In this blog, Sister Agrippina Nandjaa (Caritas Namibia) marks the opening of the Humanitarian Observatory in Namibia, considering the importance of ‘neglected crises’ and their intersection with climate change. The Observatory in Namibia joins a growing network of spaces for research, discussion, and advocacy, coordinated by The Hague Humanitarian Studies Centre (HSC).
The Namibia Humanitarian Observatory was launched on 24 May 2024 to create a space for discussion with communities and stakeholders around vulnerability to disasters across the country. The self-governed Observatory aims to engage communities prone to recurrent climate-related shocks to share experiences and explore pathways toward creative and self-reliant communities, especially in the case of drought. The widespread impact and long duration of drought make it one of the most costly hazards in Namibia. However, the impacts of drought can often be lessened through preparedness and early action aimed at decreasing community vulnerability and exposure. Namibia is the most arid sub-Saharan country, experiencing very high evapotranspiration rates (Mendelsohn et al., 2002). Consequently, it is exposed to recurrent droughts, with historically devastating consequences. A growing population, persistent poverty, and climate change provide even greater threats in the future. And, with the situation in Namibia often falling into the category of ‘neglected humanitarian crises; affecting international support and aid, we are reminded of the importance of the everyday actions and practices that drive humanitarian action from the local and grassroots level.
A platform for discussion and analysis around drought
In partnership with The Hague Humanitarian Studies Centre (HSC) of the International Institute of Social Studies, the Namibia Humanitarian Observatory will be a platform for discussions that enable communities and authorities to respond to humanitarian crises. It will bring together communities to assess historical drought events and their extent and impacts in Namibia. It will facilitate the gathering and analysis of relevant data and explore the current institutions and systems involved in drought monitoring, forecasting, early warning, mitigation, and reduction in the country by subsistence farmers.
This space will also act as an early action initiative that initially focuses on rapid-onset hazards such as climate change awareness and strategies for subsistence farming. Agriculture is primarily the main activity for subsistence farming in Namibia. In its humanitarian work across the country, particularly now with the distribution of food parcels for vulnerable households, which includes undocumented people, Caritas Namibia has been thinking of what skills, training, and advocacy of recovery programs are needed in the long term in order to cope with protracted drought in the 14 regions of Namibia. Traditional farmers seem unable to cope with the changing weather and climate that has resulted in low rainfall during the farming season compared to 50 years ago. Now, Caritas Namibia, together with the local government authorities, wants to explore the way of rethinking lost skills, new skills, advocacy, and training for subsistence farmers to improve their household livelihood to counter dependence syndrome and increase the communities’ adaptive capacities. The Namibia Humanitarian Observatory will contribute to this objective and will also safeguard the importance of local and indigenous knowledge and practices when it comes to disaster preparedness, response, and prevention.
The launch was hosted in the Zambezi Regional Councils and was attended by the Governor of Zambezi region, the Councilors, and council staff, Joseph Moowa Kalokela, member of Namibia Observatory, Gabriela Anderson, community manager of HSC, Joram Tarusarira from the University of Groningen and member of the Namibia Observatory, and Agrippina Nandjaa, Coordinator of the Namibia Humanitarian Observatory and Caritas coordinator. The attendees of the launch were able to leave reflecting on how countries like Namibia, who are adversely and continuously vulnerable to the effects of climate change, can play a vital role in international politics in holding other countries accountable for their own roles in the changing climate, like the environmentally damaging consequences of warfare in Israel and Russia.
Together, the presenting team at the launch of the Namibia Humanitarian Observatory were able to gain the support of the local government in the Zambezi region of Namibia and further the roots of the Humanitarian Observatories. That is, the importance of discussing the role of different actors within the humanitarian field and how they work together (or not) in addressing humanitarian needs in a highly contextual and locally relevant way.
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the Author
Sister Agrippina Nandjaa
Sr. Agrippina Nandjaa is a Catholic religious sister lives and work in Namibia, and directing Caritas Namibia-Namibian Catholic Bishop’s Conference. Agrippina hold a master degree in development Studies-Social Policy from International Institute of Social Studies-Erasmus Rotterdam University, Honor degree in adult education and community development and Diploma in community education from the University of Namibia. She has experience over ten years. Agrippina is also coordinating the Namibia observatory which was lunched on 24 May 2024 in Zambezi region-Namibia.
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Religious institutions, leaders, and grassroots movements hold the potential to be powerful allies in achieving the United Nations Sustainable Development Goals (SDGs). From combating poverty to promoting climate action, the reach and influence of religion are vast and often undervalued. In this blog, Kim Tung Dao explores how religion’s moral authority, extensive networks, and community-driven initiatives can be integrated into global development strategies, offering fresh insights into tackling humanity’s greatest challenges. Discover why embracing religion as a catalyst for sustainable development is crucial to bridging gaps and accelerating progress toward a better future.
Why Religion could be an important driver of achieving the SDGs
In a world where 84% of people identify with a religious group, an enormous untapped force for sustainable development remains largely overlooked. While governments and NGOs race to achieve the United Nations’ ambitious development goals, religious institutions – which reach over 6.5 billion people globally – could hold the key to accelerating progress (2012 report from the Pew Research Center).
The Sustainable Development Goals (SDGs), introduced by the United Nations in 2015, represent a global framework for addressing the most pressing challenges facing humanity, from eradicating poverty to ensuring environmental sustainability. Despite its worldwide endorsement and growing efforts to achieve these goals, significant gaps in progress remain. Even more troublingly, some of the goals seem to be delayed or even regressing, raising concerns about the overall feasibility of the SDGs.
The continuity of these issues prompts the question of whether the current approach to achieving the SDGs is missing a crucial force. In this context, one area that has received little attention is the role of religion. Given that religion continues to play a vital role in the lives of billions of people, especially after COVID-19, its potential impact on sustainable development will be argued for here. This blog explores how religion might be incorporated into the discussion on the SDGs to provide new insights and solutions to these enduring challenges.
Religion has historically shaped the values, ethics, and behaviors of societies. Whether through teachings that promote social justice, natural environment sustainability, or community solidarity, religion has the capacity to influence large populations in undeniable ways. This influence makes religion a potentially powerful force in the quest to achieve the SDGs.
This blog will explore the intersection between religion and sustainable development by discussing three key aspects: the role of religious institutions, the impact of religious leaders, and the power of grassroots religious movements. By examining these facets, we can better understand how religion can contribute to the SDGs.
However, the potential for religion to contribute to the SDGs may go beyond these shared values. Religious institutions often have extensive networks and resources that can facilitate development initiatives. In addition, religious leaders’ words and actions hold significant weight over their followers and can be great allies for achieving the SDGs. Finally, grassroots religious movements can motivate the local communities to take action, promoting local ownership of the SDGs. While the SDGs have been shaped largely and mainly from scientific, secular, and governmental perspectives, incorporating religious factors could make achieving these goals more feasible.
Religious institutions: An important force for Sustainable Development
Religious institutions, with their long-established history and widespread influence, can be powerful agents of change. One striking example of how religious institutions support sustainable development can be found in the Catholic Church’s environmental efforts, particularly through Pope Francis’s encyclical Laudato Si. The Laudato Si’ (‘Praise be’) 9 has encouraged environmental engagement and social justice, both of which are highly in line with the SDGs. This document has inspired Catholics to consider the ethical dimensions of environmental issues, leading to increased activism and policy advocacy. Thus, urging Catholics to see environmental issues as moral concerns. This aligns with SDG 13 (Climate Action), as the document encourages responsible stewardship of the Earth through ethical consumption and reducing environmental degradation. This has spurred various environmental initiatives among Catholic communities, from promoting renewable energy to waste reduction campaigns.
Furthermore, religious institutions often have resources and networks that can benefit the sustainable development process. For example, faith-based organizations like Caritas and Islamic Relief Worldwide have played significant roles in humanitarian aid and poverty alleviation, directly contributing to the achievement of at least two SDGs namely SDG 1 (No Poverty) and SDG 2 (Zero Hunger). The impact of these organizations is substantial and measurable. In 2022 alone, Islamic Relief Worldwide reached an unprecedented 17.3 million people across various regions, providing aid to those affected by crises and working to alleviate poverty (according to the Islamic Relief Worldwide Annual Report 2022). And the Caritas Internationalis 2021 annual report indicates that they implemented 15 projects, assisting 5.3 million people in 14 countries. These efforts directly contribute to SDG 1 (No Poverty) and SDG 2 (Zero Hunger), demonstrating how religious institutions can effectively mobilize resources for sustainable development.
Religious Leaders: Promoters of Changes
While religious institutions provide structural support and resources for sustainable development, it is often the voices of religious leaders that inspire personal commitments and actions. These leaders, through their moral authority, can influence the entire community towards achieving the SDGs. Religious leaders can have significant influence over their followers, often serving as moral and spiritual guides and examples. This influence can be utilized to promote the SDGs. A good example is the role of the Dalai Lama in promoting peace, compassion, and environmental responsibility. His teachings have inspired millions, inspiring efforts toward peaceful coexistence (SDG 16) and environmental sustainability (SDG 13).
On the other hand, while religious leaders can be pivotal allies, tensions may arise when their goals conflict with those of secular development agencies. For example, certain religious values might conflict with policies around reproductive health (SDG 3) yet fostering dialogue and cooperation between these entities could help find common ground, such as shared concerns around poverty or education.
Grassroots religious movements: fuels for local action
Beyond the influence of prominent religious leaders, grassroots movements rooted in local communities can serve as powerful engines of change. These movements engage people at a personal level, fostering a sense of ownership in sustainable development efforts and driving collective action from the ground up. Grassroots religious movements often emerge from local communities that are deeply tied to their cultural and religious identities, giving them a strong position to steer sustainable development actions at the heart of community life. These movements, because of their close connection to local people, can bring a sense of ownership and empowerment to each community member, encouraging them to take action in support of the SDGs usually at their own pace.
For instance, a movement named Greenfaith unites people of various religious backgrounds in environmental activism. Emphasizing ‘grassroots’, ‘multifaith’, and ‘climate justice’, they have successfully mobilized communities to combat climate change and protect natural resources. By framing environmental protection as a moral and spiritual obligation, Greenfaith has inspired grassroots actions that contribute directly to SDG 13 (Climate Action) and SDG 15 (Life on Land).
Conclusion
Considering the role of religion in achieving the SDGs opens new and potentially effective perspectives. Religious institutions, leaders, and grassroots movements have the capacity to move a large number of people (e.g. their followers), material resources, and spiritual resources (such as innovative ideas) in support of sustainable development. By integrating religious perspectives into the SDG framework and process, we can enhance the feasibility of these goals.
This approach is not only useful for policymakers and development practitioners but also for the religious communities themselves, who can find new ways to contribute to global development efforts while at the same time increasing their influence. As we continue to strive towards a more sustainable future, the insights offered by religion should not be overlooked or ignored but rather embraced as valuable input for achieving the SDGs.
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the Author:
Kim Tung Dao
Kim Tung Dao is a recent PhD graduate of the International Institute of Social Studies, Erasmus University Rotterdam. Her research interests include globalization, international trade, sustainable development, and the history of economic thought.
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In this blog post, Fernando Garlin and Juliana Poveda explore the ethical and methodological dilemmas faced by researchers working with forced Venezuelan migrants in politically polarized contexts in Latin America. Through personal reflections, they delve into how the researcher’s identity shapes their relationship with the research participants and the interpretation of migratory realities, highlighting the tension between neutrality, authenticity and adaptability. They suggest that building human relationships and recognizing local complexities are essential for overcoming the double standards of engaged academics and fostering a deeper understanding of the migratory situation.
Image by Authors
In contexts marked by violent conflicts, institutional crises, fast changes and high degrees of political polarization, researchers encounter varying degrees of distrust, suspicion and openness from participants in the field. In our case, both of us have worked with Venezuelan migrants in Colombia, Spain and the United States. Amidst polarizing right- vs. left-wing politics and sentiments, the question constantly arises about how to present ourselves to our research participants: Is it important to disclose fully our personalities and positionalities? Should we embrace the neutrality and formality expected from researchers? Or ought we perform a mixture of authenticity and detachment to open the dialogue with our interviewees?
In this blog post, we use dialogue to explore how each one of us has addressed this situation. Our dialogue is itself a necessary collaboration to enrich our standpoints. Fernando is Venezuelan and Juliana is Colombian and we have both worked with Venezuelan migrants in the same region. However, we have noticed how our nationalities condition our gaze on forced migration.
Fernando: I spent more than a year on the Colombia-Venezuela border, between 2020 and 2022, mostly in Cúcuta. Over time, the whole issue of my ‘position’ gradually lost relevance in my reflections. Not because it stopped being important, but because, little by little, I started blending into my relationships, my surroundings and my belonging to an organization of Venezuelans in the region. So people already knew what my role was and where I stood before even agreeing to an interview: ‘Oh, he’s the guy who works with that aid organization and is interested in those issues.’
While researching violence, abuse and extreme precariousness, I think people cared less about my political stance and focused much more on evaluating my personality – for example, how witty, available or sensible I was. Those things gradually became way more important for coexisting and building human relationships. It helped me move beyond the usual observer-observed/participant mould.
That being said, my political position did matter in institutional spaces with humanitarian officers from the government and international cooperation sectors. My push for more quotas, aid and responses to the situation was seen as ‘left-wing; I pointed out things that needed improvement, to be denounced or reformed. But was I merely a ‘useful leftist’ being used to justify right-wing policies? In governmental or international cooperation settings, people even asked me ‘Are you here to help or not?’ Or was I just here to criticize, a ‘bad leftist’. Being aware of and discussing these issues allows us to be more critical of the role of the researcher in the field, not just as an observer but also as an actor.
I feel that my positionality has been shaped by these two tensions: local sensitivities and national policy discussions in each country. What about your experience, Juliana?
Juliana: I also arrived at the Norte de Santander region in Cúcuta in 2019. One of my first learnings was that authorities and NGOs make distinctions and present measures and procedures for Venezuelans as ‘novel, special and temporary’. Yet these legal measures were very disconnected from the daily life and reality of people forced to migrate into Colombia and join local communities. For example, it was enough to step away from the desk to figure out that the distinction between different types of ‘populations’ and ‘migrations’ might be artificial and pernicious. People with similar needs, newcomers and locals, were competing for attention and resources. Although it was undeniable that an extra layer of vulnerability came from the lack of regular migratory status of Venezuelans in Colombia, their needs and risks were similar to Colombian civilians within the context of armed conflict. This is not novel in forced migration dynamics; similar problems were experienced by Syrians and local communities in Turkey and Lebanon (Müller-Funk 2021).
My second learning was that, although bilateral relations shape migration policies, irrespective of whether there was a right- or left-wing government in Colombia, the change of political wing does not necessarily imply higher compliance with migrants’ rights. Pragmatism informs decision-making. Neither fiercely opposing Maduro’s authoritarian regime nor keeping cautiously silent about it has translated into an open recognition of Venezuelans as refugees or into higher standards of economic and social rights protection.
So, observing the dynamics of Colombian and Venezuelan migrant communities more broadly enabled me to seek a new stance from where I could take a critical and panoramic view of the law and its social context. Thus, I chose social research as a tool to address the law-context interaction. Fernando, how did ethnography help you to be closer to your research participants from an academic standpoint?
Fernando: In my ethnography, I try to distance myself from opinions or reactions that might make me seem like an outsider, as this could jeopardize trust. I prefer to get to know people and adapt to them, rather than taking a fixed stance. After all, every relationship is human, even in research. I find it hard that we must constantly remind ourselves and our colleagues of this. My job as an anthropologist is to explore what people think and how they think. And you have to allow space and time for that to happen.
This doesn’t mean I can’t speak out against authoritarian acts, violence or state terror in Venezuela, but when I’m doing research, all of that is just the backdrop so that the real protagonists – people – can come forward with their beliefs, ideas, opinions, sensitivities and emotions. So, my position leans more towards figuring out where to understand from, with whom and how to make sense of the confusion.
In your experience as a lawyer and researcher, how do you choose to position yourself? Do you have different behaviours, attitudes or decisions that you make depending on the people you’re meeting?
