ISSN 1806-6445
Conectas Human Rights Sur – Human Rights
University Network
Conectas
Sur – International Journal
12
on Human Rights
international journal
on human rights
Sur – International Journal on Human Rights
Salil Shetty
Foreword
www.surjournal.org
Fernando Basch et al.
The Effectiveness of the Inter-American System of Human Rights
v. 7 • n. 12 • Jun. 2 0 10 Protection: A Quantitative Approach to its Functioning and Compliance
Biannual With its Decisions
English Edition Richard Bourne
The Commonwealth of Nations: Intergovernmental and
Nongovernmental Strategies for the Protection of Human Rights
in a Post-colonial Association
MILLENNIUM DEVELOPMENT GOALS
Amnesty International
Combating Exclusion: Why Human Rights Are Essential
for the MDGs
Victoria Tauli-Corpuz
Reflections on the Role of the United Nations Permanent Forum on
Indigenous Issues in relation to the Millennium Development Goals
Alicia Ely Yamin
Toward Transformative Accountability: Applying a Rights-based
Approach to Fulfill Maternal Health Obligations
Sarah Zaidi
Millennium Development Goal 6 and the Right to Health:
Conflictual or Complementary?
Marcos A. Orellana
Climate Change and the Millennium Development Goals:
The Right to Development, International Cooperation and the
Clean Development Mechanism
CORPORATE ACCOUNTABILITY
We gratefully acknowledge the inancial support of:
Lindiwe Knutson
Aliens, Apartheid and US Courts: Is the Right of Apartheid Victims to
Claim Reparations from Multinational Corporations at last Recognized?
David Bilchitz
The Ruggie Framework: An Adequate Rubric for
Corporate Human Rights Obligations?
12
international journal
on human rights
v. 7 • n. 12 • São Paulo • Jun. 2010
EDITORIAL BOARD ADVISORY BOARD
Christof Heyns University of Pretoria (South Africa) Alejandro M. Garro Columbia University (United States)
Emilio García Méndez University of Buenos Aires Antonio Carlos Gomes da Costa Modus Faciendi (Brazil)
(Argentina)
Bernardo Sorj Federal University of Rio de Janeiro / Edelstein
Fifi Benaboud North-South Centre of the Council of Center (Brazil)
Europe (Portugal)
Bertrand Badie Sciences-Po (France)
Fiona Macaulay Bradford University (United Kingdom)
Cosmas Gitta UNDP (United States)
Flavia Piovesan Pontifical Catholic University of
São Paulo (Brazil) Daniel Mato Central University of Venezuela (Venezuela)
J. Paul Martin Columbia University (United States) Daniela Ikawa Public Interest Law Institute (United States)
Kwame Karikari University of Ghana (Ghana) Ellen Chapnick Columbia University (United States)
Mustapha Kamel Al-Sayyed Cairo University (Egypt) Ernesto Garzon Valdes University of Mainz (Germany)
Richard Pierre Claude University of Maryland (United Fateh Azzam Regional Representative, Office of the High
States) Commissioner for Human Rights (Lebanon)
Roberto Garretón Former-UN Officer of the High Guy Haarscher Université Libre de Bruxelles (Belgium)
Commissioner for Human Rights (Chile)
Jeremy Sarkin University of the Western Cape (South Africa)
Upendra Baxi University of Warwick (United Kingdom)
João Batista Costa Saraiva Regional Jurisdiction for Children
and Adolescents of Santo Ângelo/RS (Brazil)
EDITORS José Reinaldo de Lima Lopes University of São Paulo (Brazil)
Pedro Paulo Poppovic Juan Amaya Castro University for Peace (Costa Rica)
Oscar Vilhena Vieira Lucia Dammert FLACSO (Chile)
Luigi Ferrajoli University of Rome (Italy)
EXECUTIVE BOARD Luiz Eduardo Wanderley Pontifical Catholic University of São
Flavia Scabin Paulo (Brazil)
Juana Kweitel - associate editor Malak El Chichini Poppovic Conectas Human Rights (Brazil)
Thiago Amparo Maria Filomena Gregori University of Campinas (Brazil)
Maria Hermínia Tavares Almeida University of São Paulo
EDITING (Brazil)
Thiago Amparo Miguel Cillero University Diego Portales (Chile)
Mudar Kassis Birzeit University (Palestine)
GRAPHIC DESIGN Paul Chevigny New York University (United States)
Oz Design Philip Alston New York University (United States)
Roberto Cuéllar M. Inter-American Institute of Human Rights
ART EDITING (Costa Rica)
Alex Furini Roger Raupp Rios Federal University of Rio Grande do Sul
(Brazil)
CIRCULATION Shepard Forman New York University (United States)
Renato Barreto Victor Abramovich University of Buenos Aires (UBA)
Victor Topanou National University of Benin (Benin)
PRINTING Vinodh Jaichand Irish Centre for Human Rights, National
Prol Editora Gráfica Ltda. University of Ireland (Ireland)
SUR - International Journal On Human Rights is a biannual journal published in English, Portuguese and Spanish by
Conectas Human Rights. It is available on the Internet at <http://www.surjournal.org>
SUR is covered by the following abstracting and indexing services: IBSS (International Bibliography of the Social
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SUR is also available at the following commercial databases: EBSCO and HEINonline. SUR has been rated A1 and B1, in
Colombia and in Brazil (Qualis), respectively.
SUR. Revista Internacional de Direitos Humanos / Sur – Rede Universitária de Direitos
Humanos – v.1, n.1, jan.2004 – São Paulo, 2004 - .
Semestral
ISSN 1806-6445
Edições em Inglês, Português e Espanhol.
1. Direitos Humanos 2. ONU I. Rede Universitária de Direitos Humanos
cONtENtS
SAlIl SHEtty 6 Foreword
FERNANDO BAScH Et Al. 9 the Effectiveness of the Inter-American System of
Human Rights Protection: A Quantitative Approach to its
Functioning and compliance With its Decisions
RIcHARD BOURNE 37 the commonwealth of Nations: Intergovernmental
and Nongovernmental Strategies for the Protection of
Human Rights in a Post-colonial Association
MILLENNIUM DEVELOPMENT GOALS
AMNESty INtERNAtIONAl 55 combating Exclusion: Why Human Rights Are
Essential for the MDGs
VIctORIA tAUlI-cORPUZ 79 Reflections on the Role of the United Nations Permanent
Forum on Indigenous Issues in relation to the Millennium
Development Goals
AlIcIA Ely yAMIN 95 toward transformative Accountability: Applying a
Rights-based Approach to Fulfill Maternal Health Obligations
SARAH ZAIDI 123 Millennium Development Goal 6 and the Right to Health:
conflictual or complementary?
MARcOS A. OREllANA 145 climate change and the Millennium Development Goals:
the Right to Development, International cooperation and
the clean Development Mechanism
CORPORATE ACCOUNTABILITY
lINDIWE KNUtSON 173 Aliens, Apartheid and US courts: Is the Right of
Apartheid Victims to claim Reparations from Multinational
corporations at last Recognized?
DAVID BIlcHItZ 199 the Ruggie Framework: An Adequate Rubric for
corporate Human Rights Obligations?
PRESENTATION
■ ■ ■
It is a great pleasure for us to present the Reflections on the Role of the United
12 issue of the Sur Journal. As previously Nations Permanent Forum on Indigenous
announced, this edition is the beginning Issues in Relation to the Millennium Deve-
of our collaboration with Carlos Chagas lopment Goals, by Victoria tauli-corpuz,
Foundation (FCC) that will support the Sur examines the relationship of the MDGs
Journal in 2010 and 2011. We would like with the protection, respect and fulfillment
to thank Fcc for this support, which has of indigenous peoples’ rights as contained
guaranteed the maintenance of the printed in the UN Declaration on the Rights of
version of the Journal. Indigenous Peoples.
this issue of Sur Journal is edited in Alicia Ely yamin, in Toward Transfor-
collaboration with Amnesty Internatio- mative Accountability: Applying a Rights-
nal.* On the occasion of the UN High-level -based Approach to Fulfill Maternal Health
Summit on the Millennium Development Obligations, examines how accountability
Goals (MDGs) in September 2010, this for fulfilling the right to maternal health
issue of Sur Journal focuses on the MDGs should be understood if we seek to trans-
framework in relation to human rights form the discourse of rights into practical
standards. We are thankful to Salil Shetty, health policy and programming.
Amnesty International Secretary General, Still addressing the issue of MDGs,
who prepared an introduction to this dis- Sarah Zaidi, in Millennium Development
cussion. the first article of the dossier, also Goal 6 and the Right to Health: Conflictual
by Amnesty International, Combating Ex- or Complementary?, explores how MDGs
clusion: Why Human Rights Are Essential fit within an international law framework,
for the MDGs, stresses the importance of and how MDG 6 on combating HIV/AIDS,
ensuring that all efforts towards fulfilling malaria, and tuberculosis can be integrated
all the MDGs are fully consistent with with the right to health.
human rights standards, and that non-dis- this issue also features an article by
crimination, gender equality, participation Marcos A. Orellana on the relationship
and accountability must be at the heart of between climate change and the MDGs,
all efforts to meet the MDGs. looking into linkages between climate chan-
ge, the right to development and internatio-
* Disclaimer. With the exception of the foreword nal cooperation, in Climate Change and The
and ‘combating exclusion: Why human rights are
Millennium Development Goals: The Right
essential for the MDGs’, the opinions expressed in this
collection of articles are those of the authors and do to Development, International Cooperation
not necessarily reflect Amnesty International policy. and the Clean Development Mechanism.
We hope that this issue of the Sur not only be required to avoid harm to fun-
Journal will call the attention of human damental rights; they must also be required
rights activists, civil society organisations to contribute actively to the realization of
and academics to the relevance of the such rights.
MDGs for the human rights agenda. the there are two more articles in this
articles included in this edition of the Sur issue. the article by Fernando Basch,
Journal show not only a critique of the leonardo Filippini, Ana laya, Mariano
MDGs from a human rights perspective, Nino, Felicitas Rossi and Bárbara Schrei-
but also several positive proposals on how ber, examines the functioning of the
to integrate human rights into the MDGs. Inter-American System of Human Rights
two articles discuss the impact of Protection in, The Effectiveness of the
corporations on human rights. the first, Inter-American System of Human Rights
by lindiwe Knutson (Aliens, Apartheid and Protection: A Quantitative Approach to its
US courts: Is the Right of Apartheid Vic- Functioning and Compliance with its Deci-
tims to Claim Reparations from Multina- sions. the article presents the results of a
tional Corporations at last Recognized?), quantitative study focused on the degree of
analyses several cases brought before compliance with decisions adopted within
U.S. courts that have alleged that major the framework of the system of petitions
multinational corporations were compli- of the American convention on Human
cit in and benefited from human rights Rights (AcHR).
violations committed by agents of foreign Finally, Richard Bourne’s paper, The
governments. the article examines the Commonwealth of Nations: Intergovern-
most recent decision of In re South African mental and Nongovernmental Strategies
Apartheid Litigation (commonly referred for the Protection of Human Rights in a
to as the Khulumani case) in the Southern Post-colonial Association, discusses how
District court of New york. membership rules for the commonwealth
the second article, by David Bilchitz became crucial in defining it as an associa-
(The Ruggie Framework: An Adequate tion of democracies and, more cautiously,
Rubric for Corporate Human Rights as committed to human rights guarantees
Obligations?), seeks to analyze the John for citizens.
Ruggie framework in light of international We would like to thank Amnesty
human rights law and argues that Ruggie’s International´s team for its contribution.
conception of the nature of corporate obli- their timely input in the selection and
gations is mistaken: corporations should edition of articles has been vital.
the editors.
FOREWORD
■ ■ ■
Amnesty International’s recently released contribute to the incidence and persistence
report, Insecurity and indignity: Women’s of gender-based violence.
experiences in the slums of Nairobi, Kenya yet, Kenya has committed to the in-
(July 2010) documents how women and ternational Millennium Development Goal
girls living in informal settlements are par- (MDG) target on sanitation to reduce by
ticularly affected by lack of adequate ac- half, between 1990 and 2015, the propor-
cess to sanitation facilities for toilets and tion of people without sustainable access
bathing. Many of the women told Amnesty to basic sanitation. the country adopted
International that they have experienced water and sanitation policies that aim to
different forms of physical, sexual and fulfill MDG targets and also the rights to
psychological violence, and live under the water and sanitation. these policies do
ever-present threat of violence. the lack reflect many human rights principles. But
of effective policing and due diligence by our research shows that there are still key
the government to prevent, investigate or gaps between Kenya’s MDG policies and
punish gender- based violence and provide ensuring consistency with Kenya’s inter-
an effective remedy to women and girls national human rights obligations. It also
results in a situation where violence goes starkly illustrates how the MDG policies of
largely unpunished. governments cannot ignore gender-based
We also recorded testimonies from a violence or the specific barriers faced by
high number of women and girls who have women and girls living in informal settle-
experienced rape and other forms of vio- ments in accessing even basic levels of
lence directly as a result of their attempt sanitation.
to find or walk to a toilet or latrine some this is why the discussion in this
distance away from their houses. Women’s issue of Sur - International Journal on
experiences show that lack of adequate Human Rights is so important and timely.
access to sanitation facilities and the lack these concerns are not unique to Kenya
of public security services significantly and around the world there are examples
6 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
illustrating how MDG efforts are most rights practitioners and others who are
effective when they address underlying concerned with these issues.
human rights issues and are truly targe- Another great challenge facing gover-
ted at groups facing discrimination and nments across the world is human rights
marginalization. abuses committed by or in complicity with
In September 2010, UN Member corporations. two articles in this issue
States will meet to agree an action plan address some of the challenges as well as
to ensure the realization of the MDGs by opportunities related to human rights in
2015. With only five years left to go, it is the context of corporate activities.
more important now than ever that human the issue also includes two general
rights are put at the centre of this action articles, which examine the role of the
plan, in order to make the MDG framework Inter-American System of Human Rights
effective for the billions striving to free and the commonwealth of Nations in the
themselves from poverty and to claim promotion and protection of human rights.
their rights. I had the privilege of speaking at the
the articles in this issue focus on a International Human Rights colloquium,
range of issues related to the MDGs. they organized by conectas, in 2004 and of
illustrate the gap between the current contributing to the second issue of the
MDG targets and existing requirements SUR journal. I am extremely pleased to
under international human rights law. they have the chance to collaborate again with
also briefly outline some of the essential conectas and that they agreed to produce
elements that must be incorporated into this edition of SUR jointly with Amnesty
any revised or new global framework to International.
address poverty after 2015. I hope it We would like to thank them for giving
will contribute to discussions on the re- us this opportunity and also thank all the
lationship between human rights and the authors who have contributed to this issue.
MDGs and be a useful resource for human I hope you enjoy reading it.
Salil Shetty
Amnesty International
Secretary General
v. 7 • n. 12 • Jun. 2010 • p. 6-7 ■ 7
FERNANDO BAScH
MARIANO NINO
law Professor (UBA, UP, Argentina), Director
Sociologist, coordinator for the Project for the
of the Justice Reform Program of the Asociación
Access to Justice of child Victims, ADc.
por los Derechos civiles (ADc), Argentina.
Email: mnino@adc.org.ar
Email: fbasch@adc.org.ar
FElIcItAS ROSSI
lEONARDO FIlIPPINI
Attorney, coordinator for the Public Interest
law Professor (UP, UDESA, Argentina),
litigation Department, ADc.
consultant for the International center for
Email: frossi@adc.org.ar
transitional Justice (IctJ).
Email: leonardo.filippini@gmail.com BáRBARA ScHREIBER
Attorney at the Justice Reform Program, ADc.
ANA lAyA
Email: bschreiber@adc.org.ar
Attorney at the Justice Reform Program, ADc.
Email: alaya@adc.org.ar
ABSTRACT
his article addresses one of the central concerns in current discussions surrounding the
functioning of the Inter-American System of Human Rights Protection (IASPHR): its
efectiveness. Several questions necessary for a richer debate regarding the strengthening of the
IASPHR lack deinite answers and have still not been analyzed in as much detail as possible.
To illuminate some points of the problems involved, the present article details the results of
a quantitative research project focused on the degree of compliance with decisions adopted
within the framework of the system of petitions of the American Convention on Human
Rights (ACHR). he information presented here is the result of a survey of all of the measures
adopted in all of the inal decisions of the IACHR and the Inter-American Court, within the
framework of the individual petition-based system of the ACHR, during a period — either
recommendations or friendly settlements approved by the IACHR or holdings of the Inter-
American Court—, and observes, among other aspects, the degree of compliance that the said
remedies have received as of the present date. he results of this investigation may serve as a
foundation for detecting useful trends for the discussion on possible reforms for optimizing
the functioning of the IASPHR and in order to make strategic use of litigation before its
protection bodies.
KEYWORDS
Inter-American System – Inter-American Commission – Inter-American Court – Remedies –
Repairs – Degree of compliance – Efectiveness – Individual petitions
Original in Spanish. Translated by Kayley Bebber.
Submitted in February 2010. Accepted in July 2010.
ACKNOWLEDGEMENTS
his article was written within the framework of the Inter-American System of Human Rights
Protection Studies Project of the Asociación por los Derechos Civiles (ADC). Its completion would
not have been possible without the support of the Open Society Institute Foundation (OSI).
he authors thank Víctor Abramovich for his criticism and comments on a previous version
of this work.
his paper is published under the creative commons license.
his paper is available in digital format at <www.surjournal.org>.
8 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
THE EFFECTIVENESS OF THE INTER-AMERICAN
SYSTEM OF HUMAN RIGHTS PROTECTION:
A QUANTITATIVE APPROACH TO ITS FUNCTIONING
AND COMPLIANCE WITH ITS DECISIONS
Fernando Basch
leonardo Filippini
Ana laya
Mariano Nino
Felicitas Rossi
Bárbara Schreiber
1 Introduction
In a region of failing democracies and persistent violations of rights, the Inter-
American Commission on Human Rights (the Commission or IACHR) and the
Inter-American Court of Human Rights (the Court or the Inter-American Court)
may contribute to positively shape state behavior. Both bodies, in fact, answer to
thousands of victims by means of the petition-based system established in the
American Convention on Human Rights (ACHR) and have set standards that, to
a greater or lesser degree, have guided some important legal and political reforms
in the countries of the region.
All in all, in discussions surrounding the functioning of the Inter-American
System of Human Rights Protection (IASPHR) a central and constant concern
is the matter of its effectiveness. For many observers, the human and financial
resources of the IASPHR for providing an answer to the denial of rights are
insufficient1. Others emphasize the absence of formal mechanisms or consolidated
practices that ensure state implementation of Inter-American decisions. For some
years now, a debate has existed surrounding the IASPHR within the framework
of the Organization of American States (OAS) Permanent Council’s Committee
on Political and Juridical Affairs (CPJA), and many states and organizations have
drafted proposals aimed at strengthening the IASPHR (MÉXICO, 2008)2 . The
Notes to this text start on page 33.
v. 7 • n. 12 • Jun. 2010 • p. 9-35 ■ 9
tHE EFFEctIVENESS OF tHE INtER-AMERIcAN SyStEM OF HUMAN RIGHtS PROtEctION: A QUANtItAtIVE
APPROAcH tO ItS FUNctIONING AND cOMPlIANcE WItH ItS DEcISIONS
widespread perception is, so to speak, that the IASPHR could or should exert
greater influence on state behavior than it currently does.
This research sheds light on a matter strongly related to this widespread
concern: the degrees of compliance with the decisions adopted within the framework
of the ACHR petition-based system. Despite the repeated need for strengthening
the IASPHR and increasing its influence, answers must still be found for several
relevant questions for richer and more detailed debates and analysis. To what
extent are the decisions of the IASPHR effectively observed? Is it possible to reach
a shared and empirically sustainable description to provide an answer? Is it possible
to consistently measure over time the variations in the degrees of observance of the
Inter-American decisions? Of course, there is no definite answer to these questions,
but an attempt may be made to conduct an exercise that would contribute to
clarifying some points of the problems involved.
Here, we shall focus on the measures available to the IASPHR, within the
petition-based framework, to respond to violations of rights within the ACHR.
In other words, the remedies that the IASPHR offers in relation to a denial of
rights declared as such through the procedures made available by the ACHR.
The information presented here, in this way, surveys all the remedies adopted
– whether recommended, authorized or ordered - in all final decisions of the
IACHR and the Inter-American Court for a certain period of time, and observes
the degrees of compliance with such remedies up to the present date3. The simple
idea behind this survey is to offer modeled and quantitative information about a
topic that continues to present itself through mainly narrative approaches in the
literature on the IASPHR. Our task, consequently, is to contribute to answering,
with the help of some quantitative tools, two central questions: What are the
remedies adopted by the Inter-American petition-based system? And, to what
extent are they observed?
The results of this research may serve as a foundation for detecting useful
trends for the discussion on possible reforms for optimizing the functioning of the
IASPHR and methods that may be advisable for making strategic use of litigation
before its protection bodies.
First, we present the research. Then, we present the results obtained. Finally,
we analyze said results and formulate some recommendations that may help to
optimize the effectiveness of the IASPHR.
2 Research Methodology
2.1 Sample Universe and Main Variables
Our universe of study is composed of all of the final reports on the merits of
the IACHR (Art. 51 ACHR), all of the IACHR reports of approval of friendly
settlements (Art. 49 ACHR) and all of the holdings of the Inter-American Court
between June 1, 2001 and June 30, 2006 with respect to state members of the ACHR
who have accepted the contentious jurisdiction of the Inter-American Court. Thus,
we have revised 12 final reports on the merits, 39 friendly settlements approved
10 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
FERNANDO BAScH Et Al.
by the Commission, and 41 holdings of the Court. These 92 decisions contain,
in turn, 462 remedies adopted by the IASPHR: 45 of them were recommended
in final reports of the IACHR, 160 were settled by friendly settlements, and 257
were ordered by the Court in judgments on the merits.
In all of the decisions surveyed, we have identified, in addition to the
remedies adopted and the dates on which they were observed4, the litigants before
the IASPHR, the state party involved and the duration of the trial from the date of
the presentation of the petition until the date of the final decision on the merits5.
The decision to restrict the universe of cases to those decided with respect
to states that have accepted the jurisdiction of the Court seeks to avoid false
comparisons when showing trends of compliance. The states that have accepted
the jurisdiction of the Court have demonstrated a commitment – at least a formal
one – with respect to the decisions of the protection bodies of the Inter-American
human rights system. Those who have not accepted such jurisdiction seem to
have adopted different criteria in subjecting the rules of their legal-political system
to Inter-American standards, and the comparison between them could lead to
mistaken conclusions.
The survey did neither include cases in the process of reaching friendly
settlements nor those friendly settlements that have not yet been approved by the
IACHR. This is because friendly settlements are only made known subsequent
to their approval; the friendly settlement proceedings are not public. On the
other hand, while unapproved settlements have effects between the State and the
petitioners, they may be appealed before the system and their state of compliance
may begin to be evaluated by the Commission only after their approval.
We have also not taken into account remedies recommended in the
preliminary report established in Article 50 of the ACHR. Given that it is reserved,
this information may only be extracted from the account of the case’s proceedings
included by IACHR in Art. 51 reports, or in its claims before the Inter-American
Court. Nevertheless, an exhaustive analysis of these components from the years
2001 to 2006 offers imprecise and insufficient information for determining the
degree of compliance with the recommendations made by the IACHR in the
preliminary report.
Finally, the time period covered by the survey is determined by the
implementation, in June 2001, of the reform of the Rules of Procedure of the
Inter-American Court. This, to some extent, modified the proceedings before the
Court and, thus, the procedural conduct of the litigants before the system. The
deadline, fixed in June 2006, obeys the need for selecting a period that is recent
enough so as to reflect a practice that is as current as possible, but also far enough
removed so as to analyze cases in which states have had time to adopt measures
necessary for complying with the recommendations, commitments, or orders. In
this sense, we consider that two and a half years is a sufficient amount of time
for states to comply with the recommended, agreed or ordered measures. Thus,
studying decisions made between June 2001 and the middle of 2006 allows for
arriving at conclusions to which it would be difficult to raise objections, based on
insufficient time for state compliance with the decisions.
v. 7 • n. 12 • Jun. 2010 • p. 9-35 ■ 11
tHE EFFEctIVENESS OF tHE INtER-AMERIcAN SyStEM OF HUMAN RIGHtS PROtEctION: A QUANtItAtIVE
APPROAcH tO ItS FUNctIONING AND cOMPlIANcE WItH ItS DEcISIONS
2.2 Degrees of Compliance
The degree of compliance with each of the remedies adopted was surveyed up until
the drafting of the present article6. As a result, all of the IACHR annual reports
from the years 2002 to 20087 and all of the resolutions supervising compliance
with the Court’s holdings (rulings?) up until June 30, 2009 have been surveyed8.
Some clarifications are necessary. In its resolutions supervising judgments,
the Court evaluates the degree of compliance with each of the measures ordered.
In order to define the degree of compliance of each of the remedies ordered by the
Inter-American Court, this research has always followed the Court’s conclusions.
On the contrary, the IACHR evaluates the degree of compliance of the group
of measures accepted or recommended, without specifically referring to each one of
them. This prevented us from following the criterion of the Commission to establish
the degree of compliance. For the present purposes, available information about
each case has been studied—whether it was brought by the state or petitioners—
under the following criteria: as long as the state has taken actions that had concrete
results aimed at complying with the measure, the remedy was classified as having
been partially satisfied. In cases in which the state had only begun taking steps that
hadn’t produced concrete results, the remedy was considered as not satisfied. In
some punctual cases, the IACHR made explicit statements regarding compliance
with each remedy. The criteria of these cases have been followed. The same has
been done in those cases in which the IACHR has declared full compliance with
measures, even when petitioners have expressed their disagreement.
3 The functioning of the IASPHR
3.1 Remedies and Objectives
In the final decisions of cases processed through the petition-based system during
the surveyed period, the protection bodies of the IASPHR adopted 462 remedies,
the study of which suggests that the remedies that the IASPHR regularly adopts
are directed towards satisfying four central objectives. First, the reparation of
persons or groups. This is carried out through monetary economic compensation,
non-monetary economic compensation, symbolic reparations, and the restitution
of rights. Second, the prevention of future violations of rights through training
public officers, raising social awareness, introducing legal reforms, creating or
reforming institutions, and other preventive measures. Third, the investigation and
punishment of human rights violations, an action that may occasionally require legal
reforms. Finally, the protection of victims and witnesses. Within this framework,
the remedies adopted by the IASPHR may be classified in 13 groups that may be
distinguished both in terms of the type of action required from the State and in
terms of the measure’s recipient or beneficiary:
i. Monetary economic compensation: a measure required of states consisting
of the payment of sums of money to individuals or groups9.
12 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
FERNANDO BAScH Et Al.
ii. Non-monetary economic compensation: a measure aimed at providing
access to a specific service or good or at allocating money for its provision or
purchase. For example, scholarships and medical assistance, the creation of
funds for productive community development aimed towards creating health,
housing, and education programs, or land and real state cession.
iii. Symbolic reparations: a remedy aimed at dignifying and making moral
reparations to victims and making the state’s recognition of its responsibility
publicly known. This category includes: placing plaques, making public acts,
giving the names of victims to establishments, streets, scholarships, or public
spaces, publicly spreading Court rulings or IACHR reports, and other forms of
commemorating the violations and their victims. The restitution and transfer
of victims’ remains to their family members is also included as a symbolic
reparation10.
iv. Restitution of rights reparation: a remedy for restoring to victims the
enjoyment of their violated rights, when the action required is not of an
eminently economic content. For example, reassigning an employee to the
position from which he or she was terminated, replacing illegitimately removed
judicial officials to their official positions, liberating detained persons, leaving
sentences without effect, holding new trials with due process guarantees,
excluding the victim from criminal background records, re-registering a person
in pension systems or providing security measures for displaced persons to
return to inhabit their land.
v. Prevention through training public officials: training or educating, in
specific subjects related to human rights protection, public employees and
officials, such as members of police or military security forces, of the public
administration or the judiciary.
vi. Prevention through raising social awareness: launching programs or media or
public education campaigns, seeking to generate awareness in society regarding
matters necessary for the defense of human rights. They go beyond the mere
commemoration of the verified violation in a case and homage to its victims
to disseminate and promote human rights in general.
vii. Prevention through legal reforms: legislative, administrative or decree-
related reforms aimed at implementing new public policies or improvement
of existing ones. The recommendations, commitments or orders to pass a law
or sanction a decree with the purpose of creating or strengthening a specific
public institution are excluded from this category.
viii. Prevention through strengthening, creating, or reforming public
institutions. For example, recommendations, commitments, and orders to do
what is necessary in order to comply with domestic legislation, the violation
of which undermined certain rights.
ix. Prevention through unspecif ied measures: a recommendation or
v. 7 • n. 12 • Jun. 2010 • p. 9-35 ■ 13
tHE EFFEctIVENESS OF tHE INtER-AMERIcAN SyStEM OF HUMAN RIGHtS PROtEctION: A QUANtItAtIVE
APPROAcH tO ItS FUNctIONING AND cOMPlIANcE WItH ItS DEcISIONS
commitment to do what is necessary to avoid the repetition of rights violations
such as those of the case. These include only those recommendations that
do not specify, by any means, which actions the state must take in order to
be in compliance.
x. Investigation and punishment with legal reform: recommendations,
commitments, or orders to investigate and punish human rights violations
that demand, for their fulfillment, that the state carry out legal reforms (in
a broad sense) or reforms to its justice system. For example, by repealing
amnesty laws or pardons, or modifying relevant legal or jurisprudential
criteria to be applied to the action ruled upon or the prescription of the
action.
xi. Investigation and punishment without legal reform: investigating and
sanctioning identified human rights violations, compliance with which does
not require the modification of the law. This deals with cases where justice
may be served without having to overcome legal obstacles11.
xii. Protection of victims and witnesses: specific protection measures for victims or
witnesses based on the expectation that they will be persecuted for resorting to
the Inter-American system or for having participated in internal investigation
processes of human rights violations. This will be analyzed as an independent
category because it demands actions that are distinct and autonomous from
the central proceedings and because there could be cases in which the state
completely complies with the investigation and punishment of violations without
complying with the protection of witnesses, and vice versa. On the other hand,
this measure does not seek reparations nor aims at generically preventing human
rights violations. This is restricted to the protection of specific persons indicated
by the Court or the Commission.
xiii. Others. All of those measures recommended, committed, or ordered to the
state that cannot be classified within any of the 12 categories above. In the
surveyed universe, we have identified three: the order that a permission to
leave the country be delivered to a minor (a measure not aimed at the minor’s
protection as a witness or victim, but rather to spare the minor’s mother from
distressing procedures); an order for establishing communication between
specific persons and the authorities for the provision of health care, and the
order to deliver a legislative CD to a person.
Out of the total of 462 remedies surveyed, the group aimed at making reparations
to affected persons or groups, either through symbolic, monetary, or non-
monetary economic reparations or the restitution of rights, represents 61%. The
prevention of future violations represents 22%. 15% of the remedies adopted aim
at investigating and sanctioning those responsible for human rights violations,
and protection measures for victims and witnesses comprise 1.3% of the cases.
Four remedies that represent 0.7% of the universe are grouped in the “Others”
category.
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FERNANDO BAScH Et Al.
GRAPH 1 - ObjectIves sOught by the RemedIes adOPted (In %)
Reparations (to affected persons
or groups) 61%
Preventive measures 22%
Investigation and sanctions 15%
Protection of victims and wit- 2%
nesses/Others
0% 10% 20% 30% 40% 50% 60% 70%
Total cases: 462 remedies adopted between June 2001 and June 2006.
Source: Original compilation based on information extracted from the IACHR annual reports and the Inter-American Court rulings. The
“Protection of V&W Protection and Others” category groups the categories of “Protection of victims and witnesses” and “Others”.
Upon analyzing the percentage of incidence of each one of the types of remedies, it is
observed that 21% of the total remedies demanded are symbolic reparations, 19% are
monetary reparations, and 13% are non-monetary economic reparations. The remedies
that include the duty to investigate and sanction without legal reforms represent 13%,
while those that did require reforms represent 9%. Another 9% of the remedies are
reparation measures through the restitution of rights. Prevention measures through
institutional strengthening, innovation, or reform represent 8% of the total, and among
the remaining six categories of remedies, the three of a preventive nature (training
officials, raising social awareness, and non-specific preventive measures) represent a
joint 5% of the remedies, while the remaining three (investigating and punishing with
legal reforms, protection of victims and witnesses, and others) represent 3.7 %.
GRAPH 2 - tyPes Of RemedIes adOPted (In %)
symbolic reparations 21%
econ. reparations – monetary 19%
econ. reparations – non-monetary 13%
Inv. and sanctions without legal ref. 13%
Preventive measures – Legal reforms 9%
Reparations – Restitution of rights 9%
Preventive measures – 8%
Institutional strengthening
Preventive measures – 3%
Personnel training
Preventive measures – Raising the 2%
population’s awareness
Inv. and sanctions with legal ref. 2%
Protection of victims and witnesses 1%
Others 1%
Preventive measures – unspeciied 1%
0% 5% 10% 15% 20% 25%
Total cases: 462 remedies adopted by IASPHR organs between June 2001 and June 2006.
Source: Original compilation based on the information extracted from the IACHR annual reports and Inter-American Court rulings.
v. 7 • n. 12 • Jun. 2010 • p. 9-35 ■ 15
tHE EFFEctIVENESS OF tHE INtER-AMERIcAN SyStEM OF HUMAN RIGHtS PROtEctION: A QUANtItAtIVE
APPROAcH tO ItS FUNctIONING AND cOMPlIANcE WItH ItS DEcISIONS
Chart 1
OBJECTIVES AND TYPES OF REMEDIES ADOPTED
(IN NUMBER OF CASES AND %)
Objectives Total % Remedies Total %
Without legal reforms 60 13%
Investigation and
67 15%
punishment
With legal reforms 7 2%
Legal reforms 43 9%
strengthening, creation, and
35 8%
reform of public institutions
Prevention 101 22% training public oficials 12 3%
Raising social awareness 7 2%
unspeciied 4 1%
Protection of victims and
Protection of victims 6 1%
witnesses
and witnesses / 10 2%
Others Others 4 1%
symbolic 95 21%
monetary economic 86 19%
Reparations 284 61%
non-monetary economic 61 13%
Restitution of rights 42 9%
total 462 100% total 462 100%
Total cases: 462 remedies adopted by IASPHR organs between June 2001 and June 2006.
Source: Original compilation based on the information extracted from the IACHR annual reports and Inter-American Court rulings.
3.2 Remedies and types of IASPHR decisions
Up to this point we have detailed the objectives and types of remedies ordered by the
control bodies of the IASPHR, as well as the proportions in which they have been
ordered. In this section, the relationship between the types of IASPHR decisions
and the different remedies adopted is analyzed. In this study, it is observed that,
in reports established by Articles 49 and 51 of the ACHR, as well as in the rulings
of the Court, there is a clear predominance of reparations. Of the 45 remedies
recommended in the Commission’s final reports, 17 require reparations (38%),
of which 12 are of an economic-monetary nature, 4 are non-monetary economic
reparations and 1 is symbolic. As regards the Court’s rulings, of a total 257 remedies,
174 reparations were ordered (68%), of which 72 are symbolic reparations, 42
are monetary, 34 are non-monetary economic reparations, and 26 involve the
restitution of rights. In friendly settlements, of a total of 160 remedies approved/
16 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
FERNANDO BAScH Et Al.
agreed, 93 are reparations (58%), among which 32 are monetary, 22 are symbolic,
23 are non-monetary economic reparations, and 16 involve the restitution of rights.
On the other hand, upon comparing the remedies agreed upon in the
framework of processes of friendly settlements with those that the Court ordered,
it is observed that in the former, practically no measures of legal reform have been
agreed upon. No commitments to investigate and punish requiring legal reforms are
found in any of the friendly settlement solutions, and only 10 remedies demanding
legal reforms as a preventive measure were identified. However, in the same period,
the Court ordered the investigation of human rights violations and the punishment
of those responsible with the additional obligation of reforming domestic legislation
on 6 occasions, and in 27 opportunities it ordered legal reforms as a preventive
measure. Something similar occurs with the recommendations of the IACHR
in its ACHR Art. 51 reports. The largest amount of remedies identified in them
refers to the duty to investigate and punish, but without demanding legal reforms
to comply with the obligation.
Chart 2
REMEDIES AND TYPES OF IASPHR DECISIONS
(IN NUMBER OF CASES AND %)
Final Friendly Court
Remedy % % % Total %
Report Settlement Holding
Reparations
Restitution - 0% 16 10% 26 10% 42 9%
symbolic 1 2% 22 14% 72 28% 95 21%
monetary economic 12 27% 32 20% 42 16% 86 19%
non-monetary econ. 4 9% 23 14% 34 13% 61 13%
Investigation
Without legal reform 13 29% 29 18% 18 7% 60 13%
With legal reform 1 2% - 0% 6 2% 7 2%
Prevention
Raising awareness - 0% 3 2% 4 2% 7 2%
Oficials training 1 2% 4 3% 7 3% 12 3%
Instit. strengthening 3 7% 19 12% 13 5% 35 8%
Legal reforms 6 13% 10 6% 27 11% 43 9%
unspeciied 4 9% - 0% - 0% 4 1%
V&W Protection and Others
Others - 0% 2 1% 2 1% 4 1%
v&W Protection - 0% - 0% 6 2% 6 1%
General total 45 100% 160 100% 257 100% 462 100%
Total cases: 462 remedies adopted by IASPHR organs between June 2001 and June 2006.
Source: Original compilation based on the information extracted from the IACHR annual reports and Inter-American Court rulings.
v. 7 • n. 12 • Jun. 2010 • p. 9-35 ■ 17
tHE EFFEctIVENESS OF tHE INtER-AMERIcAN SyStEM OF HUMAN RIGHtS PROtEctION: A QUANtItAtIVE
APPROAcH tO ItS FUNctIONING AND cOMPlIANcE WItH ItS DEcISIONS
3.3 Remedies and Degrees of Compliance
Upon analyzing the degrees of compliance with the recommended, agreed upon,
or ordered remedies in the surveyed decisions, non-compliance with half of these
remedies is observed. Moreover, total compliance with only 36% of the surveyed
remedies and partial compliance with 14% was found.
GRAPH 3. degRees Of cOmPLIance WIth RemedIes (In %)
Partial compliance
14% non-compliance
50%
total compliance
36%
Total cases: 462 remedies adopted by IASPHR organs between June 2001 and June 2006.
Source: Original compilation based on the information extracted from the IACHR annual reports and Inter-American Court rulings.
The remedies with the greatest degrees of compliance are those that demand some
type of reparation: total compliance is found in 47% of the cases and partial
compliance in 13%. In extreme contrast, only 10% of orders, recommendations,
or commitments to investigate and punish those responsible for violations were
totally satisfied; 13% were partially satisfied, and 76% were not satisfied.
As regards the different degrees of compliance with the different types of
remedies, the greatest degrees of compliance were registered in those which required
monetary reparations (58%), followed by those of symbolic reparations (52%),
preventive measures through raising social awareness (43%) and the training of
public officials (42%). However, remedies with the least degrees of compliance
are those requiring the protection of witnesses and victims (17%), investigation
and punishment of those responsible, regardless of the need of legal reforms (14%
and 10% respectively) and those requiring legal reforms (14%). In particular, in
cases in which the IACHR has recommended carrying out unspecified preventive
measures there has been no compliance whatsoever12.
18 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
FERNANDO BAScH Et Al.
GRAPH 4. degRees Of cOmPLIance WIth dIffeRent tyPes Of RemedIes (In %)
58%
monetary economic reparations
52%
symbolic reparations
43%
awareness raising preventive measures
42%
Personnel training preventive measures
36%
Restitution of rights reparations
30%
non-monetary economic reparations
Institutional strengthening 26%
preventive measures
17%
Protection of victims and witnesses
Investigating and sanctioning 14%
with legal reform
14%
Preventive measures with legal reform
Investigating and sanctioning 10%
without legal reform
0%
unspeciied preventive measures
50%
Others
36%
total
total compliance
Partial compliance 0% 10% 20% 30% 40% 50% 60% 70% 80% 90%
non-compliance
Total cases: 462 remedies adopted by IASPHR organs between June 2001 and June 2006.
Source: Original compilation based on the information extracted from the IACHR annual reports and Inter-American Court rulings.
v. 7 • n. 12 • Jun. 2010 • p. 9-35 ■ 19
tHE EFFEctIVENESS OF tHE INtER-AMERIcAN SyStEM OF HUMAN RIGHtS PROtEctION: A QUANtItAtIVE
APPROAcH tO ItS FUNctIONING AND cOMPlIANcE WItH ItS DEcISIONS
3.4 Types of decisions and degrees of compliance
Remedies agreed upon in friendly settlements approved by the IACHR are those
that register the greatest degree of compliance13. 54% received total compliance,
the highest, albeit not entirely satisfactory, proportion. In contrast, only 29%
of remedies ordered by the Court and 11% of remedies recommended in the
Commission’s final reports were totally satisfied14.
GRAPH 5 - cOmPLIance WIth RemedIes accORdIng tO the tyPe Of decIsIOn (In %)
59%
court holdings 12%
29%
30%
friendly settlements 16%
54%
71%
final reports 18%
11%
non-compliance
Partial compliance
total compliance
0% 10% 20% 30% 40% 50% 60% 70% 80%
Total cases: 462 remedies adopted by IASPHR organs between June 2001 and June 2006.
Source: Original compilation based on the information extracted from the IACHR annual reports and Inter-American Court rulings.
3.5 Types of decisions, types of remedies, and degrees of compliance
Upon combining the variables listed above, it is observed that the highest
percentage of total compliance is verified in monetary reparations agreed upon in
approved friendly settlements (88%). Non-compliance is verified at high levels,
unfortunately, in all types of decisions and all sorts of remedies. As has been said
already, however, a lesser degree of non-compliance tends to be verified for remedies
agreed upon in approved friendly settlements. For example, 84% of institutional
strengthening measures ordered in Court rulings were not satisfied, and 67% of
those recommended in IACHR final reports were not satisfied, while the percentage
of non-compliance in institutional strengthening measures agreed upon in friendly
settlements is notably lower: 11%. The same can be said of measures aimed at
raising social awareness: their level of total non-compliance is 50% in cases ordered
by Court rulings and 0% in cases in which they were agreed upon in approved
friendly settlements.
Finally, monetary reparations seem to be, in relative terms, the measures
receiving the least amount of non-compliance of all types of decisions.
20 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
Chart 3
Total
complia.
Total
complia.
Partial
complia.
Non-
compliance
Degree of
Total
complian.
Total
complian.
Partial
complian.
Non-
compliance
Degree of
Total
complian.
Total
complian.
Partial
complian.
Non-
compliance
Degree of
Source: Original compilation based on the information extracted from the IACHR annual reports and Inter-American Court rulings.
Total cases: 462 remedies adopted by IASPHR organs between June 2001 and June 2006.
COMPLIANCE WITH REMEDIES ACCORDING TO THE TYPE OF DECISION (IN %)
100% 100% 100% 100% 100% 100% 100% 100%
100% 100% 100% 100%
100% 100% 100%
Reparations – Reparations – Reparations –
48
21
31
88
16
17
67
6
6
monetary econ monetary econ monetary econ.
Reparations – non- Reparations – non- Reparations – non-
65
17
18
21
74
25
75
5
0
monetary econ monetary econ monetary econ
Reparations - Reparations -
100
Reparations -
64
31
49
11
40
5
0
0
symbolic symbolic symbolic
Reparations – Reparations – Reparations –
43
19
38
31
65
4
0
Restitution of rights Restitution of rights Restitution of rights
100%
100
Prev. measures. Prev. measures. Prev. measures.
43
57
0
0
0
0
Inter-American Court Holdings
-training -training -training
100% 100% 100%
Prev. measures. – Prev. measures. – Prev. measures. –
Friendly Settlements
67
33
25
25
50
0
0
awareness raising awareness raising awareness raising
Final Reports
100% 100% 100%
Prev. measures. –
33
67
Prev. measures. – Prev. measures. –
30
30
40
0
92
4
4
Legal Reforms Legal Reforms Legal Reforms
Prev. measures. – Prev. measures. – Prev. measures. –
33
67
47
42
11
16
84
0
0
Inst. strength. Inst. strength. Inst. strength.
Prev. measures. – Prev. measures. – Prev. measures. –
v. 7 • n. 12 • Jun. 2010 • p. 9-35 ■ 21
25
75
0
0
0
unspeciied unspeciied unspeciied
100% 100% 100% 100% 100% 100%
Investigate – with Investigate – with Investigate – with
16
17
67
0
0
legal reform legal reform legal reform
FERNANDO BAScH Et Al.
100%
100%
Investigate – without Investigate – without
21
72
23
77
Investigate – without
7
0
11
89
legal reform legal reform
0
legal reform
Protection of victims Protection of victims
0
Protection of victims
0
and witnesses
17
83
and witnesses
0
and witnesses
100% 100% 100%
50
50
Others
0
Others
0
50
50
Others
0
100% 100%
friendly settlements
11
18
71
54
16
30
final reports total
29
12
59
court holdings total total
36
14
50
36
14
50
36
14
50
Total Total Total
tHE EFFEctIVENESS OF tHE INtER-AMERIcAN SyStEM OF HUMAN RIGHtS PROtEctION: A QUANtItAtIVE
APPROAcH tO ItS FUNctIONING AND cOMPlIANcE WItH ItS DEcISIONS
3.6 State performance
The study of the degree of compliance with the remedies demanded of different
states shows that the highest percentages of non-compliance correspond to Trinidad
and Tobago, Venezuela, and Haiti. These three states totally failed to comply with
the remedies recommended, agreed upon, or ordered by the control bodies of the
IASPHR, although it should be noted that in the analyzed sample, the Inter-American
Court ruled only twice against Trinidad and Tobago, once against Venezuela,
and the IACHR only issued one report on the merits against Haiti. Furthermore,
Suriname and the Dominican Republic have a 75% level of non-compliance with
remedies, although it should also be clarified that during the period studied, each
of these countries had only one Court ruling issued against them. The percentages
of non-compliance with remedies following in decreasing order are Paraguay – with
69% non-compliance with remedies – and Colombia – with 68% non-compliance.
On the other hand, the highest percentages of compliance correspond to
Mexico (83%), Bolivia (71%) —even though only 2 friendly settlements were
approved by the IACHR in the surveyed period— and Chile (59%).
On the other hand, Ecuador, Peru, and Guatemala are the states that received
the greatest amount of decisions against them by the IACHR during the surveyed
period: 17, 17, and 13 respectively. Peru, Guatemala, Colombia, and Paraguay were
states that received the greatest amount of rulings from the Inter-American Court:
9, 7, 5, and 4 respectively.
State performance can be broken down for each type of decision issued by
the control organs of the IASPHR. The results confirm that – with the exception of
Chile, which has a compliance level of 63% of the remedies ordered in Court rulings
– states are more likely to comply with remedies agreed upon in approved friendly
settlements than in those resulting from the remaining two types of decisions15.
In particular, upon analyzing state performance in compliance with the different
remedies categorized by the objectives they pursue, the low level of general compliance
with measures to investigate and punish is notorious. Nine countries have a level of
complete non-compliance with this type of remedy (this is the case of Argentina,
Ecuador, El Salvador, Haiti, Honduras, Nicaragua, Paraguay, Surinam, and Venezuela),
while the remaining countries record total compliance only between 9 and 17% of the
cases (Peru, Guatemala, Colombia, and Brazil). The sole exception is Mexico, which
totally complied with remedies to investigate and punish in 67% of the cases surveyed.
With respect to preventive measures, once again, Mexico stands out with a
100% compliance. The remaining countries have a medium level of compliance
(between 40 and 50%; in the cases of Ecuador, El Salvador, Brazil, and Colombia),
low compliance (between 7 and 25%; in the cases of Nicaragua, Argentina, Chile,
Guatemala, and Peru) or non-compliance (in the cases of Bolivia, Costa Rica,
Venezuela, Honduras, and Paraguay, among others).
Bolivia, Chile, and Honduras stand out with a 100% compliance with
the surveyed reparation measures. They are followed by Mexico (86%), Ecuador
(67%), and Nicaragua (63%). On the contrary, countries such as the Dominican
Republic, Colombia, and Paraguay registered low levels of compliance with these
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Chart 4
COMPLIANCE WITH REMEDIES BY STATE AND ACCORDING TO THE TYPE OF DECISION (IN %)
State Party Total Final Friend. Court Total % of non- % of partial % total
Cases Rep. Settle. Hold. Remedies complian. complian. complian.
mexico 3 1 2 12 17% 0% 83%
bolivia 2 2 7 29% 0% 71%
chile 5 1 3 1 22 18% 23% 59%
honduras 2 2 10 50% 0% 50%
nicaragua 3 1 2 13 39% 15% 46%
el salvador 1 1 7 29% 29% 43%
guatemala 13 1 5 7 90 44% 14% 41%
brazil 6 4 2 42 36% 24% 41%
ecuador 17 1 14 2 42 55% 5% 40%
argentina 5 3 2 17 41% 24% 35%
Peru 17 1 7 9 94 51% 17% 32%
dominican
1 1 4 75% 0% 25%
Republic
suriname 1 1 8 75% 0% 25%
colombia 6 1 5 41 68% 7% 24%
Paraguay 5 1 4 29 69% 17% 14%
costa Rica 1 1 3 33% 67% 0%
haiti 1 1 3 100% 0% 0%
trinidad and
2 2 10 100% 0% 0%
tobago
venezuela 1 1 8 100% 0% 0%
general total 92 12 39 41 462 50% 14% 36%
Total cases: 462 remedies adopted by IASPHR organs between June 2001 and June 2006.
Source: Original compilation based on the information extracted from the IACHR annual reports and Inter-American Court rulings.
remedies (33%, 21%, and 15%, respectively). Other states show complete non-
compliance with reparation remedies included in the sample: Costa Rica, Haiti,
Trinidad and Tobago, and Venezuela.
The analysis of the level of compliance of each state with different types
of remedies leads to the conclusion that preventive measures demanding the
strengthening, creation or reform of public institutions were only satisfied to some
extent by Brazil, which had fully complied with 64% of the cases. The other eleven
states to which the IASPHR bodies recommended or ordered this type of measure
totally failed to comply with them in all cases.
v. 7 • n. 12 • Jun. 2010 • p. 9-35 ■ 23
tHE EFFEctIVENESS OF tHE INtER-AMERIcAN SyStEM OF HUMAN RIGHtS PROtEctION: A QUANtItAtIVE
APPROAcH tO ItS FUNctIONING AND cOMPlIANcE WItH ItS DEcISIONS
As regards measures for legal reform, they received full compliance in all cases
in which they were ordered for Mexico and Ecuador. Another 4 states had a low
level of compliance with these measures (Argentina, 33%; Chile, 25%; Nicaragua,
25%; Peru, 20%) and 9 totally failed to comply.
