Caribbean Sea or Pacific Ocean en route to Mexico. Since then, land-based shipment of cocaine through Central America appears to have ballooned. Earlier this month, U.S. Ambassador to Guatemala Stephen McFarland estimated in an interview with a Guatemalan newspaper that cocaine now passes through that country at a rate of approximately 300 to 400 tons per year.
Notwithstanding the difficulty associated with estimating drug flows, it is clear that Central America has evolved into a significant transshipment route for drugs, and that the changes have taken place rapidly. These developments warrant a closer look at the mechanics of the drug trade in the region, the actors involved, and the implications for Central American governments — for whom drug-trafficking organizations represent a much more daunting threat than they do for Mexico.
Some Background
While the drug trade in the Western Hemisphere is multifaceted, it fundamentally revolves around the trafficking of South American-produced cocaine to the United States, the world’s largest market for the drug. Drug shipment routes between Peru and Colombia — where the vast majority of cocaine is cultivated and produced — and the United States historically have been flexible, evolving in response to interdiction efforts or changing markets. For example, Colombian drug traffickers used to control the bulk of the cocaine trade by managing shipping routes along the Caribbean smuggling corridor directly to the United States. By the 1990s, however, as the United States and other countries began to focus surveillance and interdiction efforts along this corridor, the flow of U.S.-bound drugs was forced into Mexico, which remains the main transshipment route for the overwhelming majority of cocaine entering the United States.
A similar situation has been occurring over the last two years in Central America. From the 1990s until as recently as 2007, traffickers in Mexico received multiton shipments of cocaine from South America. There was ample evidence of this, including occasional discoveries of bulk cocaine on everything from small propeller aircraft and Gulfstream jets to self-propelled semisubmersible vessels, fishing trawlers and cargo ships. These smuggling platforms had sufficient range and capacity to bypass Central America and ship bulk drugs directly to Mexico.
By early 2008, however, a series of developments in several Central American countries suggested that drug-trafficking organizations — Mexican cartels in particular — were increasingly trying to establish new land-based smuggling routes through Central America for cocaine shipments from South America to Mexico and eventual delivery to the United States. While small quantities of drugs had certainly transited the region in the past, the routes used presented an assortment of risks. A combination of poorly maintained highways, frequent border crossings, volatile security conditions and unpredictable local criminal organizations apparently presented such great logistical challenges that traffickers opted to send the majority of their shipments through well-established maritime and airborne platforms.
In response to this relatively unchecked international smuggling, several countries in the region began taking steps to increase the monitoring and interdiction of such shipments. The Colombian government, for one, stepped up monitoring of aircraft operating in its airspace. The Mexican government installed updated radar systems and reduced the number of airports authorized to receive flights originating in Central and South America. The Colombian government estimates that the aerial trafficking of cocaine from Colombia has decreased by as much as 90 percent since 2003.
Maritime trafficking also appears to have suffered over the past few years, most likely due to greater cooperation and information-sharing between Mexico and the United States. The United States has an immense capability to collect maritime technical intelligence, and an increasing degree of awareness regarding drug trafficking at sea. Two examples of this progress include the Mexican navy’s July 2008 capture — acting on intelligence provided by the United States — of a self-propelled semisubmersible vessel loaded with more than five tons of cocaine, and the U.S. Coast Guard’s February 2009 interdiction of a Mexico-flagged fishing boat loaded with some seven tons of cocaine about 700 miles off Mexico’s Pacific coast. Presumably as a result of successes such as these, the Mexican navy reported in 2008 that maritime trafficking had decreased by an estimated 60 percent over the last two years.
While it is impossible to independently corroborate the Mexican and Colombian governments’ estimates on the degree to which air- and seaborne drug trafficking has decreased over the last few years, developments in Central America over the past year certainly support their assessments. In particular, STRATFOR has observed that in order to make up for losses in maritime and aerial trafficking, land-based smuggling routes are increasingly being used — not by Colombian cocaine producers or even Central American drug gangs, but by the now much more powerful Mexican drug-trafficking organizations.
Mechanics of Central American Drug Trafficking
It is important to clarify that what we are defining as land-based trafficking is not limited to overland smuggling. The methods associated with land-based trafficking can be divided into three categories: overland smuggling, littoral maritime trafficking and short-range aerial trafficking.
Click to view map
[It is a pretty cool interactive map.]
The most straightforward of these is simple overland smuggling. As a series of investigations in Panama, Costa Rica and Nicaragua demonstrated last year, overland smuggling operations use a wide variety of approaches. In one case, authorities pieced together a portion of a route being used by Mexico’s Sinaloa cartel in which small quantities of drugs entered Costa Rica from Panama via the international point of entry on the Pan-American Highway. The cocaine was often held for several days in a storage facility before being loaded onto another vehicle to be driven across the country on major highways. Upon approaching the Nicaraguan border, however, the traffickers opted to avoid the official port of entry and instead transferred the shipments into Nicaragua on foot or on horseback along a remote part of the border. Once across, the shipments were taken to the shores of the large inland Lake Nicaragua, where they were transferred onto boats to be taken north, at which point they would be loaded onto vehicles to be driven toward the Honduran border. In one case in Nicaragua, authorities uncovered another Sinaloa-linked route that passed through Managua and is believed to have followed the Pan-American Highway through Honduras and into El Salvador.
The second method associated with land-based trafficking involves littoral maritime operations. Whereas long-range maritime trafficking involves large cargo ships and self-propelled semisubmersible vessels capable of delivering multiton shipments of drugs from South America to Mexico without having to refuel, littoral trafficking tends to involve so-called “go-fast boats” that are used to carry smaller quantities of drugs at higher speeds over shorter distances. This method is useful to traffickers who might want to avoid, for whatever reason, a certain stretch of highway or perhaps even an entire country. According to Nicaraguan military officials, several go-fast boats are suspected of operating off the country’s coasts and of sailing outside Nicaraguan territorial waters in order to avoid authorities. While it is possible to make the entire trip from South America to Mexico using only this method — and making frequent refueling stops — it is believed that littoral trafficking is often combined with an overland network.
The third method associated with land-based drug smuggling involves short-range aerial operations. In these cases, clandestine planes make stops in Central America before either transferring their cargo to a land vehicle or making another short flight toward Mexico. Over the past year, several small planes loaded with drugs or cash have crashed or been seized in Honduras, Mexico and other countries in the region. In addition, authorities in Guatemala have uncovered several clandestine airstrips allegedly managed by the Mexican drug-trafficking organization Los Zetas. These examples suggest that even as overall aerial trafficking appears to have decreased dramatically, the practice continues in Central America. Indeed, there is little reason to expect that it would not continue, considering that many countries in the region lack the resources to adequately monitor their airspace.
While each of these three methods involves a different approach to drug smuggling, the methods share two important similarities. For one, the vehicles involved — be they speedboats, small aircraft or private vehicles — have limited cargo capacities, which means land-based trafficking generally involves cocaine shipments in quantities no greater than a few hundred pounds. While smaller quantities in more frequent shipments mean more handling, they also mean that less product is lost if a shipment is seized. More importantly, each of these land-based methods requires that a drug-trafficking organization maintain a presence inside Central America.
Actors Involved
There are a variety of drug-trafficking organizations operating inside Central America. In addition to some of the notorious local gangs — such as Calle 18 and MS-13 — there is also a healthy presence of foreign criminal organizations. Colombian drug traffickers, for example, historically have been no strangers to the region. However, as STRATFOR has observed over the past year, it is the more powerful Mexico-based drug-trafficking organizations that appear to be overwhelmingly responsible for the recent upticks in land-based narcotics smuggling in Central America.
Based on reports of arrests and drug seizures in the region over the past year, it is clear that no single Mexican cartel maintains a monopoly on land-based drug trafficking in Central America. Los Zetas, for example, are extremely active in several parts of Guatemala, where they engage in overland and short-range aerial trafficking. The Sinaloa cartel, which STRATFOR believes is the most capable Mexican trafficker of cocaine, has been detected operating a fairly extensive overland smuggling route from Panama to El Salvador. Some intelligence gaps remain regarding, for example, the precise route Sinaloa follows from El Salvador to Mexico or the route Los Zetas use between South America and Guatemala. It is certainly possible that these two Mexican cartels do not rely exclusively on any single route or method in the region. But the logistical challenges associated with establishing even one route across Central America make it likely that existing routes are maintained even after they have been detected — and are defended if necessary.
The operators of the Mexican cartel-managed routes also do not match a single profile. At times, Mexican cartel members themselves have been found to be operating in Central America. More common is the involvement of locals in various phases of smuggling operations. Nicaraguan and Salvadoran nationals, for example, have been arrested in northwestern Nicaragua for operating a Sinaloa-linked overland and littoral route into El Salvador. Authorities in Costa Rica have arrested Costa Rican nationals for their involvement in overland routes through that country. In that case, a related investigation in Panama led to the arrest of several Mexican nationals who reportedly had recently arrived in the area to more closely monitor the operation of their route.
One exception is Guatemala, where Mexican drug traffickers appear to operate much more extensively than in any other Central American country; this may be due, at least in part, to the relationship between Los Zetas and the Guatemalan Kaibiles.
Beyond the apparently more-established Zeta smuggling operations there, several recent drug seizures — including an enormous 1,800-acre poppy plantation attributed to the Sinaloa cartel — make it clear that other Mexican drug-trafficking organizations are currently active inside Guatemala. Sinaloa was first suspected of increasing its presence in Guatemala in early 2008, when rumors surfaced that the cartel was attempting to recruit local criminal organizations to support its own drug-trafficking operations there. The ongoing Zeta-Sinaloa rivalry at that time triggered a series of deadly firefights in Guatemala, prompting fears that the bloody turf battles that had led to record levels of organized crime-related violence inside Mexico would extend into Central America.
Security Implications in Central America
Despite these concerns and the growing presence of Mexican traffickers in the region, there apparently have been no significant spikes in drug-related violence in Central America outside of Guatemala. Several factors may explain this relative lack of violence.
First, most governments in Central America have yet to launch large-scale counternarcotics campaigns. The seizures and arrests that have been reported so far have generally been the result of regular police work, as opposed to broad changes in policies or a significant commitment of resources to address the problem. More significantly, though, the quantities of drugs seized probably amount to just a drop in the bucket compared to the quantity of drugs that moves through the region on a regular basis. Because seizures have remained low, Mexican drug traffickers have yet to launch any significant reprisal attacks against government officials in any country outside Guatemala. In that country, even the president has received death threats and had his office bugged, allegedly by drug traffickers.