Juliana: From a socio-legal lens, I look at migration and refugee law from the opposing and interacting view of diverse stakeholders. These perspectives have enabled me to develop more reflexivity in my own gaze: conditions, experiences and assumptions. Thus, I can find nuances amidst the binaries suggested by the context and recognise my standpoint. Beyond the partisan right- vs. the left-wing binary (Roht-Arriaza y Martínez 2019), others have struck me: the attention and resources given to Venezuelan migrants undermine those for peacebuilding in Colombia. Or, its analogue, but from another side: the Colombian peace talks with the ELN and the FARC dissidents validate Maduro’s regime and neglect forced migrants.
I also find myself constantly justifying not only why I am researching from a Global North University but also why I am not researching my country’s affairs (Abasli and Elassal 2021). I find only ‘empathy’ as the answer. The experience of Colombian internally displaced people and forced migrants abroad should have also taught us to recognise vulnerability and depart from there. Hence, it is senseless to argue about whether the Colombian or Venezuelan crisis in the region deserves more attention, or should attract more international condemnation and cooperation. They are now entwined. I would rather begin with the fact that both civil societies deal with deep traumas due to polarization, failed democracies, inequality and violence (Bejarano 2011).
Once the polarization noise lowers, it is necessary to spotlight the main role of forced migrants (Clark-Kazak 2021). Nobody can speak on their behalf about how they face challenges such as ‘anti-migrant’ expressions in Global North countries (Achiume 2022). Hence, the researcher, alongside reflexivity, should collaborate with local organizations to protect the interests of forced migrants and amplify their voices (Harley, T. and Wazefadost 2023). Have you found another dichotomy? How did you solve it, Fernando?
Fernando: This might sound abstract and a bit lukewarm, but for me, anthropology isn’t activism or politics; it’s about building connections, relationships and concepts to understand activism and politics. Unfortunately, I’m not sure that understanding makes us ‘better’ at anything – maybe that’s just a knowledge-based illusion. That’s why I believe the role of the ethnographer and anthropologist is to accompany, shape and give meaning and strength to social experiences.
Beyond slogans about defending the most vulnerable – which I consider obvious unless you’re some kind of colonial exploiter – it’s about constantly searching for the spaces where the seeds of change, new futures and hopes for humanity can grow.
Our conclusion
Finally, we both agree that our positionalities are flexible. They evolve as we interact with our research participants and colleagues and reflect on our contexts and biases. We avoid identifying ourselves with binaries or exclusionary positions. That does not mean that we are ambivalent or vague. On the contrary, we believe that rather than being a bystander we should engage with others and collaborate, especially with those on the move. The more researchers can allow themselves to listen to any argument, trying to understand why someone may think or act in a particular way, the more their work might be collaborative with migrants and local communities. In this sense, socio-legal approaches may be informed by ethnography. We thus believe that the most challenging positionality is imagining new horizons with others: constantly stepping outside oneself, time and again, and returning with multiple perspectives. Every researcher carries something of the migrant, always seeking to understand the other; and every migrant carries something of the researcher, in their own search for understanding.
Achiume, E.T. (2022) Empire, borders, and refugee responsibility sharing. California Law Review, 110 (3), 1011-1040.
Bejarano A. (2011). Democracias precarias: Trayectorias políticas divergentes en Colombia y Venezuela (Precarious democracies: Divergent political paths in Colombia and Venezuela). Bogotá, D. C., Colombia: Universidad de los Andes, Colombia. Retrieved September 4, 2021, from http://www.jstor.org/stable/10.7440/j.ctt18crz6b
Harley, T. and Wazefadost, N. (2023) Guidelines for Co-Produced Research with Refugees and Other People with Lived Experience of Displacement. UNSW.
Müller-Funk, L. (2021) Research with refugees in fragile political contexts: How ethical reflections impact methodological choices. Journal of Refugee Studies, 34 (2), 2308–2332.https://doi.org/10.1093/jrs/feaa013.
Roht-Arriaza, N. and Martínez, S. (2019) Grand corruption and the international criminal court in the Venezuela situation. Journal of International Criminal Justice, 17 (5), 1057–1082.
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the Authors:
Fernando Garlin
Fernando Garlin is a PhD candidate at Université Paris Cité (CEPED, IRD, INSERM). His research intersects border studies, violence, and migration. Using ethnographic methods, he seeks to understand hate narratives within the governance regimes where they emerge. His publications focus on the political and aesthetic forms that alternative or marginalized groups adopt during sanitary and political crises.
Juliana Poveda
JulianaPoveda is a PhD student in the Law Department at Ulster University. Her research project addresses the linkages between reparative justice, responsibility-sharing, and durable solutions, addressing the case of Venezuelans forced to migrate to Colombia, the United States and Spain (EU). She is interested in sociolegal and interdisciplinary research that engages forced migration, human rights protection, and peacebuilding.
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On 19th July 2024, the International Court of Justice ruled that Israel’s prolonged occupation of Palestinian territory is a violation of international law. In this blog post, Michelle Rudolph and Rachel Kurian analyse how the water governance regime imposed by the Israeli occupation in the West Bank generates systemic injustice and water insecurity for Palestinians. Their study was presented at the Teach-In Series on Water Justice in Palestine hosted by IHE Delft in May 2024 and held at IHE and at the Universities of Amsterdam and Wageningen.
Palestinian herders’ encampment in the northern Jordan Valley, West Bank (Photo by Michelle Rudolph, Jordan Valley, July 2019).
The sun blazes fiercely, its early morning heat already engulfing the dry landscape. In this wide expanse, a community of tents stands resolute, their silhouettes distinct against the dusty backdrop. Dust settles on every surface, coating the worn fabric of shelters and clinging to the hot iron roofs and water troughs.
Abdullah stands quietly at the edge of the encampment. He wipes his sweat from his brow, his weathered face a testament to years spent under the sun. His sheep huddle in the scant shade, their woolly bodies pressed close together. Each animal is precious, providing milk, meat and wool that sustain his family. As he tends to his flock, a distant rumble disrupts the quiet, catching Abdullah’s attention. The sound of live military training echoes through the valley. His brows furrow as he listens intently, wondering if the manoeuvres will draw closer and disrupt the fragile peace. For a moment, he stands still, his eyes scanning the horizon, the weight of uncertainty heavy on his shoulders.
Yet, immediate concerns press upon him, anchoring him firmly in the present. The problem of finding water for his family and sheep looms large. The water troughs lie empty, a stark reminder of his ongoing struggle to secure this vital resource. Abdullah draws a deep breath, bracing himself for the challenges that lie ahead today, much like every other day before it.
Since the war of June 1967, nearly 90% of the Jordan Valley, West Bank, has been under Israeli military control and so has the distribution of water. As a Palestinian Bedouin in the valley, Abdullah lives alongside his extended family in tents devoid of running water. Groundwater lies beneath their feet, yet regulations prohibit them from digging a well. The Jordan River flows nearby, but its access has been blocked by the Israeli military and Civil Administration. Below the Bedouin encampment, a water pipeline supplies a neighbouring Israeli settlement with continuous water, but Abdullah and his family are strictly forbidden from tapping into it. In an attempt to secure water, Abdullah once constructed a small water tank, only to have it demolished by the Israeli military for lacking proper permission. Each morning, Abdullah grapples with the pressing question: How can he procure enough water for drinking, washing, cleaning, cooking, and caring for his children, while ensuring his sheep thrive to provide income for his family’s survival? Abdullah’s experiences, shared with us during an interview in July 2019, are similar to those of many Palestinians in this area.
In this blog post, we delve into the critical issue of water and human insecurity faced by Palestinian Bedouins and farmers. Drawing from our study on water governance in the West Bank, we explore the underlying causes of these insecurities.
Our research sheds light on the asymmetrical power relations that shape water governance, significantly impacting the lives of vulnerable communities. Central to our discussion is the concept of hydro-hegemony, introduced by Zeitoun and Warner in 2006. This concept was developed to help us understand how stronger riparian states use various tactics and strategies in cross-border water conflicts to assert their dominance. However, we can also apply it to our case in which Israel’s hydro-hegemony over groundwater resources in the West Bank is manifested through three forms of power:
Material Power: This includes the use of military force, financial resources, and technological advancements.
Bargaining Power: This involves strategic negotiations and the use of incentives to influence outcomes.
Ideational Power: This encompasses the use of discourse and ideologies to shape perceptions and narratives.
Our study shows that these power dynamics are not just abstract concepts but have real, tangible effects on the daily lives of Palestinians. The systemic and structural nature of water insecurity means that many Palestinians are not only denied their basic right to water but also their right to livelihoods and to life itself.
The research we draw on combines historical and contemporary data with information based on 27 in-depth interviews we conducted in 2019. These interviews were held in the West Bank, primarily with Palestinian women and men from various communities in the Jordan Valley. In addition, we spoke to representatives from crucial institutions like the Palestinian Water Authority (PWA), the Union of Agricultural Work Committees (UAWC), and the Palestinian development and training institution MA’AN.
West Bank, Area C, and the Jordan Valley
The West Bank is a landlocked territory spanning approximately 5700 square kilometres – about one-seventh the size of the Netherlands. It is bordered by Jordan to the east and Israel on the north, south, and west and it has been under Israeli military occupation since June 1967.
The region is rich in freshwater resources, including the Jordan River and three major aquifers: the Western Aquifer, the North-Eastern Aquifer, and the Eastern Aquifer, that are collectively known as the ‘Mountain Aquifer’ and that extend through the West Bank and Israel (see image 2) (World Bank, 2009).
Image 2 – Water resources in the West Bank (by Michelle Rudolph after Zeitoun et al., 2009).
In 1967, the establishment of Kfar Etzion marked the beginning of Israeli settlements in the West Bank. These settlements, built by Israel and populated by Israeli citizens, have grown significantly over the decades. They are illegal under international law, as Article 49(6) of the 1949 Geneva Convention IV – also signed by Israel – explicitly prohibits an occupying power from transferring its civilians into the occupied territory (ICRC, 2018). That Israel’s long-term occupation of Palestinian territory and settlement building are unlawful has also been confirmed by International Court of Justice (ICJ) in its recent ruling of 19 July 2024.
In 1993, the first Interim Agreement, the Declaration of Principles on Interim Self-Government Arrangements known as Oslo I, was signed by the Israeli government and the Palestinian Liberation Organisation (PLO). It recognised Israel as a state and created joint Israeli-Palestinian committees for ‘mutual security’ and economic cooperation on several aspects, including water. The second agreement of 1995, the Israeli-Palestinian Interim Agreement on the West Bank and the Gaza Strip known as Oslo II, divided the West Bank into three administrative zones – Areas A, B, and C – each with a different governance system. Area C which covers 60% of the West Bank and contains most of the agricultural lands and water resources, came under full Israeli civil and security control.
While these agreements seemed to facilitate some level of cooperation, in reality, they allowed Israel’s continued control over Palestinian resources. They legitimized Israel as the sole authority to decide which lands would come under Palestinian control and left open the resolution of key areas of conflict such as borders, refugees, Jerusalem, and settlements. Moreover, they provided no legal power to stop the expansion of settlements and roads in the West Bank (Roy, 2002).
The Jordan Valley, where Abdullah lives with his family, is situated in the eastern part of the West Bank. Most of this area falls within Area C (blue and purple areas on the map), meaning it is under full Israeli military control. Often, these lands are designated as Israeli military zones (grey marked areas) or nature reserves (green marked area), restricting Palestinian access.
Referred to as a “giant greenhouse,” the Jordan Valley is ideal for irrigated agriculture due to its fertile soil, groundwater resources, ample sunlight, and warm climate. However, the stringent controls over land and water have led to a steady decline in Palestinian agricultural production throughout the occupation.
The Jordan Valley (image by Michelle Rudolph after OCHA 2012).
Impact on Palestinian Communities and the Urgent Need for Action
So, what do asymmetrical power relations in water governance mean for Palestinians famers and herders in the Jordan Valley? Our research reveals that they are confronted with various, interconnected, and cumulative forms of water insecurity in their daily lives:
Quantity– The quantitative supply gap is the starkest expression of the discriminatory water regime, as shown by the huge discrepancy in water consumption between Israeli settlers and Palestinians in the Jordan Valley (see image). For example, in the Ro’i and Beka’ot settlements in the northern Jordan Valley, the average household consumption exceeds 400 litres per capita per day (lpcd), compared to just 20 lpcd in the neighboring Bedouin community of Al-Hadidiya (Hareuveni, 2011).
Not being served by any network, many Palestinian Bedouin communities are forced to rely on water trucking, obtaining water from wells, springs, or filling points in other communities (UN, 2021). Some Palestinian farmers own their own wells. However, these are usually only a few dozen metres deep, in contrast to Israeli wells that regularly go down hundreds of metres to reach the aquifer. In past decades, groundwater levels have dropped significantly and so have the pumping rates from Palestinian wells. When Palestinian farmers have applied for permission to deepen their wells in order to regain access to fresh groundwater, their applications have often been denied by the JWC or the permission that they have received has not allowed them to dig as deep as required. Quality– While the quality of the water from springs and the Israeli network was generally considered good, water from wells often has high concentrations of chloride, rendering it unsuited for domestic use and posing health risks to families and livestock when they do drink from it
Distance and time– Water insecurity also results from the distance to water sources and the time required to collect water. Bedouin families who depend on water trucking endure long daily journeys to access fresh water, particularly challenging during the summer months.
Price and Affordability– Access to water is often financially burdensome, the price depending on the cost of the electricity needed to pump groundwater, the cost of water distribution, and the cost of transporting the water. Particularly for Bedouins, it challenges their economic stability.
Frequency and Reliability– Several of the issues discussed above show how Palestinians in the Jordan Valley experience water insecurity in relation to both the frequency and reliability of their water supplies. During the interviews, it was highlighted that frequency and reliability of water access were also compromised through the use of military force by Israel’s Civil Administration, as when construction and movement restrictions were imposed on Palestinians and water-related supply systems (e.g. water tanks and pipes) were demolished by Israeli soldiers.
Safety– Finally, the enforcement of military power in a context of conflict and occupation creates significant issues around safety of water access. One Bedouin father of eight shared his experience, explaining how he had been arrested several times by the Israeli military for unknowingly letting his sheep graze on closed-off land. “There are no borders. Only by experience you learn where (…) you can’t go”.. The situation is further aggravated by acts of violence perpetrated by armed Israeli settlers against Palestinians, including shootings and vandalism to property, which create a pervasive atmosphere of fear and insecurity. A local NGO member captured the dire reality of Palestinians in the Jordan Valley with stark clarity: “[They] are feeling threatened all the time. They are feeling insecure all the time. They have a lack of everything all the time”.
Daily domestic water consumption in litres per person (image by Michelle Rudolph after OCHA, 2021).
Living under these different forms of water and human insecurity has profound and far-reaching consequences for Palestinians, impacting their farming, herding, livelihoods, health, families and social relations. They are not just denied their fundamental right to water, but also their right to livelihood and life itself. As poignantly noted by a doctor from a health clinic in Area C in the Jordan Valley: “People here die twice in their lives. They die when they are alive, and they die when they are dying. […] no water, no cleaning, no hygiene, problems, conflicts […]”. At the same time, Palestinian farmers and herders are determined to remain on their land, undertaking various strategies to sustain their livelihoods and lives under extreme forms of violence, which we detail in another ongoing study.
This summer marks five years since we spoke with Abdullah and many other Palestinian farmers and herders in the Jordan Valley. During this time, several Bedouin communities in the area have been demolished, and Israeli pressures have only intensified (UNRWA, 2024). Since October 7, reports of settler violence and Israeli military offenses have surged: As of now, 20 Bedouin communities in the West Bank have been forcibly displaced by armed extremist settlers often with the consent and support of the Israeli military which is, as argued by Forey (2024), a form of ethnic cleansing.
These escalating challenges underscore the dire and urgent need for action. The struggle for water and human security faced by Palestinians in the West Bank is not just a local issue but a fundamental human rights crisis. It demands our continued attention, advocacy, and efforts to support those affected and to push for lasting and just solutions.