Finally, Bolivia, Chile, and Honduras have totally complied with all
reparation remedies demanded of them, while Trinidad and Tobago, Venezuela,
Colombia, Paraguay, and Peru present low levels or compliance or complete non-
compliance with these remedies.
Chart 5
STATE COMPLIANCE WITH REMEDIES ACCORDING TO THEIR TYPE (IN %)
Reparations – Restitution of
Prev. measures. -training
Prev. measures. –Raising
Protection of victims and
Reparations – monetary
Reparations - symbolic
Prev. measures. –Legal
Prev. measures. –Inst.
Without legal reforms
non-monetary econ.
With legal reforms
Prev. measures.
Investigating –
Investigating –
Reparations –
-unspeciied
awareness
witnesses
strength.
reforms
Others
Rights
econ.
total
mexico 0% 100% 100% 100% 100% 67% 83%
bolivia 100% 100% 0% 0% 71%
chile 100% 100% 100% 100% 0% 100% 25% 0% 0% 59%
honduras 100% 100% 0% 0% 0% 50%
nicaragua 33% 100% 67% 100% 25% 0% 46%
el salvador 100% 0% 50% 100% 0% 0% 43%
guatemala 77% 23% 73% 67% 50% 0% 0% 0% 0% 50% 8% 50% 41%
brazil 33% 100% 100% 0% 50% 50% 0% 64% 0% 14% 40%
ecuador 82% 20% 50% 0% 100% 0% 36%
argentina 75% 0% 67% 0% 33% 0% 0% 0% 35%
Peru 47% 33% 45% 24% 0% 20% 0% 0% 10% 100% 32%
dominican
100% 0% 0% 25%
Republic
suriname 100% 0% 33% 0% 0% 0% 25%
colombia 33% 0% 27% 0% 67% 0% 0% 25% 0% 22%
Paraguay 20% 0% 29% 0% 0% 0% 0% 0% 0% 100% 14%
costa Rica 0% 0% 0% 0%
haiti 0% 0% 0% 0%
venezuela 0% 0% 0% 0% 0% 0% 0%
trinidad
0% 0% 0% 0% 0% 0%
and tobago
total 58% 30% 52% 36% 42% 43% 14% 26% 0% 14% 10% 17% 50% 36%
Total cases: 462 remedies adopted by IASPHR organs between June 2001 and June 2006.
Source: Original compilation based on the information extracted from the IACHR annual reports and Inter-American Court rulings.
24 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
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3.7 Time periods of compliance
The study of the time states delay in carrying out measures necessary for totally
complying with remedies (in cases in which this has happened) yields the following
results: the average delay for total compliance with remedies was approximately 1
year and 8 months. Separately, the average time spent for totally complying with
remedies recommended by the IACHR in final reports was approximately 2 years
and 7 months, and the average time for complying with remedies ordered in Court
rulings was approximately 1 year and 8 months.
In the following chart, the average time periods that each state delayed in
reaching total compliance with remedies are comparatively reflected.
Chart 6
DELAY IN TOTAL COMPLIANCE WITH REMEDIES (IN YEARS)
Denounced state Final report Court ruling General average
argentina 0,7 0,7
chile 3,1 1,5 1,4
colombia 2,0 1,9
ecuador 4,0 1,9 2,4
el salvador 1,5 1,5
guatemala 2,6 1,6 1,7
honduras 3,0 3,0
nicaragua 2,3 2,0
Paraguay 2,3 2,3
Peru 0,3 1,4 1,3
dominican Republic 1,5 1,5
suriname 1,3 1,3
general average 2,6 1,7 1,7
Total cases: 302 remedies adopted by IASPHR bodies between June 2001 and June 2006. Source: Original compilation based
on the information extracted from the IACHR annual reports and Inter-American Court rulings.
3.8 Litigants and compliance
Litigants before the IASPHR were classified in the following categories, in
accordance with who presented the petition: a) Individuals (including any person,
victim, victim’s family member, attorney); b) Non-governmental Organizations
(NGOs) of the denounced state itself (including professional associations and
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unions)16; c) NGOs acting internationally (operating in states other than the
denounced state or not only in the denounced state); d) The Ombudsman Office
of the denounced state; and e) University legal clinics.
In 34% of the cases surveyed, a national NGO was the litigant, in some
cases, along with individual petitioners and/or legal clinics. 30% were litigated
by a combination of at least one international NGO and one national NGO,
at times together with individual petitioners and/or legal clinics. 12% of the
cases were litigated by an international NGO, either together with individual
petitioners and/or legal clinics or not. Individual petitioners litigated only 20%
of the cases. In 4% of the cases, Ombudsman Offices were the litigants, but only
as sole petitioners in 2% of the cases. Legal clinics presented 5% of the cases,
although they were always accompanied by an international NGO and in some
cases by a national NGO as well.
The remedies established in cases in which litigation was brought forward
by an international NGO have a lower level of total non-compliance (40%)
than the average level of total non-compliance (50%), even though this is not a
significant difference.
In turn, even though the cases litigated by the Ombudsman’s Office that
entered into the sampling are scarce (4%), they register a level of total compliance
that is noticeably greater than the average: 71.4% versus 35.7% of the total cases.
3.9 Duration of proceedings before the IASPHR
The average duration of proceedings, from when the petitions enter into the
IASPHR until their resolution is approximately 7 years and 4 months. The
median is 6.7 years (approx. 6 years and 8 months.), which means that half of
the cases are resolved in 6.7 years or less, while the other half takes 6.7 years or
more before they are resolved.
In turn, the processes solved through friendly settlements agreements have
a shorter average duration than the processes completed through Court rulings
or the Commission’s final reports on the merits.
Grouped by time intervals, 88% of cases were resolved with a delay that
is greater than or equal to 4 years. In turn, 25% lasted from 4 to 6 years, and
34.8% from 6 to 8 years, and 28.3% were resolved in more than 8 years.
42% of the cases that ended with an IACHR final report lasted from 5
to 8 years. 33% of them lasted from 7 to 11 years and 17% lasted more than 11
years. The proceedings in more than 56% of the cases finalized by a Court ruling
lasted from 5 to 8 years, and 14% of them lasted from 2 to 5 years, another 15%
went on for 7 to 11 years, and another 15% lasted for more than 11 years. As
regards the proceedings concluded through the approval of a friendly settlement,
39.5% took around 5 to 8 years before a settlement was reached, 26% lasted from
2 to 5 years and 16% did so in less than 2 years. 10.5% of the cases delayed 7
to 11 years before a settlement was reached. Considering all the decisions that
put an end to the proceedings, 47% of them took from 5 to 8 years since the
proceedings started.
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Chart 7
DURATION OF PROCEEDINGS ACCORDING TO THE TYPE OF DECISION (IN %)
Friendly Court General
Number of years Final report
settlement holding average
up to 2 years 0% 16% 0% 7%
between 2 and 5 years 8% 26% 14% 19%
between 5 and 8 years 42% 39,5% 56% 47%
between 7 and 11 years 33% 10,5% 15% 15%
11 or more years 17% 8% 15% 12%
general total 100% 100% 100% 100%
total cases: 92 remedies adopted by IasPhR organs between june 2001 and june 2006.
source: Original compilation based on the information extracted from the IachR annual reports and Inter-
american court rulings.
4 Observations
Full compliance with the decisions of the IACHR and the Inter-American Court
constitutes an essential element to ensure the full force of the ACHR in the region.
Furthermore, it is an obligation that the states themselves assumed upon ratifying
the Convention (ACHR, 1969a, 1969b), deriving from the fundamental principle of
compensating harm and the principle of good faith in the observance of treaties
(VIENNA CONVENTION ON THE LAW OF TREATIES, 1969). The information
surveyed in this research project, however, suggests that such actions are not as
strongly implemented as the rules require.
4.1 IASPHR Objectives
The variety of the remedies adopted by the IACHR and the Inter-American Court
seems to confirm the widespread vision that the objectives sought by the IASPHR
are, with relatively few exceptions, to make reparations to affected persons or
groups, to take measures to avoid repeating detected rights violations, and to give
protection to victims and witnesses. As has already been pointed out, the objective
of making reparations to affected persons or groups predominates. Not only is
it the most usual type of remedy, but it is also the one that seems to receive the
greatest proportion of state compliance. In particular, the means most frequently
employed are measures of symbolic reparation —especially in Court rulings— and
monetary and non-monetary economic reparations.
In recent years, IASPHR bodies have evolved in their determination to
make reparations through broadening the type and variety of remedies ordered.
This evolution is observed, above all, in the rulings of the Court, which has
drafted important jurisprudence beyond the mere pecuniary aspect in the pursuit
of complete reparation for the harmful consequences of rights violations. The
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IACHR has also made progress in this area, especially with regards to friendly
settlements. Due to its nature, this type of proceedings allows the determination
of more specific measures, with the potential of better guaranteeing the complete
satisfaction of victims.
4.2 Compliance with remedies
Non-compliance with measures required by the IASPHR has been shown to be
notably widespread. Half of the remedies recommended, agreed upon, or ordered
in the decisions surveyed were not satisfied and only 36% of them were totally
satisfied. Only in exceptional cases, moreover, after a long period of time total
compliance occurs. On average, Inter-American proceedings require more than
seven years from when the petition first enters the system until a final decision. To
this, the average period of time that states delay in complying totally or partially
with the required remedies (when they do so) is approximately 2 and a half years
for final reports, and a little more than a year and a half for Court rulings. These
time periods are excessively long and may generate distrust and frustration among
the users of the IASPHR17. If the large number of petitions and subjects received is
considered, it is clear that in many cases, the IASPHR does not offer an effective
and timely answer for those affected.
One possible explanation —that we have not explored in this study— for
diverse levels of compliance depending on the type of measure ordered may be
associated with the characteristics of the state entity in charge of its implementation.
In many cases, the office responsible for state foreign relations before the IASPHR
is different than the office that should be involved in implementing the required
measures. For example, in the cases in which the modification of a law was required,
the Executive may push for reform, but the measure will only be satisfied by means
of the intervention of the Legislative, in which, in turn, diverse political forces
must reach a consensus. Something similar happens with decisions that require
the investigation and punishment of those responsible for human rights violations.
The Executive may urge compliance with said measures, but, generally, the only
branch with authority to carry out compliance is the Judiciary. If this description is
realistic, it should not surprise us that the remedies that require orders from offices
pertaining to different branches of government record lower levels of compliance,
as compared to monetary compensation and other measures the implementation of
which generally are the responsibility of the Executive Power, in charge of relations
with the IASPHR.
4.3 Types of decisions
The relatively low degree of compliance with recommendations made in final reports
by the IACHR leads to the conclusion that said form of resolving cases is not the
most effective one, even when there are understandable reasons not to submit a case
to the Court. The rate of compliance with remedies ordered in Court rulings is also
low, but it is greater than the number of remedies included in final reports of the
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IACHR. The relative effectiveness of friendly settlements, in turn, tends to strengthen
the idea that the IACHR should dedicate the greatest amount of effort possible to
promoting these agreements. This mechanism seems to provide the petitioner the
possibility of a faster and more effective solution than that which could eventually
be obtained though a final decision of the Commission.
4.4 Litigants before the IASPHR
The results of this research also suggest that the intervention of an international NGO
in proceedings before the IASPHR has a slight yet positive influence on subsequent
state compliance with recommendations. One possible explanation may indicate
that an expert NGO may have, unlike an individual litigant, greater technical and
structural resources for exercising pressure on states, not only at the moment of
negotiating the clauses of the friendly settlement, but also when demanding effective
compliance with them. Compliance also tends to increase when the litigant before
the IASPHR is the Ombudsman’s Office of the state party, although this has been
verified by a very small sample of cases. This may perhaps be due to the greater
ability of these offices to carry out the steps and lobbying necessary with different
powers and state agencies with decision-making powers for implementing measures.
These research results may suggest, therefore, the necessity for greater involvement
of ombudsman’s offices in general in litigating rights at the Inter-American level,
consolidating a still incipient trend. The results also shed light on the relevance
that these state bodies may have on the internal implementation stage of IASPHR
decisions, independently of their prior intervention.
4.5 States involved
Finally, formulating a conclusive assessment with respect to each state’s performance is
a complicated task. Intuition indicates, certainly, that states have many characteristics
that may make observance of an IASPHR measure more or less probable. For example,
it may be thought that federal states face some additional complexities in the way
to compliance. Federalism, in and of itself, therefore, may constitute a difficulty for
compliance with measures required by Inter-American bodies. In fact, some states have
state or province officials as part of their delegations before the IASPHR protection
bodies with the objective of involving them and committing them to complying with
recommendations and orders. Nevertheless, it is doubtful that this research will offer
conclusive material for sustaining such an affirmation. Other state characteristics
may also be considered as being associated with levels of compliance with remedies,
such as the degree of consolidation and the quality of their democratic institutions,
their trajectory, and commitment to the IASPHR, their economic situation, etc.
Regardless, this research offers an objective and reasonable foundation for
discussing, in each case, the performance of each state in relation to the IASPHR.
Of course, the IASPHR’s influence is a subject that deserves a great deal of study
beyond the levels of compliance with remedies adopted by its bodies and types
of state behavior. It is also clear that the limited focus of this research, as in any
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theoretical endeavor, may overlook some important aspects. Nevertheless, the
research offers an argumentation perspective and an objective foundation cited by
the specialized literature, that allows for states to be questioned: remedies adopted
in the framework of the petition-based system must be obeyed and if the degree
of compliance exposed in this research is not satisfactory, it is principally due to
states not behaving in a satisfactory manner.
5 Agenda and final reflections
Naturally, during the development of this research, several hypotheses associated
with the possibility of increasing compliance with IASPHR decisions have arisen.
Below, some of them are briefly presented. Even though they are not observations
that are directly linked to the statistical information presented, they are intimately
related to the problem of the IASPHR effectiveness. It is possible that similar
inquiries to the one presented here will contribute to a more thorough discussion
surrounding this problem.
5.1 Breakdown of remedies with low levels of compliance
First, the discussion of possible reforms to the Inter-American system must include
a chapter regarding the reforms necessary for increasing degrees of state compliance
with the decisions of the bodies of the IASPHR. One possible approach to be
explored consists in breaking down obligations with broad contents that present
low levels of compliance, such as investigating and punishing. For example, the
opening (or reopening) of investigations, on the one hand, and the punishment
of those responsible for the crimes, on the other, could be required separately. In
this sense, more specific orders or recommendations may facilitate control over the
diverse mechanisms through which both obligations may be satisfied. Innovations
in this field appear necessary, in the investigation and punishment of human rights
violations, being one of the remedies most required by the IASPHR organs with
the lowest levels of compliance.
5.2 National implementation mechanisms
It appears to be of crucial importance that states establish a national space of
coordination between the different powers in order to increase the possibilities
for effective and timely compliance (DULITZKY, 2007, p. 40; IDL et al., 2009, p.
16). In terms of academic research, there are no further studies focusing on the
incidence of national mechanisms on levels of compliance. Similarly, it has also
been suggested that states should adopt formal mechanisms for the effective
implementation of international decisions, establishing through constitutional,
legal, or jurisprudential means their binding nature, and that they incorporate
in public-policy making and in solving legal cases the standards developed by
the Commission and the Inter-American Court in the interpretation of the
American Convention.
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5.3 Strengthening of friendly settlement proceedings
One possible reform for strengthening the friendly settlement proceedings is aimed
at modifying the practices of the IACHR in response to non-compliance with these
settlements (IDL et al., 2009, p. 15 and ss). None of the provisions of the ACHR
makes reference to the consequences derived from failing to comply with the
agreement or whether, under such situation, the case should be deemed as closed.
In practice, if the state fails to comply with an approved friendly settlement, the
case is not sent to the Inter-American Court. Therefore, it has been said that from
the point of view of the petitioner, selecting the friendly settlement route may be a
disadvantage in comparison with the option of the contentious route. So as to not
obligate the petitioner to make a prior evaluation of risks of the case’s resolution,
the IACHR may similarly treat non-compliance with a report on the merits and the
friendly settlement. This means that if after the fulfillment of the terms established
in the friendly settlement reports, the state, or a party to the settlement, fails to
comply with all or in part with the settlement, the IACHR may reopen the matter
and continue with the proceedings as though a friendly settlement had not been
reached and, eventually, send the case to the Court. Otherwise, the Commission
must decide to issue the report established in Article 49 of the ACHR, only when
the commitments assumed in the settlement have been fully satisfied. Moreover, the
possibility that, in response to non-compliance with commitments the case could
be sent directly to the Court would generate an additional incentive for the state to
make its greatest efforts in order to find a way to comply with its obligations18. Finally,
while the ACHR does not provide any guidelines regarding the manner in which the
Commission and the parties should proceed at this stage19, this could be specified
by means of regulations. The possibility that the IACHR could be authorized for
setting the terms of the friendly settlement could even be considered, although it is
not a possibility that is currently established in any provision.
5.4 Conciliation proceedings
Another suggested option is that of unpacking the IACHR’s mandate – and especially,
adjusting its role in the contentious stage20- which would allow it to strengthen its
political role (promotional tasks and technical assistance) and its participation in friendly
settlement proceedings, which seem to be the most effective21. In this study, it was
confirmed that the percentage of state compliance with approved friendly settlements
is elevated. Therefore, it is vital to insist on the need for the IASPHR to carry out all
the reforms that, directly or indirectly, will strengthen this case solving method. If, for
example, the IACHR were able to limit its participation during the contentious stage,
it would be further available to exert a more active role during the friendly settlement
process, thus reinforcing its powers and capabilities as mediator and its political and
diplomatic role, relevant at this stage of the process. In this way, the IACHR might also
carry out a more exhaustive follow-up during the implementation stage, periodically
review the commitments assumed, visit the countries regularly and hold frequent work
meetings with state and petitioner representatives.
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5.5 Following-up decisions
Finally, it seems fundamental to strengthen the control, monitoring, and follow- up
capabilities of the system’s bodies. Especially, the IACHR, in its role of political organ
and main human rights protection promoter in the region, should boost the actions
aimed at ensuring an compliance with its decisions as well as those dictated by the
Inter-American Court. Furthermore, the General Assembly of the OAS should take
a more active role in this matter, by eventually applying costly political sanctions to
the states which are reluctant to comply with the measures ordered by the organs
of the IASPHR.
The IACHR could issue rules with specifications regarding the level of
compliance demanded by each remedy in particular. The current practice, in which
the IACHR does not evaluate the level of compliance with each recommendation,
generates a perception of superficial control. This especially happens with respect to
recommendations drafted in terms that are vague or too broad, for example, such as
those that recommend that the state “ adopt the necessary measures to avoid similar
events in the future”. This, together with the lack of clear and uniform criteria for
all cases when evaluating the level of compliance with the recommendations, may
constitute an important obstacle for effective compliance with the remedies ruled
by the IACHR. If the Commission declared, for example, that the state failed to
comply with a recommendation, since the measures adopted were insufficient, the
state could take notice of the IACHR’s opinion to this respect and thus guide its
actions in accordance with said opinion. The same would happen if the IACHR
declared that a measure has been partially satisfied: the state would know that there
are measures that still need to be adopted and it would lead its efforts to fully satisfy
the recommendation. Finally, the evaluation of the level of compliance with each
recommendation in particular would prevent the sorts of contradictions that often
arise when, on the one hand, the petitioners consider that a specific recommendation
has not been satisfied at all or it has been partially satisfied and, on the other, the state
shows that it has been fulfilled. In these cases, it is fundamental that the IACHR
rules on the controversy in question and makes its point clear in the matter.
The evaluation of state compliance carried out by the Court should also be based
on clearer and more uniform criteria. Today, the Court limits itself to evaluating state
action with respect to each measure ordered, without clearly defining each category used
(total, whole, or full compliance, partial compliance, or pending observance). This is
particularly important in the cases in which the petitioners express their disagreement
with the way the state complied with a specific order and, nevertheless, the Court
declares that it has been fully satisfied. It has been detected that in many cases, the
Court does not account for the reasons of such decision. This is probably due to the
fact that it does not make the criteria for determining the degree of compliance with
ordered measures public. In these cases, so as to avoid feelings of injustice or frustration
among the petitioners, the Court should at least account for its reasons to conclude that
an order has been observed, despite the discontent expressed by the petitioner. Beyond
this, specifying the content of the evaluation criteria would grant greater transparency,
security, and uniformity to the follow-up process of the ordered measures.
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REFERENCES
Bibliography and Other Sources
AMERICAN CONVENTION ON HUMAN RIGHTS (ACHR). 1969a. Article 51.2.
______. 1969b. Article 68.1.
AYALA CORAO, C. 2001. Reflexiones sobre el Futuro del Sistema Interamericano
de Humanos [Reflections on the Future of the Inter-American System of Human
Rights]. IIHR Journal, San José, n. 30-31, special edition.
DULITZKY, A. 2007. 50 años del sistema interamericano de derechos humanos: una
propuesta de reflexión sobre cambios estratégicos necesarios [50 years of the Inter-
American Human Rights System: A proposed reflection about necessary strategic
changes]. IIHR Journal, n. 46, Jul./Dec. 2007, p. 31-40.
IDL et al. 2009. Comentarios sobre las propuestas de reforma del Sistema
Interamericano de Protección de Derechos Humanos [Comments on proposals
for reforming the Inter-American System of Human Rights Protection].
Presented before the CPJA of the OAS on March 5.
MÉXICO. 2008. Reunión de México para el fortalecimiento del sistema
interamericano de derechos humanos [Meeting in Mexico for strengthening
the Inter-Amerian human rights system]. Cuestiones y tendencias fundamentales
identificadas por el presidente de la reunion [Fundamental issues and trends
identified by the meeting’s president]. CP/doc. 4329/08 corr. 1.
ROBLES, M.E.V. 2005. La Corte Interamericana de Derechos Humanos: la necesidad
inmediata de convertirse en un tribunal permanente [The Inter-American Court of
Human Rights: the need for it to immediately transform into a permanent court].
CEJIL Journal, n. 1, p. 12-26.
VIENNA CONVENTION ON THE LAW OF TREATIES. 1969. Article 27. U.N.
Doc A/CONF.39/27 (1969), 1155 U.N.T.S. 331.
NOTES
1. From the OAS adjusted budget for 2009, 4.1% is and diverse proposals may be consulted at <http://
set aside for the IAcHR and 1.97% for the court. www.oas.org/consejo/sp/cPJA/ddhh.asp#dialogo>.
Ever since the approval of the reforms to the IAcHR 3. We should not overlook that the concept defined
and the court’s regulations in 2000, the percentage of herein as remedy is referred to as reparation in
the OAS total budget set aside for the two bodies has the practice of the IAcHR. We have decided to
increased little more than 1% of the total, in almost use the term remedy, commonly used in the Anglo-
ten years, going from 5% in 2000 to 6.07% in 2009. Saxon legal universe, so as to avoid confusion in the
Information available at: <http://www.IAcHR.org/ description of the objectives pursued by the IAcHR
recursos.sp.htm> and at <http://www.corteidh.or.cr/ and the Inter-American court when ordering or
donaciones.cfm>. See also, Robles (2005, p. 23-24, recommending conduct for states: only some and not
Annex 1) and Ayala corao (2001, p. 113). all of those requirements pursue strictly reparatory
2. cfr. . On March 5, 2009, the cPJA held a special purposes of past violations; others seek to prevent
session with civil society on the Inter-American future violations or other specific purposes such as
human rights system. the evolution of cJPA’s work the protection of victims and/or witnesses. the use of
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the term remedy instead of reparation makes a distinction the surveyed period – Peru, Guatemala, and Ecuador –
between those measures seeking reparation in the strict from the general calculations, there are not significant
sense, as defined in this section, and all other measures. changes. Even though, by excluding these countries from
4. In the cases without information about the date of the calculations, a greater percentage of total compliance
compliance with a determined remedy we have taken with remedies agreed upon in approved friendly settlements
the date of the annual report of the IAcHR or of the is observed (increasing from 54% to 65%), lower levels
resolution of the supervision of the judgment of the court of compliance are also recorded in compliance with the
that declared the total or partial compliance with the remedies ordered in court rulings (from 29% compliance
remedy, as this is the first date in which the compliance is decreases to 25%) and remedies recommended in final
mentioned. In cases of partial compliance with remedies, reports (decreasing from 11% to 4%).
the date of the last concrete action adopted by the State 15. As regards the degrees of compliance with remedies
towards compliance is entered. therefore, the results recommended in final reports of the IAcHR and those
related to the delay in complying with remedies must be ordered in the holdings of the Inter-American court,
red in approximate terms. it is observed that the states that had greater degrees
5. In cases of multiple petitions, the initial date was of compliance with remedies ordered in holdings of
recorded as the date of the presentation of the first the Inter-American court are chile, Nicaragua, and
petition. Honduras, and the states that had greater degrees of
compliance with remedies recommended in final reports
6. the closing date for the research was June 30, 2009.
of the IAcHR are Ecuador, Guatemala, and Peru.
7. this information has been gathered from sections from
16. In cases in which an NGO was present in representing
the annual reports referring to the state of compliance
victims or family members, the litigant considered for
with the recommendations of the IAcHR.
statistical purposes was only the NGO. In cases in which
8. All of the charts with surveyed data and classification individual petitioners as well as NGOs were present, the
decisions are within the authority of the Dc and may be participation of both was taken into account.
requested..
17. We should not lose sight of the fact that most of
9. For surveying purposes, in the cases in which the these cases have already undergone extensive domestic
payment of sums of money for diverse compensatory proceedings.
matters and costs was indicated, the duties were unified
18. the aforementioned proposal for reform also
as though they dealt with one sole remedy demanded of
indicates that it is fundamental that the IAcHR
the state.
improve the factual and legal content of friendly
10. this category does not include measures such as settlement reports in order to put them on the same
campaign launching or general media programs. this type level as reports on the merits and thus avoid that these
of measures corresponds to the iv category. On the other differences in the content of both reports discourage
hand, these remedies are different than those classified in petitioners from turning to friendly settlements. this
categories i and ii because they have a declarative rather is because the reports of Art. 49 of the AcHR are
than patrimonial content. limited to transcribing the settlement reached without
11. Or, at least, in which the IASPHR bodies have not presenting a determination of facts or doctrinal
made mention of the existence of this type of barrier. developments regarding the violated rights.
12. Of course, the indeterminacy of the order generates 19. By means of the Statute and Rules of Procedure
distrust of the evaluation. How can compliance with these of the IAcHR, essential procedural aspects of the
recommendations be verified? Is it necessary that the conciliation proceedings have been regulated, but these
violation effectively not repeat itself or is it enough for provisions are not sufficiently precise.
the state to do something concrete, albeit inefficient, in 20. cEJIl considers that the IAcHR could cooperate
seeking prevention? more with the court, given the debates of fact, law, and
13. to highlight the highest degree of compliance with the reparations that arise following the submission of a case;
remedies agreed upon in approved friendly settlements and respond to specific requests of the court regarding
is not the same as concluding that the remedies agreed these matters (cEJIl, 2005, p. 26). Other proposals are
upon in friendly settlements (whether or not they have aimed towards considerably limiting IAcHR intervention
been approved) are those that are satisfied the most in in the contentious stage; only the victim and the victim’s
general terms. As indicated in section II.1., only approved representatives would litigate before the court against the
settlements have been able to be surveyed, given that State; the IAcHR would limit itself to fulfilling the role
they are the only ones made public. thus, the level of of an assistant in the search for justice with the authority
compliance with unapproved settlements has not been to question the parties, present its point of view, its legal
able to be evaluated. With the lacking data, more solid opinion, and propose a solution for the case; in the prior
conclusions could be arrived at regarding the degree stage its role would only consist in adopting reports of
of effectiveness of friendly settlement proceedings as a admissibility and opening a friendly settlement process
means of resolving contentious cases. (DUlItZKy, 2007, p. 37). the most radical proposals raise
14. the generally poor results in terms of effectiveness do the need for the IAcHR to directly not intervene in the
not obey the low commitment of only a few states with proceedings before the court. these latter proposals have
many complaints before the system. the survey confirms received numerous criticisms from diverse actors related to
that, even excluding the measures issued against the the IASPHR (cEJIl, 2005, p. 25; IDl et al., 2009, p. 4).
three states with the most complaints against them in 21. See the clarification in note 16.
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RESUMO
Este artigo trata de uma das preocupações centrais das discussões atuais em torno do
funcionamento do Sistema Interamericano de Proteção aos Direitos Humanos: sua
efetividade. Muitas das questões necessárias para um debate mais rico sobre o fortalecimento
do sistema ainda não foram respondidas nem analisadas tão detalhadamente quanto possível.
Para iluminar alguns pontos dos problemas envolvidos, o presente artigo apresenta os
resultados de um projeto de pesquisa quantitativa com foco no grau de cumprimento das
decisões adotadas no âmbito do sistema de petição da Convenção Interamericana de Direitos
Humanos. A informação ora apresentada é o resultado do levantamento de todas as medidas
adotadas em todas as decisões inais da Comissão e da Corte Interamericanas no âmbito do
sistema de petição individual da Convenção (recomendações ou acordos amigáveis aprovados
pela primeira; e decisões da segunda) durante certo período; e observa, entre outros aspectos,
o grau de observância que os ditos remédios receberam até a data. Os resultados desta
pesquisa podem servir como base para identiicar tendências úteis para a discussão sobre
reformas possíveis com vistas à otimização do funcionamento do Sistema Interamericano de
Proteção aos Direitos Humanos e para a litigância estratégica perante os órgãos de proteção.
PALAVRAS-CHAVE
Sistema Interamericano – Comissão Interamericana – Corte Interamericana – Remédios –
Reparações – Grau de cumprimento – Efetividade – Petições individuais
RESUMEN
Este trabajo aborda una de las preocupaciones centrales en las discusiones actuales acerca del
funcionamiento del Sistema Interamericano de Protección de Derechos Humanos (SIDH):
su efectividad. Varios interrogantes que es necesario responder para avanzar en un debate
más rico acerca del fortalecimiento del SIDH carecen de respuestas deinitivas y aún no han
sido analizados con todo el detalle posible. Para iluminar algunas aristas de los problemas
involucrados, el presente trabajo detalla los resultados de una investigación cuantitativa
enfocada en el grado de cumplimiento de las decisiones adoptadas en el marco del sistema
de peticiones de la Convención Americana de Derechos Humanos (CADH). La información
que se presenta es el resultado de un relevamiento de todas las medidas adoptadas en todas
las decisiones inales de la CIDH y la Corte IDH, en el marco del sistema de peticiones
individuales de la CADH, durante un lustro –fueran recomendaciones o acuerdos de
solución amistosa homologados por la CIDH u órdenes de la Corte IDH –, y observa, entre
otras cosas, el grado de cumplimiento que dichos remedios han recibido hasta el presente.
Los resultados de esta investigación pueden servir de base para detectar tendencias útiles a la
discusión sobre posibles reformas para optimizar el funcionamiento del SIDH y para hacer
una utilización estratégica del litigio ante sus órganos de protección.
PALABRAS CLAVE
Sistema Interamericano – Comisión Interamericana – Corte Interamericana – Remedios –
Reparaciones – Grado de cumplimiento – Efectividad – Peticiones individuales
v. 7 • n. 12 • Jun. 2010 • p. 9-35 ■ 35
RIcHARD BOURNE
Richard Bourne is Secretary of the Ramphal centre committee which is
responsible for the Ramphal commission on Migration and Development. He was
the voluntary coordinator and then first Director of the commonwealth Human
Rights Initiative (1990-91) and arranged for the transfer of its headquarters
from london to New Delhi in 1993; he concluded a study of the Initiative as part
of the Economic and Social Research council’s Non-Governmental Public Action programme
in 2007. He was Head of the commonwealth Policy Studies Unit, london University, 1999-
2005 and is currently Senior Research Fellow, Institute of commonwealth Studies, london
University. He was for 16 years chairman of Survival International, the NGO concerned for
the rights of Indigenous and tribal peoples. He currently chairs the board of the Round table,
the commonwealth international affairs journal. He has written several books, including “lula
of Brazil, the story so far” (University of california Press and Zed Books, 2008, Geração
Editorial, 2009) and edited “Shridath Ramphal: the commonwealth and the World”, Hansib,
2008. He is currently working on a contemporary history of Zimbabwe, for publication in 2011.
Email: Richard.Bourne@sas.ac.uk
ABSTRACT
Is there a role for machinery to promote and protect human rights which is neither
universal, nor regional? he case of the Commonwealth of Nations, which originated in
the British Empire but where the majority of members are now developing states, ofers an
insight into possibilities at both intergovernmental and nongovernmental levels. his article
focuses on the way in which rules of membership for the Commonwealth have come to
play a decisive part in deining it as an association of democracies and, more cautiously, as
committed to human rights guarantees for citizens. he progress has been uneven, driven
by political crises, and limited by the small resources available to an intergovernmental
Secretariat. Simultaneously, the Commonwealth Human Rights Initiative, a strong
nongovernmental body, based in New Delhi and initially launched as a coalition of
London-based Commonwealth associations, has been coordinating international pressure
on Commonwealth governments to live up to their declarations. It has also been running
programmes of its own for the right to information, and accountable policing.
Original in English.
Submitted in 2008. Accepted in July 2010.
KEYWORDS
Commonwealth of Nations – Human rights
his paper is published under the creative commons license.
his paper is available in digital format at <www.surjournal.org>.
36 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
THE COMMONWEALTH OF NATIONS:
INTERGOVERNMENTAL AND NONGOVERNMENTAL
STRATEGIES FOR THE PROTECTION OF HUMAN
RIGHTS IN A POST-COLONIAL ASSOCIATION
Richard Bourne
The Commonwealth of Nations now consists of 54 states.1 Its origins lie in
the former British Empire, which expired in the 1960s.2 It was not established
by a treaty, but by a series of hortatory declarations of principle, of which the
most significant were made in Singapore in 1971 and in Harare in 1991; these
were combined together in a new statement from the Port of Spain summit of
Commonwealth leaders in November 2009. Today, most would argue that its main
political and economic aims lie in the fields of development, and governance. But
it has gradually come to assume significance for the promotion and protection
of the human rights of its some 2,000 million citizens (over half of whom live in
just one member state, India; more than 30 of its member states have populations
of less than 1.5 million). This article aims to describe how a voluntary grouping,
which is neither regional nor universal, is playing a role in this field, and how there
intergovernmental and nongovernmental actors have been interacting.
1 The intergovernmental Commonwealth
The increasing involvement in human rights of the intergovernmental
Commonwealth, whose political and economic secretariat is based in a former
royal palace in London, has been slow and cautious. This secretariat was
established in 1965, a year before the two UN Covenants on political and civil
rights and economic, social and cultural rights were adopted. The Commonwealth
matured as a post-colonial association simultaneously with two events. First, it
coincided with the arrival of a developing states majority in the UN. Second, an
international Cold War compromise, under which both the civil and political
Notes to this text start on page 52.
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rights dear to the West and the economic and social rights promoted by the
Soviet bloc, achieved parallel recognition with the maturing Commonwealth.
In the Commonwealth, there were furious rows between developing states
and the United Kingdom over racism in Southern Africa; Nigeria and Tanzania
threatened at various times to withdraw over what they saw as British inaction
after Ian Smith’s white-led Rhodesia declared unilateral independence in 1965. But
it was in 1977, at a London summit, that the Commonwealth first took a stand
for human rights. Idi Amin, the barbarous dictator of Uganda, had threatened
to attend. The cruelties of his regime had been widely reported, and diplomatic
efforts had been exerted to prevent his arrival. The conference communiqué made
plain the Commonwealth’s abhorrence.
But the Commonwealth Secretariat had no capacity to fulfil a human rights
mandate. The collegial air about Commonwealth leaders, meeting every two years
from countries where there were many human rights abuses, was not sympathetic
to finger-pointing between them.3 Nonetheless, the small West African state of
The Gambia proposed that there should be a full-blown Commonwealth Human
Rights Commission, with judicial powers, prior to the Lusaka summit in 1979,
which was largely concerned to end the war in Rhodesia (now Zimbabwe) and
which issued a declaration against racism. This scheme contrasted with the fact
that newly independent states had set up their own judiciaries and were not keen
on surrendering authority in such a sensitive and vulnerable area.
The Gambia’s proposal was filtered through a process which included
consideration by Commonwealth Law Ministers, and was drastically watered
down. In 1983, at a summit in Melbourne, the Commonwealth Secretariat was
authorised to set up a small Human Rights Unit (HRU), whose task was to promote
human rights. It was prohibited from performing any role in investigation or active
protection. It was seen as assisting governments in their own efforts for promoting
human rights. Secretariat staff at the time argued that their main rights-related
work lay in the campaign to end discriminatory apartheid in South Africa, and
the struggle for the development of the poorest countries and the improvement of
the living conditions of its citizens.4 Many governments were uncomfortable with
any Commonwealth role which could highlight the dissatisfaction and abuse of
their citizens, aid oppositions in their own countries, and give rise to bad publicity.
The official Commonwealth made little progress for human rights in the
1980s. In one year the HRU had no staff at all, and was seen as a football in a
funding battle between the Secretariat and the governments which provided most
of its finance – the United Kingdom, Canada and Australia. However, this led to
dissatisfaction among qualified Commonwealth nongovernmental bodies, which
banded together to establish a Commonwealth Human Rights Initiative (the
CHRI, see below). They were concerned by apparent inaction, which was giving
the apartheid propagandists a field day. White South Africans tried to divert attacks
on systemic inequality in their country by pointing to dictatorships and military
regimes elsewhere in the Commonwealth, and especially in Africa.5
The context changed drastically after the fall of the Berlin Wall in 1989,
the collapse of the Soviet bloc, as well as after the release of Nelson Mandela in
38 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
RIcHARD BOURNE
1990, which led to a negotiated end to South African apartheid. There was a brief
spasm of international optimism for human rights, with a build-up to the UN
conference in Vienna of 1993, and a switch to a multiparty system in countries
like Zambia, where Kenneth Kaunda’s one-party government of over 20 years was
voted out of office in 1991.
The CHRI was at the forefront of a campaign to make the Commonwealth
a more powerful tool for human rights. At the Harare summit of 1991 it sought
an independent Commonwealth Human Rights Commission, a special declaration
for human rights, and a substantial fund for the Secretariat’s HRU. None of these
initiatives were achieved. Nongovernmental activists were bitterly disappointed.
What the Harare conference did agree upon, however, was more modest, what
became known as the Harare Principles. In reviewing and renewing the positions
taken at Singapore in 1971, the heads of government agreed to uphold just and
accountable government, the rule of law, and fundamental human rights. Their
definition of democracy, the type of government they wished to support, was a little
evasive, as it had to suit “national circumstances.” Critics thought this expression
could cover one-party government, guided democracy and other systems which
limited the freedom of peoples to change their rulers. Subsequently the then
Secretary-General, Chief Emeka Anyaoku, has explained that the wording was
designed to cover the varied presidential, parliamentary and federal systems which
maintain a fully democratic spirit.
The Singapore Declaration contained fine if vague sentiments, but they
had been widely ignored. In paragraph 6 of that declaration the leaders had
stated, “We believe in the liberty of the individual, in equal rights for all citizens
regardless of race, colour, creed or political belief, and in their inalienable right
to participate by means of free and democratic political processes in framing the
society in which they live. We therefore strive to promote in each of our countries
those representative institutions and guarantees for personal freedom under the
law which are our common heritage.”
Nonetheless, the mid-nineties saw a major development for human rights
in the Commonwealth, precipitated by a political crisis. The Nigerian military
dictatorship, presided over by General Sani Abacha, caused an international furore
in 1995 when it executed Ken Saro-Wiwa and other Ogoni leaders at the start of
the Commonwealth summit in Auckland. Critics already doubted how a military
regime, repressing all opposition, could continue to belong to an association
professing the Harare Declaration. These executions, immediately denounced by
President Mandela of South Africa and John Major, the British Prime Minister,
seemed a snub to the association and to leaders which had appealed to General
Abacha for clemency.
Mandela urged that the Nigerian regime be immediately expelled from the
Commonwealth. The situation was fraught for the position of the current Secretary-
General, Chief Anyaoku, who was himself Nigerian. If his country had been
expelled he would almost certainly have had to resign. However, Chief Anyaoku
and his staff, along with key governments, had already been considering how to
provide the Harare Principles with teeth. He put forward specific proposals, as
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did the British government. Four years after the Harare Declaration, it was being
rebranded as a pioneering document for human rights.
The Commonwealth leaders came up with a Millbrook programme, whose
main feature was that governments in breach of the Harare rules could be suspended
by a new committee of Foreign Ministers, called the Commonwealth Ministerial
Action Group (CMAG ). The chief cause for suspension would be the unconstitutional
overthrow of an elected civilian government. It was a move not precisely in favour of
human rights, but against military coups. CMAG would then keep the suspended
government under review, until it could recommend the return of the government
to full membership after a transition to an elected administration. Immediately, after
the Auckland conference, three West African states ruled by the military – Nigeria,
Sierra Leone and The Gambia – had their membership suspended. The fact that they
were not actually expelled, but suspended from official Commonwealth meetings,
meant that Chief Anyaoku did not have to resign.
One aspect resulting from these decisions was that the Commonwealth,
a voluntary grouping often dismissed as a club lacking cohesion, or any ability
to follow up with its high-flown principles, had now established minimum
requirements. A government could lose its membership. This was a sanction not
available to a universal body such as the United Nations, or a regional body like the
Organisation of American States, where membership has always been automatic.
A voluntary club can be defined by its rules of membership.
But what did suspension really mean, either for governments or their citizens?
The Commonwealth is neither a rich, aid-giving organisation, nor a military
alliance. Suspended governments did not appear to lose much. They were no longer
invited to ministerial meetings, or eligible for technical assistance. But as the years
since 1995 have proven – seven governments have been through the suspension
process6 – governments did not like to be “CMAGed” and usually wanted to return
to full membership as soon as possible. Suspension was an affront to their status,
and became part of the evidence which could adversely affect their attraction to
tourists and outside investors.
The arrival of CMAG as a rules committee helped change the way in which
the Commonwealth was perceived internationally, even though it was clear that
its Foreign Ministers tended to judge issues politically, rather than in exact human
rights terms. The example of a Commonwealth which refused membership to
military leaders inspired the Organisation of African Unity (OAU) to introduce a
ban on military presidents attending OAU summits at Algiers, in 1999.
For human rights advocates, the arrival of CMAG provided a space for
lobbying. CMAG has, on average, met at least twice a year and the CHRI has made
regular submissions. Amnesty International, Human Rights Watch and national
human rights NGOs have periodically made submissions. But three issues were
left open after 1995. To what extent could CMAG be made more effective for
human rights? How far could the Commonwealth move from its new definition as
an association of democracies to being a promoter of the rights of its citizens? And
what had been and would be the consequences for the citizens of Commonwealth
countries whose governments were suspended from membership?
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It was obvious that there are many grievous human rights abuses in countries
under civilian rule, and also that Commonwealth governments found it easier to
ban military coups than to intervene in an expanding discourse of rights where
there is substantial international machinery. The Harare Declaration limited its
commitment to “fundamental human rights.” But within this broad mandate,
CMAG’s concern was largely with political rights and free elections. However, twice
running in recent years, in 2003 and 2007, Commonwealth observer groups have
described Nigerian elections as woefully inadequate but “democratic” Nigerian
governments have not been suspended. Fiji, where Commodore Frank Bainimarama
took power in a coup in 2006, was finally suspended from the Commonwealth
in September 2009 over his refusal to call elections; this meant, for example, that
its athletes and sports people became ineligible to compete in the Commonwealth
Games, New Delhi in October 2010. The Bainimarama military regime had also
been suspended from the Pacific Islands’ Forum of South Pacific governments in
May 2009. Interestingly the Forum had been influenced by the Commonwealth
in adopting an increasingly hostile position towards military coups, including the
setting up of its own Ministerial Action Group at its Biketawa meeting in 2000.
The Secretariat’s HRU over the last 15 years has focused on training civil
servants and police, on promoting national human rights institutions, and on
ratifying international conventions and covenants. It has continued to stay clear
of any process of investigation in member countries. In the last two years, led by
Dr Purna Sen who joined the Secretariat from Amnesty, it has published: best
practice advice for governments and others on the Universal Periodic Review of
human rights situations; a status report on human rights in member states; and
reports on the rights of the child and the rights of disabled persons. But it has been
unable to move into areas such as gay rights, and the rights of indigenous peoples,
which are regarded as sensitive issues in member states.
Nonetheless, since 1995, NGOs have been pushing for a broader human
rights mandate for CMAG, while some governments have wanted to rein CMAG
back. This push-and-pull meant that, after 1999, the leaders agreed to a slow process
for CMAG intervention – except in the case of military coups; CMAG would only
come into play after the Secretary-General had tried his good offices services, and
consulted regional neighbours. A nongovernmental proposal for a Human Rights
Adviser to CMAG was not given serious consideration.
However, Secretary-General Don McKinnon, a New Zealander who was
the vice-chairman of CMAG from 1995-9, required the HRU to provide him with
advice to use in briefing CMAG. He told the Commonwealth Human Rights
Forum in 2005 that only governments which had already signed key UN covenants
and conventions should be admitted to the Commonwealth in future.
The worsening political, economic and human rights situation in Zimbabwe
led to the suspension of President Mugabe’s civilian regime in 2003. Although
highly contentious, for the Zimbabwe government argued that this was outside
CMAG’s mandate and its African allies suggested that this was unfair and reflected
British pressure, it was a breakthrough. It meant that egregious human rights
abuse by a civilian government could also lead to the loss of Commonwealth
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membership. The fact that the Mugabe regime then withdrew in protest did not
alter the significance of the precedent.
The difficulty in using the drastic weapon of suspension is that it does
little to promote human rights directly, and once a government is suspended, the
Commonwealth’s day-to-day influence is reduced. The Commonwealth’s long and
somewhat ineffectual engagement with Cameroon has illustrated some of these
problems. Cameroon, most of which was a French colony prior to independence,
joined the Commonwealth in 1995. Prior to that, a Commonwealth mission, led
by Dr. Kamal Hossain of Bangladesh, had warned that Cameroon was a semi-
dictatorial regime with a dominant party and long-serving president, President
Biya. Cameroon was admitted to membership on the condition that there
would be political and human rights improvements. But in spite of the efforts of
senior Commonwealth representatives, and training workshops of various types,
Cameroon still does not represent Commonwealth values and President Biya
remains in power, 15 years after his country joined.
The benefit to citizens of these official Commonwealth efforts may not
seem great, especially when a government has been suspended. During the 30
years that white-ruled South Africa was outside the Commonwealth there were
considerable efforts, by Commonwealth governments and NGOs, to provide
support and opportunities for the black majority. Putting in place such pressure, for
the citizens of a country like Fiji where a government has been suspended, depends
on countries’ initiatives. It is only in the last year, as a result of pressure from
NGOs, that a London-based committee of Commonwealth bodies has received
funding from the Commonwealth Foundation to provide support for civil society
in Zimbabwe. While the doctrine that the Commonwealth is an association of
peoples as well as states has developed, it is not always put into practice. Indeed,
the small Commonwealth Foundation, funded by governments to work for civil
society, professional interaction and the arts, had earlier been ordered not to assist
persons and organisations from a suspended Zimbabwe.7
There is also a risk that the sanction of membership suspension may lose its
power if used too often. The question arises most sharply with Pakistan, which
has the second largest population of Commonwealth countries, and a history of
military dominance. It left the Commonwealth for 17 years after other members
recognised the independence of Bangladesh – formerly East Pakistan – in 1972;
ten years after its return, it was suspended again after General Musharref ’s military
coup in 1999; it was allowed to return in 2002 after elections; and it was suspended
again after Musharref ’s second coup in 2007, being allowed back seven months
later. Many observers thought that Musharref, who was still both president and
active commander-in-chief of the Army, had been allowed to re-enter too early in
2002 as a by-product of his support for the US-led “war on terror.”
Nonetheless, the official Commonwealth is still bound to the Harare
Principles, even if their application remains unsatisfactory. The Kampala summit,
in November 2007, adopted rules for the admission of new member states which,
among other things, require them to be compliant with the Harare Principles.
An investigation process led by the Commonwealth Secretariat and consultation
42 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
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with existing members, has to be completed before a new government can join.
Compared with the European Union, whose accession conditions require changes
to legislation guaranteeing the rights of minorities and other human rights, this
process has been dangerously unspecific, as seen in the Rwanda case.
The issue was highlighted when, in November 2009, Rwanda joined the
Commonwealth. Rwanda, a Francophone country, had no previous constitutional
link to Britain or any existing Commonwealth member. It entered under a
procedure of “exceptions” introduced in 2007, almost certainly to pave the way
for Rwanda’s admission. This “exceptional” procedure gave significance to the
interests of Commonwealth neighbours; it would have given retrospective support
to the admission in 1995 of Mozambique, a former Portuguese territory, whose
Commonwealth neighbours in the Southern African Development Community
had at the time been keen for Mozambique to join. President Museveni of Uganda
had made no secret of his desire to see his neighbour Rwanda as a member, a
country which now belongs to the East African Community and which is ruled
by an English-speaking elite very hostile to France, as a result of events during
the genocide. President Kagame of Rwanda had actually been a commander in
Museveni’s National Resistance Army which had won power in Uganda after
a prolonged bush war. The United Kingdom was also keen to have Rwanda in
the Commonwealth, in the belief that it would help consolidate a post-genocide
democracy with development, but partly also out of support for Museveni and
ancient francophobe prejudice.
But the process to verify whether or not Rwanda complied with the
Harare Principles, was hardly thorough or transparent. It is understood that the
Commonwealth Secretariat sent two missions, one from its political division and
one from the HRU, before the Secretary-General himself visited Kigali and wrote
to all governments recommending admission. The political mission, impressed
by reconstruction after the genocide, supported entry. The HRU group pointed
out that there were still government controls on media, civil society and freedom
of association that did not match the Harare commitments. Neither report was
made public.
There were also two other inquiries. The CHRI requested Professor
Yash Ghai, a Kenyan, to determine in 2009 whether Rwanda met the Harare
requirements. His report concluded that Rwanda’s admission to the Commonwealth
would be premature, for human rights guarantees were not yet adequate. The UK
branch of the Commonwealth Parliamentary Association – which is somewhat
autonomous from the worldwide Commonwealth Parliamentary Association – sent
a group of British parliamentarians, which recommended that Rwanda should join.
However both the main political parties in the UK, Labour and Conservatives,
were already committed to Rwanda’s entry.
The case seemed to illustrate that political considerations can override the
formal human rights commitments of the Commonwealth. The issue may arise
again if South Sudan declares independence, following the scheduled referendum
in 2011, and applies to join the Commonwealth. It could also apply to Zimbabwe
if it wishes to rejoin.
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The issue of “realpolitik” versus its human rights commitments will continue
to dog the Commonwealth. This is coming to the fore again in attempts to give
CMAG a tougher mandate. At Port of Spain in 2009, Commonwealth leaders
asked the Foreign Ministers on CMAG to review its terms of reference with a view
to strengthening its capacity to “deal with the full range of serious or persistent
violations of the Harare Principles.” Dissatisfaction with CMAG’s limited remit had
grown, and came to a head in 2008-9 when Sri Lanka, despite serious allegations
of widespread violations of human rights and humanitarian law, continued to sit
as a member for a third two year term, which broke the two terms rule adopted
at Durban in 1999.