The second factor, which is related to the first, is that drug traffickers operating in Central America likely rely more heavily on bribes than on intimidation to secure the transit of drug shipments. This assessment follows from the region’s reputation for official corruption (especially in countries like Nicaragua, Honduras, Panama and Guatemala) and the economic disadvantage that many of these countries face compared to the Mexican cartels. For example, the gross domestic product of Honduras is $12 billion, while the estimated share of the drug trade controlled by the Mexican cartels is estimated to be $20 billion.
Finally, Mexican cartels currently have their hands full at home. Although Central America has undeniably become more strategically important for the flow of drugs from South America, the cartels in Mexico have simultaneously been engaged in a two-front war at home against the Mexican government and against rival criminal organizations. As long as this war continues at its present level, Mexican drug traffickers may be reluctant to divert significant resources too far from their home turf, which remains crucial in delivering drug shipments to the United States.
Looking Ahead
That said, there is no guarantee that Central America will continue to escape the wrath of Mexican drug traffickers. On the contrary, there is reason for concern that the region will increasingly become a battleground in the Mexican cartel war.
For one thing, the Merida Initiative, a U.S. anti-drug aid program that will put some $300 million into Mexico and about $100 million into Central America over the next year, could be perceived as a meaningful threat to drug-trafficking operations. If Central American governments choose to step up counternarcotics operations, either at the request of the United States or in order to qualify for more Merida money, they risk disrupting existing smuggling operations to the extent that cartels begin to retaliate.
Also, even though Mexican cartels may be reluctant to divert major resources from the more important war at home, it is important to recognize that a large-scale reassignment of cartel operatives or resources from Mexico to Central America might not be necessary to have a significant impact on the security situation in any given Central American country. Given the rampant corruption and relatively poor protective security programs in place for political leaders in the region, very few cartel operatives or resources would actually be needed if a Mexican drug-trafficking organization chose to, for example, conduct an assassination campaign against high-ranking government officials.
Governments are not the only potential threat to drug traffickers in Central America. The increases in land-based drug trafficking in the region could trigger intensified competition over trafficking routes. Such turf battles could occur either among the Mexican cartels or between the Mexicans and local criminal organizations, which might try to muscle their way into the lucrative smuggling routes or attempt to grab a larger percentage of the profits.
If the example of Mexico is any guide, the drug-related violence that could be unleashed in Central America would easily overwhelm the capabilities of the region’s governments. Last year, STRATFOR considered the possibility of Mexico becoming a failed state. But Mexico is a far stronger and richer country than its fragile southern neighbors, who simply do not have the resources to deal with the cartels on their own.
This report may be forwarded or republished on your website with attribution to
http://www.stratfor.com/
By Stephen Meiners
As part of STRATFOR’s coverage of the security situation in Mexico, we have observed some significant developments in the drug trade in the Western Hemisphere over the past year. While the United States remains the top destination for South American-produced cocaine, and Mexico continues to serve as the primary transshipment route, the path between Mexico and South America is clearly changing.
These changes have been most pronounced in Central America, where Mexican drug-trafficking organizations have begun to rely increasingly on land-based smuggling routes as several countries in the region have stepped up monitoring and interdiction of airborne and maritime shipments transiting from South America to Mexico.
The results of these changes have been extraordinary. According to a December 2008 report from the U.S. National Drug Intelligence Center, less than 1 percent of the estimated 600 to 700 tons of cocaine that departed South America for the United States in 2007 transited Central America. The rest, for the most part, passed through the Caribbean Sea or Pacific Ocean en route to Mexico. Since then, land-based shipment of cocaine through Central America appears to have ballooned. Earlier this month, U.S. Ambassador to Guatemala Stephen McFarland estimated in an interview with a Guatemalan newspaper that cocaine now passes through that country at a rate of approximately 300 to 400 tons per year.
Notwithstanding the difficulty associated with estimating drug flows, it is clear that Central America has evolved into a significant transshipment route for drugs, and that the changes have taken place rapidly. These developments warrant a closer look at the mechanics of the drug trade in the region, the actors involved, and the implications for Central American governments — for whom drug-trafficking organizations represent a much more daunting threat than they do for Mexico.
Some Background
While the drug trade in the Western Hemisphere is multifaceted, it fundamentally revolves around the trafficking of South American-produced cocaine to the United States, the world’s largest market for the drug. Drug shipment routes between Peru and Colombia — where the vast majority of cocaine is cultivated and produced — and the United States historically have been flexible, evolving in response to interdiction efforts or changing markets. For example, Colombian drug traffickers used to control the bulk of the cocaine trade by managing shipping routes along the Caribbean smuggling corridor directly to the United States. By the 1990s, however, as the United States and other countries began to focus surveillance and interdiction efforts along this corridor, the flow of U.S.-bound drugs was forced into Mexico, which remains the main transshipment route for the overwhelming majority of cocaine entering the United States.
A similar situation has been occurring over the last two years in Central America. From the 1990s until as recently as 2007, traffickers in Mexico received multiton shipments of cocaine from South America. There was ample evidence of this, including occasional discoveries of bulk cocaine on everything from small propeller aircraft and Gulfstream jets to self-propelled semisubmersible vessels, fishing trawlers and cargo ships. These smuggling platforms had sufficient range and capacity to bypass Central America and ship bulk drugs directly to Mexico.
By early 2008, however, a series of developments in several Central American countries suggested that drug-trafficking organizations — Mexican cartels in particular — were increasingly trying to establish new land-based smuggling routes through Central America for cocaine shipments from South America to Mexico and eventual delivery to the United States. While small quantities of drugs had certainly transited the region in the past, the routes used presented an assortment of risks. A combination of poorly maintained highways, frequent border crossings, volatile security conditions and unpredictable local criminal organizations apparently presented such great logistical challenges that traffickers opted to send the majority of their shipments through well-established maritime and airborne platforms.
In response to this relatively unchecked international smuggling, several countries in the region began taking steps to increase the monitoring and interdiction of such shipments. The Colombian government, for one, stepped up monitoring of aircraft operating in its airspace. The Mexican government installed updated radar systems and reduced the number of airports authorized to receive flights originating in Central and South America. The Colombian government estimates that the aerial trafficking of cocaine from Colombia has decreased by as much as 90 percent since 2003.
Maritime trafficking also appears to have suffered over the past few years, most likely due to greater cooperation and information-sharing between Mexico and the United States. The United States has an immense capability to collect maritime technical intelligence, and an increasing degree of awareness regarding drug trafficking at sea. Two examples of this progress include the Mexican navy’s July 2008 capture — acting on intelligence provided by the United States — of a self-propelled semisubmersible vessel loaded with more than five tons of cocaine, and the U.S. Coast Guard’s February 2009 interdiction of a Mexico-flagged fishing boat loaded with some seven tons of cocaine about 700 miles off Mexico’s Pacific coast. Presumably as a result of successes such as these, the Mexican navy reported in 2008 that maritime trafficking had decreased by an estimated 60 percent over the last two years.
While it is impossible to independently corroborate the Mexican and Colombian governments’ estimates on the degree to which air- and seaborne drug trafficking has decreased over the last few years, developments in Central America over the past year certainly support their assessments. In particular, STRATFOR has observed that in order to make up for losses in maritime and aerial trafficking, land-based smuggling routes are increasingly being used — not by Colombian cocaine producers or even Central American drug gangs, but by the now much more powerful Mexican drug-trafficking organizations.
Mechanics of Central American Drug Trafficking
It is important to clarify that what we are defining as land-based trafficking is not limited to overland smuggling. The methods associated with land-based trafficking can be divided into three categories: overland smuggling, littoral maritime trafficking and short-range aerial trafficking.
Click to view map
[It is a pretty cool interactive map.]
The most straightforward of these is simple overland smuggling. As a series of investigations in Panama, Costa Rica and Nicaragua demonstrated last year, overland smuggling operations use a wide variety of approaches. In one case, authorities pieced together a portion of a route being used by Mexico’s Sinaloa cartel in which small quantities of drugs entered Costa Rica from Panama via the international point of entry on the Pan-American Highway. The cocaine was often held for several days in a storage facility before being loaded onto another vehicle to be driven across the country on major highways. Upon approaching the Nicaraguan border, however, the traffickers opted to avoid the official port of entry and instead transferred the shipments into Nicaragua on foot or on horseback along a remote part of the border. Once across, the shipments were taken to the shores of the large inland Lake Nicaragua, where they were transferred onto boats to be taken north, at which point they would be loaded onto vehicles to be driven toward the Honduran border. In one case in Nicaragua, authorities uncovered another Sinaloa-linked route that passed through Managua and is believed to have followed the Pan-American Highway through Honduras and into El Salvador.
The second method associated with land-based trafficking involves littoral maritime operations. Whereas long-range maritime trafficking involves large cargo ships and self-propelled semisubmersible vessels capable of delivering multiton shipments of drugs from South America to Mexico without having to refuel, littoral trafficking tends to involve so-called “go-fast boats” that are used to carry smaller quantities of drugs at higher speeds over shorter distances. This method is useful to traffickers who might want to avoid, for whatever reason, a certain stretch of highway or perhaps even an entire country. According to Nicaraguan military officials, several go-fast boats are suspected of operating off the country’s coasts and of sailing outside Nicaraguan territorial waters in order to avoid authorities. While it is possible to make the entire trip from South America to Mexico using only this method — and making frequent refueling stops — it is believed that littoral trafficking is often combined with an overland network.
The third method associated with land-based drug smuggling involves short-range aerial operations. In these cases, clandestine planes make stops in Central America before either transferring their cargo to a land vehicle or making another short flight toward Mexico. Over the past year, several small planes loaded with drugs or cash have crashed or been seized in Honduras, Mexico and other countries in the region. In addition, authorities in Guatemala have uncovered several clandestine airstrips allegedly managed by the Mexican drug-trafficking organization Los Zetas. These examples suggest that even as overall aerial trafficking appears to have decreased dramatically, the practice continues in Central America. Indeed, there is little reason to expect that it would not continue, considering that many countries in the region lack the resources to adequately monitor their airspace.