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the Authors:
Michelle Rudolph
Michelle Rudolph is a social scientist, water engineer, and visual designer, holding an MSc in Environmental Engineering (Delft) and an MA in Development Studies (SJP) at the ISS. Michelle’s professional endeavours encompass research, fieldwork, and teaching, with a focus on water governance, disaster risk reduction, social vulnerability, and communication across various global contexts. She currently works as a consultant at HKV, a firm based in the Netherlands, specialized in flood risk and water management.
Rachel Kurian
Rachel Kurian is (retired) International Labour Economist at the ISS. She has done fieldwork and research on Palestine since 2014.
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…so another one of these researches? Is this any different? You know we are tired of these scientists … imagine if the poor were to get at least half of the money that is spent in studying them, wouldn’t it be nice?
These were the frustrated words of Makini (pseudonym) during a community baraza targeting evidence-based slum upgrading of Mathare, Kenya’s third largest informal settlement. Makini, a resident of Mathare for over 50 years, voiced the disappointment felt by many who have been over-researched without commensurate societal benefit. In this blog post, Stephen Nyagaya , Beatrice Hati and Alice Menya discuss this case as a point of departure to advance the debate on research waste within social sciences.
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Informal settlements around the globe attract more appetite for exploration due to a complex nexus of wicked problems, emergent frugal novelties and new rhythms of development emerging in the informality context. In Nairobi, informal settlements house over 65 per cent of the city’s population and have experienced a fast-paced knowledge circus over the past three decades. While there is an uncontested need for research to inform development decisions and policy formulation, connecting this knowledge to community development and progressive action is still challenged. This phenomenon is what we discuss here as ‘research waste’.
Research waste: Not new, but still unacceptable!
The concept of research waste was first coined by medical statistician Douglas Altman in 1994, defining it as ‘research outcomes with no societal benefits’. This millennial concept dominates medical and clinical sciences but receives less attention in social sciences. Drawing on our experience, we argue that research is also wasteful if it lacks novelty, lacks relevance to a real-world gap and does not advance existing scholarship. We define research waste as ‘research that fails to yield societal benefits and lacks scientific value’. Research waste not only squanders tens of billions of dollars annually, but also contributes to research fatigue, perpetuates epistemic injustices and erodes public trust.
Every stage in a research ‘lifecycle’ is prone to waste, but the good news is that about 85 per cent of this waste is avoidable. Research waste arises from irrelevant rationales, flawed research designs, biased or poor reporting of results and methodologies and unpublished or poorly disseminated outputs. To further illustrate this point, we have outlined in Figure 1 below the various stages of research and practices that may (re)produce waste.
Figure 1: Practices producing research waste
Authors, 2024
The production of avoidable research waste is unethical practice. Researchers must navigate the research process conscientiously to strike a balance between scientific rigor, societal benefits and scholarly value. This negotiated middle ground is achievable through Community-Based Participatory Research (CBPR). CBPR offers a methodological framework that catalyses research value by repositioning community partnerships at the centre of three interrelated research goals: generating evidence, facilitating meaningful action and promoting engaged learning.
Research buzz in Mathare
Nairobi city is a home to over 4 million people and more than 100 informal settlements. It is estimated that 65 per cent of the city’s inhabitants live and work in these informal areas, which epitomize existing inequalities in the city. In Mathare, residents live in deplorable living conditions, epitomized by poor housing and basic services, overcrowding, pollution and insecurity of tenure that lingers with frequent threats of evictions.
The pervasive failure of the government to upgrade these living conditions is attractive to research, contributing to a ‘research buzz’. The findings from our data mapping show that approximately 300 research activities were conducted in Mathare in a decade. However, these activities failed to yield commensurate value for the community. For instance, our analysis shows that out of the 300 research entries, 31 of were related to ‘infrastructure and economy’ (see Figure 2), yet the community still lives in deplorable conditions characterized by overcrowded, makeshift structures that increase the risk of hazards such as fires, exacerbate inadequate access to clean water and poor sanitation, and limit access to reliable electricity amongst many other problems.
Figure 2: Research conducted in Mathare between 2013 & 2023 along research themes
Authors, 2024
A Mathare resident cited her frustration with research, noting the imminent failure of its implementation.
Then again the one who sent you, I don’t know the government, they have done a lot of research and none of it has ever been implemented….Why bring (research) yet they won’t implement, why take information, knowledge, sit somewhere and yet not implement? The next day the same information they took, someone uses it for their own benefit elsewhere. So they have done a lot of research in the community, not now, not yesterday but even in the past years and not one has been implemented…
Mathare residents have been exposed to multiple studies with limited novelty and duplicated research topics, leading to research fatigue and unmet expectations for societal change.
Helicopter research
Researchers enter informal settlements with pre-determined agendas, engage the community as research participants and leave with the bulk of the information without further engaging with the broader audience. Researchers use informal settlements as testing grounds for concepts while the community is relegated to the subordinate role of respondent. In other instances, community participation is romanticized and framed as ‘partnerships’ with tokenistic and ‘command-control’ approaches that replicate exclusion.
With ambiguous guidelines on conducting research in informal settlements, scientific and ethical procedures have been conflated into unclear practices that expose the participants to unfair treatment. In some cases, participants are influenced by monetary compensation, resulting to coercion and undue influence. In other cases, prior consent is not sought from the participants. Trust is eroded when there are no clear strategies for collaboration between researchers and the community. Additionally, poor sampling strategies contribute to biased participation. Ultimately, some studies are designed to serve researchers’ interests, rather than deliver societal benefits.
Towards a methodological framework
Knowledge should be co-created through fair collaboration between the community and scientific researchers to yield scientific rigor and societal development. The community-based participatory research (CBPR) framework provides a platform for knowledge co-creation by infusing local ingenuity with tools and techniques from scientific discipline.
The framework applies a bottom-up research process in which the research agenda, framed with communities, is scaled upwards. It proposes community participation in the entire research process, which translates into moving the community from being ‘research respondents’ to ‘research partners’. This approach allows for knowledge transfer to the community researchers through training and empowerment. The ten rules of CBPR, co-created with the Mathare community and dubbed ‘the ten commandments’, describe how researchers should co-create research ethics, establish rules of engagement and disseminate co-created knowledge to avoid waste. The following Figure 3 summarizes this framework.
Figure 3: The ‘ten commandments’
Authors, 2024
(1) Codesigning research agenda: Research should be framed together with community members, represented by community-based organizations (CBOs), groups or community researchers. These representatives help link research with local programmes that need urgent attention. The agenda should also align with themes of informality in literature.
(2) Seeking requisite consent: Researchers should seek prior permission from the research participants. This involves describing the research purpose, data collection methods and the intended outputs. Consent will help manage expectations and increase trust between the researcher and the community.
(3) Collaboration: Research with communities should, as much as possible, foster collaboration with community-led organizations. Collaboration ensures that knowledge is co-created with the community for empowerment and social action. The research proponents should further set long-term partnerships with the community with clear strategies for creating impact.
(4) Confidentiality and protection: Data collected from/with the community should be protected against destruction, loss or illegal access. Researchers should maintain confidentiality throughout the research process.
(5) Training community researchers: Community researchers are community members who live and work for the community. They engage in social work such as advocacy, activism, community health promotion, solid waste management, etc. When involved in research activities, they should be trained in research methods, ethics and dissemination strategies to foster learning and enhance research rigor.
(6) Data validation: Data collected from the community should be validated by the participants to ensure that it is devoid of errors and to determine whether the findings meet the intended objectives (avoiding data misuse).
(7) Acknowledge community input: The community should be acknowledged by mentioning its input and engaging it in various dissemination exercises such as dialogues, workshops or conferences. The community should be acknowledged and included as co-author in (academic) publications.
(8) Fair arrangements and equitable partnerships: Partnerships between the researchers and the community should be clearly stated with definite roles. This helps in building trust between the partners.
(9) Dissemination: Researchers should ensure that findings are shared with community members and other relevant stakeholders. Open data platforms that are accessible to the public and the broader community should be promoted. Researchers should encourage the use of dialogues, public forums or other engagement strategies to disseminate research information to a wider audience.
(10) Engage beyond research: Researchers should engage beyond mere scientific dissemination methods. Such activities include translating and vulgarizing research findings to be understood by the larger local audience, reaching out to development actors for implementation or lobbying for policy actions by the government.
Conclusion
This post fronts CBPR as a solution to mitigating research waste in urban informal settlements. While the need for research to inform societal development is uncontested, research waste should be prevented by designing research practices that sync with local priorities, foster knowledge exchange and enhance scientific value.
Notes:
The discussions presented in this blog post emanate from the project ‘Towards a framework for community-based participatory research in informal settlements: a pilot in Mathare, Nairobi-Kenya’ (2023). The project was funded by the LDE Global Support programme, supported by Vital Cities and Citizens and implemented in Nairobi by Nuvoni Center for Innovation Research and MSPARC (Mathare Special Planning Area Research Collective).
References
Balazs, C. L., & Morello-Frosch, R. (2013). The three Rs: How community-based participatory research strengthens the rigor, relevance, and reach of science. Environmental justice, 6(1), 9-16. https://www.liebertpub.com/doi/pdf/10.1089/env.2012.0017
Fransen, J., Hati, B., Nyumba, R., & van Tuijl, E. (2023). ‘Community vitality and frugal practices in informal settlements in Nairobi: Towards a typology’, Cities, 134(January), p. 104179. doi: 10.1016/j.cities.2022.104179.
Ouma, S. (2023). Participation as ‘city-making’: a critical assessment of participatory planning in the Mukuru Special Planning Area in Nairobi, Kenya. Environment & Urbanization, 35(2), 470-489.
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the authors:
Stephen Nyagaya
Stephen Nyagaya is an urban planning and development researcher whose interests revolve around spatial injustices, participatory planning and urban informality. He is a Junior Research Associate at Nuvoni Centre for Innovation Research/International Centre for Frugal Innovation and was actively involved in the CBPR project.
Beatrice Hati
Beatrice Hati is a pracademic specializing in people-centred urbanism and resilience. She is currently pursuing a doctoral degree in multilevel disaster governance at ISS while simultaneously serving as an urban development and research associate at the International Centre for Frugal Innovation (Kenya Hub).
Alice Menya
Alice Menya is Head of Programmes at Nuvoni Centre for Innovation Research/International Centre for Frugal Innovation-Kenya Hub.
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On 17 October 2024, together with colleagues from various EUR faculties, another Teach-In was organized at the EUR Woudestein campus to address Israel’s aggression in Palestine and Lebanon. In this blog post, Isabel Awad and Jeff Handmaker reflect on the urgency of the current moment and the responsibilities of academics and educational institutions to respond.
Image by Authors
Frustration at a lack of accountability and inaction
There is a palpable frustration across the EUR about the genocidal violence perpetrated by Israel and the absence of accountability for its actions, either from its international partners or via international mechanisms. The violence has directly affected our own academic colleagues/students, and their families. Their steadfastness has inspired us to keep this issue on the EUR agenda.
These latest developments have shaken our universities directly. On November 14, a nationwide protest in Utrecht against the Dutch government’s budget cuts in education was cancelled by the trade unions, following unsubstantiated allegations that a pro-Palestinian organization would threaten the safety of protestors. Student unions held a protest after all, facilitated by the Utrecht municipality, and drawing at least 1000 participants. The protest not only took place without any incidents, but was extended to also cover the right to protest. This, and other recent events have exacerbated the frustrations we observed during the Teach-In of October 17. They also underscore the need to process on-going horrors critically, avoiding moral equivalence and relativism. As humans, it is important to see the humanity in others, certainly without normalisation, and without “both siding” the conflict.
Amplifying a Palestinian and Lebanese narrative
The main speaker at the 17 October event was Rima Rassi, a lecturer of Sociology at American University in Beirut and also a doctoral student at the ISS-EUR. She joined us online.
Rima shared insights into her current reality, living under lockdown in Beirut with her family. She highlighted Israel’s massive escalation of violence in Gaza and Lebanon, including bombings, missile attacks and ground invasions.
As numerous scholars had warned already back in October 2023, Rima underscored how “we are witnessing ethnic cleansing and genocide in real time, streamed through the small bright screens of our smartphones, recorded through tweets and Instagram reels and TikTok videos”.
She quoted Lina Mounzer, a Lebanese writer: “we have discovered the extent of our dehumanization to such a degree that it’s impossible to function in the world in the same way”.
Rima’s powerful presentation made clear that understanding and amplifying the grossly under-represented Palestinian and Lebanese narrative is crucial.
As the ICJ reiterated in a 2024 Opinion, which built on its earlier, 2004 Opinion, in this context there are clear responsibilities, not just for Israel, but for all statesin responding to these atrocities. Moreover, as the ICJ has authoritatively underscored, there is a responsibility for all states, particularly those who have been lending diplomatic, financial and military support, to end their complicity and to hold Israel accountable.
Universities in the West cannot ignore the widespread destruction in Gaza including the killing of dozens of professors as well as hundreds of students and the destruction of university buildings and infrastructure. As we highlighted in an earlier Teach In with Dr. Maya Wind, we are witnessing a “scholasticide”, aimed at the total destruction of higher educational capacity in Gaza.
With empathy for the unimaginable suffering being experienced, those within the EUR community have checked-in on each other, and in particular those we know from Israel, Palestine and Lebanon. And we have centered the voices of Palestinians, which are so frequently silenced by the media, by the academy and by governments.
Students organised an encampment, renaming the space in front of the food court as Shireen Abu Akleh square, to honour the Al Jazeera journalist who was killed by the Israeli military in 2022. This renamed square on the Woudestein campus has been a frequent spot for protests and commemorations of all kinds. Events have been held on all four of our campuses: the Erasmus Medical Centre, EUC, ISS and on Campus Woudestein.
We also note how EUR has established an Advisory Committee on Sensitive Collaborations, which has yet to take a definitive decision in relation to the University’s partnerships with Israeli institutions and complicit companies. The Committee’s chair attended the 17 October event.
Who spoke, and who did not
Rassi’s talk received a standing ovation. In-depth responses to her talk came from an expert panel of EUR academics from Sociology (Dr. Irene van Oorschot), Law (Dr. Federica Violi), Epidemiology (Dr. Layal Chaker) and Media and Communication (Dr. Isabel Awad). These four EUR scholars underscored the importance of learning from Palestinian and Lebanese voices and of finding ways to turn knowledge into collective action against the ongoing genocide. ISS’ Dr. Jeff Handmaker moderated.
Two speakers from Birzeit University, a longstanding partner university of the EUR, were also scheduled to speak to us through Zoom. These were Ghaied Hijaz, a student and activist with the Right2Education Campaign and Dr Amal Nazzal, an Assistant Professor in the Business Administration and Marketing Department.
As organizers, we considered Hijaz and Nazzal closely connected to EUR, given their affiliation with an EUR partner institution. However, EUR administrators informed us that they were “external guests” who needed security clearance to speak at EUR, a process that required additional time. By the day of the event, only one of the Birzeit speakers was “cleared”. Out of protest and solidarity, the other speaker decided not to participate. The absence of their voices added to the frustration in the room about the frequent silencing of Palestinian perspectives in Dutch society.
Vigil
To close the event, as we did in a previous gathering remembering academics in Gaza who had been killed, a vigil was held to remember and pay tribute to the now more than 40.000 Palestinians killed, including more than 14.000 children. Together, at the Shireen Abu Akleh square, we lay flowers, and collectively recited a poem by Professor Refaat Alareer, formerly of Islamic University of Gaza who was killed in an Israeli airstrike on 6 December 2023, “If I Must Die”:
If I must die,
you must live
to tell my story
to sell my things
to buy a piece of cloth
and some strings,
(make it white with a long tail)
so that a child, somewhere in Gaza
while looking heaven in the eye
awaiting his dad who left in a blaze—
and bid no one farewell
not even to his flesh
not even to himself—
sees the kite, my kite you made, flying up above
and thinks for a moment an angel is there
bringing back love
If I must die
let it bring hope
let it be a tale.
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the authors:
Isabel Awad
Dr. Isabel Awad is Associate Professor in the Erasmus School of History, Culture and Communication.
Jeff Handmaker
Dr. Jeff Handmaker is Associate Professor in the International Institute of Social Studies, both at Erasmus University Rotterdam.