In Durban, in fact, the leaders had come near to accepting a proposal from the
then Secretary-General, Chief Anyaoku of Nigeria, which would have introduced
relatively objective criteria for CMAG action to deal with errant governments:
postponement of an election; interference with the judiciary and rule of law; and
government control of the media. But the proposal was baulked at unexpectedly
by two Caribbean Prime Ministers, arguing against a possible infringement of
national sovereignty, and the chance was lost.
The current review by CMAG may well produce proposals to strengthen the
Group’s mandate, but it suffers from the weakness that the governments currently
on CMAG are notably more liberal than the Commonwealth’s membership as a
whole, since all governments must agree to any changes.
2 The Commonwealth Human Rights Initiative
and the nongovernmental Commonwealth
The Commonwealth is different from other international associations in that it
is underpinned by a large range of unofficial or semi-official organisations with
“Commonwealth” in their title. Definitions vary, but there are now between 60 and
80 of them. Several, such as the Commonwealth Parliamentary Association and the
Commonwealth Press Union, were founded during the British Empire and predate
the Commonwealth Secretariat by half a century. The Commonwealth Foundation
assisted a number of professional bodies into existence, such as the Commonwealth
Lawyers Association and the Commonwealth Journalists Association, in the 1970s
and 1980s. Important new ones started recently, such as the Commonwealth
Human Rights Initiative or CHRI (1987), and the Commonwealth Business
Council (1977) and Commonwealth Local Government Forum (1995).
The nature of these bodies varies. Some are umbrella organisations of national
societies, while others have an individual membership. Some, like the Conference
of Commonwealth Meteorologists which has been gathering at regular intervals
since the 1920s, are meeting-based, with modest capacity between their conferences.
They arrange international meetings, often of high quality, but do not have the
staff or resources to conduct ongoing programmes or activities. Some, like the
Commonwealth Organisation for Social Work, remain entirely voluntary. Many
have financial problems, servicing a membership which is overwhelmingly in the
poorer developing world.
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No account of the Commonwealth role for human rights would be complete
without a description of the CHRI. The germ for this initiative came from a
residential conference at Cumberland Lodge, in the UK, in early 1987. At the time,
the Thatcher Government in the UK was in a minority in the Commonwealth in
trying to block pressure on the apartheid regime in South Africa, and the previous
year there had been a significant Afro-Asian boycott of the Commonwealth Games
in Edinburgh. As referred to above, human rights enthusiasts also recognised that
the situation in several member states was not easy to defend, and South Africa’s
apologists had been exploiting this weakness.
Human rights supporters in the Commonwealth never supposed that there
were rights peculiar to the Commonwealth: they just wanted internationally
and constitutionally recognised rights to protect citizens in all member states.
Further, they saw that features which unite nearly all the members could be used
to their advantage: common law, parliamentary systems, similar approaches to
administration and education, and the use of the English language. Commonwealth
characteristics could be used as vehicles for the enhanced promotion and protection
of rights, both civil and political and economic, social and cultural, as well as third
generation development and green rights.
During the course of 1987, there were two exploratory meetings in
London, involving NGOs and representatives of a handful of diplomats and the
Commonwealth Secretariat.8 Inspired by the “Eminent Persons Group” mission
to South Africa it was agreed to set up an international study group, subsequently
chaired by Flora MacDonald, former Foreign Minister of Canada, to conduct a
survey of the human rights picture in the Commonwealth.9 Three bodies – the
Commonwealth Journalists Association, the Commonwealth Lawyers Association
and the Commonwealth Trade Union Council – made a call to the Vancouver
Commonwealth summit of 1987 for a new initiative for human rights. When
the summit failed to respond, these three organisations, soon joined by the
Commonwealth Legal Education Association and the Commonwealth Medical
Association, decided to set up the CHRI as an ad hoc nongovernmental initiative.
The MacDonald group produced a survey report, “Put our world to rights”
prior to the Harare summit of 1991 (MACDONALD, 1991). It set out eight priority
areas for improving human rights in the Commonwealth – detention, freedom
of expression and information, indigenous and tribal peoples, refugees, women,
children, workers and trade unions, and the environment. The editor was the
widely respected Professor Yash Ghai, then a law professor at the University of
Hong Kong.10
The CHRI achieved considerable publicity for its campaign, and worked
with three Southern African organisations in a three day African human rights
conference which just preceded the summit of leaders in Harare. In the summit
itself Bob Hawke, then Australian Prime Minister, brandished a copy of “Put
our world to rights” and asked fellow leaders what they intended to do about
it. However, as recounted earlier, the summit failed to respond to the three
main demands of the CHRI – that there should be a special Commonwealth
declaration for human rights, an independent commission, and a significant
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human rights budget. Campaigners in Harare were not only disappointed with
the Commonwealth communiqué, they feared that leaders would forget what it
contained the moment they boarded the plane home.
What happened next helps to explain why the Commonwealth has become,
in spite of its weaknesses, an interregional force for human rights. After due
consultation, the bodies supporting the CHRI decided to institutionalise it as a
permanent body, and to move its head office to New Delhi, India. Having failed to
win the official commission it sought, the CHRI set up an Advisory Commission
of its own, led by persons of status – successively Dr Kamal Hossain of Bangladesh,
Senator Margaret Reynolds of Australia, and Sam Okudzeto of Ghana.
It has published a human rights report for the Commonwealth prior to
every summit since 1993, covering a wide range of issues – cultural diversity and
freedom of expression, the spread of light weapons, poverty as a human rights
abuse, policing, and the dangerous impact of the “war on terror” on civil liberties.
The CHRI now has small offices in Accra and London in addition to its head
office in New Delhi, and remains unusual in being one of the few international
human rights NGOs based in the global South. Its total staff is around 50 and its
Director, Mrs Maja Daruwala, is well-known internationally and has served on
the board of the Minority Rights Group and the civil society advisory committee
of the Commonwealth Foundation.
The CHRI has also published a critique of Commonwealth states’
performance under the universal periodic review mechanism of the UN Human
Rights Council “Easier Said than Done”, (CHOGM, 2008). This compared
commitments and performances of 13 member states at the start of the new
process: Bangladesh, Cameroon, Canada, Ghana, India, Malaysia, Mauritius,
Nigeria, Pakistan, South Africa, Sri Lanka, United Kingdom and Zambia. The
report warned that human rights defenders remain vulnerable to impunity and
“also highlight once again the need for the Commonwealth to have mechanisms
to monitor the progress of human rights’ compliance as a means of indicating their
commitment to the association.” (CHOGM, 2008, p. 127).
The CHRI has also sought to deepen commitment to human rights in the
Commonwealth, by bringing together civil society groups in member countries.
It runs an electronic Commonwealth Human Rights Network, serving a list of
over 350, and since the Abuja summit of 2003 it has run three Commonwealth
Human Rights Fora for civil society; the one in Kampala was attended by over
100 people.11 However, at Port of Spain, in 2009, the forum was co-opted into
the Commonwealth People’s Forum, a much larger event coordinated by the
Commonwealth Foundation. The CHRI was dissatisfied with this because it
considered that its issues risked being lost in a lengthy compendium statement.
Subject to funding, it may revert to running its own stand-alone Human Rights
Forum. Although now largely separate from the Commonwealth bodies which gave
it birth, and without an individual membership, the CHRI has achieved financial
stability on the basis of project funding.
In moving to India, the CHRI had to find credibility in the Commonwealth’s
largest country, but it also had to maintain its advocacy towards the
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intergovernmental Commonwealth. UK-based Commonwealth bodies rarely focus
much of their work on the UK itself; this is justified in terms of the greater needs
of developing countries, though reflecting a post-colonial world view and the weak
public support for all things Commonwealth in the contemporary UK.
However, an India-based CHRI could not limit itself to international
advocacy. It had to justify its existence in such a populous country, which already
had well-established human rights organisations before the CHRI arrived in 1993.
What the CHRI has therefore done is to ally itself with Indian bodies to campaign
in certain areas – especially for access to information, and better, accountable
policing – where it could draw on information from other Commonwealth
countries and its own lobbying power. It has been particularly important in the
coalition which persuaded the Indian government to replace a weak 2002 Freedom
of Information Act with a much more robust Right to Information Act, 2005.12
As an international NGO based in India, it was also able to carry out dangerous
human rights observation duties in the state of Gujarat, following widespread
murders and intimidation of the Muslim community.
The CHRI has continued to carry out programmes elsewhere, particularly in
Africa, as well as advocacy towards the Commonwealth, and several governments
including India’s. Its persistence is a reason why the Commonwealth has come to
have more salience for rights. As soon as the Harare Declaration was announced
in 1991, the CHRI began pressing for serious implementation. Four years later it
sent a fact-finding group to Nigeria, which published a damning account of human
rights abuse under the military dictatorship – “Nigeria – stolen by generals”.13
Importantly, each section of this report was headed by a related excerpt from the
Harare Declaration. Every government had a copy at the time of the Auckland
summit in 1995, and it provided a context for the rapid adoption of CMAG, and
the first rules to enforce the Harare Principles.
The CHRI also played a key part in persuading the Abuja summit in 2003
to endorse legislation for freedom of information – something which now applies
in nearly half of member states. But it is not the only nongovernmental force
for human rights in the Commonwealth. After a long struggle, Commonwealth
bodies concerned with freedom of expression, supported by the CHRI, won a
commitment at the Coolum summit in Australia in 2002. In Abuja, a coalition
of the Commonwealth Parliamentary Association, Commonwealth Lawyers
Association and Commonwealth Magistrates and Judges Association won leaders’
recognition for what were known as Latimer House Principles – the proper spheres
for executive, legislature and judiciary.14 At Kampala in 2007 it was clear that
disability rights too were getting a major push forward in the nongovernmental
Peoples Forum, and there has been a growing pressure to recognise gay rights,
which are still criminalised in most of Commonwealth Africa, with the notable
exception of South Africa.15
To what extent do decisions by Commonwealth leaders get followed up by
all member governments, given that the official Commonwealth has no coercive
power over states apart from suspension, and the Commonwealth Secretariat itself
is small?16 In human rights also, most governments are party to significant regional
v. 7 • n. 12 • Jun. 2010 • p. 37-53 ■ 47
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instruments such as the European Convention, the African Peoples and Human Rights
arrangements, and the Inter-American system. It was striking in 1995 that, after the
military regime in Nigeria had been suspended at the Commonwealth summit in
Auckland, an attempt by New Zealand at the UN to lead a criticism of the Ogoni
executions was blocked by the African group, with the support of Commonwealth
members. A similar attempt was made in the International Labour Organisation.
Once again, regional solidarity trumped Commonwealth commitments.
Hence the follow-up varies considerably. But it is facilitated by the wide range
of Commonwealth interaction, use of English, and the significance of common
law. At one level the Commonwealth can be seen as a continuous debate. In the
field of human rights, this debate occurs between leaders and their officials; Law
Ministers; the biennial Commonwealth Human Rights Forum; major conferences
around the world for the Commonwealth Lawyers (their biennial conference brings
together over a thousand lawyers), law professors, and magistrates and judges;
and a new gathering for national human rights institutions, inaugurated by the
Commonwealth Secretariat in 2007. These discussions and exchanges result in
action, though not always quickly. A good example of this is the gradual spread
of Freedom of Information laws, which were endorsed by Commonwealth Heads
at Abuja in 2003 as mentioned above, and have been backed up by a model bill
supplied by the Commonwealth Secretariat.
A continuing thread in nongovernmental analysis is one of disappointment
– that the fine words of Commonwealth leaders in successive declarations do not
immediately benefit citizens. The CHRI and its friends are currently fighting to
improve the accountability and quality of policing throughout the Commonwealth.
In an association which has no military aspect, and which is pledged to democracy,
the police are crucial for good governance, and the protection of citizens and their
rights. It is a field in which the CHRI and Commonwealth Policy Studies Unit
have made reports, and the Commonwealth Secretariat’s HRU has carried out
police training.
In 2005 and again in 2007 the Commonwealth Human Rights Forum and
the Commonwealth Peoples Forum were calling for a Commonwealth Expert
Group on the Future of Policing. The device of an expert group, convened by the
Commonwealth Secretary-General, has been successfully used for development,
environmental and social issues. It allows the Commonwealth to pool its brains,
build consensus, and supply evidence and recommendations for subsequent political
action.17 Due to financial constraints the expert group device, energetically used
during the era of Shridath Ramphal as Secretary-General (1975-90) has fallen into
disuse in the last two decades.
An expert group on policing could have almost too many things to consider.
It could consider traditional problems of accountability, corruption, political
neutrality and poor performance. It could also consider problems of unsuitable or
outdated legislation, cybercrime and the challenge of globalisation, how best to
achieve inclusive, community policing, and relations between police and public.
Human rights NGOs could provide support and information for such a group.
But so far the nongovernmental community has yet to succeed in persuading
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governments to look at the strategic question of policing in the 21st century. There is an
opportunity here for the Commonwealth, but as Shridath Ramphal said recently, “We
have to persuade governments to use the Commonwealth”.18 The Commonwealth is
a voluntary body and an option, not a treaty-based set of obligations.
What the Commonwealth can do for human rights also depends on
the international context, and the personalities at its head. At Kampala, the
leaders elected Kamalesh Sharma, an Indian diplomat who had been the UN
representative in East Timor, as its fifth Secretary-General. His four year term
began in April 2008. He has spoken imaginatively of the Commonwealth as
a series of overlapping networks, well-adapted to globalisation. But he has not
been outspoken on human rights, referring to the need for the Secretariat to give
governments a helping hand rather than a pointing finger. India was one of the
countries to stall an attempt to strengthen CMAG in 1999, and on a number
of issues – The Gambia, Sri Lanka for instance – his voice has lacked public
impact. When he has pushed forward, it has been on traditional lines, by creating
a Commonwealth association of election management bodies, designed to raise
electoral standards through peer group pressure.
As someone who has worked with the UN, and is aware of how the
Commonwealth is seen through other international eyes, he has invested time
in trying to link the Commonwealth with other processes. Hence he arranged a
meeting in London in 2008 on international institutional reform, particularly in
the financial sphere. Unfortunately, this has only had a behind-the-scenes influence,
if that, on efforts to combat the global financial crisis that developed after the
collapse of Lehman Brothers bank.
At the Port of Spain summit, in November 2009, he made a brave attempt
to contribute to the debate on climate change and the environment, only a few
days ahead of the upcoming Copenhagen summit. The UN Secretary-General,
President Sarkozy and Mr Rasmussen, the Danish Prime Minister who chaired at
Copenhagen, all came to Trinidad to speak to the Commonwealth leaders. One
result was that far more leaders attended the Copenhagen gathering than would
otherwise have gone, and two specific ideas – for a climate adaptation fund, and
specific help for vulnerable small states – were successfully launched. However Mr
Sharma himself did not go on to Copenhagen, where Commonwealth states were
split according to national interest. Compared to bodies like the World Bank, or
specialist agencies of the UN, the Commonwealth Secretariat has very limited
human and financial resources to pursue its agendas.
3 Conclusion
Unexpectedly, in a post-colonial association, the Commonwealth is making a
contribution in human rights. This is not an area of significant activity for ‘la
Francophonie’, the post-colonial French body which is now numerically larger but
less coherent than the Commonwealth. The Commonwealth involvement has
been driven chiefly by nongovernmental and media interests, and the residue of
empire and common law – concerns about racism, development rights, and that
v. 7 • n. 12 • Jun. 2010 • p. 37-53 ■ 49
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newly independent polities should expand rather than restrict civil liberties. New
ideas for incorporating socioeconomic rights, from India and South Africa, have
travelled round the Commonwealth. The organic and multilayered nature of the
Commonwealth is facilitating change. But the weak commitment of governments,
and the small resources available to the intergovernmental institutions, are likely
to mean that civil society remains dissatisfied: the potential for Commonwealth
cooperation in human rights, as elsewhere, will continue to be vaster than anything
that is actually achieved. Nongovernmental bodies are themselves having to
take on more responsibility. These issues are likely to be explored further in an
Eminent Persons Group, set up after the Port of Spain summit, which is designed
to chart new courses for the Commonwealth, with greater cooperation between its
governmental and non-governmental elements. One example of such cooperation
is the recently established Ramphal Commission on Migration and Development,
being chaired by P J Patterson, the former Prime Minister of Jamaica, which is
independent of the Secretariat but focused on the Commonwealth, and which has
received funding from both the Secretariat and Foundation.19
It is possible that political changes in the UK may assist the Commonwealth
to achieve more significance, including in its work for human rights. As a result of
a decision at Port of Spain the UK budgetary contribution to the Secretariat was
raised from 30 per cent to 31.4 per cent. The new coalition government, which
emerged after an indecisive election in May 2010, has two prominent members
(Vince Cable a Liberal Democrat, and Lord Howell, a Conservative) who have
up-to-date views on the Commonwealth and its potential. Stronger support from
the UK, coupled with heavier Indian involvement, could help the association to
make a stronger global impact.
REFERENCES
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Commonwealth. London: Commonwealth Policy Studies Unit.
______. 2003b. Invisible lives (a report on the socioeconomic rights of Indigenous
Peoples). London: Commonwealth Policy Studies Unit.
CHRI NEWSLETTER, New Delhi, Commonwealth Human Rights Initiative.
Available at: <www.humanrightsinitiative.org>. Last accessed on: 2008.
COMMONWEALTH HUMAN RIGHTS INITIATIVE (CHOGM). 2003: Open
sesame: looking for the Right to Information in the Commonwealth. New Delhi.
(biennial report to Commonwealth summit).
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______. 2005: Police accountability: too important to meglect, too urgent to delay.
New Delhi. (biennial report to Commonwealth summit).
______. 2007. Stamping out rights: the impact of anti-terrorism laws on policing. New
Delhi. (biennial report to Commonwealth summit).
______. 2008. Easier Said than Done. New Delhi.
______. 2009. Silencing the defenders: human rights defenders in the Commonwealth.
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COMMONWEALTH POLICY STUDIES UNIT. 2003. Recognising and protecting
Indigenous Peoples’ rights in the Commonwealth. UK. (Indigenous rights in the
Commonwealth project, report to Commonwealth summit).
COMMONWEALTH SECRETARIAT. 2007 Commonwealth model national plan of
action on human rights. UK.
______. 2010 Convention on Rights of Persons with Disabilities, UK.
DUXBURY, A. 1997. Rejuvenating the Commonwealth: the human rights remedy.
International and comparative law quarterly, v. 46, p. 344-377.
______. 2000. The Commonwealth Secretariat and the implementation of human
rights. Round Table, v. 95, n. 385, p. 425-440, July.
GHAI, Y. 2009. Rwanda’s application for membership of the Commonwealth: Report
and Recommendations of the Commonwealth Human Rights Initiative. New
Delhi: Commonwealth Human Rights Initiative.
MACDONALD, F. 1991. Put our world to rights: towards a commonwealth human
rights policy. New Delhi: Commonwealth Human Rights Initiative. (Report by a
non-governmental Advisory Group).
MATHIESON, L. (Ed.). 2008. Easier said than done. New Delhi: Commonwealth
Human Rights Initiative.
SEN, P (Ed.). 2008. Human rights in the Commonwealth – a status report. UK:
Commonwealth Secretariat.
______. 2009a. Child rights in the Commonwealth – 20 years of the Convention on
the Rights of the Child. UK: Commonwealth Secretariat.
______. 2009b.Universal Periodic Review of Human Rights – towards best practice.
UK: Commonwealth Secretariat.
WHALL, H. 2003. Indigenous Peoples in the Commonwealth – a story of exclusion.
UK: Commonwealth Policy Studies Unit.
______. 2004. Summary report of the Indigenous rights in the Commonwealth
project, 2001-2004. UK: Commonwealth Policy Studies Unit.
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NOTES
1. Rwanda joined the commonwealth at the Port of its mission after the South African military bombed
Spain summit in November 2009; the Fiji Islands, three neighbouring commonwealth states.
were suspended from full membership in 2009 as 10. yash Ghai, a Kenyan, is probably the leading
a result of a military takeover which breached the constitutional lawyer in the commonwealth,
Harare Principles described in this article, and their having worked on constitutional reform in several
sporting team was prevented from competing in the states, including Kenya and Fiji. He is currently
2010 commonwealth Games in New Delhi. Until a constitutional adviser in Nepal, and a UN
2003 there had also been 54 member states but rapporteur in cambodia.
soon after the Abuja commonwealth summit the
Mugabe regime in Zimbabwe walked out, because of 11. the Human Rights Forum is organised by the
severe criticism of its human rights record. cHRI with support from other bodies.
2. the key date for transformation into the 12. Dr Nida Kirmani has researched the Indian
commonwealth was 1949, when the london campaign for Right to Information, and the role of
Declaration accepted independent India, as a cHRI, as part of a study funded by the Economic
republic; this began the process by which the and Social Research council, UK (contact:
commonwealth became a multiracial international nidkirm@yahoo.com).
body, the majority of whose members are republics, 13. the team consisted of Flora MacDonald from
no longer controlled by the United Kingdom. canada, Enoch Dumbutshena from Zimbabwe, and
3. In the early 1970s the leaders adopted the Neville linton from trinidad and tobago.
practice of a “Retreat”, where they met on their 14. these principles, covering the separation of
own without officials and Foreign Ministers, powers, have had an impact on the UK itself where
for intimate and problem-solving diplomacy. law lords, an appellate body, are to be excluded from
this tactic, made easier by the fact that they all the second legislative chamber, the House of lords.
converse in English, has since been adopted by other Several countries have had to look again at their
international organisations. mechanism for the appointment of judges, so that
4. the commonwealth played a leading role in the this is not a decision of the executive; one reason
international community in marshalling opposition for the 2007 suspension of the Pakistan government
to white South Africa, and sent an “Eminent from commonwealth membership was President
Persons Group” in 1986 which sought a negotiated Musharref’s dismissal of judges who opposed him.
end to apartheid. In the 1980s it was consistently 15. the post-apartheid constitution of South
promoting debt write-off for the poorest countries, African guaranteed same-sex rights and President
which resulted in the HIPc (highly indebted poor Zuma, himself in a polygamous marriage, spoke out
countries) initiative of the 1990s. strongly against the recent imprisonment of two
5. One party states – as in tanzania, Zambia and Malawian males who sought a civil marriage.
Malawi – were commonplace. Both Nigeria and 16. Since 2000 the total staff of the Secretariat
Ghana had military regimes. has been around 270-280.
6. In alphabetical order: Fiji Islands, Gambia, 17. Debt write-off for poor developing states was
Ghana, Nigeria, Pakistan, Sierra leone and originally proposed by an Expert Group in the early
Zimbabwe. 1980s chaired by Harold lever.
7. the Foundation, based like the Secretariat in 18. Shridath Ramphal, who was Secretary-General
london, only has a budget of some £4M a year. from 1975 to 1990, was speaking in london in
8. Among those represented were Amnesty 2006.
International, Survival International and the 19. Other members are George Vassiliou, former
canadian High commission. President of cyprus; Farooq Sobhan, former
9. the Eminent Persons Group was led by the former Foreign Secretary, Bangladesh; Will Day, chairman
president of Nigeria, Olusegun Obasanjo and the of the Sustainable Development commission, UK;
former prime minister of Australia, Malcolm Fraser. Jill Iliffe, Executive Director, commonwealth
It aimed to find a negotiated end to apartheid and Nurses Federation; Professor John Oucho and
met Nelson Mandela in prison. It had to cut short Professor Brenda yeoh.
52 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
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RESUMO
Existe alguma função para um mecanismo de promoção e proteção dos direitos
humanos que não seja nem universal nem regional? O caso da Commonwealth of
Nations, a qual se originou do Império Britânico, mas cujos membros, atualmente, são,
em sua maioria, países em desenvolvimento, oferece uma visão de que isso seja possível
tanto no nível intergovernamental quanto no não governamental. Este artigo foca o
modo como as regras de associação à Commonwealth tiveram papel decisivo em sua
deinição como associação de democracias e, com mais cuidado, com compromisso
com as garantias dos direitos humanos para seus cidadãos. O progresso foi desigual,
dirigido por crises políticas e limitado pelos poucos recursos disponibilizados para um
Secretariado intergovernamental. Ao mesmo tempo, a Iniciativa de Direitos Humanos
da Commonwealth, um forte órgão não governamental, com sede em Nova Delhi e
inicialmente lançado como uma coalizão de associações da Commonwealth sediadas em
Londres, tem coordenado a pressão internacional sobre os governos da Comunidade para
que cumpram suas declarações. Tem também executado programas próprios para o direito
à informação e para a formação responsável de políticas.
PALAVRAS-CHAVE
Commonwealth of Nations – Direitos humanos
RESUMEN
¿Tiene algún papel que desempeñar una institución para la promoción y protección de
los derechos humanos que no sea ni universal ni regional? El caso de la Commonwealth
of Nations, que se originó en el Imperio Británico pero que en la actualidad se compone
de Estados en su mayoría en desarrollo, permite explorar las posibilidades a nivel tanto
intergubernamental como no gubernamental. El presente artículo analiza la forma en
que sus reglas de membresía se han vuelto decisivas para deinir a la Commonwealth
of Nations como una asociación de democracias y, con más cautela, como una
organización comprometida con la garantía de los derechos humanos de los ciudadanos.
El avance ha sido desigual, impulsado por crisis políticas y limitado por los escasos
recursos disponibles para su secretaría. El artículo describe también las actividades de la
Iniciativa de Derechos Humanos del Commonwealth of Nations, una organización no
gubernamental con sede en Nueva Delhi, que coordina la presión internacional para que
los gobiernos cumplan sus compromisos.
PALABRAS CLAVE
Commonwealth of Nations – Derechos humanos
v. 7 • n. 12 • Jun. 2010 • p. 37-53 ■ 53
AMNESty INtERNAtIONAl
Amnesty International is a worldwide movement of people who campaign for
internationally recognized human rights for all. Under the Demand Dignity campaign,
which aims to end the human rights abuses that drive and deepen poverty, Amnesty
International is calling on all governments to put human rights standards at the heart of
efforts to meet the MDGs.
Email: amnestyis@amnesty.org
ABSTRACT
he Millennium Development Goals (MDGs) represent a global consensus on the
need to tackle poverty. While the MDGs have played an important role in focusing
international attention on issues of development and poverty reduction, this article
argues that the MDGs do not fully relect the ambition of the Millennium Declaration,
which promised to strive for the protection and promotion of all human rights - civil,
cultural, economic, social and political - for all.
his article outlines some of the aspects in which the MDG framework, while
covering areas where states have clear obligations under international human rights law
such as food, education and health, fails to relect these standards. It focuses on three
main issues - gender equality (Goal 3), maternal health (Goal 5) and slums (Goal 7)
- as illustrative examples of the gaps between MDG commitments and human rights
standards. It argues that this gap is also one of the main factors behind the lack of
equitable progress on the MDGs. he article stresses the importance of ensuring that all
eforts towards all the MDGs are fully consistent with human rights standards, and that
non-discrimination, gender equality, participation and accountability are at the heart of
all eforts to tackle poverty and exclusion.
Original in English.
Submitted in July 2010. Accepted in July 2010.
KEYWORDS
MDGs – Human rights
his paper is published under the creative commons license.
his paper is available in digital format at <www.surjournal.org>.
54 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
COMBATING EXCLUSION: WHY HUMAN RIGHTS
ARE ESSENTIAL FOR THE MDGs1
Amnesty International
1 Introduction
The Millennium Development Goals (MDGs) represent a global consensus to
reduce poverty. Drawn from the Millennium Declaration which was adopted
in 2000 by the UN General Assembly, they aim to set concrete, time-bound
and measurable targets that governments must meet by 2015. The MDGs have
played a pivotal role in helping to concentrate international attention on issues of
development and poverty reduction. They have also provided a focal point for civil
society, which has mobilized nationally and internationally around the MDGs to
challenge poverty and exclusion.
However, they do not fully ref lect the ambition of the Millennium
Declaration, which promised to strive for the protection and promotion of civil,
cultural, economic, social and political rights for all (UNITED NATIONS, 2000a).
One of the key challenges in this regard is that states’ obligations under international
human rights law are not adequately reflected in the MDGs. The MDGs – while
covering areas where states have clear obligations under international human rights
law such as food, education and health - are largely silent on human rights.
The MDG framework established global targets, which some states have
chosen to adapt to their national context. Despite the merits of time-bound
targets, as a framework for tackling poverty, the targets set up under the MDGs
often leave out or ignore key requirements under international human rights law.
For instance, Goal 2 aims to ensure universal primary education, but neglects the
obligation under the International Covenant on Economic, Social and Cultural
Rights (ICESCR) to ensure that primary education is free, compulsory and of
sufficient quality. These requirements are key, not just to comply with states’ legally
Notes to this text start on page 75.
v. 7 • n. 12 • Jun. 2010 • p. 55-77 ■ 55
cOMBAtING EXclUSION: WHy HUMAN RIGHtS ARE ESSENtIAl FOR tHE MDGs
binding obligations, but to ensure that all children are truly able to benefit from
MDG efforts to increase access to education. They are also essential if states are
serious about addressing the barriers that many children currently face in access to
education and ensuring that children from marginalized communities or who face
discrimination are not left out. Concerns have already been voiced in this regard
about a lack of focus on children with disabilities within the MDG framework.
The MDGs contains no requirement that states integrate human rights
standards into MDG policies and programmes. While the MDGs include a
commitment for states to integrate the principles of sustainable development into
country policies and programmes (UNITED NATIONS, 2010a), there is no similar
commitment to include human rights principles. While some countries have
added some aspects of human rights to their national MDG plan (Mongolia, for
example, added a Goal 9 on human rights and democracy), most MDG strategies
and reports fail to refer to human rights in a significant and comprehensive way.
MDG Goal 8 – intended to represent a global partnership between developed
and developing countries - requires developed countries to support the achievement
of the MDGs, including through their global aid, trade and debt policies. However, it
fails to specify that such policies should be consistent with international human rights
standards. Development assistance, both technical and financial, has an important
role to play in supporting countries to tackle poverty and achieve the MDGs. The
role of international co-operation and assistance in achieving universal respect for
human rights is also provided for in several treaties, including the UN Charter.2 The
2008 Accra Agenda for Action, a reflection of international commitment to improve
the use of development assistance to support the achievement of the MDGs, has also
affirmed that: “Developing countries and donors will ensure that their respective
development policies and programmes are designed and implemented in ways
consistent with their agreed international commitments on gender equality, human
rights, disability and environmental sustainability.”3 This commitment should be
reflected in national and international efforts to meet the MDGs.
In September 2010, world leaders will assemble at a UN Summit to assess
their progress on the Millennium Development Goals. While it may not be possible
to revise the global framework for the MDGs until 2015, governments can and
should commit, at the Summit and in their national plans, to take concrete steps to
ensure that over the remaining five years the MDGs are implemented in a manner
which is consistent with human rights standards. Real and lasting progress on the
MDGs can only be achieved if governments’ efforts are focused on realizing the
human rights of people living in poverty.
This article outlines some of the ways in which the MDG framework falls short
of the Millennium Declaration, and fails to reflect existing and universally agreed
human rights standards. The article focuses on three main issues – gender equality
(Goal 3), maternal health (Goal 5) and the problems faced by people living in slums
(Goal 7) – as illustrative examples of the gap between MDG commitments and human
rights standards. It argues that this gap is also one of the main factors behind the lack
of equitable progress on the MDGs and argues that unless human rights issues are
addressed, the most disadvantaged people in the world will continue to be left out.
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Obligations of states relating to economic,
social and cultural rights
Under international law, states have an obligation to progressively realise
economic, social and cultural rights (UNItED NAtIONS, 1966, art. 2(1)).
States are under a duty to take steps that are deliberate and concrete, and
targeted as clearly as possible towards fulfilling these rights as expeditiously
and effectively as possible (UNItED NAtIONS, 1993, para. 2, 9). this is an
immediate obligation, and the rate and level of progress that each state is
expected to make should take into account the maximum resources available, both
domestically and from the international community. this requires the adoption
of national strategies and plans of action which set out how the state aims to
realize these rights, and developing corresponding indicators and benchmarks
(UNItED NAtIONS, 2000b, para. 53).
States also have an immediate obligation to prioritize the realization of
minimum essential levels of each economic, social and cultural right for everyone
(UNItED NAtIONS, 1993, para. 10; 2001, para. 17). this requires them to
give priority to ensuring that everyone has, at least, minimum essential levels of
food, water, sanitation, healthcare, housing and education. States are required
to respect human rights by refraining from interfering directly or indirectly with
people’s enjoyment of human rights; to protect human rights by preventing,
investigating, punishing and ensuring remedies where third parties infringe
rights, and to fulfil human rights by taking legislative, administrative, judicial,
budgetary and other steps towards the full realization of human rights. the
obligations to respect and protect human rights are immediate and not subject
to progressive realization, as are obligations to ensure non-discrimination and
equality. If states’ efforts towards the MDGs fail to take into account these key
obligations, any progress towards achieving the goals is likely to be limited and
to mask ongoing human rights violations, discrimination and inequality.
2 Human Rights Gaps in the MDG framework
2.1 Addressing exclusion and discrimination
International human rights law requires all states to guarantee equality and non-
discrimination.4 The MDGs, in contrast, contain no explicit requirement for states
to comprehensively identify and redress exclusion and discrimination.
While the Millennium Declaration reiterated states’ commitment to “combat
all forms of violence against women and to implement the Convention on the
Elimination of All Forms of Discrimination against Women”, gender equality
and women’s rights are only partly and very poorly reflected in the MDGs. Goal
3, to promote gender equality and empower women, has been reduced to a single
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target – to eliminate gender disparity in education – and two complementary
indicators on the percentage of women involved in paid employment and on
political representation. This is a long way from states’ obligations under the
Convention on the Elimination of All Forms of Discrimination against Women
(CEDAW) which requires governments to address discrimination against women
and guarantee equality in all areas (UNITED NATIONS, 1979, art. 1). International
law also prohibits discrimination on other grounds, such as race, caste, ethnicity,
disability and marital status. While those who are subject to these forms of
discrimination are often among the most marginalised and disadvantaged sections
of the population, the MDGs do not require states to take appropriate measures
to eliminate such discrimination in law, in policy and in practice.
States are asked to disaggregate the MDG indicators on the basis of sex
and urban/rural communities, as far as possible.5 However, there is no similar
requirement to provide disaggregated data for groups who face discrimination or
are disadvantaged within a particular country context, such as Indigenous Peoples
or minority communities. For example, a survey of 50 MDG country reports by
the UN Independent Expert on Minority Issues showed that ethnic and linguistic
minorities were mentioned in only 19 reports and only in relation to certain goals.
Even when they were mentioned, information on issues affecting minorities or analysis
of measures directed at minority groups were not provided under each of the MDGs.6
The proportionate nature of targets therefore raises concerns that states
can demonstrate progress while failing to focus on the most disadvantaged and
vulnerable groups. Lack of specific attention to disadvantaged and vulnerable
groups in targets and indicators creates a real danger that efforts to achieve the
MDGs could perpetuate and entrench poverty among such groups.
The MDGs’ exclusive focus on poverty reduction in developing countries
also neglects pockets of poverty in developed countries, which are closely related
to discrimination and marginalization. For example, Roma communities in
many European countries, such as Italy, continue to live in conditions that are
in stark contrast to those enjoyed by the majority of the population. Many live in
grossly inadequate housing and their access to services such as water, sanitation,
education and health care is often inadequate or non-existent ( AMNESTY
INTERNATIONAL, 2009a).
2.2 Setting effective benchmarks for real progress
The MDG framework does not require states to adopt national targets for their
national context. It does not require states to adapt the MDG targets and indicators
so as to reflect their obligations to prioritize the realization of minimum core
obligations in relation to each economic, social and cultural right for everyone
(UNITED NATIONS, 1993, para. 10; 2001, para. 17), and to give the necessary focus
to the most marginalized sections of the population who face the greatest barriers
in realizing their rights.
Some countries have adopted national targets, going beyond the global MDG
targets. For example, Latin American countries decided to expand their MDG
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commitments on education to include secondary education (OHCHR; UNICEF;
NORWEGIAN CENTRE FOR HUMAN RIGHTS, 2008, p. 14). Kenya, South Africa
and Sri Lanka – countries which recognize water and sanitation as human rights –
have adopted national targets for increasing access to water and sanitation that are
stronger than the global MDG targets (COHRE, 2009, p. 5, 7-8, 12, 20-21). However,
many countries simply used the global targets and some have therefore adopted
a far lower national benchmark for progress than is required under international
human rights law.
Reliance on the global MDG targets alone can also give a distorted picture of
progress. For example, the targets do not take into consideration the affordability
and quality of services such as water. In part, the problem is due to a lack of data.
For example, the Millennium Declaration specified a target of reducing by half
the number of people unable to reach or afford safe drinking water (UNITED
NATIONS, 2000, para. 19). However, the MDGs limited this goal to access to
water as there is insufficient internationally comparable data on affordability. The
indicators consider water to be safe if it is provided from a source likely to be safe,
such as piped water or a protected well (WHO; UNICEF, 2010, p. 13). Therefore,
piped water of poor quality that is provided from a polluted source can wrongly
be counted as safe.
2.3 Ensuring participation
The current MDG framework also does not explicitly recognize the right to
participate actively and meaningfully in policies and strategies to achieve the
MDGs, despite widespread recognition that the active engagement of affected
communities is key to ensuring successful and sustainable outcomes. Participation of
people living in poverty in the planning, implementation and monitoring of MDG
efforts is the best guarantee for ensuring that these efforts actually benefit people.
The International Covenant on Civil and Political Rights (ICCPR)
guarantees the right of every citizen to take part in the conduct of public affairs.7
The UN Committee on Economic, Social and Cultural Rights has stressed that the
right to participation must be an integral part of government policies, programmes
and strategies (UNITED NATIONS, 2000, para. 54; 2003a, art. 11-12, para. 48). It has
highlighted, for example, the vital role of participation in ensuring the effective
provision of health services for all (UNITED NATIONS, 2000, para. 54).
For example, a review by the Secretariat of the UN Permanent Forum on
Indigenous Issues of national MDG reports by 25 countries in Africa, Latin
America and Asia/Pacific in 2006 and 2007 (UNITED NATIONS, 2006a, 2007c)
found that, with very few exceptions, Indigenous Peoples’ input had not been
included in national MDG monitoring and reporting. The reviews also identified
a lack of mechanisms through which to ensure the input and participation of
Indigenous Peoples themselves in the design, implementation and monitoring
of policies designed to achieve the MDGs.8 Its 2010 desk review concluded that:
“For future reports, the direct participation of indigenous peoples and their
communities should be encouraged by their respective Governments, beginning
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from the planning and preparation process”. It also stressed that: “[…] the
free, prior and informed consent of indigenous peoples should be sought in all
development initiatives that involve them. Indigenous peoples cannot be simply
objects of study or targets of development projects, no matter how well intended,
but must be active participants in policy planning, implementation and review”
(UNITED NATIONS, 2010b, p. 39).
In order for participation to be meaningful, states must also fulfil a number
of other rights and duties, including the rights to freedom of expression and
association, and the duty to ensure the conditions in which human rights defenders
can carry out their work.
Economic, social and cultural rights that are excluded from MDGs
Some critical economic, social and cultural rights are not included in the MDGs,
such as the right to social security and the right to health, including prevention
and treatment of neglected diseases that continue to affect the lives of millions,
such as river blindness, sleeping sickness, chagas’ disease and leprosy. According
to the World Health Organization (WHO), these diseases largely affect poor
people living in rural areas in low-income countries (WHO, 2002). States are
also required to establish national benchmarks for key economic, social and
cultural rights issues which are not covered under the existing MDG framework.
2.4 Providing accountability and remedies
The current MDG accountability framework – such as voluntary monitoring and
reporting at the national level, and UN reports on regional and global progress –
is largely divorced from national and international human rights accountability
mechanisms. As such, states can report on their progress towards the MDGs, with
no reference to their human rights obligations, and without taking into account the
outcomes of the scrutiny of their human rights performance as carried out by Treaty
monitoring bodies. Without effective accountability for human rights, any progress on
the MDGs will continue to be uneven and will not benefit the most marginalised people.
At the national level, accountability mechanisms such as judicial bodies, national
human rights institutions, regulatory bodies and parliaments – can and should play
a significant role in monitoring states’ efforts towards the MDGs and whether such
efforts are in compliance with their human rights obligations, and in holding them
to account. The judiciary should be able to monitor governments’ compliance with
national and international law and require government bodies to carry out the necessary
reforms to law, policy and practice to ensure obligations are fulfilled.
National human rights institutions; human rights commissions, Ombudsperson
or Public Defender institutions should have the capacity and resources to be accessible
to the public and to monitor national MDG plans pro-actively to ensure consistency
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with a state’s human rights obligations. Such bodies can also play a critical role in
ensuring access to justice. They can carry out investigations on behalf of victims,
call for necessary law and policy reforms, and represent claimants before courts. In
order for these bodies to fulfil these roles, states must also ensure that their mandate
covers all human rights, including economic, social and cultural rights. Similarly,
regulatory bodies which are relevant to the MDGs – such as those dealing with water
and sanitation, health and education – normally have the mandate and expertise to
monitor the performance of public services and to require improvements, but often
they do not explicitly assess compliance with human rights standards. National
accountability would be strengthened if governments ensured that human rights
standards were integrated into the mandate of such bodies and if these were required
to receive individual complaints. Parliamentary bodies can also play an important
role in ensuring oversight and monitoring of MDG efforts and, in particular, their
consistency with a state’s human rights obligations.
International accountability mechanisms play an important role in
highlighting gaps in national monitoring and in areas where national systems do
not comply with human rights standards. They can also help focus attention at
the highest political level on human rights issues in the context of the MDGs.
These mechanisms include international human rights treaty bodies, made up of
committees of independent experts that periodically review performance and, in
some cases, can hear complaints;9 and the Universal Periodic Review (UPR) process
of the UN Human Rights Council, which involves peer review by states - every
four years - of states’ human rights performance.
The human rights monitoring system has not yet played a prominent role in
monitoring MDG performance. States generally do not report on their efforts to
achieve the MDGs to such bodies and international human rights mechanisms, such
as the UPR and treaty monitoring bodies, do not systematically assess actions taken
to reach or surpass the MDGs. However, the treaty monitoring bodies could play
a very important role in scrutinising states’ efforts towards the MDGs in light of
their human rights obligations, thereby ensuring that states’ accountability for such
obligations is not divorced from their MDG promises. In addition, international
human rights mechanisms could address complaints from individuals and groups
about human rights violations in the context of the MDGs, where access to justice at
the domestic level has been denied to them. This, however, requires states to ratify
the treaties allowing these mechanisms to receive complaints, such as the Optional
Protocol to the International Covenant on Economic, Social and Cultural Rights
(UNITED NATIONS, 2008)10 and the Optional Protocol to CEDAW.11
While the UN Committee on Economic, Social and Cultural Rights has
questioned developed countries on the amount of their development assistance, and
has also required that all state Parties take due account of the obligations under the
Covenant when acting as members of inter-governmental organizations, including
international financial institutions12, there is no systematic monitoring of states’
actions - as donors for example - and the extent to which these promote or hinder
the realisation of human rights. In order for all states to be held accountable for their
actions towards the achievement of the MDGs, they should be subject to scrutiny
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by UN human rights mechanisms in order to monitor whether their actions in
support of the MDGs – individually and as members of inter-governmental bodies
– is consistent with their human rights obligations to respect and promote human
rights for all, obligations which extend to those beyond their borders.
Consistency with human rights obligations - in all efforts to meet and surpass
the MDGs – requires all states, both developing countries and those who provide
support to them for meeting the goals, to be mutually accountable for ensuring
that MDG policies and programmes are based upon human rights standards.
3 The need to integrate human rights in MDG efforts
The failure to adequately reflect human rights standards in the MDG framework can
be illustrated by assessing Goals 3, 5 and 7. These Goals also show how the MDG
targets and indicators do not acknowledge the human rights violations that can hinder
progress on reaching the goals, and often undermine efforts to address poverty. In
particular, the failure to integrate gender equality and women’s human rights in all
the MDG targets and indicators means that states are not required to address gender
discrimination – in law, policy and practice - in their efforts towards all the MDGs.
Goal 5 on improving maternal health and reducing high levels of preventable maternal
deaths is an area that is considered the most off track, and where addressing underlying
human rights issues is key to making progress. Goal 7 - intended to improve the lives
of slum dwellers – is a stark example of how the MDGs fails to reflect the scale and
scope of the problems faced by people living in slums, and the range of measures that
are required to respect and promote their human rights.
3.1 Promoting gender equality and empowering
women (MDG Goal 3)
It is estimated that, worldwide, 70 per cent of those living in poverty are women.13
In many countries, women and girls continue to face barriers in getting decent
work; participating in public life; and obtaining access to education, health care,
adequate food, water and sanitation. Women living in poverty may also face multiple
discrimination because they belong to Indigenous communities or minority groups
or because of their race, caste, ethnicity, disability or marital status.
The MDGs as a whole fall short of the legal obligations of states under
international law to address discrimination against women and to guarantee
equality under each of the goals and targets. In addition, gender-based violence, a
pervasive barrier to gender equality which threatens to undermine progress on all
the MDGs, is not reflected in any of the MDG targets.
Gender equality and women’s empowerment are widely recognized as
essential for tackling poverty (UNIFEM; UNDP, 2009). It is therefore striking that
they are so poorly reflected in the MDGs and that the gender-sensitive targets and
indicators are both limited and inadequate (UNIFEM, 2008). While the targets
and indicators for Goal 3 capture some important issues, they overlook other key
areas. These include discrimination against women in law, such as civil, penal and
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personal status laws governing marriage and family relations; women’s property
and ownership rights; and women’s civil, political and employment rights.
The failure to integrate women’s human rights fully into efforts to meet all the
MDG targets means that the structural inequality and discrimination experienced
by women is often not addressed in states’ MDG policies and programmes.14 In
addition, the lack of consistency in disaggregating data on MDG initiatives means
that information on gender discrimination and its intersection with other forms
of discrimination are often overlooked (UNFPA, 2010a, p. 19).
Under international law, states have an obligation to prevent, investigate
and punish acts of violence against women. Central to achieving this is ensuring
that women who are subjected to violence can access justice and remedies for the
harm they have suffered (UNITED NATIONS, 1995, para. 124). However, the MDG
framework does not require states to address all forms of gender-based violence in
their MDG plans, policies and programmes.
Discrimination and poverty can also make women in wealthy countries
more prone to suffer from violence. In Canada, for example, AI has found that
widespread and entrenched racism, poverty and marginalization put Indigenous
women at heightened risk of violence; they experience significantly higher rates
of violence than women in the population as a whole.15 Discrimination has also
resulted in deep inequalities in living conditions and in Indigenous women’s
ability to access government services. For example, they are often denied access
to services and support, such as emergency shelters. They have also been denied
adequate protection by police and government forces; those responsible for
violence against Indigenous women are rarely brought to justice (AMNESTY
INTERNATIONAL, 2009b).
Lack of protection for women human rights defenders and the failure to
prevent and punish attacks and harassment against them make it harder for
women to participate actively. Women human rights defenders are often targeted
for gender-specific forms of harassment, discrimination and violence, designed to
dissuade them and other women from demanding their rights and participating in
public life, especially when they challenge gender stereotyping and discrimination.16
AI has documented how women human rights defenders in Afghanistan and
Zimbabwe have been targeted and attacked for speaking out against human rights
violations, in order to stifle dissent and prevent others from speaking out (AMNESTY
INTERNATIONAL, 2007, 2009c).
In order to ensure that they are fulfilling their obligations under international
human rights law in their efforts to meet Goal 3, states are required to take a number
of measures. These include: identifying and addressing gender discrimination in
law, policy and practice in all their efforts towards all the MDGs, including by
disaggregating data by gender and monitoring implementation to ensure that all
MDG efforts explicitly tackle gender discrimination and inequality; identifying
and removing the specific barriers faced by women and girls in realizing their
human rights in all plans, policies and programmes to address poverty; abolishing
laws that discriminate against women, and addressing traditional practices and
customary laws that undermine women’s rights; taking all necessary measures to
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combat gender-based violence in all its forms and to ensure that women have access
to justice and remedies when they have been subjected to violence; respecting and
promoting women’s right to participate equally and fully in all levels of decision-
making and in public life, and ensuring that the rights of women human rights
defenders are fully respected and promoted.
3.2 Improving maternal health (MDG Goal 5)
Although a recent study (HOGAN et al., 2010, p. 1609-1623) claims that there has
been some progress in improving maternal health, Goal 5 is considered an area
where it is least likely that the 2015 targets will be met.
It is estimated that, globally, a woman dies every minute from pregnancy
or childbirth-related causes. In addition, an estimated 10-15 million women a
year experience serious complications that leave them with injuries or permanent
disabilities (UNFPA, 2010b). Women who experience complications during
pregnancy and childbirth often suffer long-term physical, psychological, social
and economic consequences. Unplanned or unwanted pregnancies and the lack
of available safe, voluntary and effective family planning and contraception also
contribute to high levels of unsafe abortions that result in maternal deaths and
morbidity. Inadequate monitoring and data collection of maternal deaths and
“near-misses” contributes to under-reporting of these deaths and prevents a full
understanding of their direct and indirect causes.
According to the UN Population Fund (UNFPA), as many as 99 per cent of
the women who die each year of pregnancy-related complications live in developing
countries. Complications relating to pregnancy are said to be the single largest cause
of death among girls aged between 15 and 19 and women in developing countries
(UNFPA, 2010c). The direct causes of most maternal deaths are: severe bleeding,
infections, hypertensive disorders (such as eclampsia), prolonged or obstructed
labour, and complications from unsafe abortions.
Levels of maternal mortality and morbidity differ both between and within
countries. The disparities in the levels of risk faced by women are linked to a variety
of factors, including multiple discrimination, poverty and neglect. The scope, targets
and indicators for Goal 5 fail to acknowledge the variety of underlying factors that
contribute to preventable maternal deaths and injuries. They do not, for example,
adequately address human rights issues such as early or forced marriage; violence
against women and girls; how discrimination and poverty prevent women from
obtaining sexual and reproductive health care services; or how women are often
prevented from making decisions about their own health and lives. These issues
need to be systematically and comprehensively addressed if significant progress is
to be made in reducing maternal mortality.
Inadequate data on maternal deaths and injuries, especially in countries with the
highest rates of maternal deaths and morbidity, means that the mortality ratio (target
5.A) risks being misleading. The fact that there is no requirement to disaggregate the
data also means that apparent progress may conceal a failure to improve maternal
mortality and morbidity among disadvantaged and marginalized groups – such as
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women living in remote rural areas, women living in slums, Indigenous women and
adolescents. Similarly, the indicator on skilled attendance at birth is important, but
does not address whether obstetric services are of sufficient quality, are available,
accessible and equitably distributed (WHO; UNICEF; UNFPA, 1997)..