While each of these three methods involves a different approach to drug smuggling, the methods share two important similarities. For one, the vehicles involved — be they speedboats, small aircraft or private vehicles — have limited cargo capacities, which means land-based trafficking generally involves cocaine shipments in quantities no greater than a few hundred pounds. While smaller quantities in more frequent shipments mean more handling, they also mean that less product is lost if a shipment is seized. More importantly, each of these land-based methods requires that a drug-trafficking organization maintain a presence inside Central America.
Actors Involved
There are a variety of drug-trafficking organizations operating inside Central America. In addition to some of the notorious local gangs — such as Calle 18 and MS-13 — there is also a healthy presence of foreign criminal organizations. Colombian drug traffickers, for example, historically have been no strangers to the region. However, as STRATFOR has observed over the past year, it is the more powerful Mexico-based drug-trafficking organizations that appear to be overwhelmingly responsible for the recent upticks in land-based narcotics smuggling in Central America.
Based on reports of arrests and drug seizures in the region over the past year, it is clear that no single Mexican cartel maintains a monopoly on land-based drug trafficking in Central America. Los Zetas, for example, are extremely active in several parts of Guatemala, where they engage in overland and short-range aerial trafficking. The Sinaloa cartel, which STRATFOR believes is the most capable Mexican trafficker of cocaine, has been detected operating a fairly extensive overland smuggling route from Panama to El Salvador. Some intelligence gaps remain regarding, for example, the precise route Sinaloa follows from El Salvador to Mexico or the route Los Zetas use between South America and Guatemala. It is certainly possible that these two Mexican cartels do not rely exclusively on any single route or method in the region. But the logistical challenges associated with establishing even one route across Central America make it likely that existing routes are maintained even after they have been detected — and are defended if necessary.
The operators of the Mexican cartel-managed routes also do not match a single profile. At times, Mexican cartel members themselves have been found to be operating in Central America. More common is the involvement of locals in various phases of smuggling operations. Nicaraguan and Salvadoran nationals, for example, have been arrested in northwestern Nicaragua for operating a Sinaloa-linked overland and littoral route into El Salvador. Authorities in Costa Rica have arrested Costa Rican nationals for their involvement in overland routes through that country. In that case, a related investigation in Panama led to the arrest of several Mexican nationals who reportedly had recently arrived in the area to more closely monitor the operation of their route.
One exception is Guatemala, where Mexican drug traffickers appear to operate much more extensively than in any other Central American country; this may be due, at least in part, to the relationship between Los Zetas and the Guatemalan Kaibiles.
Beyond the apparently more-established Zeta smuggling operations there, several recent drug seizures — including an enormous 1,800-acre poppy plantation attributed to the Sinaloa cartel — make it clear that other Mexican drug-trafficking organizations are currently active inside Guatemala. Sinaloa was first suspected of increasing its presence in Guatemala in early 2008, when rumors surfaced that the cartel was attempting to recruit local criminal organizations to support its own drug-trafficking operations there. The ongoing Zeta-Sinaloa rivalry at that time triggered a series of deadly firefights in Guatemala, prompting fears that the bloody turf battles that had led to record levels of organized crime-related violence inside Mexico would extend into Central America.
Security Implications in Central America
Despite these concerns and the growing presence of Mexican traffickers in the region, there apparently have been no significant spikes in drug-related violence in Central America outside of Guatemala. Several factors may explain this relative lack of violence.
First, most governments in Central America have yet to launch large-scale counternarcotics campaigns. The seizures and arrests that have been reported so far have generally been the result of regular police work, as opposed to broad changes in policies or a significant commitment of resources to address the problem. More significantly, though, the quantities of drugs seized probably amount to just a drop in the bucket compared to the quantity of drugs that moves through the region on a regular basis. Because seizures have remained low, Mexican drug traffickers have yet to launch any significant reprisal attacks against government officials in any country outside Guatemala. In that country, even the president has received death threats and had his office bugged, allegedly by drug traffickers.
The second factor, which is related to the first, is that drug traffickers operating in Central America likely rely more heavily on bribes than on intimidation to secure the transit of drug shipments. This assessment follows from the region’s reputation for official corruption (especially in countries like Nicaragua, Honduras, Panama and Guatemala) and the economic disadvantage that many of these countries face compared to the Mexican cartels. For example, the gross domestic product of Honduras is $12 billion, while the estimated share of the drug trade controlled by the Mexican cartels is estimated to be $20 billion.
Finally, Mexican cartels currently have their hands full at home. Although Central America has undeniably become more strategically important for the flow of drugs from South America, the cartels in Mexico have simultaneously been engaged in a two-front war at home against the Mexican government and against rival criminal organizations. As long as this war continues at its present level, Mexican drug traffickers may be reluctant to divert significant resources too far from their home turf, which remains crucial in delivering drug shipments to the United States.
Looking Ahead
That said, there is no guarantee that Central America will continue to escape the wrath of Mexican drug traffickers. On the contrary, there is reason for concern that the region will increasingly become a battleground in the Mexican cartel war.
For one thing, the Merida Initiative, a U.S. anti-drug aid program that will put some $300 million into Mexico and about $100 million into Central America over the next year, could be perceived as a meaningful threat to drug-trafficking operations. If Central American governments choose to step up counternarcotics operations, either at the request of the United States or in order to qualify for more Merida money, they risk disrupting existing smuggling operations to the extent that cartels begin to retaliate.
Also, even though Mexican cartels may be reluctant to divert major resources from the more important war at home, it is important to recognize that a large-scale reassignment of cartel operatives or resources from Mexico to Central America might not be necessary to have a significant impact on the security situation in any given Central American country. Given the rampant corruption and relatively poor protective security programs in place for political leaders in the region, very few cartel operatives or resources would actually be needed if a Mexican drug-trafficking organization chose to, for example, conduct an assassination campaign against high-ranking government officials.
Governments are not the only potential threat to drug traffickers in Central America. The increases in land-based drug trafficking in the region could trigger intensified competition over trafficking routes. Such turf battles could occur either among the Mexican cartels or between the Mexicans and local criminal organizations, which might try to muscle their way into the lucrative smuggling routes or attempt to grab a larger percentage of the profits.
If the example of Mexico is any guide, the drug-related violence that could be unleashed in Central America would easily overwhelm the capabilities of the region’s governments. Last year, STRATFOR considered the possibility of Mexico becoming a failed state. But Mexico is a far stronger and richer country than its fragile southern neighbors, who simply do not have the resources to deal with the cartels on their own.
This report may be forwarded or republished on your website with attribution to
http://www.stratfor.com/
Thursday, March 19, 2009
Feast-or-Famine Cycle of Security Funding
Another derivative post by me from Stratfor because they say it's ok:
By Fred Burton and Scott Stewart
Two years ago, we wrote an article discussing the historical pattern of the boom and bust in counterterrorism spending. In that article we discussed the phenomenon whereby a successful terrorist attack creates a profound shock that is quite often followed by an extended lull. We noted how this dynamic tends to create a pendulum effect in public perception and how public opinion is ultimately translated into public policy that produces security and counterterrorism funding.
In other words, the shock of a successful terrorist attack creates a crisis environment in which the public demands action from the government and Washington responds by earmarking vast amounts of funds to address the problem. Then the lull sets in, and some of the programs created during the crisis are scrapped entirely or are killed by a series of budget cuts as the public’s perception of the threat changes and its demands for government action focus elsewhere. The lull eventually is shattered by another attack — and another infusion of money goes to address the now-neglected problem.
On March 13, The Washington Post carried a story entitled “Hardened U.S. Embassies Symbolic of Old Fears, Critics Say.” The story discussed the new generation of U.S. Embassy buildings, which are often referred to as “Inman buildings” by State Department insiders. This name refers to buildings constructed in accordance with the physical security standards set by the Secretary of State’s Advisory Panel on Overseas Security, a panel chaired by former Deputy CIA Director Adm. Bobby Inman following the 1983 attacks against the U.S. embassies in Beirut and Kuwait City. The 1985 Inman report, which established these security requirements and contributed to one of the historical security spending booms, was also responsible for beefing up the State Department’s Office of Security and transforming it into the Diplomatic Security Service (DSS).
It has been 11 years since a U.S. Embassy has been reduced to a smoking hole in the ground, and the public’s perception of the threat appears to be changing once again. In The Washington Post article, Stephen Schlesinger, an adjunct fellow at the Century Foundation, faults the new Inman building that serves as the U.S. Mission to the United Nations in New York for being unattractive and uninviting. Schlesinger is quoted as saying: “Rather than being an approachable, beckoning embassy — emphasizing America’s desire to open up to the rest of the globe and convey our historically optimistic and progressive values — it sits across from the U.N. headquarters like a dark, forbidding fortress, saying, ‘Go away.’” When opinion leaders begin to express such sentiments in The Washington Post, it is an indication that we are now in the lull period of the counterterrorism cycle.
Tensions Over Security
There has always been a tension between security and diplomacy in the U.S. State Department. There are some diplomats who consider security to be antithetical to diplomacy and, like Mr. Schlesinger, believe that U.S. diplomatic facilities need to be open and accessible rather than secure. These foreign service officers (FSOs) also believe that regional security officers are too risk averse and that they place too many restrictions on diplomats to allow them to practice effective diplomacy. (Regional security officer — RSO — is the title given to a DSS special agent in charge of security at an embassy.) To quote one FSO, DSS special agents are “cop-like morons.” People who carry guns instead of demarches and who go out and arrest people for passport and visa fraud are simply not considered “diplomatic.” There is also the thorny issue that in their counterintelligence role, DSS agents are often forced to confront FSOs over personal behavior (such as sexual proclivities or even crimes) that could be considered grounds for blackmail by a hostile intelligence service.
On the other side of the coin, DSS agents feel the animosity emanating from those in the foreign service establishment who are hostile to security and who oppose the DSS efforts to improve security at diplomatic missions overseas. DSS agents refer to these FSOs as “black dragons” — a phrase commonly uttered in conjunction with a curse. DSS agents see themselves as the ones left holding the bag when an FSO disregards security guidelines, does something reckless, and is robbed, raped or murdered. It is most often the RSO and his staff who are responsible for going out and picking up the pieces when something turns bad. It is also the RSO who is called before a U.S. government accountability review board when an embassy is attacked and destroyed. In the eyes of a DSS special agent, then, a strong, well-protected building conveys a far better representation of American values and strength than does a smoldering hole in the ground, where an “accessible"; embassy once stood. In the mind of a DSS agent, dead diplomats can conduct no diplomacy.
