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The issue of international membership introduces the related issue of international rights holding. International rights holding amounts to being “in”—that is, being recognized as legitimate and, as such, as having rights. But the membership process through which a collective actor gets “in” and comes to enjoy the status of rights holder also has a selective and exclusionary character. There is an interrelated process of denial of rights holding for other collective actors. An illustration of how international membership associated with international rights holding can have this selective and excluding effect is the impact of international law on rights holding in the framework of colonialism—an impact so significant that it continues to have a legacy today. Thus, the selective character of international membership has a cost for international rights holding not simply for the societies at odds with the requirements of statehood but also for their individual members.
The chapter argues that post-1945 international human rights law cannot be understood without accounting for the interwar period and some core elements of human rights discourse which existed at the time. Whereas classical histories of human rights have focused on genealogy and teleology to spell out the advent of rights universalism, more recent work has anchored the origins of human rights in national political communities. Accounting for these new historiographies, this chapter distinguishes between nineteenth-century human rights discourse and post–Second World War international human rights law. Elements of the former and antecedents of the latter can be found in the interwar period, in particular in the legal regimes for the protection of refugees and minorities. Although it analyses the two regimes separately, it articulates their points of convergence and situates them in the context of rising nationalism and the advent of the individual as a subject of international law.
It is often assumed that private international law is disconnected from geopolitical events. Scholars of private international law assume this because they generally perceive their field as neutral and apolitical. Scholars of public international law are unaware that the two fields were enmeshed in geopolitical debates. This chapter revisits the history of private international law to expose the reckoning of a variety of actors with the way in which the field was impacted by and could respond to the geopolitical events of the day. Puzzles surrounding questions of jurisdiction and choice of law would be used to translate aspects of state succession, conflicts of nationality, vested rights, statelessness, capitulations, conflict of laws and jurisdiction in the mandates or the extraterritorial application of Russian and then Nazi laws, into familiar questions of private international law. Some of these interwar questions have contemporary parallels. Engaging with the history of private international law can offer valuable lessons when considering private international law’s current role in geopolitical events.
A prominent theory of political obligation argues that, to avoid the dangers of statelessness (basic needs deprivation, rights violations, and political disenfranchisement) people should establish, maintain, and obey states. This theory underwrites a statist ideal that presents states as the primary guarantors of justice and democracy. I challenge this statist ideal, arguing that statist institutions are ill-equipped to provide full justice, especially for stateless people. I argue that statelessness is a product of the state system’s structure and that eliminating the dangers of statelessness therefore requires challenging the core organising principles of the state system. I conclude that stateless people have broad prima facie moral permissions to resist the state system’s constitutive norms, practices, and institutions; that others may have obligations to support their efforts; and that addressing the dangers of statelessness requires resisting rather than obeying statist institutions. I also offer a corrective to the literature on refugees’ political obligations, illuminating how even obedience to a relatively just state or camp authority can uphold a state system that is unjust overall. I examine these issues in conversation with empirical scholarship on stateless people’s activism, like Hong Kong’s ‘Refugee Occupy’ movement.
This chapter explores denationalization, focusing on Indonesian foreign terrorist fighters (FTFs). Post-9/11 and during the Arab Spring, Western democracies tightened border control to combat terrorism, enabling the stripping of citizenship from involved individuals. Denationalization, via law or public-authority decisions, emerged as a contentious counter-terrorism tool. Indonesia, as a Muslim-majority Southeast Asian nation, partially embraced denationalization, refusing to repatriate Indonesian FTFs. This aligns with global security concerns but raises statelessness questions. The chapter examines denationalization’s legal framework, international obligations, and the blurred line between de jure and de facto statelessness. Critics argue that disproportionately applying denationalization to Muslims undermines human rights, inter-state cooperation and international justice. Refusal to repatriate Indonesian FTFs raises concerns about long-term consequences and due process. Understanding denationalization nuances is vital, considering its impact on the citizenship rights of individuals involved in terrorism.