In Peru, for example, women from Indigenous, rural and poor communities
face particular barriers in obtaining maternal health care services as a result of
entrenched discrimination. Some do not have identity documents and so cannot get
the free health provision to which people from marginalized and poorer communities
are entitled. Other barriers include the lack of clear and accessible information on
maternal and child health services; the fact that health facilities are located far from
their homes; prohibitive transport costs; discriminatory attitudes within health
facilities; the failure to provide for culturally appropriate birthing methods; and
communication difficulties – many Indigenous women do not speak Spanish and
few health professionals speak Quechua (AMNESTY INTERNATIONAL, 2006).
Since 2006, the Peruvian government has taken some steps towards
addressing these barriers. For example, they have promoted culturally adapted
birthing methods; increased the number of maternal waiting houses and health
insurance cover for rural populations; and introduced a system of targeted
budget allocation centred on results. However, women living in remote areas and
Indigenous communities continue to face difficulties in getting access to the care
they need. Among the reasons hindering progress are inadequate implementation
and monitoring of policies and initiatives and a lack of clarity around responsibility
and accountability (AMNESTY INTERNATIONAL, 2009d). Unless Peru takes all
the necessary measures to address the specific barriers faced by Indigenous women
in accessing health care, any progress it makes on Goal 5 will fail to benefit the
most disadvantaged groups and so mask ongoing and systemic discrimination.
Restricting efforts towards MDG 5 to simply increasing access to services,
neglects states’ pre-existing commitment to ensure gender equality and promote
the full range of women’s rights, including sexual and reproductive rights. These
rights are set out in a number of key instruments including the Platform for Action,
adopted at the Fourth UN World Conference on Women in Beijing (1995); the
Cairo Programme of Action of the International Conference on Population and
Development (1994); and CEDAW, to which 186 states are parties.17
Progress on Goal 5 requires the realization of sexual and reproductive
rights – and the full respect for the right of individuals to decide freely on matters
relating to their sexuality and reproductive life. This encompasses the rights to
decide whether and when to be sexually active; to freely choose one’s partner; to
consensual marriage; to decide freely the number, spacing and timing of one’s
children; and to be free from unsafe abortion and gender-based violence, including
sexual violence, and harmful practices.18 Women’s realization of their sexual and
reproductive rights also requires other rights to be fulfilled such as the right to
education; to food; to the highest attainable standard of health and the underlying
determinants of health; and to equal protection before the law.
In Sierra Leone and Burkina Faso, while governments have acknowledged
the need to improve maternal health and are taking positive steps to tackle it, they
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have not sufficiently addressed key human rights issues that contribute to high rates
of preventable maternal deaths – such as gender discrimination; early marriage
and pregnancy; the denial of women’s sexual and reproductive rights; and women’s
low socio-economic status (in the household and in society at large) and lack of
decision-making power. In Sierra Leone, women face many barriers in obtaining
necessary health care services, including long distances to health care facilities and
ineffective referral services (AMNESTY INTERNATIONAL, 2009e). In Burkina Faso,
financial barriers to health care contribute to high levels of preventable maternal
deaths and injury (AMNESTY INTERNATIONAL, 2009f ). Both Burkina Faso and
Sierra Leone have acknowledged that women face significant financial barriers
in accessing health care. In response to this situation, in April 2010 Sierra Leone
introduced free health care for pregnant women and children under five. Burkina
Faso has said that it is, in principle, in favour of removing financial barriers that
prevent women from getting the healthcare they need. Both these developments
are to be welcomed, and if adequately implemented could have a very positive
impact on women’s access to essential care. However, the underlying violations of
women’s sexual and reproductive rights must also be systematically addressed for
long-term, sustained improvements in maternal health.
Barriers to healthcare also reflect disparities among different population groups
and affect maternal health in developed, as well as developing, countries. In the USA,
more than two women die every day from complications of pregnancy and childbirth.
Approximately half of these deaths could be prevented if maternal health care were
available, accessible and of good quality for all women without discrimination in the
USA. For those who can afford it, the USA offers some of the best health care in the
world. For many, however, that care is beyond reach. Despite the huge sums of money
spent on maternal care, women, particularly those on low incomes, continue to face a
range of barriers in obtaining the services they need. An individual’s ability to access
health care depends on whether they have insurance and, if they do, whether it is
private or public. Although members of ethnic and racial minorities make up only
about 34 per cent of the population (US CENSUS BUREAU, 2008a), they constitute
approximately half of the uninsured (US CENSUS BUREAU, 2008b, p. 21, Table 7),
and as a result are more likely to go into pregnancy with untreated or unmanaged
medical problems that pose added health risks during pregnancy.
In order to fulfill their obligations under international human rights law in
their efforts to meet Goal 5, states are required to take a number of measures. These
include: respecting the right to health by refraining from actions that interfere with
women realizing this right, such as restricting women’s access to health care services
where women do not have the consent of husbands, partners, parents or health
authorities (UNITED NATIONS, 2010, para. 14). States must also ensure adequate
protection of women’s right to health by preventing third parties from interfering with
the enjoyment of this right. For example, states should ensure that harmful social or
traditional practices do not interfere with access to sexual and reproductive health
care (UNITED NATIONS, 2000b, para. 21). States are also required to take appropriate
measures, whether legislative or otherwise, to ensure the realization of the right to
health, including through the removal of barriers to accessing healthcare (including
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financial barriers) so that all women can obtain necessary health care services – such
as emergency obstetric care – when they need it (UNITED NATIONS, 1966, Art. 12).
State must also identify and address gender discrimination in law, policy and practice,
including in relation to women’s sexual and reproductive rights, and tackle human
rights issues such as early and forced marriage, female genital mutilation, unsafe
abortion and violence against women, including sexual violence.
Finally, states must ensure that there are adequate accountability
mechanisms - judicial, regulatory, administrative and political - to ensure that
there is effective monitoring, oversight and access to remedies for those whose
sexual and reproductive rights are violated.
3.3 Improving the lives of people living in slums (MDG Goal 7)
While a 2010 report by the UN Human Settlements Programme (UN-HABITAT)
claims that “227 million people in the world have moved out of slum conditions
since 2000, meaning governments have collectively surpassed the Millennium
Development target by 2.2 times” (UNITED NATIONS, 2010e, p. 33), the number
of people living in slums and informal settlements has actually increased over this
period. Data collected by UN-HABITAT indicated that close to one billion people
were living in slums in developed and developing countries by 2005 (UNITED
NATIONS, 2006b, p. 18-22).19 The latest data released by UN-HABITAT indicates
that in the developing world alone, the number of people living in slums increased
from 767 million in the year 2000 to an estimated 828 million people in 2010
(UNITED NATIONS, 2010e, p. 33). At least one in three urban residents therefore
live in inadequate housing conditions that do not satisfy the requirements for
adequate housing set out in Article 11(1) of the ICESCR (UNITED NATIONS,
1991, para. 8). These include 1) legal security of tenure; 2) availability of services,
materials, facilities and infrastructure; 3) location; 4) habitability; 5) affordability;
6) accessibility; and 7) cultural adequacy.
UN-HABITAT’s global monitoring shows the extent to which the housing
and living conditions in slums and informal settlements around the world grossly
fail to meet these requirements. Examples of these failures range from the risks
associated with the location of many slums and informal settlements in areas that
are prone to floods, landslides and other natural disasters, to severely overcrowded,
poorly constructed and inadequate housing.20
States are required under international law to take immediate and progressive
steps to realize the rights to adequate housing and other human rights of people
living in slums and informal settlements.
It is estimated that there will be 1.4 billion people living in slums by 2020.
In Goal 7, the international community has committed to improving the lives of
less than 10 per cent of people who live in slums (which in 2001 stood at over
900 million) (UNITED NATIONS, 2010e, p. 47). The target is also one of the most
vaguely worded and asks for “significant improvement” in the lives of slum dwellers,
without identifying what constitutes an improvement. The indicator for progress
is the proportion of the urban population living in slums, which makes it possible
v. 7 • n. 12 • Jun. 2010 • p. 55-77 ■ 67
cOMBAtING EXclUSION: WHy HUMAN RIGHtS ARE ESSENtIAl FOR tHE MDGs
for states to demonstrate progress even if the total number of people living in slums
has increased over the monitoring period. States have also been given an additional
five years, until 2020, to meet this weak target.
The target is grossly inadequate when considered in light of the obligations of
states under international human rights law to prioritize the realization of minimum
essential levels of shelter and housing for all; to take deliberate, concrete and targeted
steps towards achieving the right to adequate housing; and to prioritize the most
disadvantaged and vulnerable groups when allocating resources.
The MDG framework ignores the crucial and immediate obligation on states
to provide a minimum degree of legal security of tenure (UNITED NATIONS, 1991,
para. 8 (a)). This is an essential precondition for protecting people living in slums
from the underlying human rights violations that continue to drive and deepen
poverty. It also provides the security people need to improve their own housing
and living conditions and benefit from public services and schemes.
The vast majority of people living in settlements or slums considered
“illegal” or “irregular” by governments have limited or no security of tenure and
are extremely vulnerable to forced evictions. This can be the case even when the
inhabitants own or are renting their homes. It is estimated that between 30 and 50
per cent of urban residents in the developing world do not have any kind of legal
document to show they have security of tenure (UNITED NATIONS, 2006b, p. 92).
The effects of forced evictions can be catastrophic, particularly for people
who are already living in poverty. Forced evictions result not only in people losing
their homes, neighbourhoods and personal possessions, but also lead to fractures
of social networks and communities. For example, Operation Murambatsvina
in Zimbabwe, a programme of mass forced evictions and demolitions of homes
and informal businesses, destroyed 32,538 small and micro-businesses across the
country, devastating the livelihoods of 97,614 people (mostly women) who were
targeted indiscriminately (AMNESTY INTERNATIONAL, 2007).
Despite the central importance of security of tenure in increasing access
to a range of services and reducing the risk of other human rights violations,
the indicator on tenure status (proportion of households with secure tenure) was
dropped from the MDG monitoring framework (OHCHR; UNICEF; NORWEGIAN
CENTRE FOR HUMAN RIGHTS, 2008, p. 40).
Lack of security of tenure also increases the risk of other human rights violations
and may lead to people living in slums or informal settlements being excluded from
essential public services and from city planning and budgeting processes. In many
countries, it limits access to public water supplies and sanitation systems and is
therefore also closely linked to the targets on safe drinking water and sanitation. The
MDG monitoring framework, however, pays insufficient attention to these links.
In Cambodia, for example, AI has documented how some 15,000 Phnom Penh
residents living in basic housing on the shores of the Boeung Kak Lake face displacement,
due to work to turn the lake into landfill. Since then, and before any adjudication of
their land ownership claims, around 1,000 families have been forcibly evicted by the
authorities. The affected communities, many of whom are already living in poverty, fear
that the development may drive them out of the capital city to an area where thousands
68 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
AMNESty INtERNAtIONAl
of others have been resettled following eviction, and which is effectively a new slum
outside the city’s perimeter, which lacks sanitation, electricity and other basic services
and where job opportunities are very scarce. This is one example among many and
stands in sharp contrast to the poverty reduction and development policies adopted by
the Cambodian government as part of its efforts to meet the MDGs.21
People living in slums or informal settlements may also be excluded from
protective legislation which applies to other residents. In Kenya, for example,
landlords failed to provide sanitation and other services to people who were
renting homes in informal settlements, contravening the Kenyan Public Health
Act. However, the local authorities have chosen not to apply the law to landlords
or developers who build and rent homes in slums and settlements (AMNESTY
INTERNATIONAL, 2009g ).
Although slums are located in urban areas, which tend to have better
health, education and other services than rural areas, these services are not
equally distributed among the urban population. When UN-HABITAT began to
disaggregate data, it found that people living in slum areas were not benefiting from
the “urban advantage” (UNITED NATIONS, 2006b, p. 102-127).22 They lagged far
behind urban non-slum areas in access to health care, education and employment
and had rates of malnutrition and child mortality that were much closer to, or as
high as, those in rural areas.
The fact that many slums or informal settlements are irregular also affects
residents’ access to services such as policing. As a result people may find themselves
denied protection by the police and caught between the violence of criminal gangs
and the police (AMNESTY INTERNATIONAL, 2005, 2008a). In favelas or inner-city
neighbourhoods in Brazil and Jamaica the state is largely absent. The failure by the
authorities to offer protection to these communities has allowed criminal gangs and
drug factions to take control and dominate almost every aspect of life. For example,
in some neighbourhoods gangs impose curfews and control transport systems and
access to education, jobs and health care services (AMNESTY INTERNATIONAL,
2005, 2008a, 2008b).
People living in slums are also disproportionately victims of violent crime. A
survey of women living in slums in six cities around the world carried out by the Centre
on Housing Rights and Evictions identified violence against women as “rampant” in
slums and the “strongest cross-cutting theme” of their study (COHRE, 2008, p. 14).
Women experienced violence both within the home and outside, for example as they
came back from work or on their way to use public toilets or communal facilities.
Women have also described the difficulties of reporting domestic or other forms of
violence to the police because of negative perceptions of people living in slums or just
because of the absence of police stations in slum areas (AMNESTY INTERNATIONAL,
2008b; COHRE, 2008, p. 79, 103, 109).
The right of people to participate in developing and implementing slum
upgrading programmes has also frequently been disregarded in MDG initiatives.
In a slum upgrading programme in Nairobi, for example, residents were not given
adequate information or genuinely consulted. This resulted in significant concerns
for the community on issues such as whether the housing that they were being offered
v. 7 • n. 12 • Jun. 2010 • p. 55-77 ■ 69
cOMBAtING EXclUSION: WHy HUMAN RIGHtS ARE ESSENtIAl FOR tHE MDGs
was affordable and would meet their needs in terms of location and livelihoods. In
2006 the government said that it would designate slum upgrading areas as “tenure
secure zones”. It also pledged to “determine appropriate secure tenure systems to be
introduced in consultations with residents, structure owners and other stakeholders...
and assure rights of occupancy to residents by first and foremost, eliminating unlawful
evictions and providing certainty of residence” (AMNESTY INTERNATIONAL,
2009g). Four years later, these commitments have yet to be put into effect, leaving
people uncertain and concerned about possible forced evictions during the project’s
implementation (AMNESTY INTERNATIONAL, 2009g, p. 27).
In order to fulfil their international obligations in their efforts to meet target
7.D under Goal 7 on improving the lives of people living in slums, governments are
required to take a variety of measures. They must respect the right to adequate housing
by stopping and preventing forced evictions of people living in slums, including by
enacting laws and policies to guarantee secure tenure. They must protect the right
to adequate housing, including by ensuring protection against forced evictions and
harassment by landlords and other private actors – including by extending protections
in rental and housing legislation to people living in slums to enable them to challenge
disproportionate rents and discrimination by private actors. They must fulfil the
right to adequate housing, including by developing national housing strategies, slum
upgrading, social housing and other programmes that are designed and implemented
in a participatory manner and ensure that policies and programmes prioritize the
most disadvantaged and vulnerable groups. They must ensure non-discrimination in
laws, policies and programmes in slum upgrading or other housing programmes by,
for example, ensuring that women are not excluded from slum upgrading or other
housing programmes because of their marital status or other factors, or because of
discriminatory inheritance or property laws. Finally they must ensure that people
living in slums have access to accountability mechanisms so that they have access to
a remedy where their rights have been violated.
4 Conclusion
International human rights standards provide an important framework for
developing policies and programmes to achieve progress on the MDGs. Consistency
with human rights obligations - in all efforts to meet and surpass the MDGs –
requires all states, both developing countries and those who provide support to them
for meeting the goals (including bilateral and multilateral development agencies
and international financial institutions), to underpin their MDG strategies with
human rights standards.
All states must ensure an adequate focus on the realization of minimum
essential levels of economic, social and cultural rights for all, prioritizing
those who are most marginalized and excluded, and must identify and address
discrimination – including gender discrimination – across all the MDGs. This also
requires states to adopt or modify laws, policies and practices to address all forms
of discrimination. International human rights law requires governments - acting
nationally and through international cooperation - to use human rights standards
70 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
AMNESty INtERNAtIONAl
to inform and guide policy dialogue and choices, poverty reduction strategies
and the identification of priorities in all efforts towards the MDGs. As such,
governments should review existing and planned laws, policies and programmes
aimed at meeting the MDGs to ensure consistency with human rights standards,
and adopt or modify laws, policies and practices to ensure greater protection for
human rights. States must also ensure that those living in poverty are involved in
MDG planning, implementation and monitoring at all levels. This also requires
the equal participation of women and the provision of an enabling environment
for the work of human rights defenders, including through guaranteeing people’s
rights to information, freedom of expression and association. There must also be
effective national and international accountability mechanisms to ensure that all
states respect, protect and fulfil human rights in all their MDG efforts and that
there are effective remedies for any human rights violations.
The priority now is to focus on the implementation of the MDGs in a manner
consistent with human rights by 2015. However, it is also important that any
consideration of a new or revised global framework post-2015 gives due attention
to the need to reflect states’ existing obligations under human rights law. Any
new framework should address discrimination comprehensively, establish global
and national targets and timelines to fulfil minimum essential levels of economic,
social and cultural rights for all, and ensure that there are effective national and
international accountability mechanisms to monitor the realisation of goals aimed
at addressing poverty and exclusion and to provide redress for failures to respect
and promote human rights.
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NOTES
1. this article is based on Amnesty International’s for Action, Accra, Ghana, available at www.undp.
publication: From Promises to Delivery: Putting org/mdtf/docs/Accra-Agenda-for-Action.pdf, last
Human Rights at the Heart of the Millennium accessed 24 May 2010.
Development Goals, AI Index 41/012/2010, June 4. See for example Article 2(1), International
2010. covenant on civil and Political Rights (UNItED
2. United Nations (1966, Art. 2(1), IcEScR) NAtIONS, 1966) and Article 2, convention on the
states that: “Each State Party to the present Elimination of All Forms of Discrimination Against
covenant undertakes to take steps, individually Women (UNItED NAtIONS, 1979).
and through international assistance and co-
5. Revised Millennium Development Goal
operation, especially economic and technical, to
monitoring framework, including new targets and
the maximum of its available resources, with a
indicators, as recommended by the Inter-Agency
view to achieving progressively the full realization
and Expert Group on Millennium Development Goal
of the rights recognized in the present covenant
Indicators, contained in Report of the Secretary-
by all appropriate means, including particularly
General on the work of the Organization (UNItED
the adoption of legislative measures.” (emphasis
added). the importance of international assistance NAtIONS, 2007a, Annex II, p. 66).
and co-operation to the realization of human rights 6. Report of the Independent Expert on Minority
is also reflected in other international and regional Issues, Gay McDougall, (UNItED NAtIONS,
human rights treaties such as the convention on the 2007b).
Rights of the child and the convention on the Rights 7. the Human Rights committee has clarified that
of Persons with Disabilities. the “conduct of public affairs … is a broad concept
3. third High level Forum on Aid Effectiveness, which relates to the exercise of political power,
September 2-4 2008, para. 13 (c), Accra Agenda in particular the exercise of legislative, executive
v. 7 • n. 12 • Jun. 2010 • p. 55-77 ■ 75
cOMBAtING EXclUSION: WHy HUMAN RIGHtS ARE ESSENtIAl FOR tHE MDGs
and administrative powers. It covers all aspects health is a basic right under the convention on the
of public administration, and the formulation and Elimination of All Forms of Discrimination against
implementation of policy at international, national, Women’ (UNItED NAtIONS, 2010d, para. 1).
regional and local levels.” (UNItED NAtIONS, It has also said that Article 12 of the convention
1996, art. 25, para. 5). ‘requires States to eliminate discrimination against
8. UN Permanent Forum on Indigenous Issues women in their access to health care services,
website, <http://www.un.org/esa/socdev/unpfii/en/ throughout the life cycle, particularly in the areas
mdgs.html#_ftn5>, last accessed on: 24 May 2010. of family planning, pregnancy, confinement and
during the post-natal period’ and that ‘Measures
9. In addition, the UN Human Rights council to eliminate discrimination against women are
has established Special Procedures, consisting of considered to be inappropriate if a health care
individuals or working groups, who can carry out system lacks services to prevent, detect and treat
independent enquiries into thematic or country illnesses specific to women’ (UNItED NAtIONS,
human rights situations. 2010d, para. 2, 11).
10. the Optional Protocol was opened for signature 18. the UN Special Rapporteur on the right to the
on 24 September 2009 and has been ratified by highest attainable standard of health has clarified
2 states and signed by 33 states as of 20 August that “In the context of sexual and reproductive
2010. health, freedoms include a right to control one’s
11. Adopted 6 October 1999 and entered into force health and body. Rape and other forms of sexual
on 22 December 2000. the Optional Protocol has violence, including forced pregnancy, non-consensual
been ratified by 99 states as of the end of April contraceptive methods (such as forced sterilisation
2010. and forced abortion), female genital mutilation/
12. See for example, concluding Observations of cutting and forced marriage, all represent serious
the cEScR on Germany (UNItED NAtIONS, breaches of sexual and reproductive freedoms, and
2001b, para. 31) and cEScR, General comment n. are fundamentally and inherently inconsistent with
14 (UNItED NAtIONS, 2000, para. 39). See also the right to health” (UNItED NAtIONS, 2004).
Sepúlveda (2006, p. 287). 19. According to UN-HABItAt a ‘slum’ is
an area that combines, to various extents, the
13. See Women, Poverty and Economics, available
following characteristics: inadequate access to safe
at http://www.unifem.org/gender_issues/women_
water; inadequate access to sanitation and other
poverty_economics/, last accessed 24 May 2010.
infrastructure; poor structural quality of housing;
14. On the occasion of the 15th anniversary of the overcrowding and insecure residential status
Beijing Platform for Action, the commission on (UNItED NAtIONS (2003b).
the Status of Women stated that “gender equality
20. At least three or four in every 10 non-
perspectives are not well reflected in the current
permanent houses in cities in developing countries
formulation of many of the Millennium Development
are located in dangerous areas that are prone to
Goals and their targets and indicators, and are
floods, landslides and other natural disasters. In
often not explicitly integrated in strategies and plans
2003, approximately 20 per cent of the world’s
to achieve the Goals. there is insufficient coherence
population was living in inadequate dwellings,
between efforts to implement the Platform for
which were overcrowded or did not have a sufficient
Action and the strategies and actions to achieve the
living area. It was also estimated that 18 per cent
Goals and this lack of coherence is a contributing
of all dwelling units globally are non-permanent
factor in the uneven and slow performance towards
structures and 133 million people living in cities
realizing many of the Goals” (UNItED NAtIONS,
in the developing world live in housing that lack
2010c, para. 2). finished materials. Because of the difficulties of
15. In a 2004 survey by the canadian government, collecting data on this issue and lack of systematic
Indigenous women reported rates of violence, assessment, these numbers may be “highly
including domestic and sexual violence that were underestimated” (UNItED NAtIONS, 2010e, p. 58,
three and a half times higher than non-Indigenous 62, 70, 137-139; UNFPA, 2007, p. 59-61).
women (BRZOZOWSKI; tAylOR-BUttS; 21. “From the adoption of the Millennium
JOHNSON, 2006). Declaration in 2000, cambodia has expressed its
16. For example, in its report Zimbabwe: Between full commitment to the Millennium Development
a rock and a hard place – women human rights Goals (MDGs). In 2003, the global MDGs have
defenders at risk (AMNESty INtERNAtIONAl, been localized in cambodia and these are called
2007), Amnesty International documented the cambodia Millennium Development Goals
government’s clampdown on women human rights (cMDGs). the cMDGs reflects cambodia realities
defenders in Zimbabwe to crush dissent and prevent based on a strong national consensus.” (UNItED
other women and men from becoming active. NAtIONS, 2007d).
17. the cEDAW committee has stated that 22. For the latest data see UN-HABItAt (UNItED
‘access to health care, including reproductive NAtIONS, 2010e, p. 52-119).
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AMNESty INtERNAtIONAl
RESUMO
Os Objetivos de Desenvolvimento do Milênio (ODMs) representam o consenso global
sobre a necessidade de tomar uma atitude com relação à pobreza. Embora os ODMs
tenham desempenhado um papel importante ao focar a atenção internacional em questões
relativas ao desenvolvimento e à redução da pobreza, o artigo defende que os ODMs não
reletem integralmente o nível de ambição da Declaração do Milênio, a qual prometeu
o empenho na proteção e na promoção de todos os direitos humanos – civis, culturais,
econômicos, sociais e políticos – para todos.
Este artigo descreve alguns dos aspectos nos quais o marco dos ODMs, embora
compreenda áreas nas quais os Estados têm obrigações claras de acordo com o direito
internacional dos direitos humanos - como alimentação, educação e saúde -, não relete
estes padrões. Três áreas principais são focadas – igualdade de gênero (ODM 3), saúde
materna (ODM 5) e favelas (ODM 7) – para exempliicar as lacunas existentes entre os
compromissos dos ODMs e os padrões relativos aos direitos humanos. Defende-se que tal
lacuna é também um dos principais fatores por trás da falta de progresso equitativo nos
ODMs. O artigo reforça a importância de garantir que os esforços para a consecução dos
ODMs sejam consistentes com os padrões de direitos humanos; e que a não discriminação,
a igualdade de gênero, a participação e a accountability estão no núcleo desses esforços para
acabar com a pobreza e a exclusão.
PALAVRAS-CHAVE
Objetivos de Desenvolvimento do Milênio (ODMs) – Direitos humanos
RESUMEN
Los Objetivos de Desarrollo del Milenio (ODM) representan un consenso global acerca de
la necesidad de combatir la pobreza. En el presente artículo se argumenta que si bien los
ODM han desempeñado un importante papel al atraer la atención internacional hacia temas
relativos al desarrollo y la reducción de la pobreza, no relejan por completo la ambición de
la Declaración del Milenio, en la que se promete luchar por la protección y promoción de
todos los derechos humanos -civiles, culturales, económicos, sociales y políticos- para todos.
El presente artículo analiza algunos de los aspectos –como alimentación, educación y
salud—sobre los cuales las obligaciones de los Estados en materia de derechos humanos no
se encuentran debidamente relejadas en los ODM. El artículo destaca tres temas principales:
igualdad de género (Objetivo 3), salud materna (Objetivo 5) y asentamientos precarios
(Objetivo 7), como ejemplos que ilustran las distancias entre los compromisos de los ODM
y las normas de derechos humanos. Se argumenta que esta brecha es también uno de los
principales factores que subyacen a la falta de avance equitativo en los ODM. Se hace hincapié
en la importancia de asegurar que todos los esfuerzos por alcanzar todos los ODM sean
plenamente coherentes con las normas de derechos humanos, y que la no discriminación, la
igualdad de género, la participación y la rendición de cuentas se encuentren en el centro de
todas las acciones destinadas a combatir la pobreza y la exclusión.
PALABRAS CLAVE
Objetivos de Desarrollo del Milenio (ODMs) – Derechos humanos
v. 7 • n. 12 • Jun. 2010 • p. 55-77 ■ 77
VIctORIA tAUlI-cORPUZ
Victoria tauli-corpuz is an indigenous activist and writer from the cordillera Region
in the Philippines. She belongs to the Kankan-ey Igorot people. She finished a
nursing course in the University of the Philippines in l976. While in the university
she became actively involved with the movement against the Marcos Dictatorship.
She spent most of her post-university life in helping set up indigenous peoples
organizations and institutions. She established community-based health programs in
various indigenous communities. From being a leader of the indigenous peoples’ movement in her
country she moved on to do regional and international work. She organized the Asian Indigenous
Women’s Network in l993 and became the convenor. One of her involvements at the global level
was in helping draft and negotiate the United Nations Declaration on the Rights of Indigenous
Peoples until this got adopted in 2007 by the UN General Assembly. She was the chairperson
of the United Nations Permanent Forum on Indigenous Issues from 2005 to 2010 April. She
prepared reports for the Forum on the MDGs and other development and human rights issues of
indigenous peoples. Her articles have been published in several journals and books on indigenous
peoples’ rights, indigenous women, globalization, biodiversity, climate change, among others.
Email: vicky@tebtebba.org
ABSTRACT
Indigenous peoples are one of the strongest critics of the dominant paradigm of development
because of how this has facilitated the violation of their basic human rights, which includes
their rights to their lands, territories and resources, their cultures and identities. So-called
“development” also has led to the erosion and denigration of their indigenous economic, social
and governance systems. Ten years after the MDGs came into being, it is about time to see
whether these have taken indigenous peoples into account and whether the implementation
of these have led to changes in the way development work is done. his paper examines the
relationship of the Millenium Development Goals to the protection, respect and fulillment
of indigenous peoples’ rights as contained in the UN Declaration on the Rights of Indigenous
Peoples. It analyzes whether the MDGs as constructed and implemented have the potential
to contribute towards a more digniied life for indigenous peoples. It looked into some of the
eforts of various actors, such as indigenous peoples, part of the UN system, including the UN
Permanent Forum on Indigenous Issues, and NGOs have done in relation to the MDGs. he
Permanent Forum is the highest body in the UN addressing indigenous peoples and which is
mandated to look into human rights, economic and social development, education, culture,
health and environment. Some recommendations which emerged from this study include the
need to use the human-rights based approach to development in implementing the MDGs and
the need to set up culturally-sensitive social services.
Original in English.
Submitted in May 2010. Accepted in July 2010.
KEYWORDS
Indigenous peoples – Human rights – Development – Discrimination – Participation
his paper is published under the creative commons license.
his paper is available in digital format at <www.surjournal.org>.
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REFLECTIONS ON THE ROLE OF THE UNITED
NATIONS PERMANENT FORUM ON INDIGENOUS
ISSUES IN RELATION TO THE MILLENNIUM
DEVELOPMENT GOALS
Victoria tauli-corpuz
1 Introduction
The UN High Level Summit in September 2010 to review the implementation
of the Millennium Development Goals should be used as an opportunity to look
more deeply into whether indigenous peoples have been reached by the MDGs.
One of the distinct features of the MDGs is that these are time-bound with
established targets and indicators, except for Goal 8. Ten years have elapsed and
it is almost a foregone conclusion that most of the MDGs will not be met. Some
of the reasons which are cited for the failure to meet the targets are the recent
global financial crisis and even climate change. But the fact that the MDGs
were constructed without linking these with the need to address the structural
roots of the problems was precisely one of the criticisms of the MDGs by human
rights experts and activists. Unless the MDGs are seen within the broader
socio-economic, political and cultural context and addressed from human rights
perspective, gains can only be transient and, therefore, not sustainable.
To fill up this gap, efforts were exerted by some human rights bodies
and UN programmes, funds and agencies as well as human rights experts and
indigenous peoples to converge the MDGs with the human rights framework.
They tried to link the goals with the realization of specific rights contained in
International Human Rights Law and standards. For indigenous peoples, this
was the most relevant approach because it can happen that goals are achieved
but that there will be sectors of society which will be missed out or even further
marginalized. The adoption of the UN Declaration on the Rights of Indigenous
Peoples by the UN General Assembly in 2007 was significant in this effort to
make the MDGs more linked with human rights. The High Level Summit and
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REFlEctIONS ON tHE ROlE OF tHE UNItED NAtIONS PERMANENt FORUM ON INDIGENOUS ISSUES
IN RElAtION tO tHE MIllENNIUM DEVElOPMENt GOAlS
the processes leading to it should therefore be used as an opportunity to assess
whether the implementation of the MDGs has made a dent in changing the
situation of indigenous peoples and whether this contributed in promoting,
respecting and fulfilling indigenous peoples’ rights.
This paper will examine how the implementation of the MDGs took
indigenous peoples into account and it will identify the positive and negative
impacts of the MDGs on them. It will present some of the efforts done by
indigenous peoples, the UN Permanent Forum on Indigenous Issues and
other parts of the UN system to link human rights and the MDGs. A few
recommendations will be made on how to address the challenges ahead.
2 Human rights as the holistic framework for development
The rights contained in the United Nations Declaration which was adopted by
the UN General Assembly in 2007 “...constitute the minimum standards for
the survival, dignity and well-being of the indigenous peoples of the world”
(Article 43, UNDRIP). Thus, the UNDRIP should serve as the framework in
assessing existing development policies and operations, such as the Millennium
Development Goals, on indigenous peoples. As Robert Archer, a human rights
expert, expressed at a symposium on human rights and MDGs:
“... human rights are the most holistic framework for addressing development issues,
including new aid modalities: the legal authority, objectivity and political legitimacy
of the international human rights system means that its principles and standards
provide powerful criteria for assessing development priorities, processes and outcomes.
The core human rights principles of equality and accountability could also provide
innovative guides for development action.” (ARCHER, 2005).
Since colonization up to the present, the implementation of the dominant
development model has contributed to many violations of indigenous peoples’
human rights, especially the right to self-determination, right to their lands,
territories and resources, to traditional livelihoods, cultural rights, among others.
We called this phenomenon “development aggression”. The indigenous activists
who came to the United Nations in increasing numbers since the late 1970s were
those whose communities were affected by so-called development projects such
as mega-hydroelectric dams, logging, mining, among others. Since they cannot
find redress within the national borders the United Nations became the space
where they brought their complaints on how their rights are being violated in
the name of development. This is one of the main reasons why we pushed for
the UN Declaration on the Rights of Indigenous Peoples.
Since the MDGs are development goals agreed upon by States in 2000, it
is important to ensure that their implementation does not result in the violation
of indigenous peoples’ rights. The poverty situation of indigenous peoples is
dismal, as it is, and it will be tragic if global goals to address poverty lead to
even further impoverishment of others. The UN has established that indigenous
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peoples which compose around 5 percent of the total world population, make
up 15% of the world’s poor and represent one-third of the world’s extremely
poor rural people (UNITED NATIONS, 2009a). An MDG report of the Economic
Commission in Latin America and the Caribbean (ECLAC, 2005) further added
that indigenous peoples face huge disparities in terms of access to and quality
of education and health. In Guatemala, for example, 53.5% of indigenous
young people aged 15-19 have not completed primary education, as compared
to 32.2% of non-indigenous youth. In Bolivia, the infant mortality rate among
the indigenous population is close to 75/1000, as compared to 50/1000 for the
non-indigenous population.”
3 The UN Permanent Forum on Indigenous
Issues and MDGs
During the fourth (2005) and fifth (2006) sessions of the UN Permanent Forum
on Indigenous Issues, MDGs were adopted as the special theme. This author,
who was the Chair of these sessions, prepared a report on MDGs and indigenous
peoples (TAULI-CORPUZ, 2005) to assess how Goals 1 and 2 are being implemented
for indigenous peoples. In this report I examined at how development and nation-
state building resulted in further exclusion and discrimination of indigenous
peoples which has led to situations of impoverishment that prevail up to the
present. The situation of poverty amongst indigenous peoples as documented
in reports released by the World Bank, the Inter-American Development Bank
and the Asia Development Bank was highlighted. The common thread in these
reports is that in countries where indigenous peoples live, poverty amongst them
is pervasive and severe and the poverty map coincides with indigenous peoples’
territories. Indigenous peoples are disproportionately represented among the
world’s poor and extreme poor. The following were some statistics cited in relation
to the poverty of indigenous peoples in Latin America.
A report on Mexico says that the indigenous peoples live in “alarming
conditions of extreme poverty and marginality”. This study observed that being
poor and being indigenous are synonymous. Virtually all of the indigenous
people living in municipalities with 90 per cent or more indigenous people are
catalogued as extremely poor. Statistics in Guatemala show that 50 to 60 per
cent of a total population of 11 million persons belong to 23 indigenous peoples.
54.3 per cent of them are poor and 22.8 per cent extremely poor. Sixty per cent
of households do not have the capacity to earn half of the cost of their minimum
food needs despite spending a greater part of their earnings on it. In Ecuador’s
rural population, of which 90 per cent are indigenous, almost all are living in
extreme poverty. Eight out of every ten indigenous children in this country live in
poverty. In terms of how indigenous poverty compares with the non-indigenous
populations, the UNICEF Latin America and Caribbean office shows that in
Guatemala, 87 per cent of the indigenous population is poor, as compared to 54
per cent of the non- indigenous population; in Mexico, that ratio is 80 per cent
vs. 18 per cent; in Peru, 79 per cent of the indigenous population is classified
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REFlEctIONS ON tHE ROlE OF tHE UNItED NAtIONS PERMANENt FORUM ON INDIGENOUS ISSUES
IN RElAtION tO tHE MIllENNIUM DEVElOPMENt GOAlS
as poor, compared to 50 per cent of the non-indigenous population; while in
Bolivia, the ratio is 64 per cent vs. 48 per cent.
This data on the region is further reinforced by the IADB (Inter-American
Development Bank) report which was highlighted in The State of the World’s
Indigenous Peoples’ Report. This cited a study in the Latin American region
by the Inter-American Development Bank which concluded “the difference
between the indigenous and non-indigenous is often striking, where, for example
in Paraguay, poverty is 7.9 times higher among indigenous peoples, compared
to the rest of the population. In Panama, poverty rates are 5.9 times higher, in
Mexico 3.3 times higher, and in Guatemala, indigenous peoples’ poverty rates
are 2.8 times higher than the rest of the population.” (UNITED NATIONS, 2009b).
In addition, there was also a report done by the Inter-Agency Support
Group on Indigenous Issues (UNITED NATIONS, 2005). This body is the cluster
of more than thirty UN agencies, programmes and funds which banded together
to support the work of the Permanent Forum and includes the UN Development
Programme (UNDP), the International Labor Organization (ILO), FAO,
World Bank, among others. It also includes other multilateral institutions like
the European Commission, the International Organization of Migration, etc.
The IASG held a meeting in 2004 to look into how indigenous peoples were
included in the MDG related processes and reports and it also came up with
recommendations for better MDG implementation. The coordinator of the
Millennium Campaign and some UNDP personnel assigned to work on MDGs
were present in this meeting.
A conclusion reached by the participants is that “...the general absence of
indigenous peoples from much of the work being undertaken on the Millennium
Development Goals. The Millennium Campaign has not yet targeted indigenous
peoples; the United Nations Millennium Project pilot countries do not focus on
particular marginalized groups or on issues of concern to indigenous peoples, such
as land and natural resource management and culture and human rights; and the
national progress reports, except for a few, have not actively included indigenous
peoples’ organizations in the consultation process and/or addressed indigenous
peoples in their data-collection exercises” (UNITED NATIONS, 2005). This IASG
report and my paper both expressed our concern that the effort to meet the targets
laid down in the Millennium Development Goals can have harmful effects on
indigenous peoples, such as the acceleration of the loss of the lands and natural
resources on which indigenous peoples’ livelihoods have traditionally depended
or the displacement of indigenous peoples from those lands.
Another point raised is the fact that since the situation of indigenous peoples is
often not reflected in statistics or is hidden by national averages, the efforts to achieve
the Millennium Development Goals could, in some cases, have a negative impact on
indigenous peoples even if national indicators are improving. Thus, we called on the
need to disaggregate data so that the differential impacts of MDG implementation
on those who are invisible can be made more visible. When the first session of the
Permanent Forum was convened in 2002 one of the priority actions recommended
by the participants if for States and UN agencies to disaggregate data. This led
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the Forum to organize an International Expert Workshop on Data Collection and
Disaggregation for Indigenous Peoples which was held from 19 to 21 January 2004.
One recommendation from this workshop reiterated that.
Indigenous peoples should fully participate as equal partners, in all stages of
data collection, including planning, implementation, analysis and dissemination,
access and return, with appropriate resourcing and capacity-building to do
so. Data collection must respond to the priorities and aims of the indigenous
communities themselves. Participation of indigenous communities in the
conceptualization, implementation, reporting, analysis and dissemination of
data collected is crucial, at both the country and international levels. Indigenous
peoples should be trained and employed by data-collection institutions at the
national and international levels (UNITED NATIONS, 2004).
The Secretariat of the Permanent Forum also regularly analyzed several
National MDG reports in countries where there are indigenous peoples to see
how indigenous peoples and their issues were dealt with. The questions they ask
in interrogating these reports are the following (UNITED NATIONS, 2006a): 1) Are
indigenous peoples mentioned in the context of the overall MDGR report? If so
to what extent are they discussed? 2) Are indigenous peoples addressed sectorally,
meaning has each goal specific guidelines and/or benchmarks for addressing
indigenous peoples within the framework of the goal? 3) Are there discussions
of indigenous peoples in the process of develop next interventions and action
plans to meet the goals? If so, how does the MDG report indicate that they are
involved? 4) Are any proposals being made to address indigenous peoples while
implementing the MDGs in each country? If so, what are the proposals listed?
The main observation which emerged from each of these yearly analyses is
that the situation of indigenous peoples is not reflected in any adequate manner, at
best, and not even referred to, at worst. What is even more disheartening is that,
generally, indigenous peoples were not even consulted or included in the processes
of designing, implementing, evaluating MDGs and in developing the MDG
reports. The 2005 MDG report of the Philippines, for instance, did not even refer
to indigenous peoples in spite of the fact that there exists an Indigenous Peoples’
Rights’ Act which recognizes the identity and rights of indigenous peoples.
There is also a government agency, the National Commission on Indigenous
Peoples (NCIP) which is the body in charge of ensuring the implementation of
the law. The National Agency doing the report probably did not even consult
the NCIP. Indigenous peoples did not participate in any significant way in the
implementation and monitoring of the national MDG reports.
The 2006 and 2007 Desk Reviews of more than 30 national MDG reports
recommended that “countries with indigenous peoples should incorporate the
issues and challenges specifically faced by indigenous peoples directly into the
framework of the MDGR by: (a) including indigenous peoples into the context
of the overall report; (b) including indigenous peoples in the context of meeting
each specific goal; (c) including indigenous peoples in the planning process of the
overall report and each individual goal; (d) including indigenous peoples’ effective
participation in the planning process of proposing future interventions that will
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REFlEctIONS ON tHE ROlE OF tHE UNItED NAtIONS PERMANENt FORUM ON INDIGENOUS ISSUES
IN RElAtION tO tHE MIllENNIUM DEVElOPMENt GOAlS
directly affect them.” (UNITED NATIONS, 2006a). These recommendations were
reiterated in the 2008 Desk Reviews.
The observations from the 2007 report which covered 11 countries in Latin
America showed that (UNITED NATIONS, 2007):
“...approximately 27% of the MDGRs reviewed sufficiently include indigenous peoples
(3 out of 11: Ecuador, Panama, Mexico). Another 55% address indigenous issues to
varying degrees (Argentina, Chile, Costa Rica, Honduras, Peru, Venezuela), while the
remaining 18% do not mention indigenous peoples at all (El Salvador, Paraguay).”
This report also concluded that with few exceptions, the reports which were
produced by the UN System and governments did not indicate if they got inputs
from indigenous peoples’ organizations. An exception is Peru, where a leading
indigenous peoples’ network, AIDESEP, participated in working groups for the
report. In Mexico, the Comisión Nacional para el Desarrollo de los Pueblos
Indígenas (a government body) was listed as a contributing agency. The need
for disaggregation of data was underscored in this 2007 report. It stressed
that “improved disaggregation of data is indispensable to properly monitor
progress towards MDG achievement in countries with indigenous populations,
and should be a key priority for Governments and the UN System.” (UNITED
NATIONS , 2007).
The Permanent Forum also held an Expert Group Meeting on “MDGs,
Indigenous Peoples and Governance” in 2006. Criticisms were raised by the
participants on the fact that the MDGs and their related indicators do not reflect
the specific needs and concerns of indigenous peoples nor do they allow for
specific monitoring of progress as related to indigenous peoples. The MDG targets
and indicators were seen as inadequate as they give prominence to monetary
income over the indigenous traditional economies and livelihoods which have
and continue to provide many of the basic needs of indigenous peoples for food,
shelter and water, without necessarily generating monetary income.
As presently defined, the Millennium Development Goals do not take into
account alternative ways of life and their importance to indigenous peoples, not
only in the economic sense, but also as the underpinnings for social solidarity and
cultural identity. Achieving the MDGs entails the risk of bringing indigenous
peoples to join the army of surplus labour and become part of the global market
economy to increase the numbers of the population earning more than 1 dollar
a day. They have no control or say over how the globalized market economy is
run but this has induced them to abandon their traditional territories to search
for elusive jobs in the cities and urban centres.
4 Non-discrimination, equality, equity and the MDGs
The basic principles which underpin human rights law are non-discrimination
and equality. It is worthwhile analysing if the implementation of the MDGs
promotes these principles. Halving poverty means that there will be another
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half which will not enjoy the achievement of the goal. Who will be these people
who will not benefit? In some countries, these are the indigenous peoples. This
reinforces the historical and continuing discrimination against them. In the
first place, the impoverishment of indigenous peoples is without any doubt a
result of discrimination embedded in colonial and national development policies
and programmes. The efforts to modernize the new post-colonial nation-states
resulted into the systematic marginalization and destruction of indigenous peoples’
economic, social, cultural and political systems. These do not fit within the model
of the feudal agricultural systems controlled by the big landlords and politicians
and the modernization efforts developed under the modern market economy.
While indigenous peoples’ territories possess great wealth in terms of
natural resources, they remain as the most impoverished sections in most
countries. Resources are extracted by the State and by non-state entities given
licenses by the State to log, mine or set up agriculture and forest plantations. A
picture of the Atlantic Coast of Nicaragua can be the picture of many indigenous
peoples’ territories all over the world (TAULI-CORPUZ, 2005):
“As a region the Atlantic Coast is exceptionally rich in terms of natural resources. The
coasts are teeming with fish, shrimp and lobster; the forests in the RAAN (Regional
Autonomous in the Atlantic Coast) have extensive stands of pine and, to a lesser extent,
mahogany and other hardwoods; and there are extensive deposits of minerals (gold, silver,
copper and lead), especially along the headwaters of the rivers in the RAAN. Historically,
however, extraction of these resources has been capitalized and directed by interests based
outside the region, most of whom have had little interest in the long-term development
of the Atlantic Coast. The indigenous peoples of the region have consequently had little
opportunity to share in the commercial exploitation of this wealth, and gained little
in terms of the development of a rationally planned and maintained infrastructure”.
Indigenous peoples have countless stories to tell about how they were displaced
from their communities or are prevented from continuing their traditional
livelihoods which are based on the sustainable use of natural resources in their
territories. These are clear cases of discrimination against indigenous peoples’
systems and cultures. In fact, cultures of indigenous peoples have been regarded by
States and corporations as obstacles to modern development and nation-building.
Indigenous peoples’ cultures and identities are linked with their lands, territories
and resources. Thus, their displacement from their territories and sacred places
and the destruction of the ecosystems in their lands and waters have far-reaching
adverse impacts on their diverse cultures and knowledge systems.
Assimilation into the dominant cultures, economic system and religions
are highly discriminatory as this starts from the assumption that their cultures
are backward and inferior and therefore the need to make them more modern.
Furthermore, the ilusion that there should be one nation, one state, one culture,
one language within a country does not correspond at all with the realities of
most countries which are multi-national, multi-lingual, multi-cultural including
multiple economic systems, legal and governance systems and diverse religions.
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Equality is another fundamental principle of international human rights
law. Inequality and inequity are often used interchangeably but the distinction
made is that “inequity is an unfair and avoidable inequality, and its definition
is embedded in the value system of the society that is defining it” (ODI, 2005).
The high levels of inequities based on economic status, gender, rural-urban
locations and ethnicity is evidence which shows the non-fulfilment of basic
social, economic and cultural rights. Since MDGs are not designed within the
human rights framework, addressing inequities is incidental and not central in
their implementation.
MDGs are measured at the aggregate level which makes invisible the
inequalities which persist at the national and sub-national levels. Evidence has
shown that the exclusion of social sectors from the benefits of the development
processes leads to the unsustainability of economic, social and political gains
and jeopardizes the security and sustainability of society as a whole. Thus,
sustained progress on the MDGs depends on how the gap between the haves
and have-nots will be addressed. It is not surprising, therefore, to see that in
some countries where the general poverty goal has been achieved the poverty
situation for indigenous peoples has worsened. The section that follows shows
how interlinked the economies of the different countries are and why poverty
reduction in some areas may mean poverty increase for others.
5 Globalization and development
The example of coffee production demonstrates the problems of indigenous
peoples with the mainstream development model and with the globalization of
the market economy. The following section describing how the globalization of
coffee production and trade affected indigenous peoples worldwide came from
the report I prepared for the Permanent Forum (TAULI-CORPUZ, 2005).
Coffee production for export has been taking place in indigenous
communities in Guatemala since the late nineteenth century. Seasonal migration
of indigenous peoples to work in coffee farms has been one of their survival
strategies. Some indigenous peoples opted to permanently migrate, such as the
Q’eqchi and the Poqomchi. This is also the case in Mexico. The profits from
coffee are dependent on the exploitation of cheap labour of indigenous peoples,
who live in bunkhouses, without privacy or clean water and toilets.
When Viet Nam opened up its economy to the world market it built
irrigation canals and provided subsidies for farmers to migrate to the central
highlands and other upland areas in the 1980s and 1990s. In 1990 it only
produced 1.5 million bags of coffee. This increased to a phenomenal 15 million
bags in 2000, making Viet Nam the second largest coffee producer in the world.
Large tracts of land, including well-preserved forests in the territories of the
indigenous peoples/ethnic minorities, were converted to coffee plantations. Most
of these are now owned by rich lowlanders based in Saigon.
Massive deforestation and environmental devastation resulted from this
economic project. The indigenous peoples of Viet Nam, who are called ethnic
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minorities, were displaced from their lands, owing to the migration of tens of
thousands of lowlanders into their communities to engage in coffee production.
The overproduction of coffee worldwide brought the prices tumbling down.
Among those who suffered the most are indigenous peoples, not only from
Viet Nam, but from various parts of the world. Coffee prices dropped from
$1,500/ton in 1998 to less than $700/ton in 2000, largely owing to the flooding
of Vietnamese coffee onto the world market. This has made it less economical
to grow the “black gold” and has slowed the immigration somewhat, yet the
problem of land tenure remains.
In Mexico, coffee cultivation has been an important source of income for
the indigenous communities of Chiapas and Oaxaca. Nationwide, over 70 per cent
of coffee farmers have plots of less than two hectares. And in Chiapas, Mexico’s
most important state for coffee production, 91 per cent of producers have less
than five hectares. These coffee farmers now find themselves in extreme poverty,
as the cost of the coffee beans they are exporting is much more expensive than
the cheap coffere beans from Vietnam which are now much more in demand.
Their access to the global market has significantly dropped. The World Bank
says that in Central America 400,000 temporary coffee workers and 200,000
permanent workers lost their jobs after the collapse of the coffee prices.
Viet Nam is one of the few countries on track to achieve the Millennium
Development Goals. This was achieved, however, at the expense of the indigenous
peoples in that country. Pamela McElwee, an anthropologist from Yale University,
who presented a paper on Viet Nam in a globalization conference held in
December 2004, concluded that
“Although the opening of Viet Nam’s economy to market forces in the 1980s and 1990s
has reduced poverty levels and increased personal freedoms for much of the population,
minorities continue to face many hardships... Most upland ethnic minorities have
little benefited from these changes. They suffer from disease, lack clean water, and
have low literacy rates and low incomes, despite many government efforts at upland
development.”