This internal tension has also played a role in the funding boom and bust for diplomatic security overseas. Indeed, DSS agents are convinced that the black dragons consistently attempt to cut security budgets during the lull periods. When career foreign service officers like Sheldon Krys and Anthony Quainton were appointed to serve as assistant secretaries for diplomatic security — and presided over large cuts in budgets and manpower — many DSS agents were convinced that Krys and Quainton had been placed in that position specifically to sabotage the agency.
DSS agents were suspicious of Quainton, in particular, because of his history. In February 1992, while Quainton was serving as the U.S. ambassador to Peru, the ambassador’s residence in Lima was attacked by Shining Path guerrillas who detonated a large vehicular-borne improvised explosive device in the street next to it. A team sent by the DSS counterterrorism investigations division to investigate the attack concluded in its report that Quainton’s refusal to follow the RSO’s recommendation to alter his schedule was partially responsible for the attack. The report angered Quainton, who became the assistant secretary for diplomatic security seven months later. Shortly after assuming his post, Quainton proclaimed to his staff that “terrorism is dead” and ordered the abolishment of the DSS counterterrorism investigations division.
Using a little bureaucratic sleight of hand, then-DSS Director Clark Dittmer renamed the office the Protective Intelligence Investigations Division (PII) and allowed it to maintain its staff and function. Although Quainton had declared terrorism dead, special agents assigned to the PII office would be involved in the investigation of the first known al Qaeda attacks against U.S. interests in Aden and Sanaa,Yemen, in December 1992. They also played a significant role in the investigation of the World Trade Center bombing in February 1993, the investigation of the 1993 New York Landmarks Plot and many subsequent terrorism cases.
Boom-and-Bust Funding
One of the problems problem created by the feast-or-famine cycle of security funding is that during the boom times, when there is a sudden (and often huge) influx of cash, agencies sometimes have difficulty spending all the money allotted to them in a logical and productive manner. Congress, acting on strong public opinion, often will give an agency even more than it initially requested for a particular program — and then expect an immediate solution to the problem. Rather than risk losing these funds, the agencies scramble to find ways to spend them. Then, quite often, by the time the agency is able to get its act together and develop a system effectively to use the funds, the lull has set in and funding is cut. These cuts frequently are accompanied by criticism of how the agency spent the initial glut of funding.
Whether or not it was a conscious effort on the part of people like Quainton, funding for diplomatic security programs was greatly reduced during the lull period of the 1990s. In addition to a reduction in the funding provided to build new embassies or bring existing buildings up to Inman standards, RSOs were forced to make repeated cuts in budgets for items such as local guard forces, residential security and the maintenance of security equipment such as closed-circuit TV cameras and vehicular barriers.
These budget cuts were identified as a contributing factor in the 1998 bombings of the U.S. Embassies in Nairobi and Dar es Salaam. The final report of the Crowe Commission, which was established to investigate the attacks, notes that its accountability review board members “were especially disturbed by the collective failure of the U.S. government over the past decade to provide adequate resources to reduce the vulnerability of U.S. diplomatic missions to terrorist attacks in most countries around the world.”
The U.S. Embassy in Nairobi was known to be vulnerable. Following the August 1997 raid on the Nairobi residence of Wadih el-Hage, U.S. officials learned that el-Hage and his confederates had conducted extensive pre-operational surveillance against the U.S. Embassy in Nairobi, indicating that they planned to attack the facility. The U.S. ambassador in Nairobi, citing the embassy’s vulnerability to car bomb attacks, asked the state department in December 1997 to authorize a relocation of the embassy to a safer place. In its January 1998 denial of the request, the state department said that, in spite of the threat and vulnerability, the post’s “medium” terrorism threat level did not warrant the expenditure.
Old Fears
The 1998 East Africa embassy bombings highlighted the consequences of the security budget cuts that came during the lull years. Clearly, terrorism was not dead then, nor is it dead today, in spite of the implications in the March 13 Washington Post article. Indeed, the current threat of attacks directed against U.S. diplomatic facilities is very real. Since January 2008, we have seen attacks against U.S. diplomatic facilities in Sanaa, Yemen; Istanbul, Turkey; Kabul, Afghanistan; Belgrade, Serbia; and Monterrey, Mexico (as well as attacks against Ameri can diplomats in Pakistan, Sudan and Lebanon). Since 2001, there have also been serious attacks against U.S. diplomatic facilities in Jeddah, Saudi Arabia; Karachi, Pakistan; Damascus, Syria; Athens, Greece; and Baghdad, Iraq.
Even if one believes, as we do, that al Qaeda’s abilities have been severely degraded since 9/11, it must be recognized that the group and its regional franchises still retain the ability to conduct tactical strikes. In fact, due to the increased level of security at U.S. diplomatic missions, most of the attacks conducted by jihadists have been directed against softer targets such as hotels or the embassies of other foreign countries. Indeed, attacks that were intended to be substantial strikes against U.S. diplomatic facilities in places like Sanaa, Jeddah and Istanbul have been thwarted by the security measures in place at those facilities. Even in Damascus, where the embassy was an older facility that did not meet Inman standards, adequate security measures (aided by poor planning and execution on the part of the attackers) helped thwart a potentially disastrous attack.
However, in spite of the phrase “war on terrorism,” terrorism is a tactic and not an entity. One cannot kill or destroy a tactic. Historically, terrorism has been used by a wide array of actors ranging from neo-Nazis to anarchists and from Maoists to jihadists. Even when the Cold War ended and many of the state-sponsored terrorist groups lost their funding, the tactic of terrorism endured. Even if the core al Qaeda leaders were killed or captured tomorrow and the jihadist threat were neutralized next week, terrorism would not go away. As we have previously pointed out, ideologies are far harder to kill than individuals. There will always be actors with various ideologies who will embrace terrorism as a tactic to strike a stronger enemy, and as the sole global superpower, the U.S. and its diplomatic missions will be target ed for terrorist attacks for the foreseeable future — or at least the next 100 years.
During this time, the booms and busts of counterterrorism and security spending will continue in response to successful attacks and in the lulls between spectacular terrorist strikes like 9/11. During the lulls in this cycle, it will be easy for complacency to slip in — especially when there are competing financial needs. But terrorism is not going to go away any time soon, and when emotion is removed from the cycle, a logical and compelling argument emerges for consistently supplying enough money to protect U.S. embassies and other essential facilities.
This report may be forwarded or republished on your website with attribution to http://www.stratfor.com/
Please feel free to distribute this Intelligence Report to friends or repost to your Web site linking to http://www.stratfor.com/.
By Fred Burton and Scott Stewart
Two years ago, we wrote an article discussing the historical pattern of the boom and bust in counterterrorism spending. In that article we discussed the phenomenon whereby a successful terrorist attack creates a profound shock that is quite often followed by an extended lull. We noted how this dynamic tends to create a pendulum effect in public perception and how public opinion is ultimately translated into public policy that produces security and counterterrorism funding.
In other words, the shock of a successful terrorist attack creates a crisis environment in which the public demands action from the government and Washington responds by earmarking vast amounts of funds to address the problem. Then the lull sets in, and some of the programs created during the crisis are scrapped entirely or are killed by a series of budget cuts as the public’s perception of the threat changes and its demands for government action focus elsewhere. The lull eventually is shattered by another attack — and another infusion of money goes to address the now-neglected problem.
On March 13, The Washington Post carried a story entitled “Hardened U.S. Embassies Symbolic of Old Fears, Critics Say.” The story discussed the new generation of U.S. Embassy buildings, which are often referred to as “Inman buildings” by State Department insiders. This name refers to buildings constructed in accordance with the physical security standards set by the Secretary of State’s Advisory Panel on Overseas Security, a panel chaired by former Deputy CIA Director Adm. Bobby Inman following the 1983 attacks against the U.S. embassies in Beirut and Kuwait City. The 1985 Inman report, which established these security requirements and contributed to one of the historical security spending booms, was also responsible for beefing up the State Department’s Office of Security and transforming it into the Diplomatic Security Service (DSS).
It has been 11 years since a U.S. Embassy has been reduced to a smoking hole in the ground, and the public’s perception of the threat appears to be changing once again. In The Washington Post article, Stephen Schlesinger, an adjunct fellow at the Century Foundation, faults the new Inman building that serves as the U.S. Mission to the United Nations in New York for being unattractive and uninviting. Schlesinger is quoted as saying: “Rather than being an approachable, beckoning embassy — emphasizing America’s desire to open up to the rest of the globe and convey our historically optimistic and progressive values — it sits across from the U.N. headquarters like a dark, forbidding fortress, saying, ‘Go away.’” When opinion leaders begin to express such sentiments in The Washington Post, it is an indication that we are now in the lull period of the counterterrorism cycle.
Tensions Over Security
There has always been a tension between security and diplomacy in the U.S. State Department. There are some diplomats who consider security to be antithetical to diplomacy and, like Mr. Schlesinger, believe that U.S. diplomatic facilities need to be open and accessible rather than secure. These foreign service officers (FSOs) also believe that regional security officers are too risk averse and that they place too many restrictions on diplomats to allow them to practice effective diplomacy. (Regional security officer — RSO — is the title given to a DSS special agent in charge of security at an embassy.) To quote one FSO, DSS special agents are “cop-like morons.” People who carry guns instead of demarches and who go out and arrest people for passport and visa fraud are simply not considered “diplomatic.” There is also the thorny issue that in their counterintelligence role, DSS agents are often forced to confront FSOs over personal behavior (such as sexual proclivities or even crimes) that could be considered grounds for blackmail by a hostile intelligence service.
On the other side of the coin, DSS agents feel the animosity emanating from those in the foreign service establishment who are hostile to security and who oppose the DSS efforts to improve security at diplomatic missions overseas. DSS agents refer to these FSOs as “black dragons” — a phrase commonly uttered in conjunction with a curse. DSS agents see themselves as the ones left holding the bag when an FSO disregards security guidelines, does something reckless, and is robbed, raped or murdered. It is most often the RSO and his staff who are responsible for going out and picking up the pieces when something turns bad. It is also the RSO who is called before a U.S. government accountability review board when an embassy is attacked and destroyed. In the eyes of a DSS special agent, then, a strong, well-protected building conveys a far better representation of American values and strength than does a smoldering hole in the ground, where an “accessible"; embassy once stood. In the mind of a DSS agent, dead diplomats can conduct no diplomacy.