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On 15 May 2024, US Congressman Wiley Nickel introduced House Resolution 1230, which addresses long-standing grievances of the Tamil community. Endorsed by over 50 Tamil diaspora organisations worldwide, the resolution symbolises hope amid frustration over Sri Lanka’s lack of accountability. Although its path to becoming law is uncertain, the resolution reflects shifting geopolitical dynamics and marks a significant moment in US policy regarding the Tamil diaspora’s pursuit of self-determination. With a new president in place, Sri Lanka may also have the opportunity to reshape its approach to the Tamil question. In this blog, Shyamika Jayasundara-Smits delves into the potential impacts and wider implications of this resolution.
On 15 May 2024, US Congressman Wiley Nickel introduced House Resolution 1230, marking the latest congressional effort to address the long-standing grievances of the Tamil people. The resolution recognises the hundreds of thousands of lives lost during Sri Lanka’s nearly 30-year long armed conflict. It also seeks to ensure nonrecurrence of past violence, including the Tamil Genocide, by supporting the right to self-determination of Eelam Tamil people and their call for an independence referendum.
The resolution received moderate partisan support and was endorsed by over 50 Tamil diaspora organisations across fifteen countries who have been working to advance the Tamils’ quest for justice and self-determination. House Resolution 1230 certainly boosted the morale of the global human rights community and the Tamil diaspora, who have grown increasingly frustrated with Sri Lanka’s lack of accountability and have been torn between hope and despair under different US administrations and their allies.
The resolution emerged as the United States faces global scrutiny over its complicity in Israel’s genocidal violence in Gaza and for dragging its support in implementing a two-state solution. The resolution, though important for Tamils, underscores the double standards in US policy regarding justice and accountability for war crimes. While the demand for justice for Tamils is stronger than ever, the Tamil diaspora cannot expect much from the United States or most liberal Western states, given their diminishing moral authority.
House Resolution 1230 is a step forward in advancing the February 2023 declaration issued by six major US-based Tamil organisations urging the government to do the ‘right thing’. Dr Murugiah Muraleetharan — President of the Federation of Global Tamil Organizations — shared that ‘only by serving justice to the Tamils and returning their sovereignty, can peace and stability be established in the region. A permanent solution is important, and Independence Referendum is the democratic, peaceful and correct approach’.
Both the 2023 and 2024 resolutions clearly advocate for an internationally monitored independence referendum for Eelam Tamils, echoing the 1976 Vaddukoddai resolution introduced by Tamil political elites in Sri Lanka. The new resolution adopts a maximalist approach by reigniting hopes of securing an independent state. This approach can be viewed as a tactical manoeuvre within the current geopolitical landscape, which may not favour such a drastic measure. Instead, it seeks to advance achievable goals, such as addressing justice grievances, returning of land, promoting regional economic development and ensuring human rights.
One pertinent issue is how much pressure diaspora groups can exert on the United States and its allies to ensure Sri Lanka complies with human rights laws and is held accountable. This is especially crucial amid current US–China geopolitical contestations in the Indian Ocean, where Sri Lanka is viewed as an important ally to deter China’s influence.
Since the defeat of the Liberation Tigers of Tamil Eelam in May 2009 by the Government of Sri Lanka’s armed forces, a number of House Resolutions have been introduced. These have been accompanied by high-profile US-backed UNHCR resolutions calling for a credible investigation into possible war crimes committed by the state armed forces and the Liberation Tigers of Tamil Eelam. But these efforts have been overlooked by Sri Lankan authorities.
Continued pressure from Tamil diaspora groups has encouraged some progress under the Biden administration, which imposed personal sanctions on four senior Sri Lankan military officials between 2020 and 2022.
Given the history and lifespans of resolutions introduced in Congress regarding Sri Lanka, the new resolution shows slim chances of proceeding to the next stages required to become law. This limits its potential to demand binding action from the Sri Lankan state. Despite this potential outcome, receiving the US Congress’s acknowledgment and support holds symbolic significance for the Tamil diaspora.
As the United States prepares to elect its next president, the outcome will also impact the fate of the new resolution and US interest in human rights in Sri Lanka. The resolution will have a better chance of progressing under a Harris presidency, which may signify a continuation of the Biden administration’s policies.
During a 2018 parliamentary debate, Dissanayake compared his party, the Janatha Vimukthi Peramuna, now part of his ruling coalition, to the Tamil National Alliance. He pointed out that both parties represented people in the south and north who have suffered the most under a repressive state.
Meanwhile, India, a regional US ally, has already signalled its commitment to finding a lasting solution to the Tamil issue through power devolution within a united Sri Lanka. This was highlighted during Indian Foreign Minister Jaishankar’s visit shortly after President Dissanayake assumed office. The new president has expressed similar views to that of India. Dissanayake’s success in the November 2024 parliamentary elections will be pivotal for advancing these efforts, as both domestic and diaspora Tamil groups are well-positioned to shape these developments.
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the Author:
Shyamika Jayasundara-Smits
Shyamika Jayasundara-Smits is an Assistant Professor in conflict and peace studies at the International Institute of Social Studies (ISS), Erasmus University, Rotterdam.
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Developing countries join cross-border production networks called global value chains to drive their economic growth and encourage job creation. But the gains from global value chain participation aren’t guaranteed, do not happen automatically, and vary widely. In this blog article, ISS PhD graduate and visiting researcher Gina Ledda discusses the heterogeneity or diversity in the global value chain experience of developing countries and highlights the importance of taking stock and assessing key factors of participation. The new analytical tool Constant Value Added Share Analysis (CVAS) facilitates the measurement and analysis of global value chain participation.
Developing and advanced countries participate in the cross-border, multi-staged production of goods and services called global value chains. Policy makers generally view global value chains as opportunities for developing countries to participate in international trade and reap advantages such as increased employment, higher incomes, and a boost in economic growth. The problem, however, is that the evidence of beneficial effects to joining global value chains is mixed. This blog article argues for a more nuanced perspective and a first step to evaluate participation.
Global value chains or international production networks started in the manufacturing industries when firms from advanced countries, mainly multinationals, began offshoring some segments of their production process. In the 1980s, the initial movement to locate production activities elsewhere was mainly to take advantage of lower labor costs in developing countries. This fragmentation model of production proved successful and was replicated in other manufacturing and service sectors – more recently to digital services like video games – such that many goods and services consumed locally are practically made in the world.
While involvement in global value chains could potentially foster growth in developing countries, heterogeneous or varied global value chain participation poses a formidable hurdle (Ledda 2023). Even though developing and advanced countries are involved in the same global value chain, their roles are dissimilar. Large multinationals initiate the global value chain, select the firms that join, and assign tasks. This asymmetry of power, the focus of global value chain governance, can hamper the movement of a developing country from low to higher value tasks known as upgrading. Upgrading through product, process or functional improvements is usually needed to sustain growth within global value chains but can be difficult to achieve. Lead firms are not keen to transfer the core technology and skills that define their roles and supplier firms may struggle to absorb and build on these higher-value inputs. The typical global value chain model seen in Figure 1 shows developing countries mostly in the lower-value production segment and advanced countries in higher-value tasks in the pre-production (product design, R&D, and branding) and post-production (distribution, retail, and marketing) segments.
Source of information: WTO 2021. Figure by the author.
Another important consideration is that reaping advantages from global value chain participation depends on a complex interplay of internal factors including resource endowments, geographical location, institutions, market, innovation and absorptive capacity for technology, inter-country agreements, and trade and investment regulation. A country’s ability and flexibility to adjust these drivers impact on the effectivity of its participation and present a challenge for government policy coordination and development strategies. The resulting diversity in country responses to these challenges contributes further to the mixed scorecard of beneficial outcomes.
With all these dynamics to consider, how does a developing country benefit from global value chain participation? We argue that the first step is to take stock and assess participation through quantitative and qualitative methods. Our article, Van Bergeijk and Ledda 2024 introduces Constant Value Added Share (CVAS) analysis which is a novel reinterpretation of constant market share analysis, a well-known tool that examines the underlying reasons for a country’s export performance. We use the latest trade in value added data (OECD TiVA 2023) for the years 1995-2020 to measure the value added by each country in global value chains. Applying CVAS analysis to the Philippines, we identified a loss of competitiveness in the computer and electronics sector and emerging sectoral strength in technology-related business services, results that are unclear using the traditional approach and aggregated gross export data. We argue that Constant Value Added Share analysis is useful for assessing the global value chain involvement of other developing countries and can help identify where adjustments can be made towards more gainful participation.
To be fair, a number of developing countries have experienced benefits from global value chain participation. However, global value chains are not static and are changing especially in this post-pandemic era. It remains true that global value chain engagement can be unequally advantageous for participants. An assessment of current participation is a solid first step to ensure that integration into the global economy through value chains supports the pursuit of a country’s sustainable development goals.
References
Ledda, Gina M. 2023. Heterogeneous Participation of Developing Countries in Global Value Chains. Ph.D. thesis, International Institute of Social Studies, Erasmus University Rotterdam, The Hague, The Netherlands.
van Bergeijk, Peter A.G., and Gina M. Ledda. 2024. “Constant Value Added Share Analysis: A Novel Trade Decomposition Technique with an Application to the Philippines” Economies 12, no. 7: 173. https://doi.org/10.3390/economies12070173
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the author:
Gina Ledda has a PhD in development economics from the International Institute of Social Studies (ISS), Erasmus University Rotterdam. She conducts research on global supply chains, digital services and technologies, international trade and competitiveness, and sustainable development. She has worked in a policy research think tank, consulted for government, taught economics at the master’s and undergraduate levels, and is currently a visiting researcher at the ISS.
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In this blog, members of the Humanitarian Observatory Initiative South Asia (HOISA) including Anisa Abeytia, Shanyal Uqaili, Mihir Bhatt and Khayal Trivedi consider the applications of AI and other emerging technologies for humanitarian action. With UNHCR and other organisations adopting AI-enhanced planning, mapping, and prediction tools, what are some of the ethical dilemmas and challenges posed for tech-enabled humanitarian action? How can we make sure that humanitarian principles are kept to by non-human actors? And what is ‘responsible AI’?
The use of digital and emerging technologies such as artificial intelligence in the humanitarian sector is not new. Since the advent of these technologies, particularly in the last two decades, the sector has gone through several transitions as data collection, storage, and data processing have become increasingly available and sophisticated. However, the recent contemporary advances in computational power, along with ‘big data’ now at the disposal of the public and private sector has allowed for a widespread and pervasive use of these digital technologies in every sphere of human life – notably also in humanitarian contexts. AI, quite rapidly, is reshaping the humanitarian sector with projects such as Project Jetson by UNHCR, AI supported mapping for an emergency response in Mozambique, AI chatbots for displaced populations, and more besides.
Humanitarian workers therefore must pose the following questions. How can responsible AI along with emerging technology be used for humanitarian action? And what are the priority areas and conditions that the humanitarian sector should put forth while employing these technologies? And does emerging technology present any ethical challenges for the sector?
There is an enormous potential in AI technology, with its ability to predict events and results that can help in international humanitarian action. With the rate at which disasters and conflicts are increasing in the past few years, the humanitarian sector particularly in terms of funding, is simply not at par in providing the relief and responses to the degree that the world requires1. In this light, strengthening disaster resilience and risk reduction by building community resilience through initiatives such as better early warning systems become crucial.
Case Study: Using AI to forecast Seismic Activity
A study using hybrid methodologies was conducted to develop a model that could forecast seismic activity in the region of Gazientep, Türkiye (bordering Syria). The system was trained using the data gathered after the massive 7.8 magnitude earthquake in early 2023, which was then followed by more than 4,300 minor tremors. To create the algorithm, key dimensions and indicators such as social, economic, institutional and infrastructural capacity from open-source websites, were identified. During the research, two regional states were identified to have extremely low resilience to earthquakes. Incidentally, this area is also home to a large number of Syrian refugees. After gathering two years of seismic data from more than 250 geographers on the ground and other open sources, two Convolutional Neural Network models were applied
that could predict 100 data points (with 93% accuracy) in future, which is amounts to about 10 seconds in future, . The study underlines the regional challenges in data collection. Several indicators were omitted due to the absence of openly availability data. This highlights the influence of power asymmetry, which allows for biased results and conclusions, thereby pushing researchers away from new understandings. A case-in-point, data pertaining to areas/neighborhoods where Syrian refugees reside was not gathered and thus excluded by default from the research findings. Despite these political challenges, there is great potential in this technology when provided with relevant data sets. AI becomes the model it is trained to be and therefore it is important to have a complete a data set to prevent reproducing real world/human biases
Fears of techno-colonialism and Asymmetric Power Structures
This case highlights the need for transparent, complete, and bias-free data sets, which remain a challenge in most parts of the world. Further, who owns these data sets? Who oversees data collection and training, and what is omitted? As AI and various deep learning methodologies transform our world, fears of techno-colonialism, techno-solutionism and surveillance are omnipresent.
Today’s post-colonial world, that in fact continues to carry forward colonial power hierarchies albeit in a new setting with changed roles, is ridden with inequalities. And these inequalities and pre-existing biases both in data and in people, are then transferred to the AI because of the way it is being (or not being) trained. Even ‘creative’ AI tools are still a conglomeration of the data that they are trained on.
AI and deep learning methodologies are tools that can be targeted to provide a solution. They require input of data, and if the data carries bias or racism to some degree then the output will also reflect that2. Questions such as, who is training the AI, what funds are being used, and who is the recipient of the effort, become critical to answer. Unfortunately, very few companies and countries in the world have the capacity to create data sets that train AI. These are often large conglomerates that work for profit in a capitalist ideology where a human centered approach is at best secondary. The decision power therefore lies in the hands of few, thereby forming a new form of colonialism.
Is AI then a tool or a medium to keep the status quo (of power structures)? Because if the few people in power, driven by capitalism, are invested in maintaining the power structures, then how will AI be of help in decisions about resource allocation? This points also to the much-needed democratization of AI and these tools. The human centric AI otherwise will remain a paradox.
Looking at Responsible AI and humanitarian principles
Can we employ AI that does no harm? For AI and similar tools to therefore be viable and inclusive, one must ensure transparency and inclusion in data gathering that forms the data sets. This requires conscious effort that is not technology driven, rather policy driven that invites people with diverse thought processes from diverse communities and especially minorities and vulnerable populations to be in a position of action and not just participate. One way is to rethink the humanitarian sector and its functioning. The other is to have a more community centered approach while thinking of AI applications, as James Landay puts it. He describes that in a community centered approach, the members of the community discuss and decide how and which resources must be allocated to what, according to their own priorities and needs. This method stands in contrast to the top-down politics, where communities are merely seen as consumers or beneficiaries.
Drawing from Edward Soja’s theory, Anisa Abeytia (2023) distinguishes and adds a fourth sphere or space to the already formed three-layer model by Soja, which Abeytia argues to be relevant in the use of AI.
According to the model, “Firstspace” is the geographic location that includes human, non-human (living and nonliving) entities and environments. “Secondspace” is our communal areas (library, schools, etc.). “Thirdspace” is the liminal landscape – the way people accept or reject ideas and technologies such as their apprehensions and fear to new transitions and change. And lastly, Abeytia adds a Fourthspace to represent the digital world which is as real as physical geographies today. An important rubric to measure viability of an AI application is how it will affect each of these spaces – the personal, the communal, the transitional and the digital space. For example, we can witness the use of AI affecting all four spaces in the project run by University of Utah and a refugee resettlement agency that used Virtual Reality (VR) headsets as a reception and resettlement tool to assist refugees to integrate into American societies.
Survey: What are the needs of the sector?
As members of the humanitarian sector, we must strive to develop our own solutions to the challenges we face, ensuring inclusivity for all. The identification of these challenges should also come from within the sector itself. Recently, a survey was conducted among key stakeholders to identify areas where AI could make a significant contribution. The most commonly highlighted areas of interest were as follows:
● Can AI assist in creating bias free intelligence that improves victim-state relationship with others?
● Can AI be utilized in measuring intolerance and widening hatred between communities, thereby causing riots such as in the UK and South Asia?
● Can AI provide guidance in identifying uncertainties of risks and resilience, along with humanitarian action insights that we have not spotted?
● Can AI conduct contribution analysis for impact evaluation?
● How to employ AI to identify methods of empowerment in decision making and developing strategies to offer universal humanitarian assistance?