When the Secretariat of the Forum reviewed the 2008 Fourth Viet Nam National
MDG Report, it found out that there were references to the ethnic minorities:
“The poverty rate for the ethnic groups was three times higher than for the Kinh.
The section provides disaggregation of the poverty target by ethnic group and by
region, demonstrating that indigenous peoples or ethnic minorities in the remote
and mountainous regions are disproportionately among the poorest in Vietnam. The
report notes that despite the significant disparities between ethnic minorities and
the Kinh majority, and its efforts to address this in its policy framework, the poverty
incidence for the ethnic minority groups remained the highest and the pace of poverty
reduction was the slowest”.
There was not much explanation from the Viet Nam report on why this was so.
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6 Poverty and Social Situations of
Indigenous Peoples in Developed Countries
It is bad enough that poverty and health situations of indigenous peoples in
developing countries are disproportionately high compared to the general
populations. What is even worse is that indigenous peoples in the richest
countries of the world, the so-called developed countries have similar situations.
The recently released “State of the World’s Indigenous Peoples Report” revealed
the realities of poverty amongst indigenous peoples in these rich countries.
Another report called “Rethinking Poverty: Report on the World Social
Situation 2010” further confirmed these findings (UNITED NATIONS, 2009a,
2009b).
Australian Aborigines are expected to die 20 years earlier than the non-
indigenous populations. The underemployment rate among indigenous peoples in
the Canadian provinces of Manitoba, British Columbia, Alberta and Sasketchwan
is as high as 13.6 percent compared to only 5.3 percent among the non-indigenous
populations. This even increased further due to the 2008 global financial and
economic crisis because tens of thousands of aboriginal persons working in the
timber industry were laid off.
Almost a quarter of Native Americans and Alaska Natives live under the
poverty line in the United States, compared to about 12.5 percent of the total
population. Native American life expectancy is on average 2.4 years lower than
that of the general population. “They suffer poverty at a rate three times higher
than that of non-Hispanic white populations.” (UNITED NATIONS, 2009b).
Moreover, Native Americans and Alaska Natives have higher death rates than
other Americans from tuberculosis (600 per cent higher), alcoholism (510 per
cent higher), motor vehicle crashes (229 per cent higher), diabetes (189 per cent
higher), unintentional injuries (152 per cent higher), homicide (61 per cent higher)
and suicide (62 per cent higher).
Disproportionately high rates of incarceration of aboriginals are also
common in Australia, Canada, United States and New Zealand. In Canada
where indigenous peoples represent only 4.4 percent of the total population they
are 19 percent of those in prison. Even worse, in New Zealand the Maori who
are 15 percent of the total population represent 40 percent of the convictions in
court and 50 percent of the prison population.
7 Goal 8 and its Implications
for Indigenous Peoples
One of the major weaknesses of the MDGs is the fact that there is no target
date for the achievement of Goal No. 8 which is the need to develop a Global
Partnership for Development. This is a very broad goal that relates to increasing
and improving official development assistance (ODA), ensuring fairer trade and
achieving substantial debt relief for borrower countries. Yet, it has been agreed that
the MDGs cannot be achieved without an enabling environment which means
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the adherence of donor countries to meeting the goal of providing 0.7 percent
of the their total national budget for official development assistance (ODA) to
developing countries. This was reiterated in Goal 8.
Target 12 under MDG 8 calls for the further development of an open,
rule-based, predictable, non-discriminatory trading and financial system and a
commitment to good governance, development and poverty reduction – both
nationally and internationally. Most indigenous peoples’ territories have and
continue to serve as resource bases for the extraction of natural resources for export
to other countries. These include oil, gas, minerals and metals, as well as logs and
other biological resources including genetic resources. Unfortunately, indigenous
peoples do not enjoy any substantial benefits from these extractivist activities
and much worse, their free, prior and informed consent is not obtained when
such activities are carried out in their territories. What is left over are devastated
ecosystems which they are left on their own to rehabilitate and restore. The
export of these raw materials are also meant to increase foreign earnings which
will be used to pay for the debts incurred by the States and private corporations
from foreign and multilateral banks.
The Permanent Forum deems it crucial to ensure that there are opportunities
for genuine partnerships that reaffirm indigenous peoples’ fundamental human
rights and effective participation of indigenous peoples in the implementation
of this goal. There is a need to undertake more studies on impacts of ODA,
the debt problem and trade and finance agreements on indigenous peoples and
appropriate recommendations be made to address adverse impacts and replicate
good practices.
8 Challenges Ahead
Admittedly this report cannot represent the width and breadth of what is
happening to indigenous peoples in relation to the MDGs. More research work
needs to be done to be able to do this. With the information available, however, it
is safe to say that in the majority of countries where there are indigenous peoples
adequate consultations with participation of indigenous peoples in the MDG
processes have not been done. Even in the few countries where the majority of
the population are indigenous peoples, e.g. Bolivia and Guatemala, the reviews
done by the Permanent Forum Secretariat observed that the participation of the
indigenous peoples was still very inadequate.
Clearly, discrimination and the unequal treatment of indigenous peoples
are the key factors to explain why in spite of the persistent recommendation of
the Permanent Forum that they should be included in the implementation and
monitoring of the MDGs, the situation remains largely unchanged. Including
indigenous peoples in decision making processes or at least, consulting
them when development programmes such as the MDGs are designed and
implemented, should always be the first step. Excluding them is one form
of discrimination and this is in violation of Article 2 of the UN Declaration
on the Rights of Indigenous Peoples which states: “Indigenous peoples and
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individuals are free and equal to all other peoples and individuals and have
the right to be free from any kind of discrimination, in the exercise of their
rights, in particular that based on their indigenous origin or identity.”. The
right to participate is a basic human right which is taken for granted by States
and other actors most of the time. Social inclusion is mentioned as one of the
principles for the MDGs but this is not seen in the way the MDGs have been
implemented and reported, so far.
In light of the weaknesses in linking MDGs with the rights of indigenous
peoples, the UN Permanent Forum has identified several recommendations on
how the MDGs can be implemented to benefit indigenous peoples (UNITED
NATIONS, 2006b). These include the following:
a. The huma n rights-ba sed approach to development shou ld be
operationalized by states, the UN system and other intergovernmental
organizations. The recognition of indigenous peoples as distinct peoples
and the respect for their individual and collective human rights is crucial
for achieving a just and sustainable solution to the widespread poverty
that affects them.
b. Policies must be put in place to ensure that indigenous peoples have
universal access to quality, culturally-sensitive social services. Some areas
of particular concern are inter-cultural/bilingual education and culturally
sensitive maternal and child healthcare.
c. MDG-related programmes and policies should be culturally sensitive and
include the active participation and free, prior and informed consent of
indigenous peoples so as to avoid loss of land and natural resources for
indigenous peoples and the accelerated assimilation and erosion of their
cultures.
d. States, the UN System and other intergovernmental organizations must
make greater efforts to include indigenous peoples in MDG monitoring
and reporting, including the production of national MDG reports, as well
as in the implementation, monitoring and evaluation of MDG-related
programmes and policies that will directly or indirectly affect them. The
basic principles and values of democratic governance such as participation,
equity, non-discrimination, inclusiveness, transparency, accountability
and responsiveness should underpin the design, implementation and
monitoring of the MDGs.
e. Improved disaggregation of data is indispensable to properly monitor
progress towards MDG achievement in countries with indigenous
populations, and should be a key priority for Governments and the UN
System.
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9 Conclusion
This cursory review of how the MDGs are implemented in indigenous peoples’
territories shows that indigenous peoples, generally, are still excluded from the
MDG processes of implementation, evaluation and reporting. As well, since
the human rights based approach to development is not central to the design
and implementation of the MDGs (even if this framework is alluded to in the
Millennium Declaration), the specific situations of indigenous peoples both in
the developing and developed countries remain largely invisible and therefore
not addressed in any satisfactory manner.
This is a glaring gap not only for the MDG processes in Latin America
but in the whole world. While there is much more progress in Latin America
in terms of disaggregation of data on indigenous peoples, much more remains
to be done. The poverty situation in the Latin American and Caribbean region
of indigenous peoples is still disproportionately high compared to the non-
indigenous populations. Discrimination and racism which are still very much
embedded in the dominant structures of society remain as the major root causes
of the problem.
Unless, the MDG processes are restructured significantly to address the
structural roots of poverty, hunger, environmental destruction, dismal health and
education indices among indigenous peoples, in particular, and within society,
in general, it is difficult to see real and long-term progress in meeting the goals.
With the continuing global economic and financial crisis which hit not only the
rich countries but affected the economic, social, cultural and political situations
in developing countries and the global ecological crisis, it is time to call for a
major paradigm shift in development thinking and practice. The world cannot
continue with business as usual. Indigenous peoples’ worldviews, practices and
values of reciprocity, equilibrium, solidarity, collectivity, sustainability and
harmony with nature or Mother Earth, can contribute in reshaping the ways
towards achieving the MDGs. It is crucial, therefore, to include indigenous
peoples in redesigning development of which the human rights based approach
and the ecosystem approach will be some of the major frameworks which should
underpin the new sustainable development models.
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REFERENCES
Bibliography and Other Sources
ARCHER, R. 2005. Human Rights and the Millennium Development Goals:
contradictory framework? London, Overseas Development Institute (ODI).
Available at: <http://www.odi.org.uk/events/report.asp?id=69&title=human-
rights-millennium-development-goals-contradictory-frameworks>. Last accessed
on: 23 May 2010.
ECLAC. 2005. The Millennium Development Goals: a Latin American and
Caribbean perspective. Available at: <http://www.eclac.org/mdg/eclac_mdgs_
progressev_en.html>. Last accessed on: 21 May 2010.
TAULI-CORPUZ, V. 2005. The Milenium Development Goals and Indigenous
Peoples, UN ECOSOC, UN DOC. E/C.19/2005/4/Add.13 New York.
UNITED NATIONS. 2004. ECOSOC. Report of the Workshop on Data Collection
and Disaggregation for Indigenous Peoples, UN DOC. E/C.19/2004/2, New
York, UNPFII.
______. 2005. ECOSOC. Report of the Inter-Agency Support Group on
Indigenous, Issues on its 2004 session, UN DOC. E/C.19/2005/2, New York.
______. 2006a. MDG Reports and Indigenous Peoples: A Desk Review, n. 1, New
York, UNPFII Secretariat.
______. 2006b. ECOSOC. Report of the Fourth Session of the UN Permanent
Forum on Indigenous Issues, UN DOC. E/2005/43, New York.
______. 2007. MDG Reports and Indigenous Peoples: A Desk Review, n. 2, New
York, UNPFII Secretariat.
______. 2009a. State of the World’s Indigenous Peoples, New York.
______. 2009b. Rethinking Poverty: Report on the World Social Situation 2010, UN
DOC. ST/ESA/324.
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RESUMO
Os povos indígenas estão entre os críticos mais contundentes do paradigma dominante de
desenvolvimento, uma vez que este facilitou a violação de seus direitos humanos básicos, dentre
os quais se incluem o direito a suas terras, territórios e recursos, sua cultura e identidade. Aquilo
que se convencionou chamar “desenvolvimento” também levou à erosão e difamação dos sistemas
econômicos, sociais e de governança indígenas. Dez anos após a elaboração dos Objetivos de
Desenvolvimento do Milênio (ODMs), é hora de se veriicar se estes levaram os povos indígenas
em conta e se sua implementação conduziu a mudanças no modo como o trabalho para o
desenvolvimento é realizado. Este artigo analisa a relação entre os ODMs e a proteção, o respeito e
a concretização dos direitos dos povos indígenas, tal como concebidos pela Declaração das Nações
Unidas sobre os Direitos dos Povos Indígenas. Analisa-se se os ODMs, tal como construídos
e implementados, têm o potencial de contribuir para uma vida mais digna dos povos indígenas.
Foram examinados os esforços de vários atores, como os povos indígenas, parte do sistema das
Nações Unidas, incluindo o Fórum Permanente das Nações Unidas para Questões Indígenas, e
organizações não governamentais, para a consecução dos ODMs. O Fórum Permanente é o órgão
mais elevado das Nações Unidas a tratar de povos indígenas e recebeu mandato para examinar
direitos humanos, desenvolvimento econômico e social, educação, cultura, saúde e meio ambiente.
Algumas recomendações que resultam deste estudo incluem a necessidade de utilizar uma
abordagem baseada em direitos humanos para o desenvolvimento na implementação dos ODMs e
a necessidade de se oferecer serviços sociais culturalmente adaptáveis.
PALAVRAS-CHAVE
Povos indígenas – Direitos humanos – Desenvolvimento – Discriminação – Participação
RESUMEN
Los pueblos indígenas se cuentan entre los más fuertes críticos del paradigma dominante del
desarrollo debido a cómo éste ha facilitado la violación de sus derechos humanos fundamentales,
que incluyen sus derechos a la tierra, territorios y recursos, a la cultura y a la identidad. El así
llamado “desarrollo” también condujo a la erosión y denigración de los sistemas económicos,
sociales y de gobierno de los pueblos indígenas. Pasados diez años del establecimiento de los
ODM, es hora de examinar si estos objetivos han tenido en cuenta a los pueblos indígenas y si su
implementación produjo cambios en la forma en que se lleva a cabo el trabajo de desarrollo. El
presente artículo analiza la relación de los Objetivos de Desarrollo del Milenio con la protección,
respeto y cumplimiento de los derechos de los pueblos indígenas establecidos en la Declaración de
las Naciones Unidas sobre los Derechos de los Pueblos Indígenas. Se analiza si los ODM, tal como
están diseñados e implementados, tienen el potencial de contribuir hacia una vida más digna para los
pueblos indígenas. Se examinan algunos de los esfuerzos realizados en relación con los ODM por
diversos actores, como los pueblos indígenas, parte del sistema de Naciones Unidas, incluso el Foro
Permanente para las Cuestiones Indígenas de Naciones Unidas, y algunas ONG. El Foro Permanente
es el órgano de mayor jerarquía de las Naciones Unidas que atiende a las cuestiones indígenas y
tiene el mandato de investigar cuestiones relativas a los derechos humanos, el desarrollo económico
y social, la educación, la cultura, la salud y el medio ambiente. Algunas recomendaciones surgidas
del presente estudio incluyen la necesidad de implementar los ODM con un enfoque de desarrollo
basado en los derechos humanos y la necesidad de establecer servicios sociales sensibles a la cultura.
PALABRAS CLAVE
Poblaciones indígenas – Derechos humanos – Desarrollo – Discriminación – Participación
v. 7 • n. 12 • Jun. 2010 • p. 79-93 ■ 93
AlIcIA Ely yAMIN
Joseph H. Flom Fellow on Global Health and Human Rights, Harvard
law School; Adjunct lecturer, Harvard School of Public Health; Senior
Researcher (affiliated), christian Michelsen Institute (Norway). yamin is
Special Adviser to Amnesty International’s global campaign on maternal
mortality and serves on the advisory board of the International Initiative
on Maternal Mortality and Human Rights.
Email: ayamin@law.harvard.edu
ABSTRACT
Meaningful and equitable progress on reducing maternal mortality and meeting Millennium
Development Goal 5 calls for the adoption of a human rights-based approach which
emphasizes ‘accountability.’ his article focuses speciically on how to promote accountability
for fulilling the right to maternal health if we seek to transform the discourse of rights into
practical health policy and programming tools that can afect development practice–and in
turn to transform health systems to better meet women’s maternal health needs.
After briely discussing the concept and purpose of accountability in the context of
fulilling women’s rights to maternal health, the article then sets out a circle of accountability
at the national level that includes: development and implementation of a national plan of
action; budgetary analysis; monitoring and evaluation of programs based on appropriate
indicators; and mechanisms for redress, as well as facility-level initiatives. In the inal section
the article addresses donor accountability.
Original in English.
Submitted in April 2010. Accepted in July 2010.
KEYWORDS
Maternal health – Right to health – Rights-based approach (RBA) – Accountability –
Millennium Development Goals (MDGs)
his paper is published under the creative commons license.
his paper is available in digital format at <www.surjournal.org>.
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APPLYING A RIGHTS-BASED APPROACH TO FULFILL
MATERNAL HEALTH OBLIGATIONS1
Alicia Ely yamin
1 Introduction
The great majority of women who die as a result of pregnancy-related complications
have lived lives marked by poverty, deprivation and discrimination. From the
moment of their births, these girls and women often face a funnel of narrowing
choices whereby they are unable to exercise meaningful agency with respect to
what they will do with their lives, how much they will be educated, with whom
they will partner, when they will have sex, whether they will use contraception,
and finally what care they will get when they are pregnant or delivering, even when
their lives hang in the balance. Adopting a rights-based approach to women’s health
demands opening spaces for women to exercise choices and subverting the social
– and power –relations that deny them their full humanity (YAMIN, 2008). With
respect to maternal morbidity and mortality (MMM) 2 in particular, a rights-based
approach calls for challenging the structural discrimination women face in health
systems, as well as in other spheres of public and private life.
As it has become increasingly clear that meaningful and equitable progress
on Millennium Development Goal (MDG) 5, which relates to maternal health,
will require more than adding funding to existing technocratic approaches, there
has been increasing attention to rights-based approaches to maternal mortality. In
June 2009, the UN Human Rights Council (HRC) issued a historic resolution that
explicitly recognized preventable maternal mortality as a human rights issue, and
signaled the important role that could be played by treaty-monitoring committees
and special procedures (UNITED NATIONS, 2009a). The HRC is now in a position
to adopt a meaningful follow-on resolution based upon the recommendations of a
study by the UN Office of the High Commissioner on Human Rights (OHCHR),
Notes to this text start on page 120.
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which further elaborates the connections between human rights and MMM
(UNITED NATIONS, 2010a).
Initiatives calling for rights-based approaches to MMM all emphasize
accountability, which has been lacking in the MDGs process (UNITED NATIONS,
2010b, para. 116). For example, the OHCHR publication relating to the MDGs process
overall, Claiming the Millennium Development Goals: A Human Rights Approach,
explains “the raison d’etre of the rights-based approach is accountability” (LANGFORD,
2008, p. 15). The UN Special Rapporteur on the right to health underscored the
importance of accountability in human rights approaches to maternal mortality
(UNITED NATIONS, 2006a). Further, non-governmental organizations (NGOs) also
explicitly focus on the centrality of developing effective accountability (IIMMHR,
2010, p. 3; HUMAN RIGHTS WATCH, 2009, 2010; CRR, 2009).
Accountability in a human rights-approach to maternal health relates to
obligations to “respect, protect and fulfill” a wide array of civil and political
rights, as well as economic and social rights, and goes far beyond the health sector3
(UNITED NATIONS, 2000). Not only is maternal mortality fundamentally linked to
women’s social and economic status in society, but gender inequality and violations
of women’s sexual and reproductive rights constitute grave injustices even when
they are not directly related to women’s deaths or morbidity (ICPD, 1994; UNITED
NATIONS, 1999). A comprehensive rights-based accountability framework with
respect to MMM requires the explication of these multiple obligations relating to
all relevant rights.
However, this article focuses on the specific issue of how to promote
accountability for fulfilling –for taking proactive steps to progressively realize–
women’s rights to maternal health if we seek to transform the discourse of rights
into practical health policy and programming tools that can affect development
practice–and in turn to transform health systems to better meet women’s needs.
Revisiting how we understand ‘accountability’ in the context of fulfilling rights
to maternal health is especially urgent given the opportunities presented by the
upcoming MDG 2010 Review, the deliberations underway at the HRC, and
incipient efforts to explore a post-2015 development agenda that includes a robust
human rights dimension.
I begin by briefly setting out the concept and purpose of accountability in
the context of fulfilling women’s rights to health and suggesting that pursuing
effective accountability in this arena requires moving beyond the traditional human
rights model of punishing individual perpetrators, to focus on institutional and
systemic factors. The article then sets out a circle of accountability at the national
level that includes: development and implementation of a national plan of action;
budgetary analysis; monitoring and evaluation of programs based on appropriate
indicators; and mechanisms for redress. I also discuss measures that can be taken
at the facility level to increase “constructive accountability.” Throughout the article
I argue that accountability is closely linked to meaningful popular participation.
In the final section I specify aspects of accountability for “international assistance
and cooperation,” which require donors to refrain from certain policies as well as to
contribute greater resources.
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AlIcIA Ely yAMIN
2 Accountability in the Context of Fulfilling the
Right to Health: Beyond Individual Cases and Sanctions
In general, the concept of accountability refers to holding actors responsible for
their actions in light of standards of behavior and performance. In a human rights
framework, those standards are derived from both so-called “hard” and “soft” law
sources, including inter alia binding international treaty norms and statements from
quasi-judicial international bodies relating to the adjudication of pertinent cases, as
well as authoritative interpretations of relevant norms by treaty bodies, statements
by UN Special Rapporteur on the Right to the Highest Attainable Standard of
Health, and international conference declarations and programmes of action. They
are also informed by domestic constitutional frameworks, legislation and regulations.
However, fostering accountability in practice requires more than setting out norms in
the abstract and establishing enforcement mechanisms. It requires a dynamic process
of clarifying legal standards for actors at various levels, from health service providers
to policy-makers, and engaging with those actors with respect to the implications
for their roles and responsibilities (UNITED NATIONS, 2006b; GEORGE et al., 2010).
In a human rights framework, accountability combines elements of
responsiveness, answerability and redress. Moreover, accountability is necessarily
relational—i.e., there can be no human rights accountability without specifying ‘to
whom?’—and therefore it is closely linked to the effective participation of people
affected by health policies and programs (POTTS, 2008, p. 7). In the context of
reforming health systems to meet maternal health needs, accountability entails
financial, administrative, regulatory, political and institutional dimensions, as well
as legal recourse (UNITED NATIONS, 2006b). As Amnesty International’s 2010
Report states, accountability “allows us to look ahead” as well as back (AMNESTY
INTERNATIONAL, 2010, p. 10). An effective framework of accountability serves as the
basis for promoting systemic and institutional changes that create conditions under
which women can enjoy their rights to maternal health, and not just for punishing
identified lapses in performance.
Indeed, the traditional model of human rights advocacy, which seeks to identify
a violation, a violator and a remedy is poorly suited to advancing accountability for
improvement of maternal health. This is true for both practical and conceptual
reasons. In practice, many health systems in which patients face abuses are extremely
punitive with respect to front-line healthcare workers as well. For example, it is routine
in many countries for health professionals who are associated with a maternal death
to be summarily dismissed, without any procedure to discern whether they were in
fact responsible for the death. These often unwritten policies are ostensibly intended
to promote “accountability” and quality care in obstetric cases; they have the opposite
effect. They create perverse incentives for health professionals to avoid dealing with
obstetric emergencies, both as individuals and as institutions.
This does not mean a license for impunity. As Lynn Freedman (2003, p. 112)
writes, “Of course, individual punishment (and knowledge that professional standards
will be enforced) has an appropriate place in a constructive accountability system. The
important point here is that individual sanctioning has not been used to scapegoat a
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doctor, pacify the public, and cover up wider, deeper problems”. When an individual
provider could have done nothing to save a woman placing blame on him or her not
only distorts incentives; it also diverts attention from the systemic problems that resulted
in the woman’s death. For example, the health center may lack the necessary supplies
or drugs, or transportation. As Leslie London (2008, p. 72) argues, “frontline health
workers are frequently unable to provide adequate access to care because of systemic
factors outside their control and because of management systems that disempower them
from acting independently and effectively”. Focusing on individual health practitioners’
conduct divorced from context in such a situation, as London (2008, p. 73) writes,
“frequently makes little headway and gives a human rights approach a bad name”.
“Maternal death audits” and “reviews”, whereby individual deaths of women
are investigated with the aim of promoting reflection on institutional and systemic
failures as well as individual failures, have been advanced by some as a means to
promote “human rights based accountability” (HUNT, 2008; WHO, 2004). Such
reviews are done in myriad ways and therefore it is difficult to generalize. However,
in general, as Human Rights Watch notes in its report on India, these reviews have
a place in a broader accountability system, provided that they meet the following
criteria: 1. they are conducted under strict confidentiality; 2. they provide for due
process; and 3. the scope of the investigation extends beyond the facility (HUMAN
RIGHTS WATCH, 2009). When these conditions cannot be guaranteed there is a
serious risk of backlash against human rights-based approaches by those health
workers we most need as allies. Additionally—and critically—these reviews should
be used to complement, rather than substitute for, the continuous use of process
indicators that evaluate how the health system is functioning, e.g., to measure the
use and availability of emergency obstetric care.
The model of identifying a violation, a violator and a remedy is conceptually
inadequate as well. That is, it implicitly assumes that there is an equilibrium that is
broken by the violation; an investigation can then be launched to determine culpability
and provide redress to return the situation to equilibrium. This paradigm was developed
to address violations of civil rights, such as abuses in police custody, where human rights
advocates assumed (often incorrectly) that exposing and denouncing abuses could lead
to punishment of perpetrators and deterrence of future harms. If this is often an invalid
assumption with regard to civil rights abuses, it can be counterproductive with respect
to fostering accountability with respect to fulfilling the right to maternal health.
In situations of high maternal mortality we are confronting dysfunctional
health systems where deaths may be attributable neither to negligence nor to lack of
oversight at the facility level, but to the lack of available blood, supplies, transport,
communications and the like –which all call for systemic changes. Thus, grievance
redressal mechanisms that do not go beyond the facility-level are likely to be
ineffective, and in turn to foster even more disillusionment with unresponsive and
poorly functioning health systems. True deterrence– which as Amnesty International’s
2010 Report notes is a principal goal of accountability (AMNESTY INTERNATIONAL,
2010) – requires transforming the underlying, untenable situation that gives rise to
widespread MMM, not restoring a prior equilibrium. The rest of this article discusses
what concrete ways in which to promote such transformation.
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3 A Circle of Accountability
A comprehensive accountability framework for fulfilling the right to maternal
health at the national level shapes the initial design of policies and programs to
address maternal mortality, their implementation and evaluation, and the remedies
provided in the event of violations. In this section, I draw out important elements
of accountability that are promoted at each of these stages. Although I focus on
actions to be taken at the national level, I suggest the adoption of simple steps at the
facility level that empower both frontline health workers and community members
to identify obstacles to and solutions for improving maternal health services as a
means of promoting “constructive accountability.”
3.1 National Plan of Action: The Importance of Public Justification
and Participation to Rights-Based Accountability
Although the right to health is subject to progressive realization and cannot be
realized from one day to the next, States parties to relevant treaties undertake some
immediate obligations, including the development of a national strategy and plan of
action in respect of their public health goals (UNITED NATIONS, 2000, para. 43). The
UN Committee on Economic, Social and Cultural Rights (ESC Rights Committee)
establishes the creation of a national public health strategy and plan of action, which is
evidence-based and sets out deliberate targets, as one of a set of basic or core obligations
that all states undertake as parties to the ICESCR (UNITED NATIONS, 2000, para.
43). Addressing maternal and reproductive health is an obligation of comparable
priority and there is no country in the world where a national plan of action should
not include attention to maternal health (UNITED NATIONS, 2000, para. 44).
All such plans of action should be based upon a robust situational analysis
regarding sexual, reproductive and maternal health in the country, as well as the
best evidence of what interventions are required to address maternal morbidity and
mortality (UNITED NATIONS, 2000, para. 43f). The four pillars of reducing maternal
mortality are now well-understood: skilled birth attendance, access to emergency
obstetric care (EmOC), and a functioning referral network, together with family
planning (FREEDMAN et al., 2007). Therefore, every national plan of action on
maternal health must prioritize these four pillars in the context of strengthening
the overall health system, as the “appropriate” measures to be adopting pursuant
to international law, although legislative and programming measures will vary
contextually based upon the situational analysis (UNITED NATIONS, 1966, art. 2;
UNITED NATIONS, 2000; YAMIN; MAINE, 1999). In keeping with international
law, a national plan of action should also include a broad range of services related
to sexual and reproductive health, which are aimed at enabling women to exercise
agency with respect to their bodies and, in turn, their lives (ICPD, 1994, para. 7.2;
UNITED NATIONS, 2000, para. 20-21; UNITED NATIONS, 1999).
Under international law, the process of devising a national plan must be
transparent and participatory, and its implementation must be subject to periodic
evaluation, which is also public (UNITED NATIONS, 2000, para. 43f). If maternal
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health is a matter of rights, the women who use health services are not objects of
governmental charity or targets of a development policy designed elsewhere; they and
their families are agents who have a role to play in the definition of programs and
policies that structure the possibilities for their well-being. Therefore, participation
cannot be hollow consultation; it must be linked to the policy decisions taken by
a government (often in conjunction with a donor or multilateral institution). For
example, the public is entitled not only to know whether health facilities are being
required to provide for traditional birthing positions and other culturally appropriate
care; civil society should be entitled to influence the definition of what constitutes
culturally appropriate care.
Requiring policy decisions that affect people’s rights, including women’s
rights to maternal health, to be justified and subjecting those justifications to public
scrutiny is fundamental to accountability, and goes well beyond curbing patently
arbitrary policies. There will always be questions that arise in the interpretation of
a situational analysis or design of a national plan that are not technical in nature,
but reflect profound value judgments. For example, although human rights requires
non-discrimination and General Comment 14 calls for the national plan of action to
give “particular attention to the vulnerable and marginalized,” (UNITED NATIONS,
2000; para 43f) there is no single answer to exactly how much priority should be placed
on remote and under-served areas in comparison with impoverished and heavily
populated peri-urban areas. In conventional, utilitarian public health or development
programming, such decisions might be made based upon cost-utility calculations
by groups of experts. However, in a human rights paradigm, such planning and
budgeting must be subject to meaningful public deliberation.
The Rawlsian ethicist, Norman Daniels, proposes “accountability for
reasonableness,” to ensure the justness of processes to set priorities in health (DANIELS,
2008). To meet the standards of accountability for reasonableness, which is broadly
consistent with human rights concerns, the process of devising a plan of action and
setting priorities must be 1.subject to public justification; 2. reasonably related to the
end of reducing maternal mortality and promoting maternal health; 3. enforceable;
and 4. afford some form of appeal in certain circumstances, such as the evident neglect
of a minority population (DANIELS, 2008; GRUSKIN; DANIELS, 2008).
3.2 Budgetary Analysis: Tracing Expenditure and Allocation
as Fundamental to Accountability
Plans of action can be suffused with rights-based principles but progress toward
fulfilling the right to maternal health requires expenditure. Budgets often offer the
best evidence of whether governments are actually making maternal health a priority
(KGAMPHE; MAHONY, 2004). Therefore, demanding transparency and accountability
in budgets is a key to transforming health systems to meet women’s needs.
An innovative example of international advocacy around budgetary accountability
is the “6 Question Campaign” whereby through the International Budget Partnership
civil society organizations in 85 countries are assessing their governments’ commitment
to MDG 5 among other issues. Two out of the six questions relate to maternal health,
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and specifically to expenditures for uterotonics and magnesium sulphate and the training
of skilled midwives (INTERNATIONAL BUDGET PARTNERSHIP, 2010). The results
of the campaign are to be released just before the MDGs summit in September 2010,
and in all likelihood will reveal as much about whether governments are willing to and
capable of providing this information as how much money is being spent.
At times the budgetary issue is whether a state is devoting the “maximum extent
of its available resources” to the right to health and to efforts to address maternal
mortality in particular, in accordance with international human rights obligations.
In The Missing Link: Applied budget work as a tool to hold governments accountable for
Maternal Mortality Commitments, the International Initiative on Maternal Mortality
and Human Rights (IIMMHR) draws on examples from Mexico, Tanzania and
India to “underscore that the lack of real progress in reducing maternal mortality
is unquestionably linked to the failure of governments to make maternal health a
budgetary priority” (IIMMHR, 2010, p. 7).
However, it is sometimes the case that substantial resources exist and may
even be going into the health sector, but results are poor due to a wide ranging series
of factors. These factors include: lack of capacity to absorb resources, ineffective
investment of funds, weak financial management, poor procurement practices,
limited oversight, and poor district level management in decentralized health care
systems (INTERNATIONAL BUDGET PARTNERSHIP, 2001; KEITH-BROWN, 2005).
It is essential to go beyond the design of budgets to pinpoint accountability gaps
in terms of allocation and implementation, in order to design targeted strategies,
whether for corruption or for ineffective investment.
PER CAPITA GOVERNMENT FUNDING (IN NUEVOS SOLES) AND PERCENTAGE
OF POPULATION WITH UNMET BASIC NEEDS 2000-2005
200.0 — — 300.00
180.0 —
— 250.00
160.0 —
140.0 —
— 200.00
120.0 —
100.0 — — 150.00
80.0 —
— 100.00
60.0 —
40.0 —
— 50.00
20.0 —
0.0 — — 0.0
ay lica
ap cho
ac
ca sco
hu rca
o
a o
de s
os
o
uc o
n m li
ín
a
nín
tu sh
L es
ba ad
oq e
a
Ica
pa
a y cna
o
a
sa aya
ur
m equ
gu
uc
am ret
sc
n
lla
art
ím
ad zon
b
di
ca
La ibert
Pu
ui
a
ju
Pi
ve
Pa
cu
m
Lim ta
ca
u
án
ue
Lo
jam
an
ur
y
ac
eq
ca
an
Ar
re
m
La
hu
m
INBI 2000 2001 2002 2003 2004 2005
Source: SIAF-MEF in Portocarrero AG. La Equidad en la Asignación Regional del Financiamiento del Sector Público de Salud.
2000-2005. CIES: 9. (YAMIN et al., 2007).
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Among the most valuable information that budgetary allocation reveals
from a human rights perspective relates to, “understanding who among the
population is prioritized” which, in turn, “allows us to demonstrate whether the
government is fulfilling its obligation of non-discrimination” (IIMMHR, 2010, p.
7). For example, a 2007 report I wrote for Physicians for Human Rights, Deadly
Delays: Maternal Mortality in Peru, showed that the government of Peru was
misallocating federal health spending toward departments with fewer unmet
basic needs. Thus, Huancavelica, a department with over 90% of the population
with unmet basic needs, was receiving a fraction of the federal health spending
per capita that other, largely urbanized coastal and wealthier departments were
receiving.
Moreover, the departments below the black line—that is, lower federal health
spending per capita in comparison with unmet basic needs—had generally higher
proportions of indigenous population than those departments above the black line.
In turn, the Deadly Delays report showed that, predictably, fewer resources
resulted in fewer of the interventions necessary to save women’s lives. Huancavelica
had a very low proportion of births attended by skilled personnel (21%), in
comparison with other departments that received more health spending (YAMIN
et al., 2007). Peru’s own progress report on the MDGs at the time highlighted the
unequal achievement of progress on MDG 5 (UNITED NATIONS, 2004a, p. 62).
Using a human rights framework that included budgetary analysis, however, enabled
a recasting of those persistent disparities as substantive discrimination resulting
from a misallocation of resources—discrimination which was entitled to redress
(YAMIN et al., 2007).
In a 2009 report on maternal health and other economic and social rights
in Guatemala, the Center for Economic and Social Rights (CESR) also found
misallocations of resources that correlated to ethnic lines and resulted in de facto
discrimination. The CESR report went a step further by exposing the connections
between Guatemala’s regressive and inadequate tax policies and its poor record on
social spending, including on maternal health (CESR, 2009).
Requiring governments to publicly justify their budgetary allocations as
well as the policies that lead to insufficient available resources to spend on social
policies, including maternal health, constitutes an important step in fostering
systemic accountability. So does providing the public with the tools and information
necessary to assess whether expenditures have been effective.
In order to open budgets, the promulgation of freedom of information
laws is crucial. However, generating a culture of participation, accountability
and transparency at all levels of government is necessary to make budgets more
responsive to people’s, and in particular women’s, needs. In order to assure such
a culture, capacity- building for civil society organizations in budget monitoring
is essential. Moreover, donor states should be held to the commitments they
have made in keeping with the Paris Principles and the Accra Agenda for
Action to ensure transparency with respect to the way monies they provide or
facilitate are spent, and similar requirements should be made of private donors
(OECD, 2008).
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3.3 Monitoring: The Critical Role of Indicators in Measuring
Progress and Establishing Priorities
Holding governments accountable for fulfilling the right to maternal health under
international legal obligations requires monitoring “progressive realization.” Human
rights advocacy groups are expert at assessing the adequacy of policy measures States
are taking, as well as determining when they are adopting legislation or policies that
indicate retrogression, such as restrictions on contraception availability or draconian
abortion bans (AMNESTY INTERNATIONAL, Nicaragua, 2009a). It is critical to identify
such laws and policies, which constitute social determinants of MMM.
However, for both governments and advocacy groups, evaluating whether a
state is making adequate progress on improving maternal health requires applying
appropriate quantitative indicators. For example, as we are concerned with disparities
as much as aggregate progress from a human rights perspective, it would be helpful
to have disaggregated maternal mortality ratios (MMRs)—the indicator for whether
states will achieve MDG 5(a). However, MMRs alone are inadequate as they rely upon
data that is generally difficult to collect and interpret, for both statistical and practical
reasons (MAINE, 1999). Thus, for example, estimates of Sierra Leone’s MMR range
from a low of 857 per 100,000 live births in the government’s latest Demographic
and Health Survey (DHS) in 2009 to a high of 2,100 per 100,000 (SIERRA LEONE,
2009; AMNESTY INTERNATIONAL, Sierra Leone, 2009b). The truth is that we do not
know what Sierra Leone’s actual MMR is, or what it will be in 2015, let alone actual
regional disparities within the country. Moreover, MMRs alone do not tell us what
the priorities are in terms of addressing MMM.
Therefore, in order for governments to measure their own progress– as well
as for advocacy groups to hold them accountable for progressive realization–we
need process indicators that: (1) can be measured continuously, so as to permit an
assessment of the performance of a given administration; (2) are objective, and
comparable across time and countries and/or sub-regions of countries; and (3)
relate to the programmatic interventions that we know to be linked to reducing
maternal deaths.
For example, data on met need for contraception and skilled birth attendance
are critical, as are indicators such as access to anti-retroviral medications, especially
in regions where there is a deadly synergy between the HIV epidemic and MMM
(HOGAN et al., 2010) All of these indicators should be disaggregated by income
quintile, race/ethnicity and region.
Indicators that measure the availability, distribution and use of emergency
obstetric care (EmOC indicators) are also not only crucial, but can be being
directly linked to requirements under international law that governments make
the appropriate care available, accessible, acceptable and of adequate quality (the
so-called AAAQ framework) (UNITED NATIONS, 2000, para. 12). A 2009 (WHO et
al., 2009) handbook sets out these updated EmOC indicators, which were devised
by the WHO, Unicef, and UNFPA, in conjunction with the Averting Maternal
Death and Disability program at Columbia University (AMDD). Importantly, the
EmOC indicators can be monitored at both the district and the national level,
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as monitoring at a level “where there is power to effectuate change” is the key to
transforming health systems (FREEDMAN et al., 2005).
Further, in the face of multi-factorial causes underpinning high maternal
mortality, the EmOC indicators can prove extremely useful to governments in setting
priorities and, insofar as these are made publicly available, to advocates in holding
governments accountable for adopting the appropriate priorities. For example, the
AMDD Handbook contains an exercise that presents three scenarios. In Scenario 1,
there are three functioning EmOC facilities for nearly 1 million people rather than
the 10 that is set as a minimum acceptable level, and they are mostly in urban areas.
Although the other indicators are poor as well, the lack of availability of care stands
out. When made publicly available, as it should be, this information allows advocates,
as well as government program planners, to give first priority to accountability for
upgrading facilities to provide available care, especially in rural, underserved areas
(WHO et al., 2009, p. 41). From a human rights accountability standpoint, ethnographic
information should be supplemented to the distribution of facilities to discern possible
patterns of discrimination in accessibility (UNITED NATIONS, 2000, para. 12).
In Scenario 2, there are nine functioning EmOC facilities, including some in
rural areas, and two of these provide comprehensive care. However, very few women
who require EmOC are being cared for in these facilities (met need for EmOC is
8%) (WHO et al., 2009, p. 42). Low use of EmOC could be attributable to lack of
accessibility (whether geographic, economic in the form of user fees or other barriers
and/or lack of accessible information) as well as to lack of cultural acceptability, and/
or perceived/actual lack of quality. All of these point to failures of accountability.
However, they require distinct solutions. In order to discern the nature of the
accountability gaps underlying low use, a number of investigative methods might be
used by the government or advocacy groups, including community-based surveys,
community focus groups, interviews with staff, direct observation of the operation
of the facilities and a review of the record-keeping systems (WHO et al., 2009, p. 42).
In Scenario 3, there are 13 EmOC facilities including three comprehensive
ones (which includes blood storage and surgical capacity), and they seem to be
well-distributed in terms of rural-urban areas. Fully a quarter of births take place in
facilities and met need for EmOC is almost two-thirds. However, the direct obstetric
case fatality rate is very high at 15% (with a maximum acceptable level of 1%). In
this scenario, the quality of care in the EmOC facilities must be the first concern in
terms of identifying accountability gaps (WHO et al., 2009, p. 42). Furthermore, in
this case, maternal death audits and verbal autopsies can prove extremely useful in
discerning whether high case fatalities relate to late presentation or to the management
of care, provided that they meet the conditions laid out above.
The selection and application of indicators is far from a technical issue; dignity
includes access to blood and sutures and we need a way to measure that access if
accountability is to be meaningful. By linking the government responsibility for
AAAQ, with the evidence we find regarding specific obstacles to women getting
the necessary care, we can see that maternal deaths are the foreseeable result of
systematic failures with respect to policy, programming and budgeting decisions, in
addition to social and cultural factors. Thus, to the extent this information is made
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publicly available, donors, advocates and governments need no longer discuss abstract
accountability for realizing the right to maternal health. Rather, it becomes possible
to identify very concrete ways in which ministries of health can operationalize their
legal obligations to fulfill the right to maternal health.
It is a substantial positive step toward accountability that Countdown to 2015
now includes an indicator on the availability of EmOC facilities in its global tracking.
However, such tracking requires needs assessments and ongoing measurements of
EmOC facilities, which have not been done in all countries, including many with
high levels of maternal mortality. Although the EmOC indicators have been applied
in approximately 50 countries (WHO et al., 2009), they have not always been used
at the national level or on a continuing basis. A major step toward accountability
would be to institute the continuous gathering and use of this data in health systems
around the world, including both public and private facilities, and to ensure that the
information is widely accessible.
Governments bear the primary responsibility under international law for
selecting and using appropriate indicators, as well as for providing the public with
transparent access to information regarding their measurement and implications.
However, as donors and international agencies often drive the use of indicators,
this is an area in which they can play an especially important role, through bilateral
health assistance as well as the MDGs process. For its part, the HRC could promote
meaningful accountability by having states report on the availability of EmOC
facilities, if not all of the EmOC indicators, as part of universal periodic review,
and encouraging states that have not done so to adopt the EmOC indicators. UN
treaty-monitoring bodies could take similar measures to emphasize the importance of
monitoring the use and availability of EmOC in addition to family planning, skilled
birth attendance and other areas, in meeting maternal health-related obligations
under relevant human rights treaties.
4 Fostering “Constructive Accountability” at the Facility Level
National and district-level initiatives are crucial but the importance of regular
monitoring and evaluation, and initiatives taken at the facility-level should not be
overlooked to increase transparency, responsiveness and participation in the health
system, which are all crucial to a human rights-based approach to accountability
(GILL et al., 2005, p. 192). Changes as simple as requiring that prices for any services
or medications be posted clearly, and not subject to negotiation, or that staff wear
name tags so patients can identify them by name can shift attitudes and relationships
between providers and patients markedly. Such reforms are not just important for
maternal health, but for all of the health issues addressed within the facility and
through its community outreach.
Facility-based accountability initiatives should be implemented in such a way
as to be respectful of the staff’s rights, as well as the rights of patients. Not only
should health workers not be scapegoated for institutional failures, they should also
not be subject to unreasonable demands. For example, no single staff member can be
expected to work ‘24/7’ so that there is always coverage; nor can they be expected to
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dip into their own salaries to pay for medicines or supplies for women experiencing
obstetric emergencies. On the contrary, front-line health workers can be encouraged
to participate in resolving the accountability-deficits in their facilities by creating
incentives for both the reporting and addressing of issues. Personal and institutional
leadership has proven instrumental in implementing rights-based approaches to
accountability at the facility level (SCOTTISH HUMAN RIGHTS COMMISSION, 2009).
However, the users of health facilities, whether private or public, also need to
be able to file grievances when they face mistreatment, discrimination, or inadequate
care (HUMAN RIGHTS WATCH, 2010). Grievance redressal mechanisms must be
accessible to all users and family members, including illiterate persons who cannot file
written complaints. Moreover, in order to be effective they must permit addressing
systemic issues that go beyond the facility.
Further, community participation in oversight of the facility should go
beyond grievance redressal. In Peru, for example, the CLAS (Local Committees for
Administration in Health) facilities involve local community members in managing
councils that engage in planning, financial auditing and oversight of the facilities,
along with the professional staff. Similar schemes exist in other countries, and are
sometimes coupled with community-based human rights education. Such schemes
should be studied to discern best practices in making facilities accountable to local
communities for maternal and other health care, and for enabling local community
members, and women in particular, to appropriate their sense of being rights-holders
demanding legal and social entitlements (YAMIN et al., 2007).
The objective is to establish what Lynn Freedman (2003) refers to as
“constructive accountability”—a new dynamic of entitlement and obligation.
Implemented effectively, facility-based accountability can foster fundamental changes
in attitudes among both community members as well as health staff about their rights
and responsibilities, and the role of the health system.
4.1 Remedies: The Role of Courts and Quasi-Judicial Bodies
as Integral to Transforming Health Systems
Monitoring alone is insufficient to produce human rights-based accountability
(POTTS, 2008). Fundamental to the force of rights is their binding legal nature.
Judicial and quasi-judicial remedies therefore have a key role to play in at least
four areas related to the right to health, and to maternal, sexual and reproductive
health in particular: implementation of existing laws and policies; reform of policies
and budgets that fail to take reasonable account of health rights; removal of legal
restrictions on care; and challenges to systemic violations of women’s maternal and
reproductive health rights in practice.
First, remedies should be available to ensure accountability for the
implementation of existing laws and policies. It is unfortunately all too common
for legislation and policies relating to reproductive and sexual health not to be
implemented through adequate regulations. For example, in the case of Paulina
Ramirez v Mexico (IACHR, 2007), the Center for Reproductive Rights together with
the Reproductive Choice Information Group (GIRE, for its Spanish acronym)
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brought a petition to the IACHR in 2002 involving the failure of the government
to enact adequate regulations relating to the access to abortion in rape cases, which
was provided for under law (IACHR, 2007). The case was settled with the Mexican
government through an amicable resolution procedure, whereby the government
agreed not only to compensate the named petitioner but also to issue a decree
regulating guidelines for access to abortion for rape victims (IACHR, 2007). Moreover,
the process of litigation and the surrounding mobilization on the issue played an
important role in changing the public debate around abortion in Mexico and leading
to the eventual liberalization of the abortion law in Mexico City.
In March, 2010, the Delhi High Court not only ordered a maternal death
audit to be carried out in relation to the death of Shanti Devi, a woman from a
scheduled caste who had faced severe discrimination in the health system, but also
called for the proper implementation of state-sponsored schemes relating to maternal
and child health care for the poor. Citing both international law and prior orders of
the Supreme Court, the Delhi Hight Court called for eliminating onerous burdens
of proving indigence to access reproductive health services, ensuring the portability
of benefit schemes across states and guaranteeing cash assistance to women in need
(INDIA, Laxmi Mandal v Deen Dayal Haringer Hospital & Ors Writ Petition, 2010).
Second, remedies can achieve reforms of policies and budgets that do not
adequately protect health rights. In the now well-known Treatment Action Campaign
case (SOUTH AFRICA, Minister of Health v. Treatment Action Campaign, 2002), the
South African Constitutional Court found the restriction of Nevirapine treatment
for prevention of mother-to-child transmission (PMTCT) to 18 pilot sites to be
unreasonable in light of its constitutional obligations relating to the right t o health.
The Court not only ordered the extension of PMTCT to the whole country, but also
called for a national plan of action with regard to PMTCT and established itself as
guardian of the implementation of that plan of action.
The Colombian Constitutional Court has held that reducing the national
budget for the subsidized health insurance scheme, which provides coverage to the
poor, was inconsistent with the government’s obligations relating to the right to
health. The Court considered such budgetary reductions to constitute impermissible
retrogression, especially as they would affect the most vulnerable sectors of Colombian
society (COLOMBIA, 2000, 2004).
Third, remedies must be available to challenge legal barriers to care that are
discriminatory or directly violate health rights. Abortion restrictions have produced
substantial litigation of this type. For example, in a pair of important cases, the
Colombian Constitutional Court declared unconstitutional the prohibition of
therapeutic abortions as violating women’s rights to health and life with dignity
(COLOMBIA, 2006). The Court later mandated that all health institutions ensure
access to providers who would perform such abortions, noting that conscientious
objection was a right of individuals and not institutions (COLOMBIA, 2009).
Importantly, the Court’s ruling in this case as in others (COLOMBIA, 2008) applies to
both private and public providers. Indeed, judicial intervention has been important
in setting out the scope of private actors’ obligations with respect to providing care
in a number of countries.
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After Nicaragua revised its penal code in 2008 to include a total ban on
abortion, even when a woman’s life is at risk, a coalition of non-governmental
organizations in Nicaragua and around the region brought a case to the IACHR
(IACHR, “Amelia”, Nicaragua, 2010) challenging the provisions of the law as
violating inter alia the rights to life and health. The IACHR issued precautionary
measures in the case, ordering the Nicaraguan government to ensure that the
petitioner had access to appropriate medical treatment for her condition. The
case has been accompanied by mobilization around the issue, at both the national
level and through Amnesty International at the international level (AMNESTY
INTERNATIONAL, Nicaragua, 2009a).
Fourth, legal remedies are essential in cases where there are systemic violations
of women’s health rights in practice. For example, legal recourse proved a pivotal
part of a larger strategy of accountability in Peru when between 1996 and 1998
an estimated 260,000 overwhelmingly indigenous women were sterilized without
fully informed consent and under conditions where their rights to health and
lives were at risk. A coalition of Peruvian NGOs litigated the emblematic case of
Maria Mamérita Mestanza Chávez (IACHR, Peru v. Maria Mamérita Mestanza Chávez,
2000), in which a woman was involuntarily sterilized and later died as a result of
the operation as emblematic of a pattern of violations of fundamental rights and
discrimination against indigenous women in Peruvian society. After the case was
dismissed in the Peruvian legal system, these NGOs successfully resolved a petition
in the Inter-American system.
Similarly, in 2008 the Center for Reproductive Rights brought a petition to
the Committee on the Elimination of Discrimination against Women (CEDAW)
against Brazil in relation to an emblematic case of systematic de facto discrimination
against Afro-descendants in maternal health care in that country (UNITED
NATIONS, Alyne da Silva Pimentel v. Brazil, 2007). In the first maternal mortality case
to be brought before CEDAW, the Center, together with Brazilian partner Advocaci,
asked for the government not only to compensate the petitioner’s surviving family,
but also to prioritize the reduction of maternal mortality in practice, including by
training providers, establishing and enforcing protocols, and improving care in
vulnerable communities.