This internal tension has also played a role in the funding boom and bust for diplomatic security overseas. Indeed, DSS agents are convinced that the black dragons consistently attempt to cut security budgets during the lull periods. When career foreign service officers like Sheldon Krys and Anthony Quainton were appointed to serve as assistant secretaries for diplomatic security — and presided over large cuts in budgets and manpower — many DSS agents were convinced that Krys and Quainton had been placed in that position specifically to sabotage the agency.
DSS agents were suspicious of Quainton, in particular, because of his history. In February 1992, while Quainton was serving as the U.S. ambassador to Peru, the ambassador’s residence in Lima was attacked by Shining Path guerrillas who detonated a large vehicular-borne improvised explosive device in the street next to it. A team sent by the DSS counterterrorism investigations division to investigate the attack concluded in its report that Quainton’s refusal to follow the RSO’s recommendation to alter his schedule was partially responsible for the attack. The report angered Quainton, who became the assistant secretary for diplomatic security seven months later. Shortly after assuming his post, Quainton proclaimed to his staff that “terrorism is dead” and ordered the abolishment of the DSS counterterrorism investigations division.
Using a little bureaucratic sleight of hand, then-DSS Director Clark Dittmer renamed the office the Protective Intelligence Investigations Division (PII) and allowed it to maintain its staff and function. Although Quainton had declared terrorism dead, special agents assigned to the PII office would be involved in the investigation of the first known al Qaeda attacks against U.S. interests in Aden and Sanaa,Yemen, in December 1992. They also played a significant role in the investigation of the World Trade Center bombing in February 1993, the investigation of the 1993 New York Landmarks Plot and many subsequent terrorism cases.
Boom-and-Bust Funding
One of the problems problem created by the feast-or-famine cycle of security funding is that during the boom times, when there is a sudden (and often huge) influx of cash, agencies sometimes have difficulty spending all the money allotted to them in a logical and productive manner. Congress, acting on strong public opinion, often will give an agency even more than it initially requested for a particular program — and then expect an immediate solution to the problem. Rather than risk losing these funds, the agencies scramble to find ways to spend them. Then, quite often, by the time the agency is able to get its act together and develop a system effectively to use the funds, the lull has set in and funding is cut. These cuts frequently are accompanied by criticism of how the agency spent the initial glut of funding.
Whether or not it was a conscious effort on the part of people like Quainton, funding for diplomatic security programs was greatly reduced during the lull period of the 1990s. In addition to a reduction in the funding provided to build new embassies or bring existing buildings up to Inman standards, RSOs were forced to make repeated cuts in budgets for items such as local guard forces, residential security and the maintenance of security equipment such as closed-circuit TV cameras and vehicular barriers.
These budget cuts were identified as a contributing factor in the 1998 bombings of the U.S. Embassies in Nairobi and Dar es Salaam. The final report of the Crowe Commission, which was established to investigate the attacks, notes that its accountability review board members “were especially disturbed by the collective failure of the U.S. government over the past decade to provide adequate resources to reduce the vulnerability of U.S. diplomatic missions to terrorist attacks in most countries around the world.”
The U.S. Embassy in Nairobi was known to be vulnerable. Following the August 1997 raid on the Nairobi residence of Wadih el-Hage, U.S. officials learned that el-Hage and his confederates had conducted extensive pre-operational surveillance against the U.S. Embassy in Nairobi, indicating that they planned to attack the facility. The U.S. ambassador in Nairobi, citing the embassy’s vulnerability to car bomb attacks, asked the state department in December 1997 to authorize a relocation of the embassy to a safer place. In its January 1998 denial of the request, the state department said that, in spite of the threat and vulnerability, the post’s “medium” terrorism threat level did not warrant the expenditure.
Old Fears
The 1998 East Africa embassy bombings highlighted the consequences of the security budget cuts that came during the lull years. Clearly, terrorism was not dead then, nor is it dead today, in spite of the implications in the March 13 Washington Post article. Indeed, the current threat of attacks directed against U.S. diplomatic facilities is very real. Since January 2008, we have seen attacks against U.S. diplomatic facilities in Sanaa, Yemen; Istanbul, Turkey; Kabul, Afghanistan; Belgrade, Serbia; and Monterrey, Mexico (as well as attacks against Ameri can diplomats in Pakistan, Sudan and Lebanon). Since 2001, there have also been serious attacks against U.S. diplomatic facilities in Jeddah, Saudi Arabia; Karachi, Pakistan; Damascus, Syria; Athens, Greece; and Baghdad, Iraq.
Even if one believes, as we do, that al Qaeda’s abilities have been severely degraded since 9/11, it must be recognized that the group and its regional franchises still retain the ability to conduct tactical strikes. In fact, due to the increased level of security at U.S. diplomatic missions, most of the attacks conducted by jihadists have been directed against softer targets such as hotels or the embassies of other foreign countries. Indeed, attacks that were intended to be substantial strikes against U.S. diplomatic facilities in places like Sanaa, Jeddah and Istanbul have been thwarted by the security measures in place at those facilities. Even in Damascus, where the embassy was an older facility that did not meet Inman standards, adequate security measures (aided by poor planning and execution on the part of the attackers) helped thwart a potentially disastrous attack.
However, in spite of the phrase “war on terrorism,” terrorism is a tactic and not an entity. One cannot kill or destroy a tactic. Historically, terrorism has been used by a wide array of actors ranging from neo-Nazis to anarchists and from Maoists to jihadists. Even when the Cold War ended and many of the state-sponsored terrorist groups lost their funding, the tactic of terrorism endured. Even if the core al Qaeda leaders were killed or captured tomorrow and the jihadist threat were neutralized next week, terrorism would not go away. As we have previously pointed out, ideologies are far harder to kill than individuals. There will always be actors with various ideologies who will embrace terrorism as a tactic to strike a stronger enemy, and as the sole global superpower, the U.S. and its diplomatic missions will be target ed for terrorist attacks for the foreseeable future — or at least the next 100 years.
During this time, the booms and busts of counterterrorism and security spending will continue in response to successful attacks and in the lulls between spectacular terrorist strikes like 9/11. During the lulls in this cycle, it will be easy for complacency to slip in — especially when there are competing financial needs. But terrorism is not going to go away any time soon, and when emotion is removed from the cycle, a logical and compelling argument emerges for consistently supplying enough money to protect U.S. embassies and other essential facilities.
This report may be forwarded or republished on your website with attribution to http://www.stratfor.com/
Please feel free to distribute this Intelligence Report to friends or repost to your Web site linking to http://www.stratfor.com/.
Wednesday, March 18, 2009
Stratfor on the Rise of Turkey and Russia.
Because Stratfor says it's ok for me to post:
By Reva Bhalla, Lauren Goodrich and Peter Zeihan
Russian President Dmitri Medvedev reportedly will travel to Turkey in the near future to follow up a recent four-day visit by his Turkish counterpart, Abdullah Gul, to Moscow. The Turks and the Russians certainly have much to discuss.
Russia is moving aggressively to extend its influence throughout the former Soviet empire, while Turkey is rousing itself from 90 years of post-Ottoman isolation. Both are clearly ascendant powers, and it would seem logical that the more the two bump up against one other, the more likely they will gird for yet another round in their centuries-old conflict. But while that may be true down the line, the two Eurasian powers have sufficient strategic incentives to work together for now.
Russia’s World
Russia is among the world’s most strategically vulnerable states. Its core, the Moscow region, boasts no geographic barriers to invasion. Russia must thus expand its borders to create the largest possible buffer for its core, which requires forcibly incorporating legions of minorities who do not see themselves as Russian. The Russian government estimates that about 80 percent of Russia’s approximately 140 million people are actually ethnically Russian, but this number is somewhat suspect, as many minorities define themselves based on their use of the Russian language, just as many Hispanics in the United States define themselves by their use of English as their primary language. Thus, ironically, attaining security by creating a strategic buffer creates a new chronic security problem in the form of new populations hostile t o Moscow’s rule. The need to deal with the latter problem explains the development of Russia’s elite intelligence services, which are primarily designed for and tasked with monitoring the country’s multiethnic population.
(click image to enlarge)
[click on link for Statfor Map]
Russia’s primary challenge, however, is time. In the aftermath of the Soviet collapse, the bottom fell out of the Russian birthrate, with fewer than half the number of babies born in the 1990s than were born in the 1980s. These post-Cold War children are now coming of age; in a few years, their small numbers are going to have a catastrophic impact on the size of the Russian population. By contrast, most non-Russian minorities — in particular those such as Chechens and Dagestanis, who are of Muslim faith — did not suffer from the 1990s birthrate plunge, so their numbers are rapidly increasing even as the number of ethnic Russians is rapidly decreasing. Add in deep-rooted, demographic-impacting problems such as HIV, tuberculosis and heroin abuse — concentrated not just among ethnic Russians but also among those of childbearing age — and Russia faces a hard-wired demographic time bomb. Put simply, Russia is an ascending power in the short run, but it is a declining power in the long run.
The Russian leadership is well aware of this coming crisis, and knows it is going to need every scrap of strength it can muster just to continue the struggle to keep Russia in one piece. To this end, Moscow must do everything it can now to secure buffers against external intrusion in the not-so-distant future. For the most part, this means rolling back Western influence wherever and whenever possible, and impressing upon states that would prefer integration into the West that their fates lie with Russia instead. Moscow’s natural gas crisis with Ukraine, August 2008 war with Georgia, efforts to eject American forces from Central Asia and constant pressure on the Baltic states all represent efforts to buy Russia more space — and with that space, more time for survival.
Expanding its buffer against such a diverse and potentially hostile collection of states is no small order, but Russia does have one major advantage: The security guarantor for nearly all of these countries is the United States, and the United States is currently very busy elsewhere. So long as U.S. ground forces are occupied with the Iraqi and Afghan wars, the Americans will not be riding to the rescue of the states on Russia’s periphery. Given this window of opportunity, the Russians have a fair chance to regain the relative security they seek. In light of the impending demographic catastrophe and the present window of opportunity, the Russians are in quite a hurry to act.
Turkey’s World
Turkey is in many ways the polar opposite of Russia. After the dissolution of the Ottoman Empire following World War I, Turkey was pared down to its core, Asia Minor. Within this refuge, Turkey is nearly unassailable. It is surrounded by water on three sides, commands the only maritime connection between the Black and Mediterranean seas and sits astride a plateau surrounded by mountains. This is a very difficult chunk of territory to conquer. Indeed, beginning in the Seljuk Age in the 11th century, the ancestors of the modern Turks took the better part of three centuries to seize this territory from its previous occupant, the Byzantine Empire.