● How can we harness the power of AI in analyzing epidemic preparedness and response improvement in health crises like monkeypox or Covid?
It is essential to actively investigate the use of AI and emerging technologies across the identified spheres. Efforts to make AI more equitable should include advocating for inclusive methodologies, creating transparent and diverse data sets, and amplifying the voices of Indigenous, marginalized and vulnerable populations.
While working towards more equitable systems, several critical questions arise: How can these projects be funded? Are they viable in a landscape where only a fraction of resources reaches those in need? What is the carbon footprint of developing AI and deep learning tools? How can Indigenous knowledge from resilient communities be integrated into AI systems? Each of these issues warrants thorough discussion, and every major humanitarian organization should address them.
Further reading:
Tom L. Beauchamp and James F. Childress, Principles of Biomedical Ethics, 8th ed., Oxford University Press, Oxford, 2019; Luciano Floridi and Josh Cowls, “A Unified Framework of Five Principles for AI in Society”, Harvard Data Science Review, Vol. 1, No. 1, 2019.
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In August 2024, the Laotian Timesalarmingly wrote about a ‘record low’ in candidates registering for the entrance exams of the National University of Laos (NUoL).It attributed thedeclineto rising living expenses (over 2023 there was a 31.2 % increase in consumer prices in Lao PDR) and low prospects of finding gainful employment in the domestic labour market following university graduation.Without dismissing these reasons, in this blog piece Roy Huijsmans puts the current ‘record low’ in broader perspective by asking what has been happening to higher education in Laos and in relation to whom?
Laos’ higher education landscape is relatively small and young. Following the establishment of the Lao People’s Democratic Republic (Lao PDR) in 1975, the communist regime prioritised basic education for the masses because tertiary education is relatively costly and a much less egalitarian public investment. For (re)building a tertiary educated professional class the newly established, yet cash-strapped, Lao PDR largely depended on its socialist allies.(1) In the period 1976-1980, more than half of the in total 4,603 Laotian students pursuing education beyond secondary level did so abroad in countries part of the, then, Soviet Block.
An education reform paved the ground for the (re)establishment (2) of the National University of Laos (NUoL) in 1996. There was also an increase in Laotian students pursuing higher education domestically; partly forced due to the collapse of the Soviet Block and associated scholarships. Over the period 1996-99 the number of Laotian students in higher education nearly doubled (15,634, compared to 8,635 in 1991-95) whereas those doing so abroad increased only marginally (from 995 to 1,101).
At present, NUoL has remained Laos’ most prominent university despite the establishment of additional public universities, and the rapid growth in private higher education institutes. Total enrolment in Laos’ public universities stood at 45,677 in 2008 (36,706 enrolled at NUoL). By 2008, 86 private higher education institutes were active in Lao PDR, enrolling a total of 20,000 students in 2007 (up from 4,000 in 2000). Still, enrolment at tertiary level has remained low at 12 per cent in 2021 (1.14 gender parity) following an all-times high of 19 per cent in 2012.(3)
In Laos, seats available for university enrolment are set top-down. Once announced, secondary school graduates can register for entrance exams. Registration can be done online, yet the actual exam must be taken in person. Because of quota set for several groups (women, ethnic minority groups), some students enter university regardless of taking (or passing) the entrance exam.(4)
Piecing together various data sources , Table 1 shows that the number of candidates taking the 2024 NUoL entrance exam was indeed very low and even lower than 2021-22 Covid affected year. Table 1 further shows a gradual decline in the enrolment quota since 2020-21. Whereas the drop in ‘demand’ has received ample attention in Lao media, the opposite is true for the apparent reduced ‘supply’. It is also unclear if this NUoL trend is also reflected in enrolment trends of private higher education institutes in Lao PDR, or alternatively whether we see a shift from public to private higher education or into other forms of public education.(5)
Table 1: NUoL student figures 2015-2024
Pursuing higher education abroad has remained common in segments of the Laotian population. Yet, destinations and conditions have changed remarkably since the revolutionary days. Lao PDR ranks second on the list of international students studying in China (and many doing so on a Chinese government scholarship), others pursue higher education in Australia, the USA, Japan or in Europe, sometimes on scholarships of the host-country but not-uncommonly also self-financed reflecting the presence a class of super-rich. This latter group is relatively unaffected by the rising cost of living.
For 2023, the World Bank calculated a 31.2 per cent increase in consumer prices in Lao PDR, following a 23 per cent increase for 2022. This has contributed to putting higher education out of the financial reach of the (lower) middle class in particular. In fact, increasingly Laotian students are leaving formal schooling prematurely. The total number of students taking the secondary year 4 exam dropped from 83,544 in 2022 to 68,850 in 2023 (-18%), while for the final secondary school exam (year 7) the number declined from 55,828 in 2022 to 50,276 in 2023 (-10%). Additionally, there is low prospects for gainful employment in Lao PDR following higher education graduation. This has been a challenge for long, including large numbers of young Laotian working across the border in Thailand. Perhaps what has changed most profoundly is the rise in technology related earning possibilities in the Lao PDR, ranging from platform-mediated food-delivery and ride-sharing work to using social media platforms for commercial activities, including in rural areas.
In sum, the ‘record low’ in NUoL entrance registrations is likely because of young people of (lower) middle class background (including ethnic minorities) discontinuing their studies confronted by two intersecting realities. First, due to rising cost of living completing secondary schooling and pursuing higher education has become a substantially larger financial challenge. Second, there is easily accessible migrant work and a rise in domestic income earning opportunities. Both do not require higher education and contribute to reducing some immediate financial pressures. Against such a background, a call for more scholarships to ensure that Laotian higher education remains accessible also for those with fewer financial means is unlikely to make much of a difference.
Endnotes
During the 1970s about 10 per cent of the population of what is now Lao PDR fled the country, among them many of the higher educated elite.
Following the communist take-over in 1975, Sisavangvong University in Vientiane (established in 1958 by the Royal Lao Government) was dissolved into various colleges.
World Bank data show a gross enrolment rate for primary schooling of 97 per cent in 2022 (0.97 gender parity) and an all-times high of 122 per cent in 2012. For secondary education, the gross enrolment rate was 57 per cent in 2022 (0.95 gender parity) and an all-times high of 66 per cent in 2017 and 2018.
Government resolutions seek to channel students into shorter, and cheaper ‘courses at vocational training schools’ in ‘priority fields’ (Vientiane Times, p2, 28 July 2023). Yet the scale of these initiatives is unclear.
From the academic year 2020-2021, there are more than 16,700 students who registered for the online exam, but more than 14,000 people came to the real exam, among which the university plans to enroll more than 9,000 students in all system.
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About the Author:
Roy Huijsmans
Roy Huijsmans is a teacher and researcher at the International Institute of Social Studies, Erasmus University Rotterdam. His research focuses on the role of young people in processes of development and change.
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In this blog, IHSA Vice-President and Senior Research Fellow at the Food Studies Centre at SOAS (University of London) Susanne Jaspars summarises and expands upon a contribution to the roundtable that followed the inaugural IHSA Annual Lecture on “War and Humanity” held in Bergen in May 2024. The blog was prepared with the help of Tamer Abd Elkreem and information gathered from their research project on the effects of digitalising food assistance.
War causes famine through acts that undermine the means of survival of particular population groups. This includes acts of commission such as attacks on production, markets, restriction of access for humanitarian actors, and the obstruction of relief. Also acts of omission such as failures to act in response to warnings or signs of famine, and acts of provision: the selective provision of food to one side of the conflict. These tactics can be part of counter-insurgency operations but also yield benefits for some. For example from being able to sell food at high prices and buy livestock at low cost, or use cheap labour from displaced populations.
Legal frameworks such as International Humanitarian law (IHL) and International Criminal Law (ICL), specify starvation as a crime: ‘It is prohibited to attack, destroy, remove or render useless objects indispensable to the survival of the civilian population […] for the specific purpose of denying them for their sustenance … whether in order to starve out civilians, to cause them to move away, or for any other motive’. The crime of starvation includes wilfully obstructing humanitarian aid. The term “objects indispensable to survival” includes more than food, encompassing water installations and supplies, irrigation works, medicine, clothing, shelter, fuel, and electricity. There is no pre-defined list as items indispensable to survival are evolving and context dependant.
Also, in 2018, the UN Security Council unanimously adopted resolution 2417 which condemns the use of starvation as a method of warfare against civilians and emphasised that it may constitute a war crime. I would like to discuss this a little further, in particular:
How does reporting and accountability for starvation crimes work in practice?
The Food and Agricultural Organisation (FAO) and the World Food Programme (WFP) report twice yearly to the UN Security Council (UNSC) on Resolution 2417. The UN Office for the Coordination of Humanitarian Affairs (OCHA) can also write closed White Papers to the UNSC and individual donors (like FCDO or the EU) too. But how is this being operationalised? What and how are FAO and WFP reporting? What are some of the obstacles?
Consider the February 2024 FAO/WFP report to the Security Council on Gaza and Sudan – which is remarkably apolitical. The report states the facts on displacement, impact on food systems, and obstruction of humanitarian access, and then what is prohibited under IHL. However, these are mostly passive statements such as:
‘Unprecedented levels of conflict-induced displacement … have occurred.’
‘Civilian infrastructure has been damaged (water, fuel, electricity, bakeries, farms)’
‘Conflict has halted production, prices have increased’
‘Humanitarian aid has been restricted’
‘Hostilities have led to telecoms blackouts’
War seems to almost be external to people’s economies or society, something neutral. Using the passive tense to describe acts of war and its effects removes politics and responsibility. This is exactly the opposite of what is needed to understand starvation crimes.
The recommendations are all clearly needed but bland: restore humanitarian access, pressure warring parties to adhere to IHL, have an independent investigation. With UN organisations reporting, how could it be otherwise? A focus on starvation crimes was supposed to put the politics back into famine analysis. But can UN resolution 2417 do it? Questions remain on who should be reporting starvation crimes (states? resistance movements? activists? students?) and who should act on it.
The South Africa case against Israel at the International Court of Justice (ICJ) sets an important precedent, in particular the amendment to the provisional measures in March 2024: to take all necessary and effective measures – without delay – for the provision of humanitarian assistance, in response to reports of famine and starvation. Since then the International Criminal Court (ICC) is seeking a warrant for the arrest of Israeli leaders, in another unprecedented move, for war crimes of starvation. Even with these high-level actions, the crimes continue.
In contrast, on Sudan there is mostly inaction. While starvation and genocide in Gaza is played out daily on our television screens, such reports on Sudan are rare. Recent warnings of famine, and statements by UN experts, have had little impact except to pressure warring parties to come to power-sharing agreements rather than holding them to account.
Communications networks as objects indispensable to survival
Of course, much of the lack of action in response to Sudan’s crisis is due the prioritisation of geopolitics and economic interests over humanitarian response and – ultimately – stopping the war. Sudan’s invisibility is also a result of blocking and manipulating communications networks and connectivity. Most societies are digitalised, meaning that people are increasingly dependent on connectivity for their day-to-day activities or – in the case of Sudan – their survival. Connectivity becomes important in relation to starvation crimes because:
Blocking communications networks hides information on violations of human rights and humanitarian law.
Internet shutdowns disrupt social networks, remittances, food systems.
Third, network shutdowns also block aid provision, not because it hinders the coordination, information and security of aid organisations, but aid itself is increasingly digitalised: pre-paid debit cards, electronic vouchers, and mobile money.
In Sudan, the Bankak App from the Bank of Khartoum has been a lifeline since the start of the April 2023 war because it could be used to transfer of money to crisis-affected people and local organisations. From early February, however, the RSF disabled all internet providers. Soon after, Starlink Satelites were introduced in RSF-held areas, which ordinary people pay to use for internet connection but which were brought in and managed by the RSF. As such, control over communications has become a way of denying services and resources to the enemy, life or death for ordinary citizens, as well as a new way of profiteering. It also illustrates the moral dilemmas of providing aid in conflict and the challenges of reporting on famine crimes. This does not mean we stop calling out starvation crimes, but rather highlights the importance for humanitarians to analyse famine as a political scandal that requires global as well as local action.
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Precariousness is an underlying factor in the gig economy. When combined with the climate crisis, this becomes an even bigger burden on gig workers. These ‘flexible workers’ are often not equipped to be flexible to the changing environment. They face the dilemma of navigating between algorithms and climate extremes, often forced to choose earnings over health. In this blog, Anna Eliasexplores how the vulnerabilities of the workers are amplified in the context of climate crisis.
‘Our economic system and our planetary system are now at war. Or, more accurately, our economy is at war with many forms of life on earth, including human life. What the climate needs to avoid collapse is a contraction in humanity’s use of resources; what our economic model demands to avoid collapse is unfettered expansion. Only one of these sets of rules can be changed, and it’s not the laws of nature.’ Naomi Klein (This changes everything: Capitalism vs. the climate).
Most parts of India suffered from extreme weather conditions this year. While the temperatures soared up to 50℃ in some cities, the monsoons that followed caused extreme havoc in others. The United Nations Economic and Social Commission for Asia and the Pacific (UNESCAP) report predicts that India will lose 5.8 per cent of its working hours by 2030 due to extreme heat. What does this mean for a gig worker, for most of whom the city is their workspace, and for whom navigating the city constitutes a substantial part of their everyday life?
App based platforms have revolutionized the way urban dwellers travel, eat and purchase. While the gig economy has created numerous flexible jobs, it is also criticised for not effectively dealing with various issues such as workers’ wellbeing and social protection.
Flexible workers are not equipped to be flexible to the changing environment. In current research and policy discourses on gig work, the impact of climate change on the worker is often overlooked. While climate change has significant consequences to both their lives and livelihoods, it is only one among the many vulnerabilities they face. Gig workers already suffer from casualised, low-paid working conditions without access to long-term security, formal social protections and welfare. The pressure caused by these precarious conditions is further exemplified by extreme weather events. Beyond the immediate physical dangers posed by heatwaves or flash floods, these conditions increase the susceptibility of road accidents, thereby heightening the risk of traffic-related injuries.
As research has shown, in the gig economy, climate change is poised to act as a ‘wicked multiplier’ intensifying the vulnerabilities experienced by workers in developing countries. Gig workers in these countries are exposed to extreme weather conditions and endure long hours while navigating hazardous roads and traffic during heatwaves, storms, and floods. Those using two-wheelers to get around face additional challenges such as dust inhalation, impaired vision due to harsh sunlight, heatstroke, and the lack of shade on the roads. These conditions, along with algorithmic management and the promise of ‘lightning fast’ services, make gig workers vulnerable to exhaustion, dehydration, and severe health risks. That their earnings are dependent on the satisfactory execution of the gig exacerbates the precariousness of their situation.
Amidst this crisis, the responses from app-based companies are noteworthy. A prominent Indian food delivery platform issued the following statement: ‘please avoid ordering during peak afternoon unless absolutely necessary’. Yet in the platform economy, lower order volumes correspondingly diminish workers’ earnings. So, this seemingly well-intentioned request to customers aimed at reducing the delivery workers’ exposure to the intense afternoon heat, neglects the dilemma the workers face between making viable earnings and risking their immediate and long-term health. Another example is of a ride-hailing platform that introduced a ‘weather fee’ in Vietnam, which imposed an extra charge on an order whenever the local temperature hit 35℃. This was counter-intuitive, as it incentivized the already precarious worker to work extra hours regardless of the weather conditions, thus putting their lives at risk.
A common misconception is that extreme environmental situations affect only two -wheel drivers. Beyond the physical discomfort to themselves, even auto and taxi drivers face additional challenges of managing customer expectations and interactions on topics that are related to climate change. For example, a common conflict between drivers and customers, especially during warm day-time hours is the driver’s reluctance to switch on the air conditioning, fearing higher fuel consumption. An Uber driver in Mumbai shares his experiences and strategy in coping with climate change:
”I don’t want to turn on the air conditioner in my car throughout the day. All the money I make goes on fuel charges. Over time, I realised that during the summer the best I can do is drive only during the night. The customers usually don’t insist on travelling with the AC on at night. Of course, I lose sleep and it affects my health. But I don’t have any other choice”. (Fieldnotes, Mumbai 2023).