In short, the use of remedies in these ways goes far beyond restitution of a
pre-existing equilibrium or promises of non-repetition. Rather, judicial and quasi-
judicial interventions can play important roles in a larger accountability strategy
aimed at transforming discriminatory and exclusionary health systems and practices
that bear on women’s maternal and reproductive health and well-being.
In addition to judicial remedies, National Human Rights Institutions
(NHRIs) can sometimes promote systemic accountability for the progress of
maternal health goals, as well as for violations of maternal health-related rights.
Over the past decade in Peru, for example, the Defensoría del Pueblo (Human Rights
Ombuds Office) has actively pursued monitoring and oversight of reproductive and
maternal health rights. This has led, inter alia, to revised regulations and policies
relating to issues ranging from informed consent to regulations regarding traditional
birthing positions (PERU, 1999; YAMIN et al., 2007; PERU, 2005). Unfortunately, Peru
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is an exception. Given the current interest from donor states and foundations in
NHRIs, it would be important to address systematically limitations on budgets,
human resources, skill sets and mandates that are currently preventing the majority
of NHRIs from being effective accountability mechanisms in the realm of maternal
health and other areas (SRIPATI, 2000).
5 Donor Accountability: Promoting Compliance with Obligations
of “International Assistance and Cooperation”
Many of the decisions that affect the scope of women’s rights to maternal health
in the global South are taken by governments in the North and in international
organizations controlled by member states from the North. The ESC Rights
Committee has been clear: “For the avoidance of any doubt, the Committee wishes
to emphasize that it is particularly incumbent on States parties and other actors in
a position to assist, to provide ‘international assistance and cooperation, especially
economic and technical’ which enable developing countries to fulfill their core
and other obligations [including their core obligations relating to maternal and
reproductive health]” (UNITED NATIONS, 2000, para. 45).
Nevertheless, the contours of such obligations are not clear and international
declarations regarding obligations of international assistance and cooperation
remain extraordinarily weak. The Paris Principles on Aid Effectiveness, for example,
emphasize “harmonization” and “alignment” without binding commitments based
on rights (OECD, 2008). The Accra Agenda for Action is somewhat stronger than
the Paris Principles, calling for assistance to be done “in ways consistent with their
agreed international commitments on gender equality, human rights, disability
and environmental sustainability.” (OECD, 2008). However, this wording is not
followed by the elaboration of specific obligations of support.
Moreover, unlike the other MDGs, MDG 8, which calls for actions from
donor countries sets no targets. In general “the global partnership for development”
envisioned in MDG 8 has not materialized around maternal and reproductive
health, and basic health systems improvements (UNITED NATIONS, 2010b).
Meaningful inclusion of human rights in the MDGs, and into development practice
more broadly, demands that targets and corresponding indicators be established
through which to hold donor states accountable, as well as national governments in
the global South. Those indicators should relate not merely to increasing sustained
support for child and maternal health (MDGs 4 and 5, respectively) and health
systems more broadly, but also to changes in a wide array of other policies that
affect the possibilities of women to enjoy their rights to maternal health.
But such indicators alone are insufficient. Promoting accountability of donor
states and international financial institutions requires concerted efforts to raise the
costs of non-compliance with both obligations to refrain from policies and actions
that undermine the right to health and to provide affirmative economic, as well
as technical, assistance (UNITED NATIONS, 2004b; UNITED NATIONS, 2006a).
Those costs can be financial, political and social. For example, the HIV/AIDS
movement has been particularly effective in shifting the cost-benefit calculus of
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international actors, including donor states and transnational corporations, as well
as governments regarding policies and funding relating to access to anti-retrovirals
and HIV/AIDS generally. It is still unclear whether increasing engagement by
human rights NGOs, including Amnesty International’s important global campaign
on maternal mortality, will lead to mobilizing a sustained international movement
on maternal health that could exert substantial pressure on donor states. Such
pressure would relate to refraining from doing harm, as well as to economic and
technical assistance.An obvious example with respect to the obligation to “do
no harm”—to refrain from actions that undermine maternal health—relates to
the recruitment of health care workers from countries in the global South which
are facing dire shortages of health care personnel to meet their right to health
obligations. As a policy briefing on MDG 5 from Realizing Rights states: “Donor
countries must ensure policy coherence in this respect. Moreover, not addressing
health worker migration undermines donor credibility – why build up health
systems in developing countries just to take away precious human resources from
them? Policy coherence on this is critically important.” (REALIZING RIGHTS,
2010). In May, 2010, the World Health Assembly unanimously adopted a global
Code of Practice on the international recruitment of health personnel (WORLD
HEALTH ASSEMBLY, 2010). The Code calls for voluntary commitments to adopt
responsible recruitment policies, but its existence now provides a framework that
may encourage cooperation as well as potentially be used to raise the political
costs of non-compliance for any individual country that fails to adopt and abide
by such commitments.
Second, donor governments must increase economic assistance, as well
as technical support. MDG 5 has been the most underfunded MDG and, not
surprisingly, has shown very uneven progress (OECD, 2006; FREEDMAN, L.P. et al.,
2007, p. 1133; UNITED NATIONS, 2010b). Although a 2010 Lancet study shows some
promising evidence of improvement, it remains clear that enormous increases in
global health funding over the last decade have not translated into the necessary
investments in basic health services and reproductive health (HOGAN et al., 2010;
THE WORLD BANK, 2009; OECD, 2009). Even the most optimistic picture presents
great disparities in progress, and global levels of maternal mortality are far higher
than that required to achieve the 75% overall reduction since 1990 levels called
for under the MDGs (HOGAN et al., 2010; HILL et al., 2007, p. 1311; COUNTDOWN
TO 2015, 2010, p. 10).
Although most maternal and newborn care is funded domestically, many
poor countries are simply not in a position to provide the necessary services to
save women’s lives. For example, in late 2009, donor agreements made possible
the establishment of a free care policy for pregnant and lactating women and
infants in Sierra Leone, where Amnesty International had documented that user
fees posed one of the greatest barriers to access to care (WAKABI, 2010; AMNESTY
INTERNATIONAL, Sierra Leone, 2009b).
Overall, however, while the MDGs have coincided with marked increases
in global health funding, this has been largely around HIV/AIDS (OECD, 2009).
Whereas from 1990 to 1998 12% of all donor funding (12% of DAC) was allocated
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to HIV/AIDS and STI control, over the 1999 to 2004 period, this percentage had
risen to 25% (24% DAC) in 2007. In contrast, family planning decreased over the
same period from 10% to 6% (14% to 6% DAC), and reproductive health care
donor funding showed slight dips from 8% to 6% total donors (7% to 6% DAC)
(OECD, 2006). ODA for maternal, newborn and child health accounted for only
31% of all ODA for health in 2007 (COUNTDOWN TO 2015, 2010, p. 36).
The issue is not cutting up the ODA pie differently; the issue is increasing the
pie. A 2009 UN Report concludes: “Without political will and a firm commitment
to population, reproductive health, and gender issues, it is unlikely that the goals
and targets of the International Conference on Population and Development and
the Millennium Summit will be met” (UNITED NATIONS, 2009b, p. 20).
A number of authors have argued that the consensus on the need to address
the global HIV/AIDS pandemic –because in part the financial, political and social
costs of not doing so would be too high for countries in the North, as well as those in
the South– has been more important in increasing funding than the targets set out
in MDG 6 (CROSSETTE, 2005, p. 77; HULME, 2009, p. 24). Moreover, the creation
of the Global Fund to Fight AIDS, Tuberculosis and Malaria (Global Fund) and
the United States President’s Emergency Plan for AIDS Relief created important
institutional mechanisms through which to establish donor state commitments.
The March 2010 UN Secretary General’s Report on the MDGs states that, in
light of the need to improve the quality, predictability and durability of aid, in
addition to the quantity, “Pooling of donor resources into multi-donor funds has
proved time and again to be a fruitful approach, with great successes, for example,
in the control of several infectious diseases” (UNITED NATIONS, 2010b, para. 85).
In this regard, a number of authors argue that the Global Fund’s mandate
might be expanded to include maternal and child health, or health systems broadly
(THE LANCET EDITORIAL BOARD, 2010; STARRS; SANKORE, 2010; STARRS,
2009; CORNETTO et al., 2009). Such proposals go significantly beyond integrating
maternal and reproductive health into HIV/AIDS programs, which is feasible under
the current mandate.
The Global Fund, which was established in 2002, is far from a perfect
mechanism. Criticisms regarding sustainability, inefficiency and lack of transparency
have plagued it, resources have not been allocated equitably among HIV/AIDS,
tuberculosis and malaria, and interventions have at times undermined rather than
strengthened health systems (HALL, 2005). Moreover, the creation of a mechanism
cannot stand alone; constant pressure from the HIV/AIDS movement in different
countries has played an important role in sustaining financial commitments to
the Global Fund.
Nevertheless, expansion and adaptation of the Global Fund presents the
possibility of engaging donor states in long-term commitments to maternal health
and health systems more broadly. The framework established through the Global
Fund critically does not assume that addressing critical health needs be done in a
“sustainable” way—i.e., that aid is for a time certain and efforts should be directed
at making poor governments fend for themselves despite a lack of financial,
material and human resources and a global architecture that stacks the odds
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against them (CORNETTO et al., 2009; THE GLOBAL FUND, 2007). Instead, there
is an assumption of some international responsibility and a concomitant ongoing
international commitment for funding activities to address HIV, TB and malaria
(UNITED NATIONS, 2006a, para. 41). There desperately needs to be a similar global
commitment for investing in health systems, and maternal health in particular.
Expanding and adapting the Global Fund, or creating a similar mechanism, would
demonstrate serious donor commitment as well as potentially raise the political
and social costs of erratic suspensions of aid for health systems in the long term.
6 Conclusions
Maternal mortality is not principally a medical problem; it is primarily a social
problem and a problem of political will at both the national and international level.
The reason that hundreds of thousands of women and girls are still dying every year
is not because we do not know how to save them. Women are still dying in massive
numbers around the world because women’s lives are not valued, because their voices
are not listened to, because they are discriminated against and excluded in their homes
and communities—and by health care systems that do not prioritize their needs.
I have argued here that promoting transformative accountability with respect
to fulfilling the right to maternal health requires more than decrying the scandalous
injustice of those deaths, and more than demanding that states act consistently
with their international legal obligations. It requires translating the powerful
normative discourse of human rights into operational guidance and concrete tools
for development practitioners, health planners and service providers, as well as the
users of health systems. Transformations of health systems are unlikely to occur with
punitive approaches that lead to, intentionally or otherwise, a focus on individual
sanctions. They are far more likely to occur by putting into place measures that
promote systemic and institutional changes, which in turn foster different relations
between providers and users of health services.
National governments should be held accountable for decisions from the
initial situation analysis and design of plan of action regarding maternal health
to budgeting, monitoring and evaluation, and the provision of remedies. At every
stage, transparency, access to information and meaningful public participation
are crucial to rights-based accountability. Additionally, donor governments need
to be held responsible for policy coherence and increased financial assistance for
health systems and maternal health, which will require innovating mechanisms as
well as political and social mobilization to raise the economic, political and social
costs of non-compliance.
Further, there is an important relationship between international bodies and
mechanisms and national ones in terms of promoting accountability. UN treaty-
monitoring bodies and special procedures, together with the Human Rights Council and
other regional bodies such as the IACHR and the African Commission, have key roles
to play in ensuring that laws and policies are consistent with governments’ human rights
obligations, that adequate progress is being made consistent with appropriate indicators
on a non-discriminatory basis; that sufficient resources are being allocated effectively; that
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efforts to reduce maternal mortality give special attention to marginalized populations;
and that adequate mechanisms of redress exist at the national level.
A human rights approach to MMM calls for subverting a wide range of the
“pathologies of power” that systematically marginalize women and their health
needs (FARMER, 2005). However, challenging the power structures that prevent
women from having choices over their lives must include those in the health system
that condemn women to needless suffering and death. As Paul Hunt and Gunilla
Backman write: “In any society, an effective health system is a core institution, no
less than a fair justice system or democratic political system. … It is only through
building and strengthening health systems that it will be possible to secure sustainable
development, poverty reduction, economic prosperity, improved health for individuals
and populations, as well as the right to the highest attainable standard of health”
(HUNT; BACKMAN, 2008). Improving health systems cannot be seen as a technocratic
exercise; by bringing human rights to bear, transforming health systems can and
should be understood as a means of constructing social citizenship for women in a
society—and most critically for poor, rural and marginalized women (FREEDMAN,
2005). In a world where women’s reproduction is so heavily cathected, so intimately
bound up with religious and cultural power, it is radical indeed to demand that health
systems take women’s suffering– and rights– seriously (YAMIN, 2008).
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Available at: <http://www.ino.searo.who.int/LinkFiles/Reproductive_health_Beyond_
the_numbers.pdf>. Last accessed on: 2 Apr. 2010.
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mortality-in-peru.pdf>. Last accessed on: 27 Mar. 2010.
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______. 2008. Constitutional Court. Judgment T-760, Sentence.
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______. 2007. Case 161.02. Paulina del Carmen Ramirez Jacinto v Mexico, Report No.
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NOTES
1. the title of this article echoes that of the a woman while pregnant or within 42 days of
MDG task Force Report on child and Maternal termination of pregnancy, irrespective of the
Health: Who’s got the power?: transforming duration and site of the pregnancy, from any cause
health systems for women and children. I have related to or aggravated by the pregnancy or its
benefited from the thinking of so many colleagues management but not from accidental or incidental
in relation to this piece that it would be impossible causes.” For every woman who dies from obstetric
to acknowledge them all. I am especially grateful complications, approximately 30 more suffer from
to Paul Hunt and lynn Freedman for their insights debilitating morbidities which include conditions
about operationalizing human rights approaches such as uterine prolapse and obstetric fistulae.
in the context of maternal health; to Siri Gloppen, http://www.unfpa.org/mothers/morbidity.htm.
whose ideas regarding the utility of different 3. ‘the obligation to respect requires States to
forms of litigation are very much reflected here; refrain from interfering directly or indirectly with
and to Deborah Maine, who has shown me what the enjoyment of the right to health. the obligation
kinds of programming really make a difference to protect requires States to take measures that
to the millions of women around the world who prevent third parties from interfering with article
risk dying in pregnancy and childbirth. All views 12 guarantees. Finally, the obligation to fulfil
expressed are personal and do not necessarily requires States to adopt appropriate legislative,
reflect those of Amnesty International or the administrative, budgetary, judicial, promotional
International Initiative on Maternal Mortality and and other measures towards the full realization
Human Rights. of the right to health.’ (UNItED NAtIONS,
2. Maternal death is defined as “the death of 2000, para. 33).
120 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
AlIcIA Ely yAMIN
RESUMO
O progresso equitativo e signiicativo na redução da mortalidade materna e na realização do
objetivo de desenvolvimento do milênio 5 (ODM 5) demanda a adoção de uma abordagem
baseada em direitos humanos que enfatize a accountability. Este artigo foca, especiicamente,
em como promover accountability para a concretização do direito à saúde materna se
buscamos a transformação do discurso de direitos em políticas públicas de saúde práticas
e em ferramentas de planejamento que afetam a prática do desenvolvimento – e, assim,
transformam os sistemas de saúde de modo a responder melhor às necessidades de saúde
materna das mulheres.
Depois de uma breve discussão sobre o conceito e o objetivo da accountability
no contexto da concretização dos direitos da mulher relativos à saúde materna, este
artigo elabora um ciclo de accountability no nível nacional que inclui: desenvolvimento e
implementação de um plano de ação nacional; análise orçamentária; monitoramento e
avaliação de programas com base em indicadores apropriados; e mecanismo de reparação,
bem como iniciativas de base. Na última seção, o artigo trata da accountability de doadores.
PALAVRAS-CHAVE
Saúde maternal – Direito à saúde – Abordagem baseada em direitos – Accountability –
Objetivos de Desenvolvimento do Milênio (ODMs)
RESUMEN
El avance signiicativo y equitativo en la reducción de la mortalidad materna y el logro del
Objetivo 5 de Desarrollo del Milenio requiere la adopción de un enfoque basado en los
derechos humanos que ponga énfasis en la rendición de cuentas. El presente artículo se
concentra especíicamente en cómo promover la rendición de cuentas para la realización del
derecho a la salud materna si buscamos transformar el discurso de los derechos en política
sanitaria y herramientas programáticas que puedan afectar la práctica del desarrollo, y al
mismo tiempo transformar los sistemas de salud para satisfacer mejor las necesidades de las
mujeres en términos de la salud materna.
Después de analizar brevemente el concepto y la inalidad de la rendición de cuentas
en el contexto de la realización de los derechos de la mujer a la salud materna, el artículo
propone un círculo de rendición de cuentas a nivel nacional que incluye el desarrollo
e implementación de un plan nacional de acción; análisis presupuestario; monitoreo
y evaluación de programas sobre la base de indicadores adecuados; y mecanismos de
reparación, como así también iniciativas a nivel de los centros de salud. En la última sección,
el artículo aborda la rendición de cuentas de los donantes.
PALABRAS CLAVE
Salud materna – Derecho a la salud – Enfoque basado en los derechos (EBD) – Rendición
de cuentas – Objetivos de Desarrollo del Milenio (ODMs)
v. 7 • n. 12 • Jun. 2010 • p. 95-121 ■ 121
SARAH ZAIDI
Dr. Sarah Zaidi is the Executive Director of the International
treatment Preparedness coalition (ItPc) on HIV/AIDS.
co-author of Human Rights at the UN: A Political History of
Social Justice, she is also the co-founder and former director of
the center for Economic and Social Rights.
ABSTRACT
he MDGs are the world’s biggest promise on how to reduce global poverty and human
deprivation. Formulated as goals to be implemented at national level and based on
result-oriented outcomes, they appear devoid of all human rights commitments. his
paper explores how MDGs it into an international law framework, and how MDG 6 on
combating HIV/AIDS, malaria, and tuberculosis can be integrated into the right to health.
he discussion determines whether the MDG 6 can be re-cast or readjusted to foster real
participation, non-discrimination as well as equality, accountability, and access to health.
Can the leading proponents from both sides chart a new route that could integrate rights
and anti-poverty strategy through the MDGs?
Original in English.
Submitted in May, 2010. Accepted in June, 2010.
KEYWORDS
Human Rights – Health – MDGs
his paper is published under the creative commons license.
his paper is available in digital format at <www.surjournal.org>.
122 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
MILLENNIUM DEVELOPMENT GOAL 6 AND THE RIGHT
TO HEALTH: CONFLICTUAL OR COMPLEMENTARY?
Sarah Zaidi
1 Introduction
The eight Millennium Development Goals (MDGs), endorsed by 189 governments,
are a careful restatement of development challenges related to poverty set to be
achieved by 2015. Announced with great enthusiasm by Secretary-General Kofi
Annan, the MDGs cover topics in key social and economic issues: eradication of
extreme poverty (admittedly a proportion of only 50 percent of the people living
on less than US$ 1 per day), universalization of education promotion of gender
equality, reduction of child mortality, improvements in maternal health, fight
against HIV/AIDS, malaria and other diseases, advancement of environment
sustainability, and elaboration of a global partnership for development. They focus
on how to tackle and improve the lives of the 1.2 billion persons who live on less
than US$ 1 per day. The eight goals are associated with 21 targets and over 60
indicators, which represent societal averages of mainstream outcomes reflecting
the processes of classic development sector measurements (NELSON, 2007, p. 2041).
The MDGs, seen to represent the human development agenda initiative
of the United Nations Development Programme (UNDP), bypassed altogether a
rights-based approach to addressing issues of poverty in the developing world as
discussed in the UNDP-Human Development Report of 2000 (UNITED NATIONS,
2000a) and instead embraced the key income poverty monitoring measures of the
World Bank (SAITH, 2006). The final MDG document sidestepped not only the
1997 Program for Reform which had human rights at the core of its activities (these
reforms were designed by Kofi Anan’s office and human rights were reflected in
the Millennium Declaration) (UNITED NATIONS, 1997, 2000b), but also ignored
the protracted struggle for economic, social and cultural rights and the right to
Notes to this text start on page 142.
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MIllENNIUM DEVElOPMENt GOAl 6 AND tHE RIGHt tO HEAltH: cONFlIctUAl OR cOMPlEMENtARy?
development waged by civil society and Southern states (NORMAND; ZAIDI, 2008,
p. 239). The formulation of the MDGs targets, outcomes, strategies, and policies
lacked the recognition of substantive rights enshrined in the International Bill of
Rights (the Universal Declaration and the two International Covenants on Civil and
Political Rights and Economic, Social and Cultural Rights) as well as procedural
rights such as the right to information, non-discrimination, and participation.
Rather than building on mechanisms of accountability, internationally recognized
human rights standards and principles to which governments are obliged to adhere,
the MDGs focused on operational goals, indicators, and benchmarks aiming at
showing international donors such as the G81 the effectiveness of foreign aid in
poverty reduction (HULME, 2009). Nonetheless, the goal-oriented framework of
MDGs has yielded limited results. Nearly four million more children survive each
year, four million HIV positive persons now receive treatment compared to 400,000
in 2000, and many more children are in schools, with many countries crossing the
90 percent threshold since 2000 (UNITED NATIONS, 2010a). However, the MDG
Report (UNITED NATIONS, 2009a) observed that many low-income countries
especially across Africa still remain off track, and were unlikely to meet the 2015
targets. Moreover, the grim repercussions of the economic crisis were either stalling
progress, or reversing the gains that had been made.
Would the progress on MDGs have been better under a human rights
framework? Might it have been possible for states to be accountable for failures in
meeting set targets? Human rights are a normative claim that human dignity entitles
each person to certain kinds of treatment and protections from others, particularly
the state. Rights are universal (same for everyone, everywhere); they are inalienable
(cannot be taken away or given up); and indivisible (no hierarchy amongst different
sets of rights - civil, political, and socioeconomic ones2). International human rights
law has established legal obligations to respect, protect, and fulfil the rights of all
people under their jurisdiction.
In theory, human rights appear a logical foundation upon which to build a
more cooperative and just world, linking notions of freedom with social justice.
Philip Alston comments that while the MDGs and the human rights agenda have a
great deal in common, “neither the human rights nor the development community
has embraced this linkage with enthusiasm or conviction,” instead appearing to
“resemble ships passing in the night, even though they are both headed for very
similar destinations” (ALSTON, 2005, p. 755). Alston, however, is optimistic about
the marriage between MDGs and human rights, suggesting that the human rights
community needs to be more engaged in the realization of MDGs as it is the single
most important and pressing initiative on the international development agenda
and noting that there are a great many possible points of mutual reinforcement.
Perhaps, MDGs and human rights are complementary so that the former lays out
operational indicators and benchmarks while the latter provides a framework with
a set of principles and standards. At the ten-year marker, the Secretary-General’s
report on the MDGs mentions the words “human rights” seven times in the
text: as a foundation for the MDGs (UNITED NATIONS, 2010a, p. 2), references
to the Millennium Declaration (UNITED NATIONS, 2010a, p. 3, 15, 28), as the
124 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
SARAH ZAIDI
guiding principle of action (UNITED NATIONS, 2010a, p. 28), and with respect
to affirmation of right to development and economic, social and cultural rights
(UNITED NATIONS, 2010a, p. 32). But in the action agenda, human rights language
is generally missing. The present article explores why there continues to be this
disconnection between MDGs and human rights, examining the MDG 6 dealing
with the combat against HIV/AIDS, tuberculosis, malaria and other infectious
diseases and how it might have looked different in a human rights context.
Over the past quarter century, the link between health and human rights
has been clarified best due to concerns regarding the HIV/AIDS epidemic and
reproductive and sexual health, largely through raising issues of discrimination that
prevent an individual from accessing health services, challenging the legal system and
corresponding legislative reform, and by guaranteeing participation and the building
of partnerships by different sectors of civil society. Gruskin, Mills and Tarantola
(2007) comment that the HIV AIDS response has best exemplified these links
between health and human rights through advocacy, application of legal standards,
and programming including service delivery (GRUSKIN; MILLS; TARANTOLA, 2007,
p. 451). This paper explores the role of human rights vis-à-vis MDG 6; explicitly
measuring what steps states are required to take from the perspective of the right
to health. Section two presents briefly the health and human rights frameworks,
and section three examines MDG 6 and its relationship with the right to health.
For example, are the outcomes of halting and reversing HIV/AIDS, malaria, and
other infectious diseases anchored in human rights principles and standards? Does
the MDG goal-oriented framework either through its targets or indicators consider
issues of discrimination, participation, effective remedy and the right to information?
What are the mechanisms of accountability if MDG 6 is not met? In the conclusion,
the author explores whether the normative framework of international human rights
can form the basis for a new construct to tackle poverty and inequality, after 2015.
2 The Right to Health
The human rights framework is based on the foundation of an International Bill
of Rights, which includes the Universal Declaration of Human Rights (1948), the
International Covenant on Civil and Political Rights and its Optional Protocols
(1966), the International Covenant on Economic, Social and Cultural Rights
(1966), and several core treaties including but not limited to the International
Convention on the Elimination of All Forms of Discrimination, the International
Convention on the Elimination of All Forms of Discrimination Against Women,
the International Convention on the Rights of the Child, and several optional
protocols.3 The optional protocols aim at strengthening the implementation and
monitoring of the Convention by establishing, first, a mechanism for individual
communications through petitions, and, second, by empowering the treaty bodies to
undertake inquiries of systematic violations of the Convention. These international
treaties are meant to protect individuals from violations by the state, and also to
place obligations on the state to respect, promote and fulfil rights as described
(UNITED NATIONS, 2005).
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MIllENNIUM DEVElOPMENt GOAl 6 AND tHE RIGHt tO HEAltH: cONFlIctUAl OR cOMPlEMENtARy?
The roots of the right to health are in the public health movement of the
19 century (TOEBES, 1999, p. 12-13). The first health conferences held under the
th
auspices of the League of Nations identified the need for primary services for
the population as a whole. The International Labour Organization, established
in 1919, predominantly dealt with work-related health issues. However, it was
through the creation of the United Nations and its human rights system that the
right to health4 was enshrined in legally binding treaties. Thee Constitution of
the World Health Organization (WHO), whose provisions were later adapted to
the Universal Declaration of Human Rights (UDHR), mentions health as part
of the right to an adequate standard of living (article 255), which, however, is not
particularly well-defined. Nonetheless, the UDHR is well known and represents
customary international law and is therefore considered binding on states by some
experts (STEINER; ALSTON; GOODMAN, 2007, p. 133).
Article 12 of the International Covenant on Economic, Social, and Cultural
Rights (ICESCR) and article 24 of the Convention on the Rights of the Child
(CRC) formulate the right to health in similar manner as the WHO constitution:
everyone’s right to enjoy the highest attainable standard of physical and mental health.6
The Director-General of WHO was deeply involved in drafting the ICESCR
article, and noted that governments should create systems of health professionals
and services (TOEBES, 1999, p. 43).
The right to health as part of an economic, social, and cultural rights
framework, has to be read in conjunction with articles 2 and 3 of the ICESCR.
Article 2(1) of the ICESCR is on progressive realization and reads (UNITED
NATIONS, 1966):
“Each State Party to the present Covenant undertakes to take steps, individually and
through international assistance and co-operation, especially economic and technical, to
the maximum of its available resources, with a view to achieving progressively the full
realization of the rights recognized in the present Covenant by all appropriate means,
including particularly the adoption of legislative measures.”
The above clause allows governments to give insufficient resources as an excuse for
not meeting their treaty obligations, and secondly, alleging progressive realization they
can postpone their obligations ad infinitum (TOEBES, 1999, p. 294). General Comment
number three by the Committee on Economic, Social and Cultural Rights (CESCR)
tried to plug this loop hole by suggesting that steps must be taken within a reasonable
period of time and that, regardless of their level of economic development, States
are to ensure a minimum core obligation of these rights, the so-called core content
of the right (UNITED NATIONS, 1990). Moreover, Article 2(1) already mentions the
role of international assistance to some extent and recognizes that meeting these
rights also involves international development cooperation (CRAVEN, 1995, p. 144).
Articles 2(2) and Article 3 are non-discrimination clauses, the latter
regarding sex discrimination. Both are considered to have immediate effect, and
discrimination of any type is prohibited under the Covenant. The International
Convention on the Elimination of All Forms of Racial Discrimination (CERD)
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SARAH ZAIDI
includes direct reference to the right to health by giving each person a right
(without any discrimination) the right to public health and medical care. The
International Convention on Elimination of All Forms of Discrimination Against
Women (CEDAW) also obligates states to end discriminatory practices in health
care and provide adequate health services and counselling. The right to health is
also included in the constitutions of many states (KINNEY; CLARK, 2004). The
Constitution of the WHO, the Declaration of Alma-Ata, and other important
documents recognize the right to health (UNITED NATIONS, 2008a).
The Committee on Economic, Social and Cultural Rights has further
elaborated upon and clarified the nature of the right to health and how it can be
achieved through its General Comment number 14. Although not legally binding,
some salient concepts from the general comment include the requirement that
health facilities and services be available, accessible, culturally acceptable, and
of appropriate scientific and medical quality. In addition, the general comment
notes that the right to health requires not only that certain minimum standards
of care be met or exceeded, but that basic preconditions such as food, housing and
sanitation, adequate supply of safe and potable water, education, and essential drugs
as defined under WHO, also be met (UNITED NATIONS, 2000c).
In terms of availability, governments must ensure a functioning health-care
system and programs for all sectors of the population, including the underlying
determinants of health (food, potable water, sanitation, hospitals, clinics, trained
medical staff, and essential drugs). However, the precise nature of the facilities,
goods, and services provided can vary depending on the developmental level of the
State party. Accessibility requires that basic health care services, goods, and facilities
be physically accessible, affordable, available without any discrimination, including
also the right to information concerning health issues as long as personal health data
be treated with confidentiality. In General Comment 14, acceptability is defined
as health care that meets ethical standards and is also culturally appropriate, i.e.
respectful of minorities, marginalized communities, and sensitive to gender and
lifecycle requirements. The quality of health care implies skilled medical personnel,
scientifically approved and unexpired drugs and hospital equipment, safe and
potable water, and adequate sanitation as part of health services.
In addition to these substantive elements, there are several procedural
protections. For example, discrimination of any sort - individual or systemwide
- is a human rights violation and requires the state to provide remedies to redress
the abuse either through civil or criminal penalties or by introducing changes in
policy or governing legislation. States must also ensure participation of patients
and affected communities when it comes to decisions about their own health.
Information about health care and health issues should be presented in a public
manner and be accessible to everyone. The state should not backslide in terms
of its obligation once the right is recognized, and, if it does, then the burden of
demonstrating that retrogression was unavoidable lies with the state.
Over the past two decades, increasing intellectual attention has been paid to
the right to health. Since 1994 the Harvard School of Public Health has produced
a journal exclusively dedicated to health and human rights with the focus “on
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MIllENNIUM DEVElOPMENt GOAl 6 AND tHE RIGHt tO HEAltH: cONFlIctUAl OR cOMPlEMENtARy?
challenging - through conceptual analysis and practical action - the interlocking
orthodoxies that defraud poor people of the minimal requirements for a healthy
life, while fortifying privileged minorities in their lifestyles” (FARMER, 2008, p. 8).
The Commission on Human Rights (now replaced by the Human Rights Council)
created in 2002 the mandate for a Special Rapporteur on the right of everyone to
the enjoyment of the highest attainable standard of physical and mental health.
Paul Hunt, the first person to serve in this role between 2002-2008, produced
several key documents on better understanding the right to health.7 In 2004, he
published a report highlighting the contribution that the right to health can make
to the realization of health-related MDGs that noted:
The right to health involves an explicit normative framework that reinforces the
health-related Millennium Development Goals. This framework is provided by
international human rights. Underpinned by universally recognized moral values
and backed up by legal obligations, international human rights provide a compelling
normative framework for national and international policies designed to achieve the
Goals (UNITED NATIONS, 2004).
3 MDG 6 and the Right to Health
3.1 MDG 6 Overview
Millennium Development Goal 6 is one of three health goals, and its focus on the
fight against HIV/AIDS was expanded to include ‘malaria and other major infectious
diseases’, an inclusion that appears to have been the result of successful advocacy
of health lobbyists who argued that focusing exclusively on HIV/AIDS created the
danger of distorting health budgets, aid flows and health plans in a manner that could
negatively impact on health status (HULME, 2009, p. 30-31). The other two health-
related goals include MDG 4, on reducing child mortality, and MDG 5, on improving
maternal health. In addition, it must be pointed out that Goal 7, on reducing by half
the proportion of people without sustainable access to safe drinking water, Goal 1,
on eradicating extreme poverty and hunger, and Goals 2 and 3, on education and
empowerment of women, are social determinants of health. It is well documented
that educated girls and women provide better care and nutrition for themselves
and their children. Underpinning the MDG paradigm is the global partnership for
development, which facilitates access to financial resources, market access and debt
restructuring, as well as access to essential medicines. Eight of the 16 MDG targets
and 17 of the 60 indicators are health-related as well. Recent evidence is emerging on
how dependent the MDGs 4, 5, and 6, are of each other. For example, an increase
in access to AIDS treatment has been linked to a reduction of maternal mortality
(HOGAN et al., 2010) and child mortality (RAJARATNAM et al., 2010).
The global progress on MDG 6 on combating HIV/AIDS, malaria, and other
diseases reveals that much has been achieved but it is not yet enough to reverse the
trajectory of the HIV epidemic: for every two people started on treatment, there are
five new HIV infections (UNITED NATIONS, 2010a, p. 7). The burden of tuberculosis
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remains high, but of greater concern is the emerging epidemic of multi-drug-resistant
tuberculosis and of extensively drug-resistant tuberculosis, and, while great progress
has been made in distribution of bed nets to reduce the incidence of malaria (200
million out of the 340 million nets needed were delivered to countries in Africa during
2004 to 2009), there are still 140 million nets needed to achieve universal coverage
(defined here as one net for every two people) (UNITED NATIONS, 2010a, p. 8). An
effective response to MDG 6 extends well beyond the health sector, as most of these
diseases are facilitated by and exacerbated by conditions of poverty, vulnerability,
discrimination, and social marginalization or exclusion. Therefore millions of
individuals faced health-related disadvantages prior to the introduction of the HIV
virus due to their economic and/or social situation (MANN; TARANTOLA, 1998, p. 7).
The HIV/AIDS epidemic often affects those in the prime of their economic
productive and sexually reproductive period, and therefore was seen to pose an
imminent threat to social and economic development, a formidable challenge
to human life and dignity and the effective enjoyment of human rights. The
UN Declaration of Commitment on HIV and AIDS, signed by 189 countries,
established time-bound targets on HIV AIDS prevention, treatment, care and
support as well as human rights to which governments and the UN could be held
accountable (UNITED NATIONS, 2001). These targets were seen to support MDGs
as governments were concerned that the continuing spread of HIV/AIDS would
constitute a serious obstacle to their achievement.
The Declaration of Commitment stated that governments by 2003 would
enact and enforce laws, regulations and other measures that prohibit discrimination
on the grounds of HIV/AIDS; and ensure to people living with HIV/AIDS and
members of vulnerable groups the full enjoyment of human rights, including access
to education, inheritance, and health care. Nonetheless, the framing of goal six,
its targets and indicators are stated in neutral terms and do not refer to human
rights principles or the right to health framework. There are no indicators on
discrimination, participation, and equality, right to information, informed consent
in testing and treating or legislation protecting those from violations. Even when the
target and indicators8 for meeting goal six were revised in 2008 by the Inter-Agency
and Expert Group on the MDG Indicators, the only inclusion was the need to
achieve universal access to treatment for HIV/AIDS for all those who needed it by
2010. No concrete obligations was spelled out, including how governments should
address discrimination, social exclusion, violence against women, and economic
and social rights in measuring and/ or monitoring indicators.
The current targets and indicators are formulated in terms of societal averages,
part of a traditional development paradigm having nothing to do with the human
rights framework (SARELIN, 2007, p. 465). Even in the statement of this general
goal, there is no mention of health systems or a call for a rights-based universal
access to decent health services and medicines (SAITH, 2006, p. 1189). The most
vulnerable groups, economically marginalized, mentally or physically disabled, or
key vulnerable groups such as men-who-have-sex-with-men (MSM), transgendered,
injecting drug users (IDUs) or sex workers are not even mentioned as groups that
need special consideration. Take, for example, the target and indicators for malaria.
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Malaria is an illness for which there is evidence that, in the presence of poverty,
its prevalence is elevated and access to treatment diminished, Furthermore it is
known that malaria can increase poverty (BRENTLINGER, 2006, p. 17). However,
in the MDGs there is no specific indicator on facilitating treatment for the most at
risk. The most effective treatment of artemisinin-based combination is outpriced
for use by poor countries. Under MDG 6, the issues referring to the availability or
accessibility to affordable essential drugs could be addressed but, as Nelson (2007,
p. 2049) notes, the trade rule-making process at the World Trade Organization is at
odds with human rights-based prescriptions for improved health care and access to
medicines. The next section discusses how a human rights perspective can explicitly
add to measures that states are required to take in order to tackle Goal 6.
3.2 What a right to health perspective can add to MDG6?
As noted above, the human rights framework is premised on the rights of an
individual (rights-holders) vis-à-vis the state (duty-bearers). There are a number
of steps that a state can take to make the MDGs framework rights-based. First,
the state can recognize that MDGs are rights-based goals with targets subject to
state obligations. In the current reaffirmation of the MDGs by the UN General
Assembly (September 2010) this should be a key objective. How would the addition
of human rights language, or specifically the right to the health framework, change
MDG 6? In this connection, below I discuss only three human rights concepts:
non-discrimination and equality; participation; and accountability. There are other
key concepts such as accessibility, availability, acceptability and affordability of
services.9 Which shall not be taken into consideration.
Non-Discrimination and Equality: A rights-based approach to MDG 6
would begin with addressing issues of discrimination and stigma.10 There is evidence
suggesting that those with HIV face discrimination that jeopardizes testing and the
adherence to treatment (HORN, 2010; UNITED NATIONS; THE WORLD BANK,
2009). As is often the case, those groups already marginalized tend to experience
more severe discrimination and stigma. The People Living with Stigma Index
reports that people living with HIV in diverse settings affirm being excluded from
social and family events, being denied health care, sexual and reproductive health
care, and family planning services, as well as being insulted, threatened or subject
to physical attack. Many reported that their children (who were not necessarily HIV
positive) have been forced to leave school (ICRW; UNAIDS, 2009). Often these groups
are marginalized because of their sexual orientation, drug use, sex work, being a
prisoner, or other high-risk characteristics that makes them vulnerable. For example,
the close connection between TB and HIV, often referred to as co-epidemics, such
that a person with HIV progresses from TB infection to death more frequently and
rapidly than those who are not infected (HARRINGTON, 2010), makes it urgent that
discrimination and discriminatory practices must be addressed to achieve MDG 6.
As a first step, it would be important to disaggregate the data by gender,
minority groups, and social class, and their situation in the context of those most at
risk for HIV, key vulnerable groups such as men-who-have-sex-with-men (MSM),
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transgender, intravenous drug users (IDUs), sex workers, and other high risk
groups such as those with co-infections (in particular tuberculosis). It is important
to gather this knowledge so that materials and information for education and
communication can be appropriately developed for communities, legislators, and
policymakers. Second, a review and revision of current laws and legislation must be
made, to protect people living with and at risk of HIV or other infectious disease
from discrimination, violence and vilification, and the lack of due process. Laws
related to HIV or those at risk of HIV are highly punitive. A report to be released
at the International Aids Conference in Vienna notes that 19 of 48 countries in the
Asia Pacific region criminalize male-to-male sex (APCOM, 2010). In fact, legislation
and law enforcement protecting key vulnerable groups often lag behind national
HIV policies undermining the effectiveness of programs. One of the key targets
for MDG 6 could include an agenda for legal reform to establish better protection
from discrimination and to remove punitive laws, policies and practices.
Furthermore, women and girls - as a result of harmful gender norms regarding
social expectations, stereotypes, lack of status and power, and lack of resources
- often face discrimination and discriminatory policies that make them more
vulnerable to HIV. Often structural and deeply embedded attitudes put women and
girls at higher risk of violence and faced with discrimination at work, in education,
in marriage, reproductive choice, and sexual decision-making. Women living with
HIV are often counselled to avoid pregnancy or forced to terminate pregnancy
or coerced into forced sterilization (ICW, 2009; UNITED NATIONS; THE WORLD
BANK, 2009, p. 16). In addition, women sex workers have reported that they face
threats of increased violence not only from their clients for requesting the use of
condoms but also of being raped by men in uniform such as local police tasked
to protect them (HUMAN RIGHTS WATCH, 2003). Therefore, a focus on women
and girls is necessary in designing of targets and indicators.
Profound gender inequalities represent one of the key drivers of the HIV
epidemic, and also contribute to the high maternal mortality rate as noted by a
recent study in The Lancet (HOGAN et al., 2010). Addressing gender inequality is an
effective strategy for reducing HIV impact and transmission and enhancing the status
of women. MDG 5 on maternal health can be associated with HIV and mutually
re-enforcing benefit of treatment can be seen in reducing maternal deaths as well as
prolonging life and reducing transmission. In the political arena, when more women
are engaged in the process there is greater benefit. For example, in Rwanda where
women occupy 56% of parliamentary seats, legislation has been passed to prevent
gender-based violence, to recognize women’s right to inheritance, and to grant women
the right to work without her spouse’s authorization (UNITED NATIONS, 2010b, p. 15).
Participation: In a rights-based framework, participation is essential and
necessary for the expression of human agency, instrumental to self-determination,
and allows the individual to challenge socio-political, economic, and other forms
of exclusion particularly in decisions and processes that affect health (YAMIN,
2009, p. 6). In terms of MDG 6, participation would imply not only an active
involvement of people living with HIV and affected communities in the agenda-
setting and decision-making but also challenging power hierarchies in communities
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and society at large. Sarelin (2007, p. 477) notes that “the process of challenging
and transforming power relations and creating new relations is often described
as empowerment…[that] implies a participatory process that engages people in
reflection, inquiry and action…[not only for] expanding people’s opportunity but
empowerment in relation to the possibility to claim and realize their human rights”.
Civil society involvement in formulating and implementing the MDGs has been
limited. In our network on HIV treatment preparedness, most community groups
have no idea how the MDG process works or why it is important. The Millennium
Development initiative, while highly commendable, continues to exhibit features
of non-participatory approaches to development programming at national levels,
in which people are viewed as programmatic targets, and passive recipients of
international aid and national programs (SAITH, 2006). What is required is a shift
in development thinking to include the participation of disadvantaged individuals
and communities, groups for whom such policies are formulated and are intended
beneficiaries of development programs. In terms of MDG 6, there is already the
Joint United Nations Programme on HIV/AIDS (UNAIDS) concept of the Greater
Involvement of People Living with AIDS (GIPA) that could be brought into the
process of policy formulation and implementation. In addition, the Global Fund
to Fight AIDS, TB, and Malaria (GFATM) has at the domestic level coordinating
mechanisms (CCMs) to address these diseases and, while there are community
delegates on this body, it might consider adding human rights representatives, and
also coordinating its plans with the national MDGs strategy.
Accountability: While the principles of empowerment and participation have
been part of the development agenda, the added value of a human rights approach
is the principle of accountability that has been conspicuously absent. A rights-based
framework demands accountability as the approach emphasizes obligations and
requires that all duty-holders be held accountable for their conduct. If the system
lacks an accountability mechanism then it becomes no more than window-dressing.
The human rights framework has generally lacked enforceability and that has been
an issue. At the national level, individuals have used the judicial system to gain
access to health care or medicines. In 2004, an HIV/AIDS-positive person submitted
an “Amparo” action against Peru’s Health Ministry requesting full medical care,
including permanent supply of drugs and periodical testing, as well as CD4 and
viral load tests. The petitioner alleged lack of financial resources to face the high
cost of treatment. The Court accepted the “Amparo” action and ordered government
agencies to comply with Article 8 of Law 26626, which set forth that a Plan to Fight
AIDS should have top priority in the budget. In addition, the Court also noted that
social rights as true guarantees of protection of citizens before the State (information
on this case along with other HIV AIDS case law examples can be found on www.
escr-net.org). The Treatment Action Campaign (TAC) based in South Africa brought
a case against the Minister of Health challenging the South African government’s
prevention of mother to child transmission of HIV policy that limited the provision
of a drug, Nevirapine, known to prevent transmission, to a small number of pilot
sites. While TAC relied on litigation, it also launched an intensive public mobilization
campaign in the form of rallies, vigils, and marches across the country. Activists,
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health professionals, and media showed up in TAC’s trademark ‘HIV-positive’ t-shirts.
By the time the judgment was handed down, the people had already won the claim
to essential drug for PMTCT (quoted in POTTS, 2007, p. 31).
In addition, to the legal or judicial mechanisms of accountability there
are also a number of non-judicial means such as ombudsmen, treaty bodies,
parliamentary processes, or watchdogs (UNITED NATIONS, 2008b, p. 15). In
addition, there is the traditional strategy of ‘naming and shaming’ with respect to
human rights violations. Monitoring and evaluation mechanisms have also been
used to determine the performance of the health sector. Furthermore, civil society
has demanded better services from the state or private actors. Potts (2007, p. 4-5)
discusses mechanisms of accountability for the right to health, noting that:
Accountability in the context of the right to the highest attainable standard of health
is the process which provides individuals and communities with an opportunity to
understand how government has discharged its right to health obligations. Equally, it
provides government with the opportunity to explain what they have done and why.
Where mistakes have been made, accountability requires redress. It is a process that helps
to identify what works, so it can be repeated, and what does not, so it can be revised.
In the MDGs Framework the accountability mechanisms are weak, but evidence
gathering of targets and indicators with respect to each goal can be used for more
than monitoring purposes (FUKUDA-PARR, 2004, p. 394). The targets indicators
can be applied to an accountability framework that holds the duty-bearer, in this
case the state and international donors, responsible for meeting these goals. What is
unclear is how (or through which mechanism) can national citizens and communities
hold the state responsible, and by extension donor countries, for the failure to
meet the MDG targets or regress from achieved gains. Furthermore, it needs to be
determined how states and citizens can hold non-state actors accountable under this
framework. Despite these shortcomings, there are innovative ways to ensure some
level of accountability. At the moment, there are over 60 national level reports, based
on which one could discern and evaluate which health policies and institutions are
working and which are not, and why, with the objective of improving the realization
of the right to health for all (UNITED NATIONS, 2004, p. 9). The Human Rights
Council or the treaty bodies could evaluate these reports with the criteria of minimum
standards of human rights core standards. Special Rapporteurs could be invited for
visits to monitor the situation. Additionally, the national HIV/AIDS body or citizens’
watchdogs could be involved in monitoring the MDGs. Notwithstanding, the issue
of accountability would remain, as well as the problem of defining what effective
remedy or redress should be activated in case of violation or inability to meet the
targets of Goal 6. The recent global economic crisis poses a threat to the fulfilment
of the MDG objectives as it is already affecting the scale up of HIV prevention and
treatment, as donor funds are becoming scarcer (UNITED NATIONS; WHO, 2009).
UNAIDS observes that households may experience increased mortality and morbidity
if the commitments pledged by the international community to sustain and increase
access to anti-retrovirals are not honoured or if governments reduce expenditures on
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AIDS. Slight interruptions in treatment access or failure to enrol new AIDS patients
in treatment will have devastating and costly effects which will result in unnecessary
loss of lives and contribute to resistance to anti-retrovirals.
The last two points in this section address the importance of MDG 8 on a
global partnership and other MDGs linked to MDG 6.
Relationship with Other MDGs: MDG 6 is related to other MDGs as
discussed earlier, and the relationship is mutually re-enforcing with other health
MDGs. Recent studies published in the Lancet have demonstrated a strong
association between maternal mortality and HIV, MDG 5 (HOGAN et al., 2010).
Moreover, Rajaratnam et al. (2010) demonstrate a steep decline in mortality of
children attributing it to immunization, insecticide-treated bed-nets for malaria,
treatment of HIV positive women in preventing vertical transmission, and the
availability of antiretroviral drugs. In addition, hunger or under-nutrition included
under Goal 1 is strongly linked to MDG 6, in particular for those with HIV and TB.
Those who are ill need better nutrition, and impediments to accessing food affects
their illness. Sarelin (2007) observes the importance of a rights-based framework
in the context of Malawi, a highly HIV AIDS endemic country with national
adult prevalence of 15 to 18 percent, with 81 percent of the population classified
as subsistence farmers. In this case, the national government under the human
rights framework has taken steps to protect the most disadvantaged. While these
linkages are emerging in the literature, they are not reflected in the MDGs, which
continue to exist independently of each other in terms of strategies and policies.
Although the health-related MDGs do no specifically mention health
systems, the synergies between the response to these vertically initiated goals and
programs and broader health policies and structures are becoming apparent. In
2009, the Global Fund solicited proposals for broad-based strengthening of health
care systems. In addition, educational systems will also need to be strengthened, and
in particular MDG 3 on equal access for women and girls in education, economic
benefits, and sexual and reproductive health issues. Policy-makers or planners are
failing to make linkages, mutually reinforcing or jeopardizing achievement, across
the eight MDGs, their targets and indicators.
MDG 8: MDG 8 calling for a global partnership for development resonates
strongly with the human rights concept of international assistance and cooperation.
While the parameters of the MDG 8 are not yet clearly drawn, it is certain that this
MDG is critical for the poor in terms of realizing their right to health. For MDG
8, there is a lesson to be learned from the global HIV response which gave rise to
pioneering partnerships in health through the 2001 Declaration of Commitment
and led to the establishment of the Global Fund to Fight AIDS, Tuberculosis, and
Malaria, a path-breaking source of funding. The GFATM, supported by the G8
countries, promised to give $10 billion a year but so far have delivered only about
$3 billion a year (GLOBAL FUND, 2010a). In March 2010 the GFATM estimated
that it needed $20 billion for three years (2011-2013) to help meet the health
related MDGs (GLOBAL FUND, 2010b), but donors are backtracking on raising
even the minimal needs of $13 billion for three years using the global economic
crisis as an excuse. Nonetheless, the GFATM has emerged as an effective channel
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for health care financing and its investment in these three specific diseases has
paid back substantial dividends in terms of averting deaths (GLOBAL FUND,
2010c). Another interesting example of global partnership is the funding from the
international airline tax for UNITAD, supporting HIV treatment for more than
226,000 children and supplying second-line antiretroviral drugs to 59,000 patients
in 25 countries (UNITED NATIONS, 2010a, p. 17).
The accountability mechanisms in relation to Goal 8 are especially weak.
For a long time there were no targets or indicators, and very few countries report
on MDG 8. A few developed States, including the Netherlands, Denmark and
Sweden, have published reports on their progress towards Goal 8, and although
self-report is a step in the right direction it does not constitute an adequate form of
accountability. While official development assistance has increased to about 0.30
percent of developed countries combined income but it remains well below the UN
target of 0.7 percent of gross national income (HISTORY…, 2002; FUKUDA-PARR,
2006, p. 966). In 2008, the only countries to have reached the UN target were
Denmark, Luxembourg, the Netherlands, Norway, and Sweden. The accountability
arrangements for all MDGs, and MDG 8 in particular, are of critical importance.