This chapter explores the impact of conflict on the issue of statelessness in Asia using a case study centred on the Kuomingtang (KMT) soldiers and their descendants in northern Thailand. The case study examines the historical background of the KMT Secret Army and conducts legal and policy analysis on relevant countries including the People’s Republic of China (PRC), the Republic of China (RoC) and Thailand. These analyses shed light on how the group became stateless. The chapter scrutinizes the nationality laws of each country linked to the case study and the practical implementation of these laws and offers observations on the statelessness phenomenon. The case study demonstrates that violent conflicts may lead to de jure statelessness or place people at risk of statelessness due to the loss of a sense of national belonging and legal identity documents as by-products of violent conflict; that (re)gaining citizenship of a country might not be easy as relevant laws change and the operation of laws become too difficult for vulnerable groups to manage; and that the long-lasting political consequences of conflict continue to influence state practice in the case of both PRC and RoC, regardless of the group’s rights under their respective nationality laws.
Unlike many core human rights treaties, the Statelessness Conventions are among the most poorly ratified in the world. Orthodox scholarship on human rights treaties primarily focuses on post-ratification implementation and their impact on state conduct. While it is important to examine post-ratification compliance, understanding why states agree to ratify human rights treaties is as crucial. Ratification nudges states towards better human rights practices and serves as a gateway for the implementation of international norms. This chapter addresses this gap in scholarship by examining the ratification status of the Statelessness Conventions and the ratification process of the 1954 Statelessness Convention, together with key actors and their influence, by the Philippines, Southeast Asia’s first State Party to the treaty, and its subsequent accession to the 1961 Reduction of Statelessness Convention. Both rationalist and non-rationalist explanations account for ratifications. While rational explanations push states to ratify treaties, socializing liberal and constructivist-oriented explanations, for example, also drive states to commit to treaties. Multi-dimensional and multi-perspectival orientations should therefore inform how and why ratification or accession campaigns should be undertaken, and perhaps, even how treaties themselves should be designed. This analysis serves as a basis for broader theoretical reflections on persuading states to ratify human rights treaties.
This chapter explores the synergies, limitations, and challenges of addressing statelessness through human rights and development approaches, using the Hill Country Tamils of Sri Lanka as a case study. In addressing the legacy of statelessness, both the human rights and development frameworks must be drawn on and used simultaneously. However, a frameworks approach alone falls short in addressing statelessness, given the political, economic and societal factors that perpetuate discrimination. Instead, as the case of the Hill Country Tamils demonstrates, both human rights and development approaches must be underpinned by a deeper commitment to pursuing equality and combatting discrimination at large. Despite claims of success, the legacy of statelessness in Sri Lanka still lingers. The Hill Country Tamils are still among the ‘furthest behind’ in Sri Lanka and continue to experience severe discrimination well after securing formal citizenship. The community’s prolonged statelessness has led to long-term deterioration in human rights conditions, such that a grant of formal citizenship alone is inadequate to address structural drivers of disadvantage that the community continues to endure.
The lack of citizenship or statelessness may be brought about by action, misaction and inaction of not only the state but the society in the country as well. The state and society often join hands in depriving a community of citizenship and, in so doing, both parties may act legally and extra-legally against recognizing and giving identity documentation to the community in question, again according to the text of the law, its implementation, or both. The society in question may opt to return citizenship to the same community and encourage the state or state-like entities to implement it. This chapter discusses the situation of the Rohingyas during the political transition in Myanmar (from 2011 to 2020) when the state and society joined hands in legally, extralegally, and/or socially depriving the Rohingyas of citizenship and identity documentation and arbitrarily implementing and mis-implementing the Myanmar Citizenship Law. The main part of the chapter traces the Rohingya moment during the Myanmar Spring (February 2021) and discusses four positive developments in the situation of the Rohingyas after the February 1, 2021 coup, concluding with a caution and some suggestions for the way ahead.
While statelessness remains a global phenomenon, it is a global issue with an Asian epicentre. This chapter situates the book within the context and multi-disciplinary scholarship on statelessness in Asia by reviewing the causes, conditions and/or challenges of statelessness. It recognizes statelessness in this region as a phenomenon beyond forced migration and highlights the arbitrary and discriminatory use of state power in producing and sustaining statelessness. The chapter reviews the ‘state of statelessness’ in Asia, including applicable international, regional and national legal frameworks. It also maps some of the core themes that emerge from the contributors’ examination of the causes and conditions of statelessness in Asia. These include: the relationship between ethnic, religious, cultural and linguistic diversity and statelessness; the legacies of colonialism; contemporary politics surrounding nation-building, border regimes and mobilities; as well as intersecting vulnerabilities. The chapter concludes with some preliminary thoughts on frameworks of analysis and future research agendas, including challenges and prospects for reform.