Apart from highlighting the precarious nature of the work, these cases illustrate the importance of engaging all key stakeholders when developing solutions. Specifically, they emphasize the need to recognise the gig worker as an important stakeholder in the gig economy. They make clear that addressing climate challenges in the platform economy requires a collaborative effort from companies, workers, and the government.
App based platforms were once considered part of the sharing economy and hailed as harbingers of sustainability and collaborative consumption. However, with rapid expansion, they are now criticized for their significant environmental and social costs and for increasing road congestion and intensity.
Conversely, emergingresearchhighlights the potential of platforms to be part of the solution, positioning them as essential stakeholders in sustainability efforts, emphasizing the need for collaborative approaches that integrate labour rights and climate justice. Platform companies have the best of technology and resources at their disposal to craft solutions that benefit their customers, workers and investors alike. For this, they need to view all stakeholders as equally important, create avenues for dialogue between them and work with them to incrementally build equitable solutions for both people and the planet.
Bibliography
Economic survey of Asia. (1991). Economic and Social Survey of Asia and the Pacific. Economic and Social Commission for Asia and the Pacific. https://www.unescap.org/kp/2024/survey2024
Dwivedi, Y. K., Hughes, L., Kar, A. K., Baabdullah, A. M., Grover, P., Abbas, R., … & Wade, M. (2022). Climate change and COP26: Are digital technologies and information management part of the problem or the solution? An editorial reflection and call to action. International Journal of Information Management, 63, 102456. https://www.sciencedirect.com/science/article/pii/S0268401221001493
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the Author: Anna Elias
Anna Elias is a PhD researcher at International Institute of Social Studies (ISS), Erasmus University Rotterdam. Her research explores socio economic transitions brought about by digitisation, particularly its effect on livelihoods in the informal economy. With a strong professional background in the social impact sector, her expertise lies at the intersection of evidence-based research and evaluation, digital innovation, and sustainability.
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Although the Nigerian state is guided by a Constitution that confers on all Nigerian citizens equal rights regardless of gender and sexual identity, it has been adept at maintaining a system of patriarchy through institutions, policies, and procedures which has led to the differential treatment of men and women. This is what Chouinard refers to as “spatial differing”, and has several knock-on effects that translate to unequal outcomes for some Nigerian citizens. In this blog, Emaediong Akpanexplores how the state confers citizenship on its people: who has the right to participate in the affairs of the state? And to what extent such rights can be exercised and enjoyed by all?
Does the State have a character? And is it Gendered?
“The state is a masculine institution,” assigning rights and belonging along gendered patterns. In allocating these rights, the state decides who belongs in the state and to what extent a person can lay claim to their citizenship. This is both a legal and social decision that affects the feeling of belonging and inclusion The struggle for inclusive citizenship is not new, and from voting rights to property rights, women have had to constantly negotiate with the state about what rights they can enjoy, but not in the same way that men do. This is because Nigerian women are often at a disadvantage, working against multiple levels of assumption, and negotiating male-dominated spaces.
The state is not a neutral entity, only concerned with the maintenance of law and order, rather it descends like a biased umpire into the arena of private life, regulating bodies and relationships. This is what French philosopher, Michael Foucault describes as bio-politics: [state] regulation of its people, taking the form of control over social interaction, health and reproductive rights, and the right to life amongst many others. For radical feminists, bio-politics is an indication of the state’s masculinity and commitment to protecting patriarchy.
In Nigeria, citizenship occurs at the national level, state, and local government levels. While a woman in Nigeria can claim citizenship (on paper), true citizenship that is characterized by access to citizenship rights, including social benefits and political participation. True citizenship, then, is something she must consistently negotiate through the course of her life. This negotiation is limited by the state’s decision to favor patriarchy, and this results in the differential capacity of men and women to claim the benefits and privileges that come with being a citizen.
Gender and Citizenship in Nigeria: Women as Outsiders Within
The 1999 Nigerian Constitution (As Amended) is the reference point for who can be conferred the status of a citizen and who can transfer citizenship. In the country, citizenship is conferred at the national level by birth, where either parents or a grandparent is a citizen of Nigeria or from a tribe indigenous to Nigeria. Under section 26(2), only a man can confer citizenship to his wife through marriage, in essence, a Nigerian woman who marries a non-Nigerian cannot confer this citizenship on her husband or her children. In this way, a Nigerian woman’s citizenship can be considered inferior in the sense that it cannot be transferred to another.
The situation becomes more dire with single mothers who try to navigate citizenship, especially when the father of their child is no longer present or refuses to be in their lives. Women in this situation must attach themselves to a Nigerian male if their child is to identify as a citizen of the country, even with the most basic form of identity, a certificate of birth. These women are left with no other choice than to give their children the names of absentee fathers, or that of a male member of their family to retrieve these certificates from the state. Citizenship is sexual, in the way that, it ‘empowers’ the genders that are beneficial to the state – men. In doing so, the state considers the man as the entity who is able to give life, and the woman’s role is reduced to a body that houses the uterus suitable to carry a (male) Nigerian child, but not confer citizenship upon that child.
Another way the state is implicit in fostering gendered power relations is in the refusal to enact policies to address forms of disempowerment such as protecting the rights of single women who are navigating the rental market in Nigeria. For decades, there has been an outcry of single women in the country with complaints of facing prejudice from property owners because “single women should not rent houses independently.” My first-hand experience as a single woman renting a home in 2014 lends credence to this conversation. My search for a home in Abuja, the country’s capital, was met with several rejections because of my status, but interestingly, this changed when I returned with a ‘hired partner’ and flaunted a shiny make-shift engagement ring. Surprisingly, the property owner was female. As noted by Sathiamma patriarchy is produced by a system, meaning that both men and women can be active gatekeepers of patriarchal norms and practices, albeit sometimes unknowingly. These attitudes are rooted in persistent patriarchal socio-cultural norms that view women as property belonging to men.
While national citizenship is relevant for macro-level discourses, a different form of citizenship also exists within the margins – state citizenship. This is perhaps the most challenging for Nigerian women to navigate. Identities within the Nigerian state are defined in a masculine way. As a Nigerian woman, your identity is often contested and changing in many ways. For instance, at the point of marriage, Nigerian women must pay a fee to the state to change their names to that of their new partner, while notifying the public through print media – in a change of name announcement – that her previous name (father’s name) has been abandoned. These changes must also be replicated across every identity document that she possesses – bank details, international passport, and state and local government identity documents. In the case that her state and local government of origin differs from her husband’s, she continues to be denied indigeneity (rootedness), never fully belonging to her father’s home or her husband’s.
Reflection
The redefinition of a state – as masculine and non-neutral – through a feminist lens provides the needed objectivity to ask critical questions on the state’s role in regulating the public and private lives of its citizens. By looking at how the Nigerian state interacts with Nigerian women through this lens, we can better understand its preconceived roles for female Nigerian citizens.
The Nigerian state is masculine and would continue to subject women’s identities to the whims and caprices of patriarchy whilst denying men who do not fit the ideals of masculinity the right to citizenship. This is operationalized in its administrative processes, how women can (or cannot) access basic needs like housing, and the way that women are treated when they participate in public affairs.
Unless we begin to interact with foundational institutions like the state using a feminist lens to dismantle the assumptions of its rationality, these current efforts at addressing gender inequality will not yield much.
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the Author
Emaediong Akpan
Emaediong Akpan is a legal practitioner, called to the Nigerian Bar in 2015. She is currently pursuing a Master’s in Development Studies with a specialization in Women and Gender Studies at the International Institute of Social Studies ,Erasmus University Rotterdam. With extensive experience in the development sector, her work spans gender equity, social inclusion, and policy advocacy. Her research examines the effects of technology-facilitated gender-based violence on women and social movements, highlighting how digital spaces serve as sites for power contests and the policing of gender norms.
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In this blog, Andrew Cunningham (Independent Humanitarian Practitioner and Board Member of the International Humanitarian Studies Association, IHSA) considers the principle of ‘humanity’ during conflict, and its interaction with other key humanitarian principles including neutrality, impartiality, and independence. He also looks at how humanitarians can integrate dignity into their work, and how these principles may develop in highly politicised and fast-moving times. This blog summarises a contribution to the roundtable that followed the inaugural IHSA Annual Lecture and is part of a series of blogs produced following the Lecture, which took place in Bergen in May 2024 under the theme of “War and Humanity”.
The principle of humanity is often overlooked when we talk about the humanitarian principles. Focus is normally placed on the ‘big three’ principles – impartiality, independence, and neutrality. The most important of these is impartiality, which is the promise of non-discrimination and lack of bias in aid provision. The idea is to help those most in need regardless of who they are. Impartiality is a central and required aspect of humanitarian’s identity.
Independence, which allows aid organisations to make their own choices outside political interference, is also a foundational principle and facilitates the adherence to impartiality. The promise made by independent humanitarian aid organisations to host governments and non-state actors is that they make their own decisions and are not political tools of foreign governments.
More problematic, and much debated, is the principle of neutrality, which at its core demands that aid organisations do not become involved in political controversies. But some organisations (for example MSF) view it as a limitation on witnessing, speaking-out, and public communications. Do aid organisation have the right, or even obligation, to affect the political situations which lead to humanitarian crises?
But at the top of the list is the principle of humanity. Humanity is the collection of humans, some have the ability to help others, and some are in need of help. For, humanitarian action is simply humans helping other humans in need. Humanity is also a term which denotes a set of characteristics which must be preserved, such as the dignity of the person and a whole set of ‘human’ rights. This may all seem self-evident, yet it is worth reflecting on this lest we stop grounding what we do in the basics.
Humanity, dignity, and solidarity
Dignity is a consequence of attending to the humanity of those caught in a crisis. We all want to be treated with dignity at all times, of course. But those caught up in conflict are even more starved of dignity as their isolation, sense of abandonment, and fear of violence grows.
Humanitarian action doesn’t always do the best job at attending to the dignity of the individual, as so often masses of people are affected by war and are engaged with by organisation as populations. One way in which people in danger can be afforded dignity is the proximity of aid workers to those being assisted. No one wants to ‘feel like a number’ and be just a recipient of material aid or a beneficiary.
A feeling of human solidarity is also important, as this example of my work in Chechnya shows: After several years working in Chechnya during the last war, I was checking-in with the staff at a hospital we had long been supporting. We had been providing a lot of medical supplies and I was asking about its usefulness. But the chief doctor stopped me at a certain point and said that yes, the material aid had been needed, and appreciated. But that was not the most crucial factor. In turns out that not being forgotten, being treated with dignity by people who cared, was the most important aspects of our intervention. Solidarity can be seen as a mix of caring enough to help and being willing to share a moral, if not always a physical, space, with those caught-up in a crisis.
Does digitalisation lack humanity?
One way in which humanitarian aid may be diverting from this idea is through the ‘digitalisation’ of aid delivery. No one wants to only deal with an app on their smart phone or be forever linked to a set of biometrics which defines one’s aid category. There is more to aid than this transactional way of providing it. Proximity to human aid workers is vital to reinforce a person’s sense of dignity. In the search for efficiency and greater outputs (as opposed to outcomes), have we gone too far? Is there still room for the proximity of humans helping other humans? And where is the locus of dignity in this version of aid?
Wars provide a difficult terrain to navigate. The threat of violence to aid actors as well as those living in the crisis makes being proximate hard. The chief doctor I mentioned above had not been visited for quite some time by anyone form my organisation due to the violence in the area. But yet he knew we were sill ‘there’.
Conclusion
Let us return to the principle of humanity which is the highest order principle from which everything else is derived. Impartiality helps guide our operational choices – who we help and why. And independence and neutrality are ways of working which help provide the space to work. Together these all help make state and non-state actors comfortable with our motivations.
At its essence, we should never forget that humanitarian aid is humans helping humans, which requires proximity, dignity and solidarity. We should all remind ourselves periodically of the importance of the principle of humanity as the foundational humanitarian principle.
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the author
Andrew Cunningham
Andrew has thirty years’ experience in the humanitarian sector, twenty-five years of which with MSF. Andrew has worked in a wide variety of contexts and geographical locations in Africa, the Former Soviet Union, and Asia. He has a PhD in War Studies from King’s College and has published a professional book in the Routledge Humanitarian Studies series on the topic of INGO-State relations. Andrew has served as a member of the Board of MSF International and is currently a board member of the International Humanitarian Studies Association. Andrew works as a researcher, strategic and operational evaluator, and governance advisor for various humanitarian organisations.
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In this blog, to mark global Disaster RiskReduction Day, Tom Ansell (HSC Coordinator) considers whether disaster risk reduction activities can be made less-resource intensive through Frugal Innovation. Whilst Frugal DRR shouldn’t be considered a money-saving replacement for development and infrastructure work, it does provide an opportunity for communities to reduce their vulnerability and increase their capacity for dealing with the consequences of hazards that could include extreme weather, geological hazards, or other environmental hazards.
What is DRR? And what’s wrong with the term ‘natural disasters’?
People across the world live in places that have different levels of risk and have different vulnerabilities in the face of these risks. More than the hazard itself, a much larger defining factor for how much damage, social upheaval, and loss of life occurs is how vulnerable people are, and how prepared they are for when a potential hazard becomes a disaster. In other words, an earthquake of magnitude 8 will have significantly different effects in a wealthy country with a strong governance system, to a much poorer country with (for example) a fragmented government. In the words of Margaret Arnold at the World Bank, “the key lesson is that disasters are social constructs. People are vulnerable to the impacts of climate change and natural hazards due not just to their geographical context, but their financial, their social status, their cultural status, their gender status, their access to services, their level of poverty, their access to decision making, and their access to justice.”
For example, Tokyo often suffers from extreme stormy weather: as many countries with a Pacific coast do. The city of Tokyo, however, also has one of the largest storm drains in the world to help divert water resulting from storms or extremely heavy rainfall. The project, completed in the 1990s and costing around 3 billion US Dollars, means that though the city is often affected by tropical cyclones and typhoons, there is typically much less loss of life in the Tokyo area than others affected by the same typhoon – especially as the city of Tokyo has well-developed evacuation routes, early warning and information systems, and more besides.
This example serves to demonstrate the purpose of DRR activities: to prevent risks and – where this is not possible – to minimize the overall damage caused by extreme weather. As the ‘no natural disasters’ movement emphasizes, reacting after the event is a less intelligent way to respond to disasters, compared to prevention, pre-preparation, and planning is a much more productive and intelligent way to ‘respond’ to disasters. Various frameworks for ‘good’ risk management activities have been devised, including the Hyogo Framework (2005-2015) and Sendai Framework (2015-2030).
At this point, it might seem that all DRR activities are exceptionally expensive, very large public infrastructure that are only available to the very wealthiest regions in the world. But that would be a serious oversimplification of what smaller groups of citizens, with or without the support of institutions, can achieve to mitigate risk and so reduce their vulnerability. DRR activities also include mapping areas that will be most affected by an extreme event, creating evacuation routes, developing information systems and early-warning systems, training citizens on flood-proofing their homes, or even making informational videos on what to do should a disaster strike.
This is not to say that large infrastructure projects aren’t important: indeed they can be transformational. However, it is important to emphasize that DRR activities are not always expensive: even though an all-round DRR plan for a place will likely include both more expensive infrastructure, less economically-expensive activities can also make a difference.
Can ‘Frugal Innovation’ inspire low-cost but effective interventions?
In order to develop new ideas around lower-cost (frugal) risk reduction activities, it is useful to dive into the world of Frugal Innovation. The International Centre for Frugal Innovation (ICFI), based at ISS and part of LDE, considers the practice and approach to be a potentially transformative way of finding new solutions to growing societal problems, in a non-excessive way. Andre Leliveld and Peter Knorringa, in an article from 2017 setting out the potential relationship between Frugal Innovation and development, note that the field sprouted from multiple sources but takes much inspiration from jugaad practices in South Asia. Jugaad is an excellent catch-all term (borrowed from Hindi, and with similar terms in Punjabi, Urdu, and various Dravidian languages including Telugu and Malyalam) for low-cost and often ingenious solutions to nagging problems; as well as the kind of mindset that allows the creative thinking around these solutions to occur. Whilst the term and thinking is often used in business (to create products for people with less purchasing power), it is very versatile.