Otherwise, the MDGs are in danger of being classified as yet another failed attempt
at addressing poverty. Unfortunately, the manner in which the MDGs story is
unfolding confirms the long-standing perception among developing nations that
accountability arrangements are imbalanced and only applicable to them, while
developed countries can escape any measures to hold them accountable when failing
to fulfil their international commitments (UNITED NATIONS, 2009c).
3.3 Additional Considerations
Meeting a minimum core obligation and non-retrogression are the other two key
concepts part of a rights-based health framework. The Committee on Economic,
Social, and Cultural Rights in General Comment 3, regarding the interpretation
of article 2(1) on progressive realization notes that there is a minimum obligation
to protect the most vulnerable in society, and there is a further obligation upon the
state not to regress on progress that has already been made (UNITED NATIONS,
1990). One of the key targets of MDG 6 is ‘universal access’ to HIV treatment. The
commitment to universal access was made in the 2006 Political Declaration and
established a mutually re-enforcing bond with MDG 6 (UNITED NATIONS, 2006a).
Therefore any deviation from this target is a violation that needs to be immediately
addressed by the duty-bearer (i.e. state and other related parties). Human rights
jurisprudence can assist practitioners and policy makers in planning and evaluating
MDGs initiatives according to human rights standards at the national level through
special committees or tribunals, or the country reporting mechanisms of the Human
Rights Council, set up not only to measure progress but also to provide remedy. The
HRC could possibly even convene a special session over the next five years.
The United Nations Office of the High Commissioner on Human Rights
have gone further in their thinking and developed four indicators explicitly named
as human rights indicators for MDG 6, in order to establish whether countries
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have: laws to protect against discrimination of people living with HIV/AIDS; laws
to protect against discrimination of groups of people identified as being “especially
vulnerable to HIV/AIDS”; policies to ensure equal access for men and women to
prevention and care, with an emphasis on “vulnerable groups”; and policies to
ensure that HIV/AIDS research protocols are reviewed and approved by an ethics
committee. Additionally, gender should be mainstreamed throughout Goal 6, its
targets and indicators, and issues of discrimination and exclusion particularly of
key vulnerable groups are addressed immediately, ensure that existing indicators
are rights-sensitive. While broad in scope, these indicators have limitations. For
example, they measure whether or not policies are in place and do not attempt to
explore the quality or degree of implementation.
The basic question remains: will the countries that have formulated the
MDGs and who are meeting this September 2010 in New York at the United
Nations High-level Plenary Meeting on the Millennium Development Goals11 with
an objective of leading to concrete strategies for action incorporate human rights
into their plan of action for the remaining five years?
4 Conclusion
The Millennium Development Goals have clear communicable outcomes. They
are ideologically neutral and results-based. They set out a strategic vision for the
United Nations to address poverty and offer an opportunity to realize promises
made through a series of world conferences on environment, nutrition, women,
population, and social development over the preceding three decades. The
MDGs also provide the vehicle to bring together many separate organizations of
the United Nations, including the World Bank, under a singular banner, allow
governments to prioritize national development policies protecting the most
vulnerable in society, and provide a means to channel international aid into
the social sector with an assessment of its impact. While this is the sunny-side
view of the MDGs, the reality, ten-years into the agenda, is mixed (UNITED
NATIONS, 2009a). Moreover, the Global Monitoring Report co-published by the
World Bank and the International Monetary Fund observes that with the recent
financial crisis the situation will worsen with 53 million more people falling into
extreme poverty, mostly in sub-Saharan Africa, a continent that is already far
off-track from achieving the MDGs. The authors note that the global recession
combined with the 2008 food and fuel crisis will have a lasting, negative impact
on critical human development indicators and, unless international efforts are
redoubled to mitigate the damaging effects, it is likely that many countries, in
particular those with greatest need, will fail to achieve any significant progress
in meeting the MDGs (WORLD BANK, 2010).
Modest progress has been made towards achieving MDG 6, largely for
tuberculosis and malaria (UNITED NATIONS, 2009a, p. 32). For TB better diagnosis
of the disease has helped to initiate people into early treatment, but new cases
continue to rise with multi-drug resistant TB posing a huge challenge and TB
co-infection with HIV leading to early death. For malaria the progress has been
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good because of the increase in use of bed nets. Progress in HIV AIDS has been
insufficient in meeting targets across all regions. The number of people newly
infected with HIV peaked in 1996 and has since declined to 2.7 million in 2007,
but infection rates continue to rise in Eastern Europe and Central Asia, where the
numbers of people living with HIV has doubled since 2001 to 1.6 million over
six years (UNITED NATIONS; THE WORLD BANK, 2009, p. 48). The continent of
Africa, particularly southern Africa, continues to be worst affected with one third of
new HIV infections and 38 percent of AIDS deaths. Gender inequities continue to
put women at higher risk of infection and death. Women account for 60 percent of
those infected in sub-Saharan Africa and for over half the people living with HIV
worldwide. AIDS orphans, specifically mentioned in the Millennium Declaration
and not even included in the MDGs, continue to pose a tremendous challenge
for families, communities and states. Many of the AIDS-affected children face
discrimination and early death impacting upon other MDGs such as MDG 2 on
education and MDG 4 on child mortality. In sub-Saharan Africa, less than a third
of young men and just over a fifth of young women demonstrated a comprehensive
and correct knowledge of HIV (UNITED NATIONS, 2007a, p. 20). The use of
anti-retrovirals (ARVs) in the past five years has resulted in a dramatic decline in
the number of AIDS deaths. Although an estimated four million people are on
ARVs, the need is closer to 10-12 million (roughly 69 percent of people who need
treatment do not have access to the required drugs). A new study by the Treatment
Monitoring and Advocacy Project reports that funds from major donors such as
the U.S. President’s Emergency Plan for AIDS relief (PEPFAR) and the Global
Fund are flat lining, resulting in cut-backs in domestic funds and availability of
treatment and prevention programs in developing countries (ITPC, 2010). Stalling
on the AIDS response will impact upon not only on MDG 6 but also all the related
MDGs, and also affect the building of stronger health systems.
In Pathologies of Power, Farmer argues that gross social inequalities that
ravage communities and countries create a pattern of ill health and disability and
also limits the ability of people to fully participate in society (FARMER, 2008).
Health is not only a reflection of a person’s biology or behavioural factors but also
contextualized within society and prevailing norms and power relations. Diseases
such as HIV/AIDS or TB have additional layer of discrimination and stigma such
that individuals and group who are perceived as sick are even more vulnerable—in
other words, having HIV or TB itself is a main factor of vulnerability in society.
Therefore, a human rights response and inclusion in the MDGs framework is not
only essential but also ethically necessary. Human rights framework allows for
one global standard but gives room for state particularities through progressive
realization to the maximum available resources. It also does not permit retrogression
on achievements. Finally, it does not let high - or middle - income countries off
the hook with respect to their obligation for a global partnership. The MDGs
agenda is again on centre-stage, and unless this opportunity is taken to shift the
direction of MDGs towards a more nuanced approach such as human rights, then
the world will continue in its trajectory of addressing poverty in a rather ad hoc
manner without any moral or normative underpinnings.
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MIllENNIUM DEVElOPMENt GOAl 6 AND tHE RIGHt tO HEAltH: cONFlIctUAl OR cOMPlEMENtARy?
NOTES
1. Hulme (2009) discusses in detail the history ensure that no child is deprived of his or her right of
of the formulation of the MDGs in his paper. He access to such health care services. 2. States Parties
observes that the overseas development agencies of shall pursue full implementation of this right and,
rich countries wanted to draw up an authoritative in particular, shall take appropriate measures: (a)
list of concrete development goals that ould be used to diminish infant and child mortality; (b) to ensure
to reduce poverty and demonstrate the effectiveness the provision of necessary medical assistance and
of foreign assistance to developing countries. the health care to all children with emphasis on the
big players in the conceptualization of the MDGs development of primary health care; (c) to combat
included the U.S., U.K., Japan, E.U., IMF, World disease and malnutrition, including within the
Bank, and U.N. framework of primary health care, through, inter alia,
2. I have purposefully excluded a reference to the application of readily available technology and
cultural rights, as it is under this category that many through the provision of adequate nutritious foods
states have asked for reservations with respect to and clean drinking-water, taking into consideration
certain rights expressed in treaties. the dangers and risks of environmental pollution;
(d) to ensure appropriate pre-natal and post-
3. there are currently nine international treaties, natal health care for mothers; (e) to ensure that
and in addition to those mentioned above there is the all segments of society, in particular parents and
convention on torture, the convention on Protection children, are informed, have access to education and
of All Forms of Migrant Workers and their Families, are supported in the use of basic knowledge of child
the convention on the Protection of All Persons health and nutrition, the advantages of breastfeeding,
From Enforced Disappearances, and the convention hygiene and environmental sanitation and the
on the Rights of Persons with Disabilities (all text of prevention of accidents; (f) to develop preventive
treaties are available through the OHcHR offices at: health care, guidance for parents and family planning
http://www2.ohchr.org/english/law/index.htm). education and services. 3. States Parties shall take
4. the recognition of health as a human right is all effective and appropriate measures with a view
attributed to President Franklin D. Roosevelt (USA) to abolishing traditional practices prejudicial to the
in his Four Freedoms Speech which states that the health of children. 4. States Parties undertake to
third freedom, freedom from want, “will secure promote and encourage international co-operation
to every nation a healthy, peacetime life for its with a view to achieving progressively the full
inhabitants (1941, Four Freedoms Speech).” realization of the right recognized in the present
5. Article 25(1) of the UDHR states: “Everyone article. In this regard, particular account shall be
has the right to a standard of living adequate for taken of the needs of developing countries”.
the health and well-being of himself and his family, 7. For a complete reference to the work of
including food, clothing, housing, and medical care the two Special Rapporteurs thus far see the
and necessary social services, and the right to International Federation of Health and Human
security in the event of unemployment, sickness, Rights Organisations at <http://www.ifhhro.org/main.
disability, widowhood, old age or other lack of php?op=text&id=27>.
livelihood in circumstances beyond his control.” 8. the five indicators for HIV/AIDS focus on
(UDHR, 1948). (1) HIV prevalence among population aged 15-
6. Article 12 of the IcEScR states: “1. the State 24; (2) condom use at last high-risk sex; (3)
Parties to the present covenant recognize the proportion of population aged 15-24 years with
right to everyone to the enjoyment of the highest comprehensive correct knowledge of HIV/AIDS;
attainable standard of physical and mental health. (4) ratio for school attendance of orphans to school
2. the steps to be taken by the State Parties to the attendance of non-orphans aged 10-14 years; and
present covenant to achieve the full realization of (5) proportion of population with advanced HIV
this right shall be include those necessary for: (a) infection with access to antiretroviral drugs. In
the provision for the reduction of the still-birth addition, there are four indicators for reversing the
rate and of infant mortality and for the healthy incidence of malaria and other major diseases as
development of the child; (b) the improvement of all follows: (6) incidence and death rates associated
aspects of environmental and industrial hygiene; (c) with malaria; (7) proportion of children under-five
the prevention, treatment and control of epidemic, years sleeping under insecticide-treated bed nets;
endemic, occupational and other diseases; (d) the (8) proportion of children under-five with fever who
creation of conditions which would assure to all are treated with appropriate anti-malarial drugs;
medical service and medical attention in the event (9) incidence, prevalence, and death rates associated
of sickness.” with tuberculosis; (10) proportion of tuberculosis
Article 24 of the cRc states: “1. States Parties cases detected and cured under directly observed
recognize the right of the child to the enjoyment treatment short course (DOtS).the full revised list
of the highest attainable standard of health is available on the DAc website at: <http://mdgs.
and to facilities for the treatment of illness and un.org/unsd/mdg/Host.aspx?content=Indicators/
rehabilitation of health. States Parties shall strive to Officiallist.htm>.
142 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
SARAH ZAIDI
9. Several resources can be found on the website color, sex, language, religion, political or other
for the journal Health and Human Rights available opinion, property, birth or other status. In 1996,
at: <http://www.hhrjournal.org/index.php/hhr>. the commission on Human Rights including HIV/
In addition, the Office of the High commissioner AIDS in the ‘other status’ category, and noted that
and the World Health Organization published discrimination based on actual or presumed HIV
a resource on the right to health available at: status is prohibited. Although the term stigma
<http://www.who.int/hhr/news/hrba_to_health2. does not appear in any international treaty, the
pdf>. the Harvard School of Public Health has a UN Human Rights treaty Bodies recognize the link
short manual on the topic found at: <http://www. between stigma and discrimination in the context
hsph.harvard.edu/pihhr/files/homepage/program_ of HIV.
resources/HIVHR_nutshell-english.pdf>. 11. the United Nations High-level Plenary
10. the principle of non-discrimination, based Meeting on the MDGs will take place from 20-22nd
on recognition of the equality of all people, is September at UN Headquarters in Ny. It’s primary
enshrined in the Universal Declaration of Human objective is to accelerate progress towards the
Rights and other human rights instruments. MDGs. Information on the Summit is available at:
these texts prohibit discrimination based on race, <http://www.un.org/en/mdg/summit2010/>.
RESUMO
Os Objetivos de Desenvolvimento do Milênio (ODMs) são a maior promessa mundial para
redução da pobreza global e da privação humana. Formulados como objetivos nacionais e
baseados em resultados, os ODMs aparentam não incluir qualquer compromisso com os
direitos humanos. Este artigo explora como os ODMs se encaixam num marco de direito
internacional e como o objetivo 6 de combate ao HIV/AIDS, à malária e à tuberculose
pode ser integrado no direito à saúde. A discussão determina se o ODM 6 pode ser utilizado
ou deve ser reajustado para promover participação real, não discriminação e igualdade,
accountability e acesso. Poderão os principais proponentes de ambos os lados criar um novo
caminho que integre direitos e estratégia de redução da pobreza por meio dos ODMs?
PALAVRAS-CHAVE
Direitos humanos – Saúde – Objetivos de Desenvolvimento do Milênio (ODMs)
RESUMEN
Los ODM son la mayor promesa mundial para reducir la pobreza en el mundo y las
privaciones de los seres humanos. Formulados como metas nacionales y con un enfoque
basado en los resultados, parecen carecer de todo compromiso con los derechos humanos.
El presente artículo explora de qué modo los ODM cuadran dentro del marco del derecho
internacional y cómo el ODM 6 sobre la lucha contra el VIH/SIDA, el paludismo y la
tuberculosis puede integrarse al derecho a la salud. El artículo analiza si el ODM 6 puede
ser reformulado o adaptado para promover una participación real, la no discriminación y la
igualdad, la rendición de cuentas y el acceso a la salud. ¿Pueden los principales propulsores
de ambas partes –derechos humanos y los ODM– trazar un nuevo camino que pueda
integrar los derechos y la estrategia contra la pobreza a todos los ODM?
PALABRAS CLAVE
Derechos humanos – Salud – Objetivos de Desarrollo del Milenio (ODMs)
v. 7 • n. 12 • Jun. 2010 • p. 123-143 ■ 143
MARcOS A. OREllANA
Dr. Marcos A. Orellana is an attorney from chile, Director of the Human
Rights and Environment Program at the center for International
Environmental law (cIEl) in Washington Dc and Geneva. He is also
Adjunct Professor at American University’s Washington college of law.
Email: morellana@ciel.org
ABSTRACT
his paper explores the linkages between human rights and the MDGs, international
cooperation regarding climate change, and the Clean Development Mechanism (CDM).
he paper uses criteria of the right to development to analyze CDM. CDM provides a clear
example of an international partnership between the global South and the industrialized
North to achieve the twin objectives of promoting sustainable development and mitigating
climate change. he CDM is thus directly relevant to MDG 8 regarding global partnerships
and technology transfer, as well as to the other MDGs directly afected by climate change. In
addition, a focus on the CDM also raises issues concerning investments and resource lows,
technology transfer, environmental integrity, and the meaning and operationalization of a
rights-based approach to development, all of which are central to efective and equitable
climate change mitigation and to the attainment of the MDGs.
Original in English.
Submitted in March 2010. Accepted in July 2010.
KEYWORDS
MDGs – International cooperation – Climate change – Clean Development Mechanism
his paper is published under the creative commons license.
his paper is available in digital format at <www.surjournal.org>.
144 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
CLIMATE CHANGE AND THE MILLENNIUM
DEVELOPMENT GOALS: THE RIGHT TO DEVELOPMENT,
INTERNATIONAL COOPERATION AND THE CLEAN
DEVELOPMENT MECHANISM1
Marcos A. Orellana
1 Introduction
Greenhouse gas (GHG) emissions from anthropogenic sources, primarily fossil fuel
use, have increased dramatically, causing an increase in Earth’s average temperature.
The Intergovernmental Panel on Climate Change, in its Fourth Assessment Report
(2007), raised its estimate of warming in this century to a possible range between
2.4°C to 6.4°C (IPCC, 2007). The impacts of this unprecedented warming – e.g.,
increased floods and drought, rising sea levels, spread of deadly diseases such as
malaria and dengue fever, increasing numbers of violent storms – threaten to be
more severe and imminent than previously believed.
The impacts of climate change have direct implications for the efforts of
the international community in achieving the Millennium Development Goals
(MDGs). At the same time, as the UN Secretary-General has observed, the
MDGs should also contribute to the capacities needed to tackle climate change
by providing opportunities for broader improvements in economies, governance,
institutions and intergenerational relations and responsibilities (UNITED
NATIONS, 2010a, para. 37). Capturing these opportunities, however, will require
“a global new deal capable of raising investment levels and channeling resources
towards massive investment in renewable energy, and building resilience with
respect to unavoidable climate changes.” (UNITED NATIONS, 2010a, para. 39) In
this regard, the Clean Development Mechanism (CDM) established by the Kyoto
Protocol to the UN Framework Convention on Climate Change (UNFCCC)
is an example of a mechanism deployed to raising investments and channeling
resources into the Global South.
Notes to this text start on page 168.
v. 7 • n. 12 • Jun. 2010 • p. 145-171 ■ 145
clIMAtE cHANGE AND tHE MIllENNIUM DEVElOPMENt GOAlS: tHE RIGHt tO DEVElOPMENt,
INtERNAtIONAl cOOPERAtION AND tHE clEAN DEVElOPMENt MEcHANISM
The relationship between climate change and the MDGs involves both
threats and opportunities and works in both directions, with each impacting
the other in positive and negative ways (UNITED NATIONS, 2009a). The UN
Development Programme (UNDP) has analyzed the ways in which climate
change affects the MDGs, concluding that climate change threatens to exacerbate
current challenges to the achievement of the MDGs. 2 In this regard, major
issues of concern for MDGs resulting from climate change include population
displacement, forced migration, conflict and security risks, food insecurity, and
the human rights impacts of climate change response measures (ORELLANA;
KOTHARI; CHAUDHRY, 2010).
More particularly, climate change impacts have obvious repercussions on
MDG 7 regarding environmental sustainability, including with respect to access
to safe drinking water and basic sanitation, as well as biodiversity loss. Climate
change impacts on agricultural production and water availability are also relevant
for MDG 1 regarding extreme poverty (GELBSPAN, 2010) and hunger eradication
(COLUMBIA LAW SCHOOL, 2009). MDG 2 regarding universal primary education
is affected given the potential destruction of schools and other infrastructure,
as well as pressures on family livelihoods that may keep children from school.
MDG 3 regarding gender equality is affected by the increased degradation of
natural resources upon which women are particularly dependant. MDGs 4, 5
and 6 regarding child mortality, maternal health, and combating malaria, HIV
and other diseases are affected by increased vulnerability to poor health due to
reduced food and water security, in addition to the spread of water-borne, vector-
borne and air-borne diseases. Finally, MDG 8 regarding global partnerships
and technology transfer also directly concerns climate change and the CDM, as
examined by the High Level Task Force on the Implementation of the Right to
Development (HLTF).3
Against this background, this paper explores the linkages between human
rights and the MDGs, international cooperation regarding climate change, and
the CDM. The paper uses criteria of the right to development to analyze CDM.
CDM provides a clear example of an international partnership between the global
South and the industrialized North to achieve the twin objectives of promoting
sustainable development and mitigating climate change. The CDM is thus directly
relevant to MDG 8 regarding global partnerships and technology transfer, as well
as to the other MDGs directly affected by climate change. In addition, a focus on
the CDM also raises issues concerning investments and resource flows, technology
transfer, environmental integrity, and the meaning and operationalization of a
rights-based approach to development, all of which are central to effective and
equitable climate change mitigation and to the attainment of the MDGs.
2 Human Rights & Climate Change
Climate change impacts, and measures taken to mitigate or adapt to it, are already
seriously affecting individuals, communities, and peoples.4 At the extreme, climate
change and mitigation and adaptation measures threaten to destroy the cultures of
146 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
MARcOS A. OREllANA
individuals and peoples around the world, render their lands uninhabitable, and
deprive them of their means of subsistence. Particularly vulnerable to the physical
impacts of climate change are peoples whose way of life is inextricably tied to
nature, and low-lying coastal or island nations that lack the economic resources
necessary to adapt to severe changes.
Increased attention to the human dimension of climate change, including in
the current negotiations, can improve the likelihood that climate change-related
measures respect human rights. Accordingly, understanding and addressing the
human consequences of climate change lies at the very heart of the climate change
challenge. Moreover, linking the climate change negotiations and structures to
existing human rights norms enables States to use indicators and mechanisms
anchored in the well established human rights system to address the challenges
posed by the changing climate and response measures.
The UN Human Rights Council has affirmed that climate change “poses
an immediate and far-reaching threat” for the “full enjoyment of human rights.”
(UNITED NATIONS, 2008b, 2009c). The Office of the High Commissioner on
Human Rights (OHCHR), in its March 2009 study on climate change and human
rights, concluded that “global warming will potentially have implications for the
full range of human rights”, and particularly the rights to life, adequate food,
water, health, adequate housing, and the right to self-determination (UNITED
NATIONS, 2009d). Moreover, the study found that most at risk are the rights of
already vulnerable peoples, such as indigenous peoples, minorities, women, children,
the elderly, persons with disabilities, and other groups especially dependent on the
physical environment.
The linkages between climate change and human rights are thus beyond
dispute. The challenge now lies in introducing a rights-based approach to the
negotiation and implementation of an effective and equitable solution to climate
change. In this light, this paper uses the criteria of right to development to examine
the CDM, including its institutional design and project cycle, with a view to
drawing out linkages between climate change and the realization of the MDGs.
2.1 The right to development
The Declaration on the Right to Development (DRD), adopted by the UN
General Assembly in 1986, was the first instrument that formally recognized
the right to development.5 Before the DRD, the UN Charter, 6 the International
Covenant on Civil and Political Rights7 (ICCPR) and the International Covenant
on Economic, Social and Cultural Rights 8 (ICESCR), had already acknowledged
the close relationship between development and human rights. During the 1990s,
this linkage was affirmed in world summits, including the 1992 Earth Summit in
Rio de Janeiro,9 the 1993 World Conference on Human Rights in Vienna,10 and the
2000 UN Millennium Declaration, which led to the MDGs (UNITED NATIONS,
2000a). Despite the recognition of the linkages between development and human
rights, however, the right to development remains one of the most controversial
rights, often along North-South divides.
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According to the DRD, the right to development is “an inalienable human
right by virtue of which every human person and all peoples are entitled to
participate in, contribute to, and enjoy economic, social, cultural and political
development, in which all human rights and fundamental freedoms can be
fully realized.” (UNITED NATIONS, 1986, Art. 1(1)). The Independent Expert
on the Right to Development commented that the “process of development”
should be carried out on the basis of a rights-based approach, in accordance
with international human rights standards, such as transparency, participation,
non-discrimination, and accountability. 11 Closely connected to this process is
the “partnership approach” to development, based on shared responsibilities
and mutual commitments between industrialized and developing countries and
international organizations (PIRON, 2002).
Certain core elements of the right to development acquire special importance
in the climate change context, namely: respect for all human rights, equity, and
international cooperation. First, the DRD places the human person at the center
of development, and provides that the development process must respect all human
rights and fundamental freedoms, and contribute to the realization of rights for all
(UNITED NATIONS, 1986, at Preamble, para. 12, Art. 1, 2(1), 6). Also, the realization of
the right to development may not justify violations of other human rights.12 This is
the basis for a human rights-based approach to development,13 which is particularly
relevant in the climate change context (ORELLANA, 2009).
Second, the right to development requires that considerations of equity and
justice determine the whole structure of the development process. For example,
poverty has to be eradicated and the structure of production has to be adjusted
through development policy (SENGUPTA, 2002, p. 837, 849). In this connection,
the UNFCCC recognizes equity as one of the central principles that must guide
the Parties’ actions to achieve its objective and implement its provisions (UNITED
NATIONS, 1992b, Art. 3).
2.2 International Cooperation and Assistance
Development assistance both technical and financial, has an important role to play
in supporting countries to achieve the MDGs. The UN Secretary-General’s report
on progress in achieving the MDGs observes that the switch to low greenhouse gas
emitting, high-growth pathways to meet the development and climate challenges
is both necessary and feasible, but will require much greater international support
and solidarity (UNITED NATIONS, 2010, p. 38).
The UN Charter and several treaties recognize the role of international co-
operation and assistance in achieving universal respect for human rights.14 UN
treaty monitoring bodies have also emphasized the role of international co-operation
and assistance in the realization of economic, social and cultural rights.
Similarly, the Declaration on the Right to Development (DRD) identifies
international cooperation as a key element to assist developing countries to secure
the enjoyment of basic human rights (SALOMON, 2007, p. 3-6). In this light, the
OHCHR analytical study on climate change and human rights concluded that
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measures to address climate change should be informed and strengthened by
international human rights standards and principles, and noted that climate change
is a truly global problem that can only be effectively addressed through international
cooperation, as climate change disproportionately affects poorer countries with the
weakest capacity to protect their populations (UNITED NATIONS, 2009d).
3 International Cooperation and Climate Change
To respond to growing scientific concern, the international community under the
auspices of the United Nations has come together to tackle the climate change
problem. Its efforts have led to the development of the UNFCCC and the Kyoto
Protocol, as well as a number of financial arrangements to address the costs
associated with climate change.
3.1 The UN Framework Convention on Climate Change
The UNFCCC was signed and adopted in the 1992 Rio Conference on Environment
and Development, and entered into force in 1994. The UNFCCC acknowledges
that the global nature of climate change calls for the widest possible cooperation by
all countries.15 The ultimate objective of the UNFCCC is to achieve “stabilization
of greenhouse gas concentrations in the atmosphere at a level that would prevent
dangerous anthropogenic interference with the climate system.”16
Development considerations, and by implication the MDGs, play a central
role in the design and implementation of the UNFCCC. Already the preamble of
the UNFCCC affirms that “responses to climate change should be coordinated
with social and economic development in an integrated manner with a view to
avoiding adverse impacts on the latter” (UNITED NATIONS, 1992b, Preamble). More
significantly, the ultimate objective of the Convention should be achieved within a
time-frame sufficient, inter alia, “to ensure that food production is not threatened
and to enable economic development to proceed in a sustainable manner” (UNITED
NATIONS, 1992b, Art. 2). Furthermore, the UNFCCC articulates the principle of
“common but differentiated responsibilities and respective capabilities”, which
underscores that industrialized countries are to “take the lead in combating climate
change.” (UNITED NATIONS, 1992b, Art. 3-4).
Evaluating the effectiveness of international cooperation in addressing climate
change is a complex undertaking. From one perspective, the fact that States have
negotiated and are implementing two major international treaties on the topic,
namely the UNFCCC and the Kyoto Protocol, in addition to undertaking a
significant negotiating effort over the past several years to define the post-Kyoto
climate framework, would suggest that they have clearly sought to cooperate. From
another angle, if the duty to cooperate requires effective solutions to the climate
change problem, then the fact that the actual and impending consequences of
climate change are increasing in intensity due to the failure to arrive at a binding
agreement providing for effective mitigation, adaptation and other climate measures
could be regarded as a failure of States to effectively cooperate.
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3.2 The Kyoto Protocol
In line with the objective and principles of the UNFCCC, the Kyoto Protocol
was finalized in 1997 and entered into force in 2005.17 Under the Protocol, 37
industrialized countries and countries in transition to a market economy, plus
the European Community, made legally binding commitments to reduce their
overall emissions of the six-major GHGs18 by at least 5% below 1990 levels in the
commitment period 2008-2012. As the emission reduction targets of the Protocol
expire in 2012, what happens next remains unknown and is subject to ongoing
international negotiations.
The fifteenth Conference of the Parties to the UNFCCC (COP 15) and the
fifth session of the Conference of the Parties serving as the meeting of the Parties
to the Kyoto Protocol (CMP 5) took place in Copenhagen, Denmark, December
7 to 18, 2009. Despite two years of intense negotiations, the Parties were unable
to reach agreement on all the issues (BODANSKY, 2010, p. 230). Instead, the main
outcomes from the negotiations include a number of COP decisions that, inter
alia, have mandated negotiations to continue, and the Copenhagen Accord,19 a
non-binding agreement drafted by certain heads of State. However, the fact that the
COP took “note” of the Copenhagen Accord rather than “adopting” it introduces
significant ambiguity regarding its legal status and implementation.
The Kyoto Protocol’s CDM has provided a mode of cooperation between
industrialized and developing countries. However, the CDM still needs to
be improved in order to secure a rights-based approach to development while
promoting sustainable development in developing countries.
3.3 Financial Arrangements for Climate Change
The costs associated with climate change, both in respect of mitigation of GHGs
and of adaptation to a changing climate, pose a severe challenge to the international
community. Developing countries in particular generally lack the resources to
address this new environmental and social threat. Consequently, developing
countries are especially vulnerable to climate change, since their budget is stretched
to meet basic needs, such as access to food, water, and housing.
International cooperation in the form of financial assistance acquires critical
relevance in light of the development challenges and vulnerabilities aggravated by
climate change, especially in developing countries. While, financial arrangements
for climate change are numerous and dispersed, 20 efforts by the international
community to address the costs associated with climate change have fallen short
of what is necessary to ensure that progress towards achieving the MDGs is not
undermined by climate change.
The UNFCCC and the Kyoto Protocol have established mechanisms to
channel financial assistance to developing countries. The UNFCCC assigns the
Global Environment Facility as the operating entity of its financial mechanism
on an on-going basis, subject to review every four years. The Kyoto Protocol
establishes two main financial arrangements.21 First is the operation of the market
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mechanisms, including the CDM, creating economic incentives for the reduction
of emissions of the six-major GHGs. Second is the specific Adaptation Fund to
assist developing countries to adapt to the adverse effects of climate change.22 The
Adaptation Fund is replenished through, inter alia, contributions from the CDM.
This cursory overview of international cooperation and the climate change
regime shows the CDM’s relevance to encouraging investment and technology
transfer to developing countries. Similarly, the CDM provides financial resources
for the Adaptation Fund, which is critical in building community resilience in
developing countries. These features already highlight the CDM’s significance in
the interface between climate change and the MDGs. Concerns, however, have
been raised as to the CDM’s environmental integrity, its ability to ensure respect
for human rights, as well as its actual contribution to sustainable development. In
light of its importance, the CDM is analyzed in further detail next.
4 The Clean Development Mechanism (CDM)
The CDM, created under the Kyoto Protocol to the UNFCCC, was designed to
achieve cost-effective emissions reduction and promote sustainable development
in developing countries. It does so by encouraging investments in developing
countries that achieve emission reductions additional to what would otherwise have
occurred. CDM projects have so far generated more than 365 million Certified
Emission Reductions (CERs) and are anticipated to generate more than 2.9 billion
CERs within the first commitment period of the Kyoto Protocol (2008-2012). The
CDM has passed more than 2000 projects registered (UNITED NATIONS, 2010b).
This section first provides a brief background on the CDM and its structure.
It then analyzes the CDM’s requirements, scope, and actors. The last part addresses
certain criticisms that have been leveled to the CDM, concluding with an analysis
of options for its improvement.
4.1 Background
Under the Kyoto Protocol, industrialized Annex I Parties23 must reduce their GHG
net emissions by an average of 5% below 1990 levels over a five-year reporting
period, 2008-2012 (UNITED NATIONS, 1997, Art. 3(1)). The CDM is one of the three
market-based mechanisms created by the Kyoto Protocol to assist industrialized
country Parties to meet their emissions reduction target (UNITED NATIONS, 1997,
Art. 12).24 Under the CDM, Annex I Parties (or private entities from those countries)
may fund activities in non-Annex I Parties that result in CERs. Industrialized
countries are then able to apply CERs toward their emissions targets.
The CDM has a two-fold purpose. First, it aims at promoting sustainable
development in developing countries. Accordingly, the CDM is expected to lead
to investments into the developing world and to the transfer of environmentally
safe and sound technology (UNITED NATIONS, 2001). Second, the CDM is critical
to addressing GHG mitigation by assisting industrialized countries in achieving
compliance with their quantified emission reduction commitments under the Kyoto
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Protocol. In this context, the main rationale behind the CDM is cost effectiveness,
which means that CDM projects will take place where GHG emissions reductions
are cheaper (VAN ASSELT; GUPTA, 2009, p. 311, 331).
4.2 Basic Requirements of a CDM project
Under Kyoto Protocol Article 5, CDM projects have to fulfill three basic
requirements:25
a) Voluntary participation by each Party.26 Written approval of voluntary
participation is a requirement for validation (UNITED NATIONS, 2005b, Annex,
para. 40).
b) Real, measurable, and long-term mitigation of climate change. CDM
projects must lead to real, measurable reductions in GHG emissions, or lead to
the measurable absorption (or “sequestration”) of GHGs in a developing country
(PEMBINA INSTITUTE FOR APPROPRIATE DEVELOPMENT, 2003, p. 4-5). The
“project boundary” defines the area within which emissions reductions occur.27
c) Additionality. The “additionality” element requires emission reductions that
are additional to any that would occur in the absence of a certified project
activity (UNITED NATIONS, 1997, Art. 12(5)). Stated differently, “additionality”
requires that GHG emissions from a CDM project activity must be reduced
below those levels that would have occurred in the absence of the project.28
In fact, it must be shown that the project would not have been implemented
without the CDM.
A CDM project should also contain a “sustainability” element. All CDM projects
must contribute towards sustainable development in the host country and must also
be implemented without any negative environmental impacts (UNITED NATIONS,
2001, para. 4). To ensure that these conditions are met, the host country determines
whether the CDM project meets its sustainable development objectives, and also
decides whether an environmental assessment of the project is required (PEMBINA
INSTITUTE FOR APPROPRIATE DEVELOPMENT, 2003). The prerogative of the
host country to define sustainable development has not been devoid of question,
however, given the linkage between human rights and development and the need
for external accountability of the State with respect to human rights issues.
4.3 Core Actors of the CDM
CDM projects involve several participants (PEMBINA INSTITUTE FOR
APPROPRIATE DEVELOPMENT, 2003):
a) Project Proponent. This is the entity that develops and implements a CDM
project.
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b) CER Purchaser. This invests in the project and/or purchases the project’s CERs.
c) Stakeholders. These include the public, or any individuals, groups or
communities affected, or likely to be affected, by the proposed CDM project
activities (UNITED NATIONS, 2001, Annex A (e)).
d) Host Country. This is the developing country in which the CDM project takes
place. The host country approves the project prior to its implementation.
e) Executive Board. This supervises implementation of the CDM and reports
to the COP/CMP. It is comprised of ten members representing Kyoto Protocol
Parties (UNITED NATIONS, 2001, Annex C (5)). It also maintains the CDM
registry for issuance of CERs, approves methodologies for measuring baselines
and additionality, and accredits DOEs (UNITED NATIONS, 2001).
f) Designated National Authority (DNA). The DNA is established by the
host country and decides whether the proposed CDM is consistent with the
country’s sustainable development goals. The DNA serves as a focal point for
consideration and approval of CDM project proposals (UNITED NATIONS,
2005b, Annex, para. 29). The DNA accepts or rejects the CDM component
of particular projects (UNITED NATIONS; ENERGY AND ENVIRONMENT
GROUP; BDP, 2003, p. 26).
g) Designated Operational Entities (DOEs). DOEs are accredited by the CDM
Executive Board as such (UNITED NATIONS, 2005b, Annex G; WOLD; HUNTER;
POWERS, 2009, p. 234). They have varying responsibilities during different
stages of the CDM project cycle, including: reviewing and assessing the Project
Design Document (PDD); certifying the projects proposed methodology for
measuring emissions reductions; validating project proposals; and verifying
the emissions reductions resulting from the project that could be considered
for issuance of CERs. There are two DOEs involved in the CDM process.
The first DOE prepares a validation report evaluating the PDD against the
CDM requirements, which it submits to the Executive Board for registration
(NIGOFF, 2006, p. 249, 257-258).29 The second DOE verifies and certifies the
emissions reductions, and then provides a report to the Executive Board for
CER issuance.
4.4 Stages in the CDM Project Cycle
Several steps must be undertaken to obtain CERs (STRECK; LIN, 2008, p. 409):
a) Design and formulation of the proposed project-by-project participants.
Project proponents submit a PDD to the host country’s DNA. The PDD
should include the technical and financial details of the project, including:
proposed baseline methodology for calculating emissions reductions; project’s
estimated operational life time; description of the additionality requirements;
documentation of environmental impacts; stakeholder comments; sources of
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funding; and a monitoring plan (UNITED NATIONS, 2005b, Annex B; WOLD;
HUNTER; POWERS, 2009, p. 14).
b) Approval by the DNA. The DNA approves the development of the proposed
CDM project. The DNA also confirms whether a CDM project activity will
contribute to the sustainable development of the host State.
c) Validation. The project design, expressed in the PDD, must be evaluated by
the first DOE against the requirements of the CDM. Validation also includes
assurance that the host country agrees to the following: that the project
contributes to sustainable development; that any required environmental
assessment has been carried out; and that there has been adequate opportunity
for public comment on the project.
d) Registration. The validated project must be formally accepted and registered
by the Executive Board, based on the recommendations from the first DOE.
e) Verification. Once the CDM project is underway, the monitored emissions
reductions that result from it must be reviewed periodically by the second
DOE.
f) Issuance of certification. Upon written assurance provided by the second
DOE, the CDM Executive Board issues the CERs. The CERs are then assigned
to the Annex I country where the CER purchaser is located.
4.5 Project Types
Current CDM statistics (January, 2010)30 show more than 2000 registered CDM
projects, of which large-scale projects represent 55.43% and small-scale projects
represent 44.57%.31 Most CDM projects involve energy industries (renewable and
non-renewable sources), energy efficiency, waste handling and disposal, agriculture,
manufacturing industries, fugitive emissions from fuels (solid, oil and gas), chemical
industries, afforestation and reforestation, mining production, among others.32
China, India, Brazil, Mexico, and Malaysia are the major countries hosting CDM
projects, accounting for approximate 80% of the total number of projects (UNITED
NATIONS, 2008c).
Although the CDM does not have an explicit technology transfer mandate, it
contributes to technology transfer by encouraging investments that use technologies
currently not available in the host countries. According to a UNFCCC Secretariat
report on technology transfer in CDM projects, technology transfer is more
common for larger projects involving agriculture, energy efficiency, landfill gas,
nitrogen dioxide (N2O), hydro-fluorcarbon (HFC) and wind projects (SERES,
2008). Also technology transfer is more common for projects that involve foreign
participants. The report concludes that the technology transferred mostly originates
(over 70%) from Japan, Germany, the USA, France, and Great Britain. Although
technology transfer from Non-Annex I countries is less than 10% of all technology
transfer, Brazil, China, India, South Korea and Chinese Taipei are the main sources
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of equipment (94%) and knowledge (70%) transfers from Non-Annex I sources
(SERES, 2008).
4.6 Critiques of the CDM
Critiques of the CDM in the scholarly literature33 concern, inter alia, governance
practices, environmental integrity, and contribution to sustainable development
(STRECK, 2009, p. 67).
a) A rights-based approach (RBA) to CDM. The current CDM’s emphasis
on emissions reductions does not ensure that its projects minimize impacts
deleterious to the rights of people or conservation (ORELLANA, 2009). Measures
and projects adopted under the CDM can have direct and indirect impacts on
human communities and livelihoods. For example, dam projects may involve
displacement of communities and cause irreversible environmental impacts.
b) No requirement of prior informed consent. The CDM requires only that
affected communities be consulted, and not that they give their prior informed
consent (or free, prior and informed consent in the case of indigenous and
tribal peoples) (ORELLANA, 2009). This can result in a direct violation of
human rights.
c) Lack of equitable geographical distribution exists between developing
countries that are eligible and those that are favored for project development. In
other words, countries like China, India, and Brazil are receiving the lion’s share
of project investment, while African countries, for instance, are languishing.34
d) Equity. Market systems, such as the CDM, seek technological solutions and
efficiency. The unequitable distribution of access to technologies, however,
reinforces power and wealth disparities (BURKETT, 2008, p. 169, 234; KASWAN,
2009, p. 48). In addition, market-based systems treat pollution as a commodity
to be bought or sold, raising complex ethical issues (KASWAN, 2009, p. 50-51).
e) Failure to promote sustainable development or green technology transfer. As
a market mechanism, the CDM searches for the cheapest emissions reductions.
In that regard, while the CDM has been effective in reducing mitigation costs,
it has not been equally effective in contributing more broadly to sustainability
(STRECK, 2009). The greatest amounts of CERs are being generated by projects
with low or negligible contribution to sustainable development. For example,
most of the non-renewable energy projects that are now flooding the carbon
market do not score high on certain sustainable development indicators (VAN
ASSELT; GUPTA, 2009, p. 350). Similarly, renewable energy, energy efficiency and
transport project activities—smaller in scale and more diffuse by nature—are
less competitive in the CDM market (BURKETT, 2008, p. 210-212).
f) Lack of access to remedies and jurisdiction. There is no accountability
mechanism at the CDM, such as the World Bank’s Inspection Panel (CLARK;
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FOX; TREAKLE, 2003). In addition, the CDM rules do not provide recourse to
private parties to challenge Executive Board decisions. Instead, the Executive
Board, as is the case with other international institutions, has immunity to
enable it to exercise its functions or fulfill its purposes without the threat of
litigation.35
g) Lengthy CDM process. The bureaucratic CDM process significantly slows
an already strained project pipeline. The steps along the pipeline substantially
increase the transaction costs of moving from the design and formulation of a
project to issuance of CERs (BURKETT, 2008, p. 210). Moreover, the approval
process is considered by some to be guided by political considerations rather
than factual competence (STRECK, 2009, p. 71).
h) Lack of transparency. The lack of transparency is associated to DOEs’ role in
verifying emissions reductions, as DOEs are composed of private consultants
(BURKETT, 2008, p. 236). In addition, lack of transparency relates to deficiencies
of the regulatory process to guarantee the private sector’s confidence in the
CDM (STRECK, 2009, p. 71; STRECK; LIN, 2008).
i) Additionality. Most CDM projects are non-additional and therefore do not
represent real emissions reductions. The additionality screening is criticized
for being imprecise and subjective, as well as for being unable to prevent non-
additional projects from entering the CDM (HAYA, 2009).
j) Limited use. The use of CDM is limited to reducing emissions on a single
project-basis, and is not designed to address whole sectors of the economy.
Despite the criticisms, the CDM is mobilizing large amounts of funds from the
private sector towards mitigation in developing countries. In addition, it can
contribute to building institutional capacity and keeping developing countries
engaged in the Kyoto Protocol´s process. The CDM thus remains an important
mechanism under the climate change regime for GHG mitigation and for promoting
sustainable development and technology transfer. Therefore, one of the questions
facing the climate change regime is how to reinvigorate and improve the CDM,
including enhancing its effectiveness and ensuring its social and environmental
integrity. In this sense, there is room for enhancing the CDM’s role within the
climate change regime, including post-2012.
4.7 CMP 5 Decision relating to the CDM
CMP 5 provided further guidance relating to the CDM, some elements of which
are particularly important in informing an assessment of the CDM under criteria
pertaining to the right to development. CMP 5 set in motion a process of study
of baseline and monitoring methodologies and additionality to increase CDM
projects in under-represented project activity types or regions (UNITED NATIONS,
2010c, para. 23, 25). This is relevant to increasing investments in projects that may
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achieve significant sustainable development benefits and emissions reductions, as
well as to channeling investments to more developing countries, including LDCs,
instead of just a few.
CMP 5 also addressed the need for a wider distribution of CDM projects
in developing countries. It adopted several measures to encourage CDM
projects in countries with minor CDM participation, including a request to the
Executive Board to use interest accrued within the Trust Fund for the CDM
(and any voluntary contributions) to provide loans to countries with fewer than
ten registered CDM projects to cover the costs of the development of PDDs,
validation, and the first verification of project activities (UNITED NATIONS,
2010c, para. 47-50). In addition, CMP 5 took note of the work of the DNA Forum,
given its potential contribution to achieving broader participation in the CDM,
including through the sharing of information and experience, and encouraged
the Executive Board to follow up on issues raised by the DNA Forum (UNITED
NATIONS, 2010c, para. 44-45).
5 The CDM under Right to Development Criteria
Assessing the CDM under criteria pertaining to the right to development is helpful
for evaluating proposals regarding CDM reform. The HLTF at its fifth session
(2009) revised the right to development criteria and organized them under the
three components of the right to development, namely: comprehensive human-
centered development; enabling environment; and social justice and equity. In
addition, the HLTF has identified operational clusters of criteria within each of
these three components.
This section will focus on the following clusters of criteria, as defined by
the HLTF: (1) human rights-based process and outcomes (criteria c, d & e); (2)
sustainable development (criterion f); (3) international cooperation and assistance
(criteria g, h, i & j); and (4) rule of law and governance (criteria l & m).
5.1 Human Rights-Based Process and Outcomes
The right to development criteria concerning human rights-based process
and outcomes calls for particular attention on the principles of equality, non-
discrimination, participation, transparency, and accountability in the design of
development strategies. With respect to the CDM, these criteria call for attention
on the CDM’s ability to define sustainable development objectives in an inclusive
and participatory process, on the one hand, and on the CDM’s ability to ensure
that the rights of stakeholders are respected, on the other.
The question of the definition of sustainable development objectives is left by
CDM design in the hands of the host State. The host State’s DNA will determine
whether a proposed CDM projects contributes or not to its sustainable development.
The CDM regards this determination as an expression of the sovereignty of the
host State, and it does not provide for international scrutiny of it. Therefore, the
CDM does not require that the DNA establish an open and participatory process
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when defining sustainable development criteria, or when making determinations
regarding the contribution of projects to sustainability.
The question of the CDM’s ability to ensure that CDM projects respect the
rights of stakeholders calls for analysis of the procedural safeguards in the CDM
project cycle, in connection with the role of the Executive Board in that regard.
Current CDM modalities and procedures already contain certain tools necessary
to apply certain steps of a rights-based approach (RBA), although more could be
done to ensure human rights protection (ORELLANA, 2009, p. 37-61). Similarly,
it remains possible that the CDM Executive Board will exercise its authority to
supervise the CDM to exact compliance with all terms of the CDM modalities and
procedures, including the rules that can contribute to avoiding any negative social
and environmental spillover from projects. In the exercise of this authority, the
CDM Executive Board could conclude that no CERs shall be issued in connection
with projects involving negative social and environmental spillovers, especially if
such impacts involve infringements of rights.
An RBA to the CDM can be used to ensure that its future operations
improve its contribution to sustainable development, including respect for human
rights. An RBA will ensure that people’s rights will not be affected by CDM
projects, and will ensure environmental and procedural integrity. An RBA involves
a series of steps oriented towards adequate consideration of the rights of individuals
and communities that may be adversely affected by mitigation projects. In this
respect, undertaking a situation analysis, providing adequate information on the
project, and ensuring participation of rights-holders and other stakeholders are
initial steps that enable early identification of the rights and interests that may
be affected by the project. In addition, a process for taking reasoned decisions
would ensure that adequate consideration is given to the rights at issue, which is
central to avoid interference with protected rights as well as to balance competing
rights where necessary. In addition, mechanisms for monitoring, evaluating, and
adequate enforcement are important for operationalizing the RBA throughout
the life of a project and for learning from the experience during implementation
(ORELLANA, 2009).
5.2 Sustainable Development
The criteria concerning sustainable development call for an evaluation of, inter alia,
the fair distribution of development benefits, both within and among countries. As
noted above, the CDM is a market mechanism driven by investments in the cheapest
opportunities for reducing emissions. Whether these projects also contribute to
sustainable development raises two issues: the process and outcomes pertaining
to the host State DNA’s determination of sustainable development criteria and
contributions; and the extent of participation of developing countries in the CDM
(addressed below in connection with international cooperation and assistance).
In addition to the discussion above concerning a rights-based process to the
determination of sustainable development criteria and contributions, the CDM
does not explicitly require that human rights considerations be taken into account
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in relation to sustainable development determinations. In the CDM’s design,
sustainable development determinations are the prerogative of the host State,
which will thus determine whether and to what extent it considers human rights.
While it could be argued that this design maximizes national policy space and
autonomy, it is, however, in opposition to the notion that human rights issues are a
matter of international concern, and that they are directly and indirectly implicated
in sustainable development. In this regard, the right to development criterion
concerning national policy space stresses that the determination of development
policies should be conducted in a manner that is consistent with realizing all human
rights (UNITED NATIONS, 2009b, Annex IV, Criterion (k)).
5.3 International Cooperation and Assistance
The criteria concerning international cooperation and assistance call for an
examination of, inter alia, to the extent of participation of developing countries in
the CDM. In this respect, as noted above, most CDM projects are implemented
in just a few developing countries, which thus receive the lion’s share of CDM
investment. This situation is at odds with right to development criteria stressing
equitable distribution of the benefits of sustainable development across the
developing world, with particular attention to the needs of the most vulnerable and
marginalized segments of the international community. Moreover, this situation
aggravates international inequities pertaining to financial flows and transfer of
technology for GHG mitigation.
Accordingly, a more equitable geographical distribution of CDM projects,
in numbers and volume of investments, would enhance the CDM’s ability to
contribute to the right to development. Similarly, the implementation of a sectoral
CDM initiative, in addition to individual CDM projects, could enhance the ability
of smaller developing countries to participate in the CDM. As noted above, CMP
5 has taken certain steps in this direction.
5.4 Rule of Law and Governance
Regard to rule of law and governance as a cluster of right to development criteria
calls for attention on the national and international institutions active in the
CDM, including with respect to accountability, access to information, and effective
measures for redress.
At the national level, the CDM can contribute to the host State’s ability to
establish institutional mechanisms to facilitate green investments and technology
transfer. The creation of DNAs as a pre-requisite for CDM projects reflects the
CDM’s potential contribution to institutional improvement. To ensure that this
contribution materializes, however, the CDM must establish adequate tools to
ensure accountability of DNAs.