The Turks have used much of the time since then to consolidate their position such that, as an ethnicity, they reign supreme in their realm. The Persians and Arabs have long since lost their footholds in Anatolia, while the Armenians were finally expelled in the dying days of World War I. Only the Kurds remain, and they do not pose a demographic challenge to the Turks. While Turkey exhibits many of the same demographic tendencies as other advanced developing states — namely, slowing birthrates and a steadily aging population — there is no major discrepancy between Turk and Kurdish birthrates, so the Turks should continue to comprise more than 80 percent of the country’s population for some time to come. Thus, while the Kurds will continue to be a source of nationalistic friction, they do not constitute a fundamental challenge to the power or operations of the Turkish state, like minorities in Russia are destined to do in the years ahead.
Turkey’s security is not limited to its core lands. Once one moves beyond the borders of modern Turkey, the existential threats the state faced in years past have largely melted away. During the Cold War, Turkey was locked into the NATO structure to protect itself from Soviet power. But now the Soviet Union is gone, and the Balkans and Caucasus — both former Ottoman provinces — are again available for manipulation. The Arabs have not posed a threat to Anatolia in nearly a millennium, and any contest between Turkey and Iran is clearly a battle of unequals in which the Turks hold most of the cards. If anything, the Arabs — who view Iran as a hostile power with not only a heretical religion but also with a revolutionary foreign policy calling for the overthrow of most of the Arab regimes — are practically welcoming the Turks back. Despite both its imperial past and its close security association with the Americans, the Arabs see Turkey as a trusted mediator, and even an exemplar.
With the disappearance of the threats of yesteryear, many of the things that once held Turkey’s undivided attention have become less important to Ankara. With the Soviet threat gone, NATO is no longer critical. With new markets opening up in the former Soviet Union, Turkey’s obsession with seeking EU membership has faded to a mere passing interest. Turkey has become a free agent, bound by very few relationships or restrictions, but dabbling in events throughout its entire periphery. Unlike Russia, which feels it needs an empire to survive, Turkey is flirting with the idea of an empire simply because it can — and the costs of exploring the option are negligible.
Whereas Russia is a state facing a clear series of threats in a very short time frame, Turkey is a state facing a veritable smorgasbord of strategic options under no time pressure whatsoever. Within that disconnect lies the road forward for the two states — and it is a road with surprisingly few clashes ahead in the near term.
The Field of Competition
There are four zones of overlapping interest for the Turks and Russians.
First, the end of the Soviet empire opened up a wealth of economic opportunities, but very few states have proven adept at penetrating the consumer markets of Ukraine and Russia. Somewhat surprisingly, Turkey is one of those few states. Thanks to the legacy of Soviet central planning, Russian and Ukrainian industry have found it difficult to retool away from heavy industry to produce the consumer goods much in demand in their markets. Because most Ukrainians and Russians cannot afford Western goods, Turkey has carved out a robust and lasting niche with its lower-cost exports; it is now the largest supplier of imports to the Russian market. While this is no exercise in hard power, this Turkish penetration nevertheless is cause for much concern among Russian authorities.
So far, Turkey has been scrupulous about not politicizing these useful trade links beyond some intelligence-gathering efforts (particularly in Ukraine). Considering Russia’s current financial problems, having a stable source of consumer goods — especially one that is not China — is actually seen as a positive. At least for now, the Russian government would rather see its trade relationship with Turkey stay strong. There will certainly be a clash later — either as Russia weakens or as Turkey becomes more ambitious — but for now, the Russians are content with the trade relationship.
Second, the Russian retreat in the post-Cold War era has opened up the Balkans to Turkish influence. Romania, Bulgaria and the lands of the former Yugoslavia are all former Ottoman possessions, and in their day they formed the most advanced portion of the Ottoman economy. During the Cold War, they were all part of the Communist world, with Romania and Bulgaria formally incorporated into the Soviet bloc. While most of these lands are now absorbed into the European Union, Russia’s ties to its fellow Slavs — most notably the Serbs and Bulgarians — have allowed it a degree of influence that most Europeans choose to ignore. Additionally, Russia has long held a friendly relationship with Greece and Cyprus, both to complicate American policy in Europe and to provide a flank against Turkey. Still, thanks to proximity and trading links, Turkey clearly holds the upper hand in this theater of competition.
But this particular region is unlikely to generate much Turkish-Russian animosity, simply because both countries are in the process of giving up.
Most of the Balkan states are already members of an organization that is unlikely to ever admit Russia or Turkey: the European Union. Russia simply cannot meet the membership criteria, and Cyprus’ membership in essence strikes the possibility of Turkish inclusion. (Any EU member can veto the admission of would-be members.) The EU-led splitting of Kosovo from Serbia over Russian objections was a body blow to Russian power in the region, and the subsequent EU running of Kosovo as a protectorate greatly limited Turkish influence as well. Continuing EU expansion means that Turkish influence in the Balkans will shrivel just as Russian influence already has. Trouble this way lies, but not between Turkey and Russia. If anything, their joint exclusion might provide some room for the two to agree on something.
The third area for Russian-Turkish competition is in energy, and this is where things get particularly sticky. Russia is Turkey’s No. 1 trading partner, with energy accounting for the bulk of the trade volume between the two countries. Turkey depends on Russia for 65 percent of its natural gas and 40 percent of its oil imports. Though Turkey has steadily grown its trade relationship with Russia, it does not exactly approve of Moscow’s penchant for using its energy relations with Europe as a political weapon. Russia has never gone so far as to cut supplies to Turkey directly, but Turkey has been indirectly affected more than once when Russia decided to cut supplies to Ukraine because Moscow felt the need to reassert its writ in Kiev.
Sharing the Turks’ energy anxiety, the Europeans have been more than eager to use Turkey as an energy transit hub for routes that would bypass the Russians altogether in supplying the European market. The Baku-Tbilisi-Ceyhan (BTC) pipeline is one such route, and others, like Nabucco, are still stuck in the planning stages. The Russians have every reason to pressure the Turks into staying far away from any more energy diversification schemes that could cost Russia one of its biggest energy clients — and deny Moscow much of the political leverage it currently holds over the Europeans who are dependent on the Russian energy network.
There are only two options for the Turks in diversifying away from the Russians. The first lies to Turkey’s south in Iraq and Iran. Turkey has big plans for Iraq’s oil industry, but it will still take considerable time to upgrade and restore the oil fields and pipelines that have been persistently sabotaged and ransacked by insurgents during the fighting that followed the 2003 U.S. invasion. The Iranians offer another large source of energy for the Turks to tap into, but the political complications attached to dealing with Iran are still too prickly for the Turks to move ahead with concrete energy deals at this time.
Complications remain for now, but Turkey will be keeping an eye on its Middle Eastern neighbors for robust energy partnerships in the future.
The second potential source of energy for the Turks lies in Central Asia, a region that Russia must keep in its grip at all costs if it hopes to survive in the long run. In many ways this theater is the reverse of the Balkans, where the Russians hold the ethnic links and the Turks the economic advantage. Here, four of the five Central Asian countries — Kazakhstan, Uzbekistan, Kyrgyzstan and Turkmenistan — are Turkic. But as a consequence of the Soviet years, the infrastructure and economies of all four are so hardwired into the Russian sphere of influence that it would take some major surgery to liberate them. But the prize is a rich one: Central Asia possesses the world& #8217;s largest concentration of untapped energy reserves. And as the term “central” implies, whoever controls the region can project power into the former Soviet Union, China and South Asia. If the Russians and Turks are going to fight over something, this is it.
Here Turkey faces a problem, however — it does not directly abut the region. If the Turks are even going to attempt to shift the Central Asian balance of power, they will need a lever. This brings us to the final — and most dynamic — realm of competition: the Caucasus.
Turkey here faces the best and worst in terms of influence projection. The Azerbaijanis do not consider themselves simply Turkic, like the Central Asians, but actually Turkish. If there is a country in the former Soviet Union that would consider not only allying with but actually joining with another state to escape Russia’s orbit, it would be Azerbaijan with Turkey. Azerbaijan has its own significant energy supplies, but its real value is in serving as a willing springboard for Turkish influence into Central Asia.
However, the core of Azerbaijan does not border Turkey. Instead, it is on the other side of Armenia, a country that thrashed Azerbaijan in a war over the disputed Nagorno-Karabakh enclave and still has lingering animosities toward Ankara because of the 1915 Armenian “genocide.” Armenia has sold itself to the Russians to keep its Turkish foes at bay.
This means Turkish designs on Central Asia all boil down to the former Soviet state of Georgia. If Turkey can bring Georgia fully under its wing, Turkey can then set about to integrate with Azerbaijan and project influence into Central Asia. But without Georgia, Turkey is hamstrung before it can even begin to reach for the real prize in Central Asia.
In this, the Turks do not see the Georgians as much help. The Georgians do not have much in the way of a functional economy or military, and they have consistently overplayed their hand with the Russians in the hopes that the West would come to their aid. Such miscalculations contributed to the August 2008 Georgian-Russian war, in which Russia smashed what military capacity the Georgians did possess. So while Ankara sees the Georgians as reliably anti-Russian, it does not see them as reliably competent or capable.
This means that Turkish-Russian competition may have been short-circuited before it even began. Meanwhile, the Americans and Russians are beginning to outline the rudiments of a deal. Various items on the table include Russia allowing the Americans to ship military supplies to Afghanistan via Russia’s sphere of influence, changes to the U.S. ballistic missile defense (BMD) program, and a halt to NATO expansion. The last prong is a critical piece of Russian-Turkish competition. Should the Americans and Europeans put their weight behind NATO expansion, Georgia would be a logical candidate — meaning most of the heavy lifting in terms of Turkey projecting power eastward would already be done. But if the Americans and Europeans do not put their weight behind NATO expansion, Georgia would fall by the wayside and Turkey would have to do all the work of projecting power eastward — and facing the Russians — alone.
A Temporary Meeting of Minds?
There is clearly no shortage of friction points between the Turks and the Russians. With the two powers on a resurgent path, it was only a matter of time before they started bumping into one another. The most notable clash occurred when the Russians decided to invade Georgia last August, knowing full well that neither the Americans nor the Europeans would have the will or capability to intervene on behalf of the small Caucasian state. NATO’s strongest response was a symbolic show of force that relied on Turkey, as the gatekeeper to the Black Sea, to allow a buildup of NATO vessels near the Georgian coast and threaten the underbelly of Russia’s former Soviet periphery.