This chapter discusses the 1953 legal challenge to Ceylon’s (present-day Sri Lanka) voter registration laws before the Judicial Committee of the Privy Council in London, one of the first against domestic legislation on citizenship from a former British colony. The Kodakan Pillai appeal, as the case was known, was part of multiple challenges to the immigration, nationality and citizenship regime in Ceylon at the time which discriminated against people who had migrated to Ceylon from India but had permanently settled there for multiple generations. The appeal ultimately failed, and the malaiyaha thamilar – plantation laborers and their descendants – form part of minority populations in Sri Lanka today, stigmatized as ‘migrants’ and outsiders, frequently lacking documentation and evidence of citizenship, and consequently, to land ownership or welfare benefits. Drawing on a rich legal archive of citizenship applications filed before the Commission for Indian and Pakistani Residents in the 1950s, alongside the Kodakan Pillai appeal, this chapter serves as an illustration for why the legal history of statelessness in Asia is important. Given this historical context, it also cautions against solutions to statelessness in the region that solely rely on improved documentation of political belonging.
The legal literature on refugee cultural heritage is limited, and cultural rights are part of the law that appropriately addresses refugee cultural heritage issues. Cultural heritage is integral to the definition of refugees; refugee protection must include safeguarding refugee cultural heritage.1 This Article reviews international law around refugees’ intangible cultural heritage, which incorporates refugee relationships with their tangible cultural heritage.2 It also frames the discussion around refugee intangible cultural heritage in a holistic paradigm that consolidates “refugee home heritage” (refugee intangible cultural heritage of home country) and “refuge heritage” (refugee intangible cultural heritage of refugee journey from persecution or conflict to resettlement or return). The Article finds that, whereas the international law framework lays the groundwork for such a holistic paradigm, international and national laws and state policy approaches must be reformed to achieve refugee protection in line with international obligations.
The legal evidentiary approach to “solving” statelessness can sometimes lead to the issue being framed in terms of certain groups of people not meeting objective citizenship criteria or lacking required legal documents. Building on critical interdisciplinary scholarship in anthropology, history and legal studies, this article demonstrates the “constructedness” of citizenship and statelessness through the lens of the politics of recognition and documentation. Using Thailand as a case study, I highlight how global economic, political and social contexts play a significant and dynamic role in delineating the legal line of membership. By tracing how Thai nationality has been instrumentalised by the state throughout the twentieth century, this article contextualises statelessness as a legal and social by-product of statemaking. As such, it challenges the framing of nationality as a non-discriminatory mode of recognition founded in legal objectivity and reiterates the politics of statelessness. In emphasising the fragility of citizenship when granted without genuine social, political and moral recognition, I argue that the objective of statelessness advocacy should not simply be about turning stateless persons into citizens, but rather about creating a more equitable society wherein one's rights are upheld regardless of legal status.
Chapter 4 gives an account of the role of repertoire and travel in German public theatre and how the Theater an der Ruhr works against national understandings of canonised theatrical repertoires. It examines why German repertoire theatres do not discard plays after a season but reperform them for years, even decades, and what consequences this has for actors and their self-cultivation, as well as for the building of an ethico-aesthetic tradition in an institution. This system goes hand in hand with the closely knit notion of the ensemble in German theatre. This chapter explores these notions through a case study of the transnational repertoire of the Theater an der Ruhr and their long-term collaborations with international theatre-makers from precarious parts of the world, known as the ‘international theaterlandscapes project’. I accompanied the Theater’s journey to Algeria and witnessed first-hand their cooperation with Algerian and Tunisian artists after the ‘Arab spring’, focusing on the way in which theatre develops forms of transnational diplomacy and troubles national narratives of cultural heritage.