At the international level, the CDM has been criticized for its inability to
provide affected stakeholders with recourse where required procedures have not been
properly followed. It has been noted that a grievance mechanism could allow the
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CDM project to address and remedy situations before disputes aggravate or entrench
opposing positions or result in violence. A grievance mechanism available to the
various actors participating in the CDM could also lift the process to the level of
an administrative procedure that meets due process standards, thereby enhancing
good governance and the rule of law (STRECK; CHAGAS, 2007, p. 53, 61-62).
With respect to CDM governance, there are no mechanisms established
for affected individuals to challenge Executive Board decisions. It has been
suggested that CDM administrative procedure must meet international due
process standards, enhance the predictability of its decisions, and promote
private-sector confidence in the system. In this vein, it has been proposed that a
review mechanism of the decisions of the Executive Board should be established,
in order to give project participants and stakeholders the right to obtain review
of Executive Board decisions (STRECK; CHAGAS, 2007). In this regard, CMP
5 has requested the Executive Board, as its highest priority, to continue to
significantly improve transparency, consistency, and impartiality in its work,
including through, inter alia, publishing detailed explanations of and the rationale
for decisions taken and enhancing its communications with project participants
and stakeholders (UNITED NATIONS, 2010c, para. 6-15).
5.5 Improving Right to Development Criteria
Improving right to development criteria with climate change in mind would not
only contribute to the effectiveness of global partnerships (MDG 8), but would
also contribute to reinvigorate the developmental dimensions of the climate change
regime, thereby enabling progress toward the achievement of the MDGs generally.
For example, a new criterion could be added regarding the scientific basis
for decision-making, e.g., “adopt a science-based approach to decision-making,
including application of the precautionary approach”. The 2002 Johannesburg
World Summit on Sustainable Development (WSSD) endorsed a science-based
approach to decision-making. Specifically, the WSSD Plan of Implementation
establishes science-based decision-making as the preferred approach for making
regulatory decisions (UNITED NATIONS, 2002b, para. 109). Moreover, as explicitly
noted in the WWSD Plan of Implementation, a science-based approach to decision-
making includes the application of the precautionary principle or approach, which
states that the lack of full scientific certainty will not be used as a reason for
postponing cost-effective measures to prevent environmental degradation.36
The application of a science-based approach to decision-making is particularly
important with respect to climate change. In order to evaluate the effectiveness
of international arrangements established to channel international cooperation to
address climate change, this criterion enables the utilization of scientific evidence.
It thus avoids subjective evaluations of effectiveness by focusing on whether the
measures established in the climate change regime are capable, on account of the
scientific evidence, of achieving the objective of the UNFCCC (discussed above).37
Similarly, a new criterion could be added regarding common but
differentiated responsibilities, e.g., “recognize common but differentiated
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responsibilities, in view of the different contributions to global environmental
degradation”. The principle of common but differentiated responsibilities
(CBDR) is central to the climate change regime and affirms that all States have
common responsibilities to protect the environment and promote sustainable
development but with different burdens due to their different contributions
to environmental degradation and to their varying financial and technological
capabilities (HUNTER; ZALMAN; ZAELKE, 2002, p. 495).
The endorsement of CBDR as a criterion regarding the right to development
allows for an evaluation of particular climate change arrangements that may
be established. Further, this criterion re-affirms the central importance of the
CBDR principle in the climate change regime, including with respect to its
sustainable development dimension. This criterion could also reinvigorate the
necessary financial and technological flows into developing countries, which
has been identified by the UN Secretary-General as key elements of the global
new deal required to address climate change and achieve the MDGs (UNITED
NATIONS, 2010a).
6 Conclusion
Over the last decade, the UN has devoted substantial resources to promoting efforts
to meet the Millennium Development Goals (MDGs). Given the direct impact of
climate change on the ability of the international community to achieve the MDGs,
this paper has looked into certain linkages between climate change, the right to
development and the MDGs. In this light, international cooperation is critical
both to tackling climate change and achieving the MDGs. The UN Framework
Convention on Climate Change (UNFCCC) and its Kyoto Protocol stand out as
the principal legal response by the international community to the climate change
threat. They provide avenues through which international cooperation occurs,
including with respect to financial and technology transfers.
The linkages between the right to development and climate change are
reflected in both the UNFCCC and the Kyoto Protocol. The UNFCCC noted
that the largest share of historical global emissions of GHGs has originated
in industrialized countries and recognized that the share of global emissions
originating in developing countries will grow to meet their social and development
needs. The Kyoto Protocol set targets for greenhouse gas (GHG) emissions
reductions for industrialized countries (Annex I Parties), and created three market
mechanisms, including the Clean Development Mechanism (CDM), to reduce the
costs of reducing emissions.
The CDM is unique in light of its two-fold objective: mitigating climate
change and contributing to sustainable development. In this regard, the CDM
reflects a climate change partnership whereby investments from the North are
channeled to the South in order to capture opportunities for the reduction of
GHG emissions where they may be most cost-effective. The CDM thus promotes
financial flows and technology transfer into developing countries, which, as the
UN Secretary-General has observed, are central to channeling resources towards
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clIMAtE cHANGE AND tHE MIllENNIUM DEVElOPMENt GOAlS: tHE RIGHt tO DEVElOPMENt,
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investment in renewable energy, and building resilience with respect to unavoidable
climate changes.
When examined using right to development criteria, however, the CDM
reveals certain weaknesses that limit its contribution to the implementation of the
right to development. Key points include the following.
• Criteria pertaining to human rights-based processes and outcomes calls on the
CDM to ensure that the host State’s determination of whether a proposed
CDM project contributes to sustainable development follows an inclusive and
participatory process. In addition, human rights considerations should also
be taken into account in relation to sustainable development determinations.
Furthermore, CDM projects need to respect the rights of stakeholders, which
call for strengthened procedural safeguards and Executive Board authority to
supervise the CDM to exact compliance with all terms of the CDM modalities
and procedures. In this vein, a rights-based approach should be adopted to
ensure that people’s rights will not be negatively affected by CDM projects.
• Criteria pertaining to sustainable development and international cooperation and
assistance call on the CDM to ensure the equitable participation of developing
countries. Currently, most CDM projects are implemented in just a few
developing countries, which thus receive the lion’s share of CDM investment.
This situation is at odds with right to development criteria that stress equitable
distribution of the benefits of sustainable development across the developing
world, with particular attention to the needs of the most vulnerable and
marginalized segments of the international community.
• Criteria pertaining to rule of law and governance call on the national and
international institutions active in the CDM to ensure access to information
and transparency, public participation, accountability, and effective measures
for redress. At the national level, the CDM lacks explicit tools to ensure
accountability of Designated National Authority (DNAs), as this is an issue
within the domain of the host State. At the international level, the CDM has
been criticized for its inability to provide affected stakeholders with recourse
where required procedures have not been properly followed.
The fifth session of the Conference of the Parties serving as the meeting of the
Parties to the Kyoto Protocol (CMP 5) in December 2009 adopted certain decisions
that begin to address some of these issues by providing further guidance relating
to the CDM. CMP 5 has requested the Executive Board, as its highest priority,
to continue to significantly improve transparency, consistency, and impartiality
in its work. CMP 5 also set in motion a process to increase CDM projects in
under-represented project activity types or regions. Moreover, CMP 5 addressed
the need for a wider distribution of CDM projects in developing countries, and
adopted several measures to encourage CDM projects in countries with minor
CDM participation.
More generally, given the linkages between the right to development, the
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MARcOS A. OREllANA
MDGs and climate change, the design and experience of the CDM in channeling
investments and technology transfer to developing countries provides valuable
lessons in structuring and improving global partnerships to address both climate
change and sustainable development. In this regard, the CDM is directly relevant
to MDG 8 regarding global partnerships and technology transfer, as well as to the
other MDGs directly affected by climate change.
In the end, the linkages explored in this paper, coupled with the findings
of the examination of the CDM under right to development criteria, evidence
the need for a rights-based approach to climate change, in order to ensure that
climate change mitigation and adaptation does not compromise efforts directed
at implementing the right to development and achieving the MDGs, as well as to
capture opportunities provided by the MDGs in enhancing capacities needed to
tackle climate change.
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NOTES
1.this paper is based on a study presented NAtIONS, 1945, Preamble, Art. 55-56).
to the High level task Force (HltF) on the
Implementation of the Right to Development. the 7. International covenant on civil and Political
author is indebted to the Right to Development Rights (December 19, 1966), entered into force
Unit of the Office of the High commissioner for March 23, 1976 [hereinafter IccPR] (UNItED
Human Rights and the High level task Force on NAtIONS, 1966a).
the Implementation of the Right to Development 8. International covenant on Economic, Social
for their comments and support, as well as to Mr. and cultural Rights (December 16, 1966),
Daniele Violetti of the UNFccc Secretariat for his entered into force January 3, 1976 [hereinafter
comments and review. the author is also indebted IcEScR] (UNItED NAtIONS, 1966b).
to the editors of Sur for their helpful editorial
comments. the author would like to thank his 9. “the right to development must be fulfilled
colleagues at cIEl for their insightful comments, so as to equitably meet developmental and
including Daniel Magraw, Stephen Porter and environmental needs of present and future
Sofia Plagakis. cIEl interns and fellows provided generations.” (UNItED NAtIONS, 1992a,
valuable research assistance, including Andrea principle 3).
Martinez and Alicia Handy, as well as Ana Paula 10. the Vienna Declaration sanctioned the
Parente, cIEl’s louis B. Sohn Fellow in Human right to development as an “integral part of
Rights and Environment. All errors and omissions fundamental human rights” (UNItED NAtIONS,
remain the author’s sole responsibility. 1993, Art. 10). the Vienna Declaration reiterated
2. See UNDP, Climate Change and the Millennium the commitment contained on Article 56 of
Development Goal. Available at: <http://www.undp. the UN charter, which determines all States
org/climatechange/cc_mdgs.shtml>. to cooperate with each other in ensuring
development and eliminating obstacles to
3. the High level task Force on the
development (UNItED NAtIONS, 1993, Art.
Implementation of the Right to Development
10-11).
(HltF) was established by the Open-ended
Working Group on the Right to Development 11. Study on the current state of progress in
(Working Group) created by the (former) the implementation of the right to development
commission on Human Rights See United submitted by Mr. Arjun K. Sengupta, Independent
Nations (2004, para. 9). the HltF was convened Expert (SENGUPtA, 1999, para. 47).
to act as an advisory body to the Working Group
and to render operational the terms of the 12. “While development facilitates the njoyment
Declaration on the Right to Development. See of all human rights, the lack of development
also United Nations (1998a, 1998b). the HltF’s may not be invoked to justify the abridgement
mandate was to “examine the clean Development of internationally recognized human rights.”
Mechanism (…)” from a right to development (UNItED NAtIONS, 1993, para. 10).
perspective. See United Nations (2005a, 2008a, 13. See United Nations (2002a, para. 46).
2009b). the Working Group, at its Sixth Session in
4. See generally, center for International 2005, recognized the “multi-faceted nature
Environmental law & Friedrich Ebert Stiftung of the right to development [and] agreed that
(cIEl; FES, 2009). See also, cameron (2009); a rights-based approach to economic growth
and development contributes to the realization
limon (2009); Global Humanitarian Forum
of the right to development while it does not
(2009); International council on Human Rights
exhaust its implications and requirements at
Policy (2008); Baer, Athanasiou and Kartha
both the national and international levels.” See
(2007).
United Nations (2005a). See also, Nwauche and
5. the DRD [hereinafter DRD or Declaration] Nwobike (2005).
defines the meaning of development as “a
14. Article 2(1), IcEScR states that: “Each
comprehensive economic, social and political
State Party to the present covenant undertakes
process, which aims at the constant improvement
to take steps, individually and through
of the well-being of the entire population and of
international assistance and co-operation,
all individuals on the basis of their active, free
especially economic and technical, to the
and meaningful participation in development and
maximum of its available resources, with a view
in the fair distribution of benefits resulting there
to achieving progressively the full realization of
from.” (UNItED NAtIONS, 1986, Annex 41).
the rights recognized in the present covenant
6. charter of the United Nations (June 26, 1945), by all appropriate means, including particularly
entered into force October 24, 1945, 59 Stat. the adoption of legislative measures.” (UNItED
1031; tS 993; [hereinafter UN charter] (UNItED NAtIONS, 1966b, emphasis added). the
168 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
MARcOS A. OREllANA
importance of international assistance and co- Protocol provided almost no guidance for
operation to the realization of human rights is operation the cDM. to develop the necessary
also reflected in other international and regional institutional framework to operate the cDM,
human rights treaties such as the convention on the Parties have adopted a substantial body of
the Rights of the child and the convention on the Decisions at meetings of the Parties. See Wold,
Rights of Persons with Disabilities. Hunter and Powers (2009, p. 233).
15. In this vein, the duty to cooperate in 26. See, United Nations (2005b, Annex, para.
the climate change context requires States 28): “Participation by Parties in a cDM project
to negotiate and implement international activity is voluntary.”
agreements under the auspices of the UNFccc,
which features the necessary membership and 27. See, Report of the conference of the Parties
expertise. See Knox (2009, p. 163, 213). on its Seventh Session, Held at Marrakesh from
29 October to 10 November 2001 [hereinafter
16. United Nations Framework convention on Marrakesh Accords] (UNItED NAtIONS, 2001,
climate change (May 9, 1992) entered into force Annex G (52)).
March 21, 1994 (UNItED NAtIONS, 1992b,
Art. 2). 28. “A cDM project activity is additional if
anthropogenic emissions of GHG by sources are
17. See Kyoto Protocol to the United Nations reduced below those that would have occurred
Framework convention on climate change in the absence of the registered cDM project
(December 11, 1997), entered into force activity”. See United Nations (2001, Annex G
February 16, 2005 [hereinafter Kyoto Protocol] (43)).
(UNItED NAtIONS, 1997).
29. In small-scale projects the same designated
18. cO2, cH4, N2O, HFcs, PFcs, and SF6. operational entity can carry out both the
validation (at project outset) and verification
19. cOP 15 took “note of the copenhagen Accord
(during project operation), in order to avoid
of 18 December 2009” (UNItED NAtIONS,
expanses of using two DOEs. See also United
2009e).
Nations, Energy and Environment Group and
20. A number of international organizations BDP (2003, p. 20-22).
are actively engaged in administering and/or
30. See United Nations Framework convention
operating climate change funds, including the
on climate change (UNFccc), cDM-Home,
UNDP, United Nations Environment Programme
<http://cdm.unfccc.int/Statistics/Registration/
(UNEP), and the United Nations International
RegisteredProjByScalePiechart.html>.
Strategy for Disaster Reduction (UN-ISDR).
Similarly, a number of multilateral development 31. the definition of small scale projects is
banks have set up dedicated funds to address provided by the cOP/cMP as: (I) renewable
climate change. Further, several industrialized energy project activities with a maximum output
countries have established climate change funds capacity equivalent of up to 15 megawatts; (II)
to assist climate change mitigation and adaption energy efficiency improvement project activities
in the developing world. which reduce energy consumption by up to the
equivalent of 15 gigawatt hours per year; and
21. See UNFccc, About Clean Development
(III) other project activities that both reduce
Mechanism (CDM), <http://cdm.unfccc.int/about/
anthropogenic emissions by sources and directly
index.html>.
emit less than 15,000 kilotons of cO2 equivalent
22. See UNFccc, Adaptation Fund, <http:// per year. See Decision 17/cP.7 (UNItED
unfccc.int/cooperation_and_support/financial_ NAtIONS, 2001, para. 6(c), amended by 1/
mechanism/adaptation_fund/items/3659.php>. cMP.2, para. 28). A project which is eligible
the Adaptation Fund Board supervises and to be considered as a small-scale cDM project
manages the Adaptation Fund and has sixteen activity can benefit from the simplified modalities
members and sixteen alternates who meet no and procedures. See Decision 4/cMP.1 (UNItED
less than twice a year. In December 2008, the NAtIONS, 2005c, Annex II).
Parties to the Kyoto Protocol established rules of
32. See <http://cdm.unfccc.int/Statistics/
procedure, priorities, policies, and guidelines for
Registration/RegisteredProjByScopePiechart.
the Adaptation Fund.
html>. the energy industries sector represents
23. Annex I Parties includes OEcD member 60.31% of the total projects registered under the
countries and countries undergoing the process of cDM.
transition to a market economy.
33. this section is based on the scholarly debate.
24. the two other mechanisms are Joint Moreover, the discussion does not purport to
Implementation and Emissions trading. See evaluate the merits of the various critiques.
United Nations (1997, Art. 6, 17).
34. According to the UN Environment
25. Beyond these requirements, the Kyoto Programme (UNEP), the number of cDM
v. 7 • n. 12 • Jun. 2010 • p. 145-171 ■ 169
clIMAtE cHANGE AND tHE MIllENNIUM DEVElOPMENt GOAlS: tHE RIGHt tO DEVElOPMENt,
INtERNAtIONAl cOOPERAtION AND tHE clEAN DEVElOPMENt MEcHANISM
projects that are being planned or have been Protocol on Biosafety to the convention on
registered across the African region is increasing. Biological Diversity (January 29, 2000), entered
UNEP reports that a total of 112 cDM projects into force September 11, 2003 (UNItED
in Africa are at the stage of validation, requesting NAtIONS, 2000b).
registration or have been registered. this is an
increase from previous years, with 78 projects in 37. In this connection, the copenhagen Accord
2008 and two in 2004. See UNEP (2009). agrees that “deep cuts in global emissions
are required according to science.” (UNItED
35. See Wold, Hunter and Powers (2009, p. 236), NAtIONS, 2009e, para. 2); It further underlines
citing Ernestine E. Meijer (2007, p. 873). See that “to achieve the ultimate objective of the
also Streck and lin (2008). UNFccc,” and “recognizing the scientific view
36. See United Nations (1992a, Principle 15). that the increase in global temperature should
See also convention on Biological Diversity be below 2 degrees celsius,” the Parties shall
(June 5, 1992), entered into force December 29, enhance cooperative action to combat climate
1993 (UNItED NAtIONS, 1992c); cartagena change.
170 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
MARcOS A. OREllANA
RESUMO
Este artigo explora ligações entre os direitos humanos e os Objetivos de Desenvolvimento
do Milênio (ODMs), a cooperação internacional em mudança climática e o Mecanismo de
Desenvolvimento Limpo (MDL). O artigo utiliza critérios do direito ao desenvolvimento
para analisar o MDL. O MDL oferece um exemplo claro de parceria internacional entre
o Sul global e o Norte industrializado para alcançar os objetivos duplos de promover
o desenvolvimento sustentável e mitigar as mudanças climáticas. O MDL é, portanto,
diretamente relevante para o ODM 7 relativo a parcerias globais e transferência de
tecnologia, bem como para outros objetivos de desenvolvimento do milênio diretamente
afetados pela mudança do clima. Ademais, o foco no MDL também levanta questões sobre
investimentos e luxos de recursos, transferência de tecnologia e integridade ambiental, bem
como o signiicado e a operacionalização de uma abordagem do desenvolvimento baseada
em direitos humanos, todos centrais para a mitigação efetiva e equitativa das mudanças
climáticas e para a consecução dos ODMs.
PALAVRAS-CHAVE
ODMs – Cooperação internacional – Mudança climática – Mecanismo de
Desenvolvimento Limpo
RESUMEN
El presente trabajo explora los vínculos entre los derechos humanos y los ODM, la
cooperación internacional en materia de cambio climático y el Mecanismo de Desarrollo
Limpio (MDL). Se usa el criterio del derecho al desarrollo para analizar el MDL. El MDL
ofrece un claro ejemplo de una asociación internacional entre el Sur global y el Norte
industrializado para alcanzar el doble objetivo de promover el desarrollo sostenible y mitigar el
cambio climático. El MDL tiene, por lo tanto, una relevancia directa para el ODM 8 respecto
de las asociaciones globales y la transferencia de tecnología, como así también para los demás
ODM que se ven directamente afectados por el cambio climático. Asimismo, al analizar el
MDL, surgen cuestiones relativas a las inversiones y el movimiento de recursos, la transferencia
de tecnología, la integridad del medio ambiente, y el sentido y la operacionalización de un
enfoque de desarrollo basado en los derechos, todas cuestiones centrales para una mitigación
efectiva y equitativa del cambio climático y para el logro de los ODM.
PALABRAS CLAVE
ODMs – Cooperación internacional – Cambio climático – Mecanismo de
Desarrollo Limpio
v. 7 • n. 12 • Jun. 2010 • p. 145-171 ■ 171
lINDIWE KNUtSON
lindiwe Knutson was born in South Africa in 1986. She completed a Bachelors
of Social Sciences degree and a Bachelor of laws (l.l.B.) degree at the
University of cape town in 2009. She is currently working at a large law firm
in Johannesburg to complete her compulsory 2 years of articles to become an
admitted attorney in South Africa. She hopes to further pursue her passion in
international human rights law.
Email: lindiknutson@gmail.com
ABSTRACT
Over the last decade a growing number of cases brought before U.S. courts have alleged
that major multinational corporations were complicit in and beneited from human rights
violations committed by agents of foreign governments. hese cases concern one of the
most disputed questions in international human rights litigation, namely, the availability of
secondary or indirect liability and aiding and abetting liability in particular. While the U.S.
Supreme Court has yet to address the issue, many District and Circuit Courts have held that
aiding and abetting liability is available under the Alien Tort Claims Act (‘ATCA’).
his paper aims to examine the most recent decision of In re South African Apartheid
Litigation (commonly referred to as the Khulumani case) in the Southern District Court
of New York and argue in favour of the court’s opinion that aiding and abetting liability
is available, necessary and desirable and does not conlict with the political question and
international comity doctrines. It will be argued that submissions against recognizing
this kind of liability, such as those by the Bush administration and South African Mbeki
government, are misguided, illogical and damaging and that without the threat of liability,
which the ATCA can aford, multinational corporations face no consequences for aiding or
abetting the very abuses which U.S. foreign policy claims it seeks to prevent.
Original in English.
Submitted in March 2010. Accepted in July 2010.
KEYWORDS
Alien Tort Act/Statute – Aiding and abetting liability – Apartheid victims – Reparations –
Multinational corporations – Political question – International comity
his paper is published under the creative commons license.
his paper is available in digital format at <www.surjournal.org>.
172 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
ALIENS, APARTHEID AND US COURTS:
IS THE RIGHT OF APARTHEID VICTIMS TO CLAIM
REPARATIONS FROM MULTINATIONAL CORPORATIONS
AT LAST RECOGNIZED?
lindiwe Knutson
1 Introduction
Can multinational corporations be held liable for helping foreign governments
commit human rights abuses? Should such indirect liability be available? Could
policy arguments be employed to dismiss such cases?
Over the last decade a growing number of cases brought before U.S. courts
have alleged that major multinational corporations were complicit in and benefited
from human rights violations committed by agents of foreign governments.1
Plaintiffs in these cases have relied, at least in part, on the Alien Tort Claims Act
(‘ATCA’) (UNITED STATES OF AMERICA, 1992)2 which allows U.S. courts to hear
cases brought by ‘aliens’ or foreigners for violations of established and defined
international law norms.3 Some of the most fascinating and disputed questions
in international human rights litigation concern the availability of secondary or
indirect liability and aiding and abetting liability in particular. While the U.S.
Supreme Court has yet to address the issue (STEPEHNS, 2005, p. 535; HOFFMAN;
ZAHEER, 2003, p. 47) many District and Circuit Courts have held that aiding and
abetting liability is available under the ATCA.4 However, these lower courts have
failed to lay down a clear doctrine and so it remains controversial as to whether
such liability should be available, how it should be defined and whether it should
be based in federal common law or international law.
On 8 April 2009 in the case of In re South African Apartheid Litigation
(UNITED STATES OF AMERICA, 2009a)5 (commonly referred to as the Khulumani
case) Judge Shira Scheindlin of the Southern District Court of New York in a 144
page opinion refused to dismiss civil damages claims brought under the ATCA by
a class of South African citizens alleging that Ford, General Motors, IBM, Fujitsu
Notes to this text start on page 193.
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FROM MUltINAtIONAl cORPORAtIONS At lASt REcOGNIZED?
Ltd., Barclays National Bank Ltd. and the Union Bank of Switzerland aided and
abetted torture and other atrocities committed by the Apartheid regime (UNITED
STATES OF AMERICA, 2009a, p. 28).6 The Khulumani case and the highly technical
debate which surrounds it illustrates the complex task judges are faced with when
litigation involves foreign plaintiffs, multinational corporations, federal and foreign
governments and domestic and international law. ATCA cases require a court to
balance the need to promote justice with the duty to uphold the separation of
powers and not interfere with executive decisions and foreign policy (NEMEROFF,
2008, p. 286). It is argued that establishing a clearer doctrine for aiding and abetting
liability under the ATCA will go a long way in assisting judges to decide such cases
and would also assist victims in deciding whether they can bring such claims and
how to structure them as well as send a message to U.S. and foreign corporations
that they could be held liable and on what bases (NEMEROFF, 2008, p. 286).
This paper aims to examine these issues in light of the most recent Khulumani
decision by Judge Scheindlin and argue in favour of the court’s opinion that aiding
and abetting liability is available, necessary and desirable in contributing ‘to ensure
that laws govern the behavior of non-state actors in a world where, more than
ever before, they have the power, and sometimes the interest, in enabling mass
violations of human rights.’ (UNITED STATES OF AMERICA, 2009a). In advancing
this argument it will be shown that the submissions by the Bush administration
and South African Mbeki government against recognizing such liability were
misguided, illogical and damaging and that without the threat of liability, which
the ATCA can afford, companies face no consequences for aiding or abetting the
very abuses which U.S. foreign policy claims it seeks to prevent.
Part II presents a brief overview of the background to and evolution of the
ATCA focusing on the availability of aiding and abetting liability under the statute
and its use against corporations in U.S. courts.
Part III outlines the procedural background to the Khulumani case and the
most recent ruling by Judge Scheindlin in the Southern District Court of New
York. It recounts the arguments against imposing liability made by the Bush
administration that the potential of aiding and abetting liability will discourage
investment in developing countries, which conflicts with their foreign policy of
‘constructive engagement’ and that of the South African Mbeki government that
a ruling would infringe upon their sovereignty and discourage foreign investment.
Part IV examines the level of judicial deference required when governments
submit policy arguments as grounds for dismissal. It outlines the doctrines of
judicial deference, political question and international comity as understood in
the context of ATCA litigation as well as Judge Scheindlin’s reasons for finding
that they do not merit dismissal of the Khulumani case.
Part V evaluates how U.S. courts in general have treated executive submissions
and argues in favour of a more substantive analysis in looking at why the foreign
policy, foreign investment and sovereignty arguments fail. Such an analysis seeks
to go beyond a factual examination of the submission itself to assess the wider legal
and practical implications liability could have. Doing so, demonstrates that aiding
and abetting liability under the ATCA actually supports, rather than undermines
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lINDIWE KNUtSON
U.S. foreign policy, encourages positive investment and does not infringe on the
principle of sovereignty. The analysis also shows aiding and abetting liability under
the ATCA to be a necessary and valuable tool.
Part VI outlines recent developments since Judge Scheindlin’s opinion. These
include drastic turnabouts in the views’ submitted by the respective governments.
In September 2009, the South African government submitted a letter to the District
Court now seeming to support the litigation. Similarly in November 2009, the
United States government submitted an amicus brief to the Court of Appeals for
the Second Circuit in favour of the plaintiffs’ dismissal of the defendants’ appeal.
Some conclusions are drawn as to what this means for the Khulumani case and the
development of the doctrine of aiding and abetting liability generally. The paper
concludes with an overview of the doctrine’s subsequent success or lack thereof
and stresses the significance of the outcome of the Khulumani case in light of this.
2 Background to the ATCA
The ATCA was enacted in 1789 and remained largely unused for almost two
hundred years until 1980 (BRADLEY, 2002, p. 588).7 The case of Filartiga v. Pena-
Irala (UNITED STATES OF AMERICA, 1980, p. 887)8 was the first to use the ATCA
to hold human rights abusers accountable for torture and murder through civil
claims for ‘a tort…committed in violation of the law of nations.’ However, its
use against corporate defendants was first granted in 1997 by a District Court in
the case of Doe I v. Unocal (UNITED STATES OF AMERICA, 1997). The plaintiffs
were Burmese villagers alleging that Unocal was complicit in gross human rights
violations, such as rape and torture, committed by the Burmese military tasked on
behalf of Unocal to secure the natural gas pipeline project there (UNITED STATES
OF AMERICA, 2004a, p. 729-732).9 This case paved the way for similar corporate
defendant claims in Federal and District Courts where plaintiffs relied on the
ATCA to pursue litigation based on indirect liability.10
Finally, in 2004, the U.S. Supreme Court addressed the ATCA in the case
of Sosa v. Alvarez-Machain (UNITED STATES OF AMERICA, 2004a) (referred to as
Sosa below). The court affirmed the preceding line of cases in so far as it held that
violations of international norms which were ‘specific, universal and obligatory’
would be actionable under the ATCA (UNITED STATES OF AMERICA, 2004a, p.
732). The court went on to note that ‘practical consequences’ could be considered
as part of ‘the determination [of] whether a norm is sufficiently definite to support
a cause of action.’ (UNITED STATES OF AMERICA, 2004a, p. 732-733). It was also
stated in a footnote that a ‘possible limitation’ upon the application of the ATCA
could be ‘case-specific deference to the political branches’ so as to avoid interference
with U.S. foreign policy (UNITED STATES OF AMERICA, 2004a, p. 733, footnote
21).11 Critically, the court did not consider whether the statute encompassed aiding
and abetting liability specifically.
Numerous District and Circuit Courts have held that corporate aiding and
abetting liability is available under the ATCA. However, a clear doctrine has yet
to be established for the definition of and basis for such liability, which remain
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controversial. This paper does not seek to add to the debate, however, a brief
summary is warranted highlighting the conclusions reached by Judge Scheindlin.
In terms of the basis for aiding and abetting liability the debate is whether it
should be governed by federal common law or international law or whether it even
makes a difference (BRADLEY; GOLDSMITH; MOORE, 2007, p. 120). The Supreme
Court created uncertainty by stating that while ATCA claims are ‘claims under
federal common law’; to be actionable ‘a specific, universal and obligatory’ norm
of international law had to be violated (UNITED STATES OF AMERICA, 2004a, p.
729-732). Judge Scheindlin, acknowledging uncertainty in the law, interpreted the
Supreme Court’s statement as requiring courts to look to international and not
federal law as the basis for liability in determining both the ‘existence of substantive
offences’ and the ‘contours of secondary liability as well.’12 Some writers argue
that courts should apply international law through the ATCA cautiously and
incrementally (DHOOGE, 2009, p. 280).
In terms of the definition of aiding and abetting liability the debate is whether
the required mental or subjective element is knowledge or intent. The uncertainty in
the law is evident as three judges of the Second Circuit Court hearing the Khulumani
case had different views on the issue.13 It is argued that Judge Hall’s opinion requiring
‘knowledge’ would open the door more widely for liability to be imposed while Judge
Katmann’s opinion requiring ‘purposeful’ conduct would make liability difficult to
prove but discourage suits against corporations for merely doing business in countries
where human rights abuses are committed (NEMEROFF, 2008, p. 283-284). Judge
Scheindlin emphasized that ‘knowledge’ was required for aiding and abetting liability
under the ‘vast majority’ of international law.14 She concluded that in the absence of
other relevant legal materials requiring specific intent, customary international law
required ‘that an aider or abettor know that its actions will substantially assist the
perpetrator in the commission of a crime or tort in violation of the law of nations’
and that this was the standard to be applied in deciding whether conduct amounted
to aiding and abetting liability under the ATCA.15
3 Background to the Khulumani Case
The preceding section outlined the history of ATCA litigation and the points of
contention surrounding aiding and abetting liability. The next section summarizes
the procedural background to the Khulumani case as well as the arguments against
liability submitted by the U.S. and South African governments. The case originally
comprised of ten separate actions by three groups of plaintiffs against about fifty
major multinational banks and corporations that did business with the Apartheid
government. The plaintiffs instituted their initial claims under the ATCA, Torture
Victims Protection Act and Racketeer Influenced and Corrupt Organizations Act.16
The bases for their allegations are summarized as follows: the defendants knew of
the racist policies of the Apartheid government and the human rights violations
committed as a result but never the less did business there, the defendants made
a profit from cheap labour and provided the government with resources such as
technology, oil, money and vehicles which were used to maintain and enforce
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lINDIWE KNUtSON
Apartheid policies; had the defendants not done this Apartheid would have ended
sooner and the plaintiffs would not have suffered some or all of their injuries.17
In 2004 the claims were consolidated before Judge John E. Sprizzo in the
Southern District Court of New York who dismissed all the claims and contrary
to a large body of law held that the ATCA did not provide a basis for aiding and
abetting liability (UNITED STATES OF AMERICA, 2004c, p. 550). The plaintiffs
appealed the dismissal upon which the Second Circuit Court partially vacated the
dismissal in terms of the ATCA claim, finding that aiding and abetting liability may
be pleaded under the statute and allowing the claim to proceed.18 The defendants
appealed to the U.S. Supreme Court, which issued an order on 12 May 2008
affirming the Second Circuit’s decision (UNITED STATES OF AMERICA, 2008).
The circumstances of the affirmation were that four justices had recused themselves
and so the court lacked the necessary quorum to issue an opinion.19
The Supreme Court order affirmed the Second Circuit’s order vacating the
denial of leave to amend and declining to dismiss the case on the policy grounds
of international comity and political question and directed that the District Court
consider these doctrines in light of the amended pleadings.20 Before the District
Court, the defendants again sought to rely on these doctrines together with the
submissions of the South African government and Bush administration calling
for dismissal of the claims.21 In short, the U.S. government argued aiding and
abetting liability would discourage investment in developing countries and that
this conflicted with their foreign policy of constructive engagement. The South
African government argued the litigation would infringe upon their sovereignty
and discourage foreign investment. These arguments are outlined below.
3.1 The submissions of the United States government
In 2003, under the Bush administration, the Department of State advised the
District Court that ‘continued adjudication of the above-referenced matters risks
potentially serious adverse consequences for significant interests of the U.S.’22 It also
argued that South Africa ‘is broadly representative of the victims of the Apartheid
regime [and] is uniquely charged with a popular mandate to deal with the legacy
of Apartheid.’ (UNITED STATES OF AMERICA, 2009a).
The submission also stated that such litigation would hamper foreign
investment in South Africa and other developing countries, a goal which was
central to the U.S. foreign policy of ‘constructive engagement’ (UNITED STATES
OF AMERICA, 2009a).
The U.S. government similarly argued in an amicus brief submitted to
the Second Circuit Court that ‘[o]ne of the practical consequences of embracing
aiding and abetting liability under ATCA claims would be to create uncertainty
that would in some cases interfere with the ability of the U.S. government to
employ the full range of foreign policy options when interacting with regimes
with oppressive human rights practices. One of these options is to promote active
economic engagement as a method of encouraging reform and gaining leverage.
Individual federal judges exercising their own judgment after the fact by imposing
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AlIENS, APARtHEID AND US cOURtS: IS tHE RIGHt OF APARtHEID VIctIMS tO clAIM REPARAtIONS
FROM MUltINAtIONAl cORPORAtIONS At lASt REcOGNIZED?
aiding and abetting liability… would generate significant uncertainty regarding
private liability, which would surely deter many businesses from such economic
engagement.’23
3.2 The submissions of the South African government:
In 2003 former president Thabo Mbeki in a public announcement stated ‘we
consider it completely unacceptable that matters that are central to the future of
our country should be adjudicated in foreign courts which bear no responsibility
for the well-being of our country and the observance of the perspective contained
in our Constitution of the promotion of national reconciliation.’24 He further stated
that the litigation interfered with the ‘sovereign right to determine, according to
internal political and constitutional order, how best to address Apartheid’s legacy.’
(UNITED STATES OF AMERICA, 2009a, p. 91). Shortly after, the Minister of Justice
at the time, Penuell Maduna filed a declaration with the U.S. District Court stating
the litigation had the potential to discourage foreign investment in South Africa
and that the court should not hear the case as doing so would ‘interfere with [a]
foreign sovereign’s efforts to address matters in which it has predominant interest.’25
3.3 The submissions of the Truth and Reconciliation
Commission (‘TRC’):
The arguments advanced by the South African government were not supported by
the TRC Commissioners. The chairman of the TRC, Desmond Tutu, submitted an
amicus brief to the Second Circuit Court stating: ‘[t]here was absolutely nothing in
the TRC process, its goals or the pursuit of the overarching goal of reconciliation,
linked with truth that would be impeded by this litigation. To the contrary, such
litigation is entirely consistent with these policies and with the findings of the TRC.’
(UNITED STATES OF AMERICA, 2009a, p. 94). This is so because nothing in the
TRC Act or Commission Reports amounted to the explicit or implicit granting of
amnesty to corporations. The Promotion of National Unity and Reconciliation
Act 34 of 1995 which established the TRC stated in its preamble that amnesty
could be afforded to ‘persons who make full disclosure’ the implication being
that corporations did not qualify for amnesty under the Act nor did any apply for
such amnesty (UNITED STATES OF AMERICA, 2009a, p. 95). In light of this, in its
final report, the TRC stated that business ‘must be held accountable’ outside of
the amnesty mechanisms of the TRC (UNITED STATES OF AMERICA, 2009a).26
4 Policy considerations as a basis for dismissal
The next section considers whether, and if so on what bases, the arguments
outlined above merit dismissal of the case and whether such policy arguments
should preclude aiding and abetting liability under the ATCA in general. This
was the issue on remand for Judge Scheindlin to decide. The task is a complex one
as a judge is not only faced with questions surrounding the relationship between
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lINDIWE KNUtSON
international and domestic law but also the relationship between the judiciary and
the executive branches of government. This is further complicated by executive
submissions requesting dismissal or expressing disapproval. The submissions in the
Khulumani case outlined above are an example of this. Courts have had to address
the question of how to treat executive submissions in human rights litigation and
in doing so have relied largely on the political question doctrine and to a lesser
extent the international comity and act of state doctrines.27 In applying them a
court is tasked with balancing the need to preserve judicial independence while
giving executive submissions due deference and being mindful not to ‘undermine
the constitutional balance of power’ (STEPHENS, 2004, p. 170). The following section
will outline the political question and international comity doctrines as understood
in the context of ATCA litigation followed by Judge Scheindlin’s opinion as to
their application in the Khulumani case.
4.1 Deference and the Political Question Doctrine
The political question doctrine seeks to uphold the separation of powers and
operates when ‘a court declines to hear a case that deals with issues more properly
belonging before one of the “political” branches of government’ (BAXTER, 2006, p.
826). The Supreme Court in Baker v. Carr (UNITED STATES OF AMERICA, 1962)
held that its application involves a ‘case by case’ inquiry of whether one or more
of six factors are present.28 It was stated in Kadic v. Karadzic (UNITED STATES
OF AMERICA, 1995, p. 249)29 that the first three factors did not apply to litigation
dealing with international law but the latter factors could be applicable where
the impact of litigation on foreign relations needed to be assessed (SUTCLIFFE,
2009, p. 301). It has been noted that executive submissions on how litigation will
impact policy decisions on foreign relations fall within at least one of the required
factors and so trigger the application of the doctrine. Despite the Supreme Court’s
warning that not ‘every case or controversy which touches on foreign relations lies
beyond judicial cognizance’ (UNITED STATES OF AMERICA, 1962, p. 211) lower
courts initially applied the doctrine automatically where executive submissions
against litigation were presented. The first ATCA case involving the evaluation
of executive submissions was Sarei v. Rio Tinto (UNITED STATES OF AMERICA,
2002b, p. 1208-1209)30 where the District Court automatically dismissed all the
claims under the political question doctrine. The courts’ deference to the views of
the executive has been attributed to a lack of case law on the issue and the vague
and ambiguous factors laid down in Baker v. Carr (UNITED STATES OF AMERICA,
1962; BAXTER, 2006, p. 836).
In response to the growing number of ATCA cases and the ambiguity
surrounding the proper treatment of executive submissions against such litigation
the Supreme Court attempted to offer some guidance. First in Republic of Austria
v. Altmann (UNITED STATES OF AMERICA, 2004d, p. 701-702) where the court
distinguished between questions of law and policy stating that questions of statutory
interpretation ‘merit no special deference’ but submissions by the executive on a
question of foreign policy ‘might well be entitled to deference [emphasis added]’.
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Second in Sosa v. Alvarez-Machain (UNITED STATES OF AMERICA, 2004a) the
court noted two possible limitations on the statute’s application the one involving
a question of law, the other a question of policy. First that the recognition of an
actionable norm (that is a tort in violation of customary international law) involved
‘an element of judgment about the practical consequences of making that cause
available to litigants’ that is ‘whether a norm is sufficiently definite to support
a cause of action.’ (UNITED STATES OF AMERICA, 2004a, p. 732-733). Second
(as stated in footnote 21) that certain cases may require ‘a policy of case-specific
deference to the political branches’ and that ‘courts should give serious weight
to the Executive Branch’s view of the case’s impact on foreign policy.’ (UNITED
STATES OF AMERICA, 2004a, footnote 21). However, it must be noted that in both
these cases, the question of deference was not an issue the court had to decide
and so the statements are not binding on lower courts. While the two possible
limitations rightly affirmed the principle that courts and not the executive should
decide questions of law and that the application of the doctrine requires evaluation
and not automatic application no guidance was provided to lower courts on how
to conduct such an assessment.
Judge Scheindlin made three comments in this regard: ‘First, footnote
21 merely provides guidance concerning the need for deference with regard to
foreign policy matters; it does not mandate summary dismissal…[s]econd, the
Executive Branch is not owed deference on every topic; rather this court will
give serious consideration to the Executive’s views only with regard to the case’s
‘impact on foreign policy’, [t]hird, deference does not mean delegation; the views
of the Executive Branch - even where deference is due - are but one factor to
consider and are not dispositive.’ (UNITED STATES OF AMERICA, 2009a, p. 99).
Further, ‘judges should not reflexively invoke these doctrines to avoid difficult and
somewhat sensitive decisions in the context of human rights.’ (UNITED STATES
OF AMERICA, 2009a, p. 102).31
Regarding the Baker v. Carr (UNITED STATES OF AMERICA, 1962) factors
courts have more recently held that they ‘appear to be relevant only if judicial
resolution of a question would contradict prior decisions taken by a political branch
in those limited contexts where such contradiction would seriously interfere with
important governmental interests.’ (UNITED STATES OF AMERICA, 2009a, p.
100).32 As noted by Judge Scheindlin courts have generally moved away from an
automatic application of the doctrine to instead asses the executive submission itself
(UNITED STATES OF AMERICA, 2009a, p. 102). In doing so courts have dismissed
submissions ‘presented in a largely vague and speculative manner [or not] severe
enough or raised with the level of specificity required to justify…a dismissal on
foreign policy grounds.’ (UNITED STATES OF AMERICA, 2009a).33
4.2 The International Comity Doctrine:
The international comity doctrine has been understood differently in different
contexts and is thus difficult to define (R AMSEY, 1998, p. 893). In the context of
ATCA litigation it is generally understood as ‘the recognition which one nation
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allows within its territory to the legislative, executive or judicial acts of another
nation, having due regard both to international duty and convenience, and to
the rights of its own citizens or of other persons who are under the protection of
its laws.’ (UNITED STATES OF AMERICA, 2009a, p. 103).34 In its narrowest sense
the doctrine operates as a basis for dismissal ‘only when there is a true conflict
between American law and that of a foreign jurisdiction.’ (UNITED STATES OF
AMERICA, 2009a, p. 104).35 This strict formulation has since been relaxed as in
addition to looking at whether a conflict would arise; courts have assessed the
degree of offense to the foreign sovereign, steps taken by them to address the issue
in dispute and the U.S’s interest in the issue (UNITED STATES OF AMERICA,
2009a, p. 104-105). Thus understood, the application of the doctrine is a matter of
discretion requiring the court to weigh the interests of the foreign nation and the
international community in deciding whether adjudication would be improper
(R AMSEY, 1998, p. 894).
The political question and international comity doctrines differ in that the
former aims to uphold the separation of powers while the latter focuses more directly
on international relations. However, the two are similar as both can and have been
used to assess the impact of litigation on foreign affairs (SUTCLIFFE, 2009, p. 326).
Commentators in favor of the flexibility of the more relaxed international
comity doctrine and the ‘balancing test’ it requires, have argued it should be used
to inform the application of the political question doctrine to assist in avoiding
undue deference (SUTCLIFFE, 2009, p. 326).
4.3 Application by the court:
In the Khulumani case the issue on remand by the Supreme Court was whether
the political question and international comity doctrines merited dismissal in light
of the submissions of the U.S. and South African governments. Judge Scheindlin
held that the political question doctrine did not provide a basis for dismissal for
three reasons. First the claims did not contradict U.S. foreign policy in a way
that ‘would seriously interfere with important governmental interests’ and so
the latter three Baker v. Carr (UNITED STATES OF AMERICA, 1962) factors did
not apply (UNITED STATES OF AMERICA, 2009a, p. 105). Second the claims did
not challenge the political branch’s foreign policy of ‘constructive engagement’
with Apartheid-era South Africa nor seek to hold defendants liable for acting
in line with this policy (UNITED STATES OF AMERICA, 2009a, p. 105). Third
the argument of the U.S. government as relied on by the defendants was based
on the false premise that the plaintiffs sought to allege ‘wrongful commerce’ as
a basis for liability and that the political question doctrine was automatically
invoked (UNITED STATES OF AMERICA, 2009a, p. 105). For these reasons Judge
Scheindlin noted that the submissions required ‘considerably less deference.’
(UNITED STATES OF AMERICA, 2009a, p. 105).
On the other hand, to survive dismissal the plaintiffs had to claim ‘that the
defendants “substantially assisted” violations of the law of nations and knew that
their assistance would be substantial’ as merely engaging in commerce did not
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attract liability (UNITED STATES OF AMERICA, 2009a, p. 106). Liability properly
understood as ‘knowingly providing substantial assistance to violations of the law
of nations’ would only compromise foreign policy in so far as it actually deterred
investment (UNITED STATES OF AMERICA, 2009a, p. 106-107). In this regard no
real evidence was found to have been presented (UNITED STATES OF AMERICA,
2009a, p. 107).36
Lastly, it was noted that the case did not involve allegations against the
acts of the U.S. government itself as ‘[a]t no point did the Government instruct
or authorize the defendant’s conduct’ and that ‘resolution of the case neither
requires this court to pass judgment on the policy of constructive engagement or
the United State’s relationship with apartheid-era South Africa.’ (UNITED STATES
OF AMERICA, 2009a, p. 108).37 Thus the political question doctrine did not require
dismissal of the suit.
It was also held that international comity did not provide a policy basis for
dismissal based on ‘[t]he absence of conflict between this litigation and the TRC
process.’ (UNITED STATES OF AMERICA, 2009a, p. 109-110). The reasons advanced
included that the defendants did not appear before the TRC nor were they granted
amnesty and ‘a policy of blanket immunity for corporations’ was never given by
the South African government (UNITED STATES OF AMERICA, 2009a, p. 109-110).
There was found to be no bar to holding the defendants legally liable under civil
law with the TRC Report itself calling for corporate liability outside the TRC
Process (UNITED STATES OF AMERICA, 2009a, p. 109-110). Further neither the
defendants nor the South African government argued that ‘an adequate forum
existed in the objecting nation.’ (UNITED STATES OF AMERICA, 2009a, p. 109-110).
Lastly the litigation did not conflict with the goals of the TRC and so would not
require dismissal even in the absence of an alternative forum (UNITED STATES
OF AMERICA, 2009a, p. 109-110). Judge Scheindlin concluded that ‘the purposes of
the TRC and this lawsuit are closely aligned: both aim to uncover the truth about
past crimes and to confront their perpetrators.’ (UNITED STATES OF AMERICA,
2009a, p. 109-110). Therefore the international comity doctrine did not require
dismissal of the suit.
Since neither doctrines provided a basis for dismissal Judge Scheindlin
held that the views of the U.S. and South African governments did not require
resoliciting for the case to proceed (UNITED STATES OF AMERICA, 2009a, p. 111).
5 The evaluation of Executive submissions
The decision by Judge Scheindlin to dismiss the views of the executive has formed
part of an emerging trend in U.S. courts particularly in the context of ATCA
litigation (STEPHENS, 2008, p. 773). Since the first case of Doe I v. Unocal (UNITED
STATES OF AMERICA, 1997) in 1997 allowing the use of the ATCA against
corporations, approximately fifty ATCA cases have been filed against corporate
defendants (STEPHENS, 2008, appendix B). The Bush administration has filed letters
or amicus briefs in ten of them stating such litigation would undermine U.S. foreign
policy (STEPHENS, 2008, p. 773-774, appendix C).38 In eight of these the objections
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were considered by the court.39 In only two cases was the foreign policy argument
accepted as a basis for dismissing the suit.40
This trend shows that despite a historically deferential approach, in the
context of ATCA litigation U.S. courts have since permitted almost all the cases
to proceed despite arguments that it would interfere with foreign policy or deter
investment. This shift indicates that courts do not find the submissions reasonable
or convincing. Reasons for rejection include undue claims for deference, unfounded
predictions of harm, unsupported economic claims and perceived bias toward
corporations (STEPHENS, 2008, p. 802). Judge Scheindlin similarly based dismissal
of the submissions upon a lack of evidence as well as the presence of incorrect
assumptions. The reasons given by the courts support the argument that ‘the shift
is not the result of a change in the way the courts have exercised their authority,
but rather a judicious recognition that the Bush Administration’s views are
unreasonable, and therefore undeserving of deference.’ (STEPHENS, 2008, p. 809).
Most courts have focused largely on the text of the submission itself and
engaged in a factual enquiry as to its correctness, specificity and the evidence
submitted to support it.41 In favour of this approach some commentators have
argued that courts are under a constitutional duty to assess the credibility of the
executive’s factual claims and to reject them where not supported by the evidence
(STEPHENS, 2004, p. 170). Others have argued that this can be problematic as courts
are ill-equipped to make factual findings as to the correctness of policy decisions
as they have limited access to evidence and could be vulnerable to manipulation
in this regard (SUTCLIFFE, 2009, p. 315). It is agreed that an assessment which
focuses only on the factual validity and specificity of submissions is undesirable
and too superficial. Indeed the Supreme Court’s view that executive submissions
need to be ‘weighed’ implies that a range of factors and not just the submission
itself should be taken into account.
In this regard, some commentators have argued that the problem lies in the
fact that the political question doctrine is too limited and vague a standard by
which to assess executive submissions and that ‘a more fluid balancing test’ should
be developed by the courts (SUTCLIFFE, 2009, p. 320). Multi-layered guidelines or
standards for assessing whether a submission merits deference have been proposed.
These includes that ‘in order to merit deference, an administration submission
must: (1) articulate the relevant policy interests; (2) explain how the litigation
could harm those interests; (3) tie the anticipated harm to one of the recognized
foreign policy justiciability doctrines; and finally, (4) offer explanations that are
reasonable, drawing conclusions that are well-founded and supported by the facts.’
(STEPHENS