Turkey disapproved of the idea of Russian troops bearing down in the Caucasus near the Turkish border, and Ankara was also angered by having its energy revenues cut off during the war when the BTC pipeline was taken offline.
The Russians promptly responded to Turkey’s NATO maneuvers in the Black Sea by holding up a large amount of Turkish goods at various Russian border checkpoints to put the squeeze on Turkish exports. But the standoff was short-lived; soon enough, the Turks and Russians came to the negotiating table to end the trade spat and sort out their respective spheres of influence. The Russian-Turkish negotiations have progressed over the past several months, with Russian and Turkish leaders now meeting fairly regularly to sort out the issues where both can find some mutual benefit.
The first area of cooperation is Europe, where both Russia and Turkey have an interest in applying political pressure. Despite Europe’s objections and rejections, the Turks are persistent in their ambitions to become a member of the European Union. At the same time, the Russians need to keep Europe linked into the Russian energy network and divided over any plans for BMD, NATO expansion or any other Western plan that threatens Russian national security. As long as Turkey stalls on any European energy diversification projects, the more it can demand Europe’s attention on the issue of EU membership. In fact, the Turks already threatened as much at the start of the year, when they said outright that if Europe doesn’t need Turkey as an EU member, then Turkey doesn’t need to sign off on any more energy diversification projects that transit Turkish territory. Ankara’s threats against Europe dovetailed nicely with Russia’s natural gas cutoff to Ukraine in January, when the Europeans once again were reminded of Moscow’s energy wrath.
The Turks and the Russians also can find common ground in the Middle East. Turkey is again expanding its influence deep into its Middle Eastern backyard, and Ankara expects to take the lead in handling the thorny issues of Iran, Iraq and Syria as the United States draws down its presence in the region and shifts its focus to Afghanistan. What the Turks want right now is stability on their southern flank. That means keeping Russia out of mischief in places like Iran, where Moscow has threatened to sell strategic S-300 air defense systems and to boost the Iranian nuclear program in order to grab Washington’s attention on other issues deemed vital to Moscow’s national security interests. The United States is already leaning on Russia to pressure Iran in return for other strategic concessions, and the Turks are just as interested as the Americans in taming Russia’s actions in the Middle East.
Armenia is another issue where Russia and Turkey may be having a temporary meeting of minds. Russia unofficially occupies Armenia and has been building up a substantial military presence in the small Caucasian state. Turkey can either sit back, continue to isolate Armenia and leave it for the Russians to dominate through and through, or it can move toward normalizing relations with Yerevan and dealing with Russia on more equal footing in the Caucasus. With rumors flying of a deal on the horizon between Yerevan and Ankara (likely with Russia’s blessing), it appears more and more that the Turks and the Russians are making progress in sorting out their respective spheres of influence.
Ultimately, both Russia and Turkey know that this relationship is likely temporary at best. The two Eurasian powers still distrust each other and have divergent long-term goals, even if in the short term there is a small window of opportunity for Turkish and Russian interests to overlap. The law of geopolitics dictates that the two ascendant powers are doomed to clash — just not today.
Tell STRATFOR What You Think
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By Reva Bhalla, Lauren Goodrich and Peter Zeihan
Russian President Dmitri Medvedev reportedly will travel to Turkey in the near future to follow up a recent four-day visit by his Turkish counterpart, Abdullah Gul, to Moscow. The Turks and the Russians certainly have much to discuss.
Russia is moving aggressively to extend its influence throughout the former Soviet empire, while Turkey is rousing itself from 90 years of post-Ottoman isolation. Both are clearly ascendant powers, and it would seem logical that the more the two bump up against one other, the more likely they will gird for yet another round in their centuries-old conflict. But while that may be true down the line, the two Eurasian powers have sufficient strategic incentives to work together for now.
Russia’s World
Russia is among the world’s most strategically vulnerable states. Its core, the Moscow region, boasts no geographic barriers to invasion. Russia must thus expand its borders to create the largest possible buffer for its core, which requires forcibly incorporating legions of minorities who do not see themselves as Russian. The Russian government estimates that about 80 percent of Russia’s approximately 140 million people are actually ethnically Russian, but this number is somewhat suspect, as many minorities define themselves based on their use of the Russian language, just as many Hispanics in the United States define themselves by their use of English as their primary language. Thus, ironically, attaining security by creating a strategic buffer creates a new chronic security problem in the form of new populations hostile t o Moscow’s rule. The need to deal with the latter problem explains the development of Russia’s elite intelligence services, which are primarily designed for and tasked with monitoring the country’s multiethnic population.
(click image to enlarge)
[click on link for Statfor Map]
Russia’s primary challenge, however, is time. In the aftermath of the Soviet collapse, the bottom fell out of the Russian birthrate, with fewer than half the number of babies born in the 1990s than were born in the 1980s. These post-Cold War children are now coming of age; in a few years, their small numbers are going to have a catastrophic impact on the size of the Russian population. By contrast, most non-Russian minorities — in particular those such as Chechens and Dagestanis, who are of Muslim faith — did not suffer from the 1990s birthrate plunge, so their numbers are rapidly increasing even as the number of ethnic Russians is rapidly decreasing. Add in deep-rooted, demographic-impacting problems such as HIV, tuberculosis and heroin abuse — concentrated not just among ethnic Russians but also among those of childbearing age — and Russia faces a hard-wired demographic time bomb. Put simply, Russia is an ascending power in the short run, but it is a declining power in the long run.
The Russian leadership is well aware of this coming crisis, and knows it is going to need every scrap of strength it can muster just to continue the struggle to keep Russia in one piece. To this end, Moscow must do everything it can now to secure buffers against external intrusion in the not-so-distant future. For the most part, this means rolling back Western influence wherever and whenever possible, and impressing upon states that would prefer integration into the West that their fates lie with Russia instead. Moscow’s natural gas crisis with Ukraine, August 2008 war with Georgia, efforts to eject American forces from Central Asia and constant pressure on the Baltic states all represent efforts to buy Russia more space — and with that space, more time for survival.
Expanding its buffer against such a diverse and potentially hostile collection of states is no small order, but Russia does have one major advantage: The security guarantor for nearly all of these countries is the United States, and the United States is currently very busy elsewhere. So long as U.S. ground forces are occupied with the Iraqi and Afghan wars, the Americans will not be riding to the rescue of the states on Russia’s periphery. Given this window of opportunity, the Russians have a fair chance to regain the relative security they seek. In light of the impending demographic catastrophe and the present window of opportunity, the Russians are in quite a hurry to act.
Turkey’s World
Turkey is in many ways the polar opposite of Russia. After the dissolution of the Ottoman Empire following World War I, Turkey was pared down to its core, Asia Minor. Within this refuge, Turkey is nearly unassailable. It is surrounded by water on three sides, commands the only maritime connection between the Black and Mediterranean seas and sits astride a plateau surrounded by mountains. This is a very difficult chunk of territory to conquer. Indeed, beginning in the Seljuk Age in the 11th century, the ancestors of the modern Turks took the better part of three centuries to seize this territory from its previous occupant, the Byzantine Empire.
The Turks have used much of the time since then to consolidate their position such that, as an ethnicity, they reign supreme in their realm. The Persians and Arabs have long since lost their footholds in Anatolia, while the Armenians were finally expelled in the dying days of World War I. Only the Kurds remain, and they do not pose a demographic challenge to the Turks. While Turkey exhibits many of the same demographic tendencies as other advanced developing states — namely, slowing birthrates and a steadily aging population — there is no major discrepancy between Turk and Kurdish birthrates, so the Turks should continue to comprise more than 80 percent of the country’s population for some time to come. Thus, while the Kurds will continue to be a source of nationalistic friction, they do not constitute a fundamental challenge to the power or operations of the Turkish state, like minorities in Russia are destined to do in the years ahead.
Turkey’s security is not limited to its core lands. Once one moves beyond the borders of modern Turkey, the existential threats the state faced in years past have largely melted away. During the Cold War, Turkey was locked into the NATO structure to protect itself from Soviet power. But now the Soviet Union is gone, and the Balkans and Caucasus — both former Ottoman provinces — are again available for manipulation. The Arabs have not posed a threat to Anatolia in nearly a millennium, and any contest between Turkey and Iran is clearly a battle of unequals in which the Turks hold most of the cards. If anything, the Arabs — who view Iran as a hostile power with not only a heretical religion but also with a revolutionary foreign policy calling for the overthrow of most of the Arab regimes — are practically welcoming the Turks back. Despite both its imperial past and its close security association with the Americans, the Arabs see Turkey as a trusted mediator, and even an exemplar.
With the disappearance of the threats of yesteryear, many of the things that once held Turkey’s undivided attention have become less important to Ankara. With the Soviet threat gone, NATO is no longer critical. With new markets opening up in the former Soviet Union, Turkey’s obsession with seeking EU membership has faded to a mere passing interest. Turkey has become a free agent, bound by very few relationships or restrictions, but dabbling in events throughout its entire periphery. Unlike Russia, which feels it needs an empire to survive, Turkey is flirting with the idea of an empire simply because it can — and the costs of exploring the option are negligible.
Whereas Russia is a state facing a clear series of threats in a very short time frame, Turkey is a state facing a veritable smorgasbord of strategic options under no time pressure whatsoever. Within that disconnect lies the road forward for the two states — and it is a road with surprisingly few clashes ahead in the near term.
The Field of Competition
There are four zones of overlapping interest for the Turks and Russians.
First, the end of the Soviet empire opened up a wealth of economic opportunities, but very few states have proven adept at penetrating the consumer markets of Ukraine and Russia. Somewhat surprisingly, Turkey is one of those few states. Thanks to the legacy of Soviet central planning, Russian and Ukrainian industry have found it difficult to retool away from heavy industry to produce the consumer goods much in demand in their markets. Because most Ukrainians and Russians cannot afford Western goods, Turkey has carved out a robust and lasting niche with its lower-cost exports; it is now the largest supplier of imports to the Russian market. While this is no exercise in hard power, this Turkish penetration nevertheless is cause for much concern among Russian authorities.