Utilising some of the thinking inherent within Frugal Innovation in relation to DRR activities requires taking a solutions-oriented approach, and making use of existing resources, skills, or initiatives to reduce vulnerability by mitigating risk.
Painting and planning: Frugal Disaster Risk Reduction in action
How urban communities adapt to heatwaves across India is an interesting way to demonstrate how integrating Frugal Innovation techniques into Disaster Risk Reduction carries the potential for meaningful reduction in vulnerability.
Heatwaves have the potential to be very destructive, and one solution that is being rolled out across several areas that have a high number of informal dwellings in cities including Mumbai and Nagpur is the low-cost but high-yield technique of painting roofs white (to reflect the sun) and installing secondary ‘shade roofs’ on buildings. This can reduce inside temperatures by several degrees on the hottest of days. Similarly, a network of inexpensive recording devices has been installed to track ‘hotspots’ in the city, which can inform where communal ‘cooling zones’ need to be set up local city corporations or voluntary groups. And, in Ahmedabad in the north-west of India, a ‘Heat Action Plan’ was developed by the city corporation and scientific partners that is estimated to have prevented hundreds of fatalities.
Developing evacuation routes, making sure that citizens are prepared for what to do in a disaster, small and uncomplicated changes to people’s homes, or even utilising close-knit communities and communication networks as informal warning systems may not structurally reduce peoples’yet vulnerabilities yet can make a difference in preventing the worst of disaster impacts. And, whilst not as transformational as large public infrastructure projects, any gain in a communities’ resilience is an important step. Luckily ‘Frugal Innovation’ techniques show us that DRR doesn’t always need to be expensive.
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the author
Tom Ansell
Tom Ansell is the Coordinator of the Humanitarian Studies Centre and International Humanitarian Studies Association.
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The International Humanitarian Studies Association (IHSA), held its inaugural Annual Lecture on 23 May at the Literature House in Bergen, Norway. The lecture was given by Khaled Quzmar, General Director of Defence for Children International: Palestine (DCIP), and was held in collaboration with the Rafto Foundation and WAR-FUN project at the Chr Michelsen Institute in Bergen.
As the first part in a blog series to mark the lecture, IHSA Coordinator Tom Ansell has put together this blog in collaboration with Khaled Quzmar. It starts with an interview and is followed by the key points from Quzmar’s lecture.
How important is it that we see accountability for military crimes in the current Gaza war (especially in light of the indictment of the Israeli Prime Minister and Defense Minister for war crimes by the ICC)?
With ongoing atrocities in Gaza, there is likely to be a collective trauma amongst Palestinians. In your opinion, how might it be possible to re-humanize this conflict and the people in it once direct military action has ceased?
‘In my opinion, the civilian population in the Gaza Strip has been under a racist colonial military occupation since 1967, and the people have been refugees for 76 years. For the last 17 years they have lived under a strict military siege from land and sea, and under direct bombardment. Since the beginning of the Israeli military operation in 2024, they have cut off water, food, medicine and electricity, and destroyed homes and infrastructure. In this situation the civilian population do not expect justice, they just want the aggression and killing to stop.
‘The Israeli military and authorities need to treat people in Gaza as human beings that are part of society. People with the right, like other peoples of the world, to self-determination and to live in dignity, security and safety without occupation.
‘[After a ceasefire has been called] massive interventions will be required to provide all the necessities of life and to enable the population to enjoy human rights according to international law. Work will also be needed to help rid children of the psychological issues resulting from the aggression and deprivation of the last 230 days on top of the siege of the 17 years before that.’
In your role as Director of DCI-Palestine,you have direct experience of the importance of humanitarian organizations. What is their importance in the current conflict, and how can children’s rights in particular be safeguarded?
‘The work of human rights and humanitarian organizations is very important in order to help the victims and provide some services and assistance to them. But they also work to preserve hope for future generations, especially children. We are aware that the Israeli occupation wants to kill the hope of children and youth. Our work is to help victims build their capabilities in accordance with international law. Working as human rights defenders is to preserve hope and aspire to a better future and a just peace free of occupation and crime.’
The IHSA Annual Lecture 2024: ‘War and Humanity’
‘Human scientific efforts have been put towards generating ever-more deadly weapons, and conflicts are now most often settled militarily, rather than diplomatically; conflicts are no longer resolved through moral reason and law, nor through political negotiations, but through wars with well-organized armed forces.
‘The various legal and judicial efforts to enshrine the value of humanity in times of war have a number of shortfalls. Given that humanity is the opposite of war, human dignity requires the peaceful settlement of conflicts between and within societies. Individuals and groups should be treated in accordance with human rights standards. They have the right to live in peace and their human rights should be protected through legal systems and international human rights standards. Commitments within and between communities should be permanently respected.
There is a significant issue here with double standards, especially when we look at the refusal of Israel to follow decisions made by the International Court of Justice. If International Humanitarian Law is to be upheld, it must be upheld by everyone, regardless of their international alliances.
‘It is now time to activate the international accountability system by stopping the policy of impunity, eradicating hypocrisy and double standards, in order to reach a world free of wars, where justice and humanity prevail.
We cannot have a “two-level” system of international law and accountability. States and warring parties should not be free of their international obligations, especially around protecting civilians and the most vulnerable. If we fail to uphold standards within this war, we may find far-reaching repercussions in the future.’
The 2024 IHSA Annual Lecture was followed by a roundtable discussion on the theme of ‘War and Humanity’. The next blog in this series will include the contributions from expert panellists from that discussion.
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the Authors:
Khaled Quzmar
Khaled Quzmar has worked with Defence for Children International – Palestine (DCIP), since 1985. He is a lawyer by training and profession, and as part of his work with DCIP he has represented hundreds of children held in arbitrary detention, tortured and otherwise mistreated by the Israeli government.
DCIP as an organization works on documenting human rights abuses, advocacy and campaigning on the right to a childhood. The organization also works within the Occupied Palestinian Territories, including with the Palestinian Authority, on child protection, education and access to justice. For their work on protecting the rights of children, Khaled Quzmar and DCIP were awarded the 2023 Rafto Prize.
Tom Ansell is the Coordinator of the Humanitarian Studies Centre and International Humanitarian Studies Association.
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Attending the UNFCCC (SB60) Conference in Bonn in June this year as a representative of the World Federation for Animals (WFA) was a remarkable experience for ISS PhD researcher Irma Nugrahanti, most of all because it visibilized the striking parallels between climate change-related issues faced by women and animals and the crucial role of these two advocacy groups in fighting climate change. In this blog article, she reflects on different conversations that took place at the conference and how this reaffirmed the significance of a multifaceted approach to climate issues.
At the recent UNFCCC conference, observing dialogues on animal welfare, gender, and climate change enhanced my understanding of how these topics are interlinked and what this means for climate action. Each conversation opened my eyes to the rich tapestry of perspectives, revealing how interconnected and parallel these issues are, like chain links, impacting one another and forming an intricate and powerful network of interactions. Reflecting on the discussions at the UNFCCC conference and beyond, it is evident that embracing the intersectionality of feminism and animal welfare is essential for creating a just, sustainable, and resilient world for all living beings — and for tackling climate change.
While preparing for the UNFCCC side event focused on the crucial role of animals in climate change mitigation strategies, I reviewed the Nationally Determined Contributions (NDCs) of various countries. I observed the notable failure to acknowledge the contribution animals can make to climate resilience. However, from different discussions at the conference, I observed a positive shift towards recognizing the role of both human and non-human actors in environmental protection. For example, the crucial role of the social sciences in understanding indigenous communities and the human-nature relationship, particularly within the context of ocean-climate dynamics, was acknowledged.
Additionally, there was a strong emphasis on engaging local governments, advocating for locally-led solutions tailored to community needs, and advancing the implementation of global stocktake suggestions. These recommendations include incorporating animals into the Loss and Damage (L&D) matrix, allocating resources to scientific research and data collection, and ensuring that the contributions of animals are acknowledged in IPCC reports and NDCs. These discussions highlight the need to move beyond an anthropogenic view of humans as the central to climate solutions and to embrace a plurality of perspectives that value different types of knowledge and practices, the diversity of life, and its intrinsic values.
As these conversations advanced, it became evident that while progress was made in embracing different perspectives, the commonalities between the experiences of women and animals in relation to climate change have not been sufficiently acknowledged. And they should: women and animals, while vulnerable to the effects of climate change, both play a pivotal role in mitigation efforts. Thus, furthering the role of women in climate change action and strategies and protecting animals are intertwined objectives. This recognition is crucial because caring for animals transcends compassion; it is a profound expression of feminism.
Recognizing the shared challenges faced by both women and animals in the context of climate change could help broaden our understanding of vulnerability and resilience, so that we can transform existing policies that often overlook these marginalized groups. In doing so, we must also recognize and confront the existing power dynamics that influence climate policies. As many studies have shown (see here, here and here), in the climate change domain, men have a dominant presence, namely in research, policy, implementation, and activism.
What women and animals have in common
1. Both women and animalsface substantial obstacles stemming from oppression, violence, and objectification.
2. The economic value of animals and women in mitigating climate change is underrecognized.
Moreover, although women’s environmental care work plays a crucial role in climate change mitigation, economic assessments often overlook their value. Conventional economic indicators, including the Gross Domestic Product (GDP), fail to include the unpaid care work performed by women in the form of managing natural resources and supporting their communities. This omission underestimates their valuable efforts and maintains ongoing gender disparities. Likewise, the ecological benefits offered by animals, such as carbon sequestration and biodiversity preservation, are rarely accounted for in economic analyses. This omission results in the insufficient protection of animals and a lack of investment in animal welfare. Integrating economic analysis using a gender lens, such as gender-responsive climate budgeting, and the direct valuation of animal welfare in environmental economics may help to ensure adequate resources and appropriate valuation for both women and animals.
3. Both women and animals play a pivotal role in protecting the environment and combating climate change.
Women’s knowledge of sustainable agriculture, water management, and biodiversity conservation is invaluable. Thousands of women-led initiatives around the world serve as proof. For instance in Peru, the indigenous women-led initiative Asociación de Mujeres Waorani de la Amazonía Ecuatoriana (AMWAE) is dedicated to preserving the Amazon rainforest. These women use indigenous knowledge to combat deforestation and advocate for sustainable land use, making a substantial contribution to carbon sequestration and the preservation of biodiversity. Similarly, women play a critical role in community-based conservation efforts. In Kenya, the Green Belt Movement, founded by Nobel laureate Wangari Maathai, has empowered women to plant trees, combat deforestation, and restore ecosystems. This initiative not only mitigates climate change but also improves local livelihoods and promotes gender equality.
In a similar vein, the preservation of an ecological balance and the promotion of biodiversity depend on the existence of healthy animal populations. For instance, African forest elephants make significant contributions to natural carbon capture. They reduce competition and facilitate the growth of larger trees that store more carbon by trampling young trees as they move through the rainforests. This would increase carbon capture equivalent to over 6,000 metric tons of CO2 per square kilometre if their population were to be restored to its previous level, which highlights their critical role in climate regulation.
Why an ecofeminism lens is useful
Ecofeminism, a branch of feminist theory, offers a critical analysis of the dominance of nature and animals imposed by patriarchal systems, drawing parallels with the oppression experienced by women and marginalized populations. Carol Adams and Lori Gruen in their 2022 book Ecofeminism: feminist interaction with other animals and the earth explain the notion of the “logic of domination”. This concept highlights the shared struggles women and animals experience: they are subjected to hierarchical dualisms that diminish their worth, objectify them, and dismiss their individuality and intrinsic value. On objectification, women are often valued according to their appearance or reproductive capabilities, while meats and dairy products have been deeply valued and integral to human diets in most cultures for thousands of years.
Another example of using a feminist lens is incorporating multi-species justice in climate change action. Multi-species justice theories advocate for the recognition of rights, welfare, and interconnectedness between human and non-human beings. It calls for rethinking justice systems for the impacts of human actions on non-human entities and the environment. Sue Donaldson and Will Kymlicka in their book Zoopolis: A Political Theory of Animal Rights for example advocate for a political framework that recognizes animals as co-citizens and grants them rights and protections. This viewpoint challenges the traditional concept of justice by advocating for a political framework that acknowledges animals as co-citizens. Their ideas extend the concept of justice, commonly applied to humans and challenging the anthropocentric bias in political ideologies.
Lastly, the feminist and animal rights movements are both grounded on ethical issues. Lori Gruen emphasizes the objective that ethical veganism and feminism have in common, namely to put a stop to the exploitation of the powerless by those in positions of power. This ethical position challenges the prevailing systems of oppression and exploitation, promoting a society that is more compassionate and just.
Toward an ethics of care
Ecofeminism offers a framework for defining an ethics of care that transcends human interactions and includes every living being and the environment. It emphasizes care as an essential component of our interactions with others, both human and non-human. Its relational and caring approach not only criticizes current power structures but also suggests a paradigm shift toward inclusive and compassionate behaviours, especially those related to animal welfare. In her book In A Different Voice, Carol Gilligan critiques anthropocentric and patriarchal structures through her definition of ethic of care by promoting a caring and attentive connection with nature, akin to a mother’s care for her child. This entails actively listening to and caring for nature in a non-hierarchical manner, promoting a transition from unequal power dynamics to ecologically responsive relationships.
The ethics of care promotes a deep appreciation for natural environments, including animals, which contribute to the process of carbon sequestration and the conservation of biodiversity, which is essential for the ability of ecosystems to face the impacts of climate change. Therefore, in our ecological relationship, it is important to reflect on the way we are being, doing, and seeing to be more environmentally conscious and honour the interconnectedness of all living beings. I believe the common task for posthumanist feminist scholars and policymakers now is to translate this concept into policy and legal frameworks, a complicated but important mission to achieve.
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the author
Irma Nugrahanti
Irma Nugrahanti is a PhD researcher at the International Institute of Social Studies (ISS), focusing on the intersection of gender, climate change, and public finance management. Her research highlights the importance of integrating a gender lens into climate budgeting policies and practices, particularly at the national and regional levels of public expenditure management. With a background in the non-profit sector, Irma has extensive experience in finance, program management, and policy advocacy, striving to bridge the gap between research and practice to create inclusive and sustainable climate policies.
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The prolonged civil war that brought life in Liberia to a standstill for over a decade has left deep wounds that the country is still working to heal more than twenty years after the conflict ended. While significant interventions have been made in the country’s education sector, low literacy rates persist — but the war and its aftermath may not be the only reasons, writes ISS MA graduate Christo Gorpudolo.
Liberia has one of the highest illiteracy rates in the world, with an adult literacy rate of 48.3% in 2017 (the global average is 84.7%) and a youth literacy rate of 77.46% (the global average is 91.68%). The country scored 177 out of 193 countries and territories on the 2022 Human Development Index (HDI), a composite statistic used to measure and rank countries’ levels of social and economic development according to the level of education, life expectancy, and standard of living.
But while the country’s low adult literacy rate has been linked to civil war and resulting poverty, a lack of infrastructure, and inadequate teacher training, recent research I conducted in central Liberia revealed another possible explanation: absent fathers. This observation is important because it is a factor that is not directly attributable to the civil war but that may have a potentially significant impact on efforts to address the persistent low adult literacy rate.
Understandings of Liberia’s low literacy rates
Much of Liberia’s education-related backlogs have been attributed to the civil war that ravaged this low-income country between 1989 and 2003. The long-standing impact of the war, including the destruction of much of the country’s trained workforce, has led to a struggling educational system still recovering from many challenges, including those related to access to education, the quality of instruction, and a lack of human and financial resources.
Conversely, non-profit organization All For Kids states that children who grow up without fathers are more likely to experience unemployment as adults, have low incomes, remain on social assistance, and experience homelessness. The organization also states that absent fathers is a factor consistently co-occurring with a wide range of mental health disorders and related problems, particularly anxiety, depression, and increased suicide risk.
An unexpected observation
My observation that the absence of fathers could be linked to low literacy levels among children came as I was conducting research on another topic. In March this year, I was hired by the CERATH Development Organization to research how young Liberian adolescents view the Liberian food system. This research is intended to help CERATH understand Liberia’s food security and what children’s visions are for a food secure Liberia. I spoke to 50 young adolescents between the ages of 9 and 17; of these children,19 were not attending school and the remaining 31 children were attending school.