South Asia, as a region, consists of several stateless groups as well as groups at the risk of statelessness. However, none of the South Asian states are parties to the 1961 Convention on the Reduction of Statelessness, thus these states do not have specific obligations arising from this Convention to avoid, reduce, or prevent statelessness in the region. In this context, this article ascertains that despite the prevalence of statelessness, there exists state practice and opinio juris in South Asia that point to an emerging customary international law obligation to avoid, reduce, or prevent statelessness.
While the National Socialists made a concerted effort to harness the emigrant nation wherever its members might be, they had no more success outside their areas of conquest than had previous regimes. In some ways, they had less. Moreover, their efforts to replace an inclusive notion of German cultural community with a racially exclusive one ultimately undermined Germans’ positions in other countries even more than the events of World War I. Those efforts within Europe also exposed the degree to which Germanness continued to be defined by its aggregate character even under their auspices.Their notion of the Volksgemeinschaft was defined more by its exclusions than its inclusions. The striking ways in which that fell short outside of Europe underscore the varieties of ways in which Germanness continued to be defined and performed abroad during the period of the war and the degree to which Germans’ fates outside of Europe were contingent on the states in which they lived. Geopolitics played important roles in recasting notions of belonging during this period of crisis, much as it had during earlier ones.Nevertheless, older notions of belonging persisted during and after the war.
This chapter deals with Germany’s position on individuals, human rights and international criminal responsibility. It is in seven parts: position of individuals; human rights; international refugee law; nationality and statelessness; international terrorism; international health law; and international criminal law. The second part covers the Federal Constitutional Court rejecting the Committee on the Rights of Persons with Disabilities’ interpretation of the CRPD; Germany’s criticism of Brunei’s Sharia Penal Code as violating human rights and of Saudi Arabia for violating the CRC; Germany’s concern over possible human rights abuses in Xinjiang, China; the German Federal Government adopting its thirteenth human rights report; and candidates nominated by Germany for human rights bodies. The fourth part discusses an amendment to the Nationality Act depriving members of terrorist militias with dual nationality of their German citizenship. The seventh part deals with the resignation of the German judge from the International Residual Mechanism for Criminal Tribunals; Germany requesting Lebanon to extradite a Syrian official; German charges brought against Syrian officials for crimes against humanity and against a member of ‘Islamic State’ for war crimes; rulings on war crimes against property; and Germany’s view on possible crimes against humanity and war crimes and genocide in Myanmar.
This chapter examines life along the border from the era of the American Occupation through the rise of the Trujillo regime in 1930. It reconstructs the period from the testimonies of ethnic Haitian detainees. Analysis of court and police records from the period demonstrate a stark difference between enforcement in the decades of the 1920s and the 1930s. The year 1930 was a watershed. In 1930 Dominican-born ethnic Haitians were first systematically deported to Haiti and forced to pay for immigration permits. Executive Order 372, a racialized migration law introduced during the US occupation, played a crucial role in the process by which all ethnic Haitians became classified as foreigners. Through the evolving use of this law, ethnic Haitians who had previously been recognized as citizens, property owners and legal residents in Dominican territory were deported to Haiti. Others remained in Dominican territory, but in 1930, for the first time, people born on Dominican territory were reclassified as foreigners and they were forced to pay immigration tax. Far from a harmonious, bicultural border, the chapter illuminates the increasingly vulnerable legal status of ethnic Haitians through exploring systematic deportation, imprisonment, punitive taxation, lost citizenship, lost property, and displacement prior to the genocide.
More than a Massacre is a history of race, citizenship, statelessness, and genocide from the perspective of ethnic Haitians in Dominican border provinces. Sabine F. Cadeau traces a successively worsening campaign of explicitly racialized anti-Haitian repression that began in 1919 under the American Occupiers, accelerated in 1930 with the rise of Trujillo, and culminated in 1937 with the slaughter of an estimated twenty thousand civilians. Relatively unknown by contrast with contemporary events in Europe, the Haitian-Dominican experience has yet to feature in the broader literature on genocide and statelessness in the twentieth century. Bringing to light the massacre from the perspective of the ethnic Haitian victims themselves, Cadeau combines official documents with oral sources to demonstrate how ethnic Haitians interpreted their changing legal status at the border, as well as their interpretation of the massacre and its aftermath, including the ongoing killing and land conflict along the post-massacre border.