So far, Turkey has been scrupulous about not politicizing these useful trade links beyond some intelligence-gathering efforts (particularly in Ukraine). Considering Russia’s current financial problems, having a stable source of consumer goods — especially one that is not China — is actually seen as a positive. At least for now, the Russian government would rather see its trade relationship with Turkey stay strong. There will certainly be a clash later — either as Russia weakens or as Turkey becomes more ambitious — but for now, the Russians are content with the trade relationship.
Second, the Russian retreat in the post-Cold War era has opened up the Balkans to Turkish influence. Romania, Bulgaria and the lands of the former Yugoslavia are all former Ottoman possessions, and in their day they formed the most advanced portion of the Ottoman economy. During the Cold War, they were all part of the Communist world, with Romania and Bulgaria formally incorporated into the Soviet bloc. While most of these lands are now absorbed into the European Union, Russia’s ties to its fellow Slavs — most notably the Serbs and Bulgarians — have allowed it a degree of influence that most Europeans choose to ignore. Additionally, Russia has long held a friendly relationship with Greece and Cyprus, both to complicate American policy in Europe and to provide a flank against Turkey. Still, thanks to proximity and trading links, Turkey clearly holds the upper hand in this theater of competition.
But this particular region is unlikely to generate much Turkish-Russian animosity, simply because both countries are in the process of giving up.
Most of the Balkan states are already members of an organization that is unlikely to ever admit Russia or Turkey: the European Union. Russia simply cannot meet the membership criteria, and Cyprus’ membership in essence strikes the possibility of Turkish inclusion. (Any EU member can veto the admission of would-be members.) The EU-led splitting of Kosovo from Serbia over Russian objections was a body blow to Russian power in the region, and the subsequent EU running of Kosovo as a protectorate greatly limited Turkish influence as well. Continuing EU expansion means that Turkish influence in the Balkans will shrivel just as Russian influence already has. Trouble this way lies, but not between Turkey and Russia. If anything, their joint exclusion might provide some room for the two to agree on something.
The third area for Russian-Turkish competition is in energy, and this is where things get particularly sticky. Russia is Turkey’s No. 1 trading partner, with energy accounting for the bulk of the trade volume between the two countries. Turkey depends on Russia for 65 percent of its natural gas and 40 percent of its oil imports. Though Turkey has steadily grown its trade relationship with Russia, it does not exactly approve of Moscow’s penchant for using its energy relations with Europe as a political weapon. Russia has never gone so far as to cut supplies to Turkey directly, but Turkey has been indirectly affected more than once when Russia decided to cut supplies to Ukraine because Moscow felt the need to reassert its writ in Kiev.
Sharing the Turks’ energy anxiety, the Europeans have been more than eager to use Turkey as an energy transit hub for routes that would bypass the Russians altogether in supplying the European market. The Baku-Tbilisi-Ceyhan (BTC) pipeline is one such route, and others, like Nabucco, are still stuck in the planning stages. The Russians have every reason to pressure the Turks into staying far away from any more energy diversification schemes that could cost Russia one of its biggest energy clients — and deny Moscow much of the political leverage it currently holds over the Europeans who are dependent on the Russian energy network.
There are only two options for the Turks in diversifying away from the Russians. The first lies to Turkey’s south in Iraq and Iran. Turkey has big plans for Iraq’s oil industry, but it will still take considerable time to upgrade and restore the oil fields and pipelines that have been persistently sabotaged and ransacked by insurgents during the fighting that followed the 2003 U.S. invasion. The Iranians offer another large source of energy for the Turks to tap into, but the political complications attached to dealing with Iran are still too prickly for the Turks to move ahead with concrete energy deals at this time.
Complications remain for now, but Turkey will be keeping an eye on its Middle Eastern neighbors for robust energy partnerships in the future.
The second potential source of energy for the Turks lies in Central Asia, a region that Russia must keep in its grip at all costs if it hopes to survive in the long run. In many ways this theater is the reverse of the Balkans, where the Russians hold the ethnic links and the Turks the economic advantage. Here, four of the five Central Asian countries — Kazakhstan, Uzbekistan, Kyrgyzstan and Turkmenistan — are Turkic. But as a consequence of the Soviet years, the infrastructure and economies of all four are so hardwired into the Russian sphere of influence that it would take some major surgery to liberate them. But the prize is a rich one: Central Asia possesses the world& #8217;s largest concentration of untapped energy reserves. And as the term “central” implies, whoever controls the region can project power into the former Soviet Union, China and South Asia. If the Russians and Turks are going to fight over something, this is it.
Here Turkey faces a problem, however — it does not directly abut the region. If the Turks are even going to attempt to shift the Central Asian balance of power, they will need a lever. This brings us to the final — and most dynamic — realm of competition: the Caucasus.
Turkey here faces the best and worst in terms of influence projection. The Azerbaijanis do not consider themselves simply Turkic, like the Central Asians, but actually Turkish. If there is a country in the former Soviet Union that would consider not only allying with but actually joining with another state to escape Russia’s orbit, it would be Azerbaijan with Turkey. Azerbaijan has its own significant energy supplies, but its real value is in serving as a willing springboard for Turkish influence into Central Asia.
However, the core of Azerbaijan does not border Turkey. Instead, it is on the other side of Armenia, a country that thrashed Azerbaijan in a war over the disputed Nagorno-Karabakh enclave and still has lingering animosities toward Ankara because of the 1915 Armenian “genocide.” Armenia has sold itself to the Russians to keep its Turkish foes at bay.
This means Turkish designs on Central Asia all boil down to the former Soviet state of Georgia. If Turkey can bring Georgia fully under its wing, Turkey can then set about to integrate with Azerbaijan and project influence into Central Asia. But without Georgia, Turkey is hamstrung before it can even begin to reach for the real prize in Central Asia.
In this, the Turks do not see the Georgians as much help. The Georgians do not have much in the way of a functional economy or military, and they have consistently overplayed their hand with the Russians in the hopes that the West would come to their aid. Such miscalculations contributed to the August 2008 Georgian-Russian war, in which Russia smashed what military capacity the Georgians did possess. So while Ankara sees the Georgians as reliably anti-Russian, it does not see them as reliably competent or capable.
This means that Turkish-Russian competition may have been short-circuited before it even began. Meanwhile, the Americans and Russians are beginning to outline the rudiments of a deal. Various items on the table include Russia allowing the Americans to ship military supplies to Afghanistan via Russia’s sphere of influence, changes to the U.S. ballistic missile defense (BMD) program, and a halt to NATO expansion. The last prong is a critical piece of Russian-Turkish competition. Should the Americans and Europeans put their weight behind NATO expansion, Georgia would be a logical candidate — meaning most of the heavy lifting in terms of Turkey projecting power eastward would already be done. But if the Americans and Europeans do not put their weight behind NATO expansion, Georgia would fall by the wayside and Turkey would have to do all the work of projecting power eastward — and facing the Russians — alone.
A Temporary Meeting of Minds?
There is clearly no shortage of friction points between the Turks and the Russians. With the two powers on a resurgent path, it was only a matter of time before they started bumping into one another. The most notable clash occurred when the Russians decided to invade Georgia last August, knowing full well that neither the Americans nor the Europeans would have the will or capability to intervene on behalf of the small Caucasian state. NATO’s strongest response was a symbolic show of force that relied on Turkey, as the gatekeeper to the Black Sea, to allow a buildup of NATO vessels near the Georgian coast and threaten the underbelly of Russia’s former Soviet periphery.
Turkey disapproved of the idea of Russian troops bearing down in the Caucasus near the Turkish border, and Ankara was also angered by having its energy revenues cut off during the war when the BTC pipeline was taken offline.
The Russians promptly responded to Turkey’s NATO maneuvers in the Black Sea by holding up a large amount of Turkish goods at various Russian border checkpoints to put the squeeze on Turkish exports. But the standoff was short-lived; soon enough, the Turks and Russians came to the negotiating table to end the trade spat and sort out their respective spheres of influence. The Russian-Turkish negotiations have progressed over the past several months, with Russian and Turkish leaders now meeting fairly regularly to sort out the issues where both can find some mutual benefit.
The first area of cooperation is Europe, where both Russia and Turkey have an interest in applying political pressure. Despite Europe’s objections and rejections, the Turks are persistent in their ambitions to become a member of the European Union. At the same time, the Russians need to keep Europe linked into the Russian energy network and divided over any plans for BMD, NATO expansion or any other Western plan that threatens Russian national security. As long as Turkey stalls on any European energy diversification projects, the more it can demand Europe’s attention on the issue of EU membership. In fact, the Turks already threatened as much at the start of the year, when they said outright that if Europe doesn’t need Turkey as an EU member, then Turkey doesn’t need to sign off on any more energy diversification projects that transit Turkish territory. Ankara’s threats against Europe dovetailed nicely with Russia’s natural gas cutoff to Ukraine in January, when the Europeans once again were reminded of Moscow’s energy wrath.
The Turks and the Russians also can find common ground in the Middle East. Turkey is again expanding its influence deep into its Middle Eastern backyard, and Ankara expects to take the lead in handling the thorny issues of Iran, Iraq and Syria as the United States draws down its presence in the region and shifts its focus to Afghanistan. What the Turks want right now is stability on their southern flank. That means keeping Russia out of mischief in places like Iran, where Moscow has threatened to sell strategic S-300 air defense systems and to boost the Iranian nuclear program in order to grab Washington’s attention on other issues deemed vital to Moscow’s national security interests. The United States is already leaning on Russia to pressure Iran in return for other strategic concessions, and the Turks are just as interested as the Americans in taming Russia’s actions in the Middle East.
Armenia is another issue where Russia and Turkey may be having a temporary meeting of minds. Russia unofficially occupies Armenia and has been building up a substantial military presence in the small Caucasian state. Turkey can either sit back, continue to isolate Armenia and leave it for the Russians to dominate through and through, or it can move toward normalizing relations with Yerevan and dealing with Russia on more equal footing in the Caucasus. With rumors flying of a deal on the horizon between Yerevan and Ankara (likely with Russia’s blessing), it appears more and more that the Turks and the Russians are making progress in sorting out their respective spheres of influence.
Ultimately, both Russia and Turkey know that this relationship is likely temporary at best. The two Eurasian powers still distrust each other and have divergent long-term goals, even if in the short term there is a small window of opportunity for Turkish and Russian interests to overlap. The law of geopolitics dictates that the two ascendant powers are doomed to clash — just not today.
Tell STRATFOR What You Think
This report may be forwarded or republished on your website with attribution to http://www.stratfor.com/
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