During the research, while interviewing the children who were not attending school, I made an unexpected observation: all the children I spoke to who were not in school faced absent fathers at home or in their lives. Some of them live with mothers, aunts, or grandmothers who work to some extent; others live with mothers, aunts and grandmothers who are physically able to but do not engage in economic activities.
One of the children (aged 16) stated that his father died in 2020 in Monrovia, Liberia’s capital. Because of his father’s death, he and his mother had to move back to Bong County in central Liberia; he has not been enrolled in school since 2020. Another participant aged 16, also without a father, has never been to school. Yet another participant aged 9, also without a father, has also never been to school.
Thinking outside the box
Given their ages, all of these children were born after the Liberian civil war and were not actively involved in the war. Most of them also live close to schools and don’t necessarily have to walk miles to school. The country moreover has a free and compulsory primary education policy, which was introduced in 2003. Yet, despite these factors that may facilitate (or at least do not hinder) school attendance, these young adolescents are not currently in school. Could absent fathers be a reason for this and, thus, for Liberia’s low literacy rate?
Speaking with these young children, I observed that they are increasingly concerned about possibly never going to school. Others hope that their mothers and guardians would secure funding to send them to school. It is clear that the children I interviewed do want to attend school, but do not foresee the possibility of doing so. This is why it is important to examine all possible reasons for children’s failure to attend school.
The World Literacy Foundation states that in developing and emerging countries, the number of children and youth with no basic foundational and literacy skills is continuing to rise by an estimated 20% per year. Without any effective intervention, these young people face a lifetime of poverty and unemployment. Thus, further investigation is needed to ensure that children can attain quality education. Investigating the possible link between school attendance and the absence of fathers is an important place to start.
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
About the author:
Christo Z. Gorpudolo is a development practitioner with over 9 years of work experience in the development sector. She is particularly interested in research areas that cover peace and conflict, children rights, humanitarian aid and gender. She has a Masters of Arts degree in Development studies, Social Justice Perspective from the International Institute of Social Studies.
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Dairy production often relies on poorly paid and precarious migrant labour, but while the welfare of animals in the dairy sector is increasingly emphasized, that of the people working in the sector receives less attention. In this blog article, Hammal Aslam and Karin Astrid Siegmann discuss the efforts of migrant dairy workers’ organization Migrant Justice to highlight the precarious labour conditions migrant dairy workers face and to push for the sector’s transformation. The organization’s approach combines the expansion of workers’ associational capacity and the forging of alliances with other actors — a successful strategy that can inspire other movements.
Migrant workers formed more than half of the total work force in the US’ dairy sector in 2014. According to the farmworker solidarity organization Farmworker Justice, “[…] if this work force were to disappear, US dairy production would decrease by 48.4 billion pounds while the cost of milk would increase by an estimated 90.4%.”This suggests that the low prices of dairy are subsidized by the workers of the sector, a result of their systematically suppressed human and labour rights. In practical terms, downward pressures on dairy prices translate into a range of exploitative arrangements including but not limited to long working hours, low wages, and frequent exposure to occupational hazards.
The development of more complex global and regional production networks in and beyond agri-business has raised pressing concerns about labour rights. Therefore, marshalling public support and fostering connections between various segments and actors in society seems to be a viable alternative for promoting social justice, given the erosion of power of labour unions caused by neoliberal processes. In this blog article, we talk about Migrant Justice, a Vermont-based migrant workers’ organization that is seeking to change the US’ dairy industry from the inside out.
Pursuing dignified working conditions
In Vermont, a state in the northeastern US in which dairy sales represent more than two thirds of agricultural sales, a coalition of dairy farm workers, labour activists, and consumers have encouragingly tackled some of these long-suppressed issues after the death of a young Mexican farmworker, Jose Obeth, in a preventable accident in 2009. Organized under the banner of Migrant Justice, Vermont’s migrant dairy workers — many of whom are undocumented — and their allies in civil society have been campaigning for migrant workers’ rights.
The Milk with Dignity program that Migrant Justice implemented in 2018 has sought to engender corporate responses that assume some responsibility for injustices and to guarantee decent labour conditions in the dairy chain. The programme incentivizes improved working conditions at the farm level through a premium paid by upstream buyers for milk produced under conditions that comply with an agreed labour standard monitored by workers and a third party, the Milk with Dignity Standards Council.
In a legal context hostile to workers in the agricultural sector and to migrant labour in particular, and in the absence of collective bargaining power, labour rights activists associated with Migrant Justice have adopted a multi-pronged approach to address abuses in the dairy value chain. They mobilize popular support from civil society to pressure commercial buyers of milk such as the supermarket chain Hannaford for more dignified labour conditions. This advocacy has led to the Milk with Dignity program’s institutionalized mechanisms for settling workers’ grievances.
The expansion of associational capacity for workers and the formation of coalitions with other actors have also catalysed the passing of progressive legislations. Especially the recent landmark passing of Vermont PRO Act not only widens workers’ collective action rights but also extends bargaining rights to domestic workers, a group of workers devoid of labour rights since 1940s. Previously, Migrant Justice also lobbied for the Education Equity for Immigrant Students bill, which now ensures that migrants have access to higher education regardless of their legal statuses.
By holding accountable corporate actors and positioning workers centrally in their programs, Migrant Justice’s approach goes a step ahead of typical consumer-focused conceptions of ethical consumption and corporate social responsibility.
A Migrant Justice delegate opened the conversation at the ISS with the remark that “[w]e might have happy cows, but without happy workers.” His remark showed that in the dairy industry, corporates actors often talk about happy cows, but that the working conditions of the labourers are rarely part of the agenda. The conversation was a lesson in how modern-day global value chains have evolved, how they lock in cheap and exploited labour and continue making enormous profit, and what creative and effective strategies are needed to defend human and labour rights in such conditions.
Celebrating successes
So far, Migrant Justice has celebrated several successes:
The expansion of associational capacity for workers and the formation of coalitions with other actors, including civil societyactors, employers, and public representatives, has been one successful strategy in Vermont.
While global ice-cream manufacturer Ben & Jerry’s is the only company who currently participates in the Milk with Dignity programme, this nevertheless means that one fifth of Vermont’s dairy industry is covered by the programme.
Five years into the programme, over US$ 3 million has been invested in boosting workers’ wages and bonuses as well as in improvements to their labour and housing conditions.
Migrant Justice members showed us that improved outcomes for workers have been made possible by building a broad-based counterhegemonic current and articulating demands through both cooperation and contestation. Their experience is an encouraging example for innovative ways to achieve justice at work and making small, yet meaningful gains for workers and their families at the bottom of the ladder. They can prefigure significant change that places those currently constructed as social, political, and economic ‘nobodies’ at the centre of an alternative vision of agri-food chains.
Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.
Authors:
Hammal Aslam
Hammal Aslam is a PhD researcher at ISS. In his doctoral work he is focusing on rural transformations in Balochistan, Pakistan. Previously, he worked as a university lecturer and was actively involved with organizations that advocate for the rights of Afghan refugees in Pakistan.
Karin Astrid Siegmann is an Associate Professor in Labour and Gender Economics at ISS. In her research, she seeks to understand how precarious workers challenge and change the social, economic and political structures that marginalize labour.
Karin Astrid Siegmann
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The credit scoring system in the United States, particularly the FICO score, significantly impacts individuals’ access to affordable financing, housing, and employment opportunities. In this blog article, recent ISS MA graduate Conor Farrell shows that though deemed “colour-blind,” the model inadvertently perpetuates racial disparities rooted in historical injustices, particularly slavery. Reforms, including AI-enabled credit scoring and policy changes like excluding medical debt from credit considerations, are essential to address these inequities and break the cycle of intergenerational poverty and racial inequality, he writes.
Acting as the economic gatekeeper in the United States, the credit score, most commonly known in its FICO formand that which is referenced throughout this blog article, scores individuals on a range from 300 to 850, with lower scores representing greater risk of default or missing payments, and higher scores the opposite. Within the FICO form, an individual’s score is primarily calculated across five components, each with an approximate weight (1):
Payment history (35%):an analysis of timely payments on outstanding debts and the severity of late payments (i.e., 30 or 60+ days late).
Amounts owed (30%):calculated as a percentage of total credit available and amount currently employed with a rule of thumb to keep this percentage lower than 10%.
Length of credit (15%):calculated as the amount of time an individual has accessed credit.
New credit (10%):how recently the individual opened a new account.
Type of credit(10%): considers the different revolving and installment loans you have active.
Poor credit scores almost always mean far fewer lending options and far more expensive options when available. Putting this into hard numbers, according to data from the Consumer Financial Protection Bureau, a change from a “subprime” 640 credit score to a 740 credit score in one example might allow a potential home buyer to access a mortgage interest rate as low as 5.75% instead of 7.625%, resulting in almost $90,000 in lower interest costs over the life of a thirty-year loan for the same house (2).
The five factors determining the level of risk are claimed not to consider demographic characteristics. However, the map of average percentages of county populations with subprime credit scores in the United States (Figure 1) shows the stark differences between the American south and north.
Figure 1: Subprime Credit Score Populations by County
The percentage of people per county with subprime credit scores in the United States. Orange indicates counties with fewer subprime credit scores and blue counties with more subprime credit scores. The red line on the map is the Mason-Dixon line and Ohio River extension, the traditional division between northern and southern states. Source: (Equifax and Federal Reserve Bank of New York, 2024).
In particular, given that over 60% of the total African American population resides in the American south, as we further break out the average credit score by race, it is therefore unsurprising to find a mirrored divergence in subprime credit scores, particularly between Black and White Americans (Figure 2).
Figure 2: Average Credit Scores by Race in 2021
Seen across race, there is a significant divergence between the average credit scores of White Americans (734) and Black Americans (677) with the average score for Black Americans averaging near the subprime threshold. Source: (Dual Payments, 2020)
This brings into question whether these differences can be explained by other factors not accounted for by the model. Given that credit scores play such a significant factor in one’s ability to obtain affordable finance and in certain cases may impact where one can live or rent or inhibit one’s ability to obtain employment opportunities, how is it then that such a “colour-blind” model appears to be disproportionately impacting Black Americans? In this blog article, I show that a historical institution fundamental to economic development of the United States and the racial and geographic divisions still present in the present — the institution of slavery — can provide an alternative explanation for injustices in the credit score system.
A quick history lesson
While present for the initial two centuries of colonial expansion in North America, slavery rapidly grew in the early 1800s as the United States solidified into a nation-state (Figure 3). Ultimately abolished after a bloody civil war, the history of the United States since slavery’s abolition in 1865 has been characterized by a various forms of institutionalized and explicit forms of race-based discrimination and exclusion, including the sharecropping system, housing discrimination in the form of redlining, and segregation in the education system. While each of these systems and institutions can each be understood to be extensions of the historically unequal forms of development in the United States with their own unique impact of the historical inequalities in their respective period of development, my research as part of my MA thesis set out to determine how is it that the Figure 3 and that of Figure 1 bear strikingly similarities to one another.
Figure 3: Relative Slave Populations by County (1860)
Figure 3 presents the relative slave population as a share of the total population in 1860. Counties with dark yellow shades have the largest slave population relative to the total county population, while light blue are the counties with lower slave populations. Counties in dark blue are either unreported or have zero slave population according to the census. It is important to note that this data may not be fully reflective of the actual slave population, but it is the best official data that is available. Source: (United States Census Bureau, 1864)
Current models are far too simplistic
Hypothesizing that the current model claims to be colour-blind in its analysis and that its simplistic model focuses solely on the present-day actions of an individual without acknowledging the persistent inequalities already present within our society, my research analysed 1860 census data alongside contemporary panel data from 2014–2021 through an instrumental variable specification. Through the most stringent specification applied, I found a 10-percentage-point increase in the relative slave population of a county in 1860 results estimated average effect of 0.791 percentage point increase in the percentage of the current population with a subprime credit score in 2021, holding all else constant; a result that remains highly significant even in the most stringent model employed (3). Put simply, counties that had higher proportions of enslaved people in 1860 tend to have a higher percentage of residents with poor credit scores today, even after considering other factors that might influence this outcome.
Given the consistent but varying forms of discrimination experienced by Black Americans since the abolition of slavery, I also found that relative slave populations influence different channels’ persistence including through an education system that requires Black Americans to take on higher levels of debt to obtain the same education, only to earn consistently lower wages than their White counterparts. Unable to generate as much wealth as their White counterparts, Black Americans are often far more burdened by greater amounts of relative debt, limiting their ability to obtain larger assets like homes, which are so vital in generating and retaining intergenerational wealth (4).
Such findings demonstrate that the current credit scoring model, one that claims to be unbiased and does not explicitly penalize individuals based on race, fails to account for the multitude of contextual historical factors that continue to privilege certain groups while barring others from accessing the same system. Contemporary economic inequalities may be influenced by the lingering effects of historical factors emphasizing the complex interaction between race, inequality, historical factors, and contemporary economic outcomes.
As such, it also provides clear evidence that policies that do not adequately consider historical inequalities existing and persistent in the system may in fact serve only to continue to perpetuate such inequalities. Particularly in the context of the credit scoring model in the United States and similar systems of economic gatekeeping, not addressing the existing inequalities through the model restricts an individual’s ability to access affordable financing, housing, or decent employment prospects.
Significant reforms are the only way to address persistent injustices
The rapid introduction of artificial intelligence (AI) holds some promise in this context. A greater number of AI-enabled credit scoring algorithms are being tested that could vastly expand the number of variables influencing a credit score. This will hopefully allow a far more comprehensive picture of an individual current financial health. Models with a greater number of variables would increase the diversity of scoring criteria and de-emphasize the potentially discriminatory data points currently prioritized in the FICO model. The recent decision by the Biden administration to remove medical debt as a variable influencing credit scores also helps to address the burden of emergency care costs that can be detrimental to an individual’s ability to meet their financial responsibilities (5).
However, given that poor credit scores have the potential to make financing almost inaccessible for low- and middle-income individuals, additional social safety nets must be considered to ensure that drastic emergency expenses do not create cycles of intergenerational poverty resulting from poor credit scores. Without significant reform, the current credit scoring model will continue to punish low-income families, forcing them to take on more expensive financing to obtain the same assets as their neighbours, inhibit access to home ownership, make higher education less accessible without taking on larger debt, and continue to ensure a cycle of poverty that perpetuates racial inequalities within the United States.
(3) Farrell, C. (2024). The lingering legacy of slavery: historical injustices and credit scores in the United States. International Institute of Social Studies (ISS). ISS working papers. General series No. 723
(4) Jones, J., & Neelakantan, U. (2022). How Big Is the Inheritance Gap Between Black and White Families? Richmond: Federal Reserve Bank of Richmond Economic Brief.
(5) The Consumer Financial Protection Bureau (CFPB) (2023). CFPB Kicks Off Rulemaking to Remove Medical Bills from Credit Reports. Washington, D.C.: CFPB. Accessed 4 July 2024.
Consumer Financial Protection Bureau (CFPB) (2023). CFPB Kicks Off Rulemaking to Remove Medical Bills from Credit Reports. Washington, D.C.: CFPB. Accessed 4 July 2024.
Equifax and Federal Reserve Bank of New York, Equifax Subprime Credit Population, retrieved from FRED, Federal Reserve Bank of St. Louis; https://fred.stlouisfed.org/series/EQFXSUBPRIME036061. Accessed 28 July 2024.
Farrell, C. (2024). The lingering legacy of slavery: historical injustices and credit scores in the United States. International Institute of Social Studies (ISS). ISS working papers. General series No. 723
Jones, J., & Neelakantan, U. (2022). How Big Is the Inheritance Gap Between Black and White Families? Richmond: Federal Reserve Bank of Richmond Economic Brief.
Conor Farrell is a graduate of the International Institute of Social Studies where he majored in Economics of Development. He is passionate about the intersection of history and contemporary economic outcomes understanding that history is not a set of fixed beginnings and ends, but continues to live on through the institutions we have created to shape our societies and influence our future.
Are you looking for more content about Global Development and Social Justice? Subscribe to Bliss, the official blog of the International Institute of Social Studies, and stay updated about interesting topics our researchers are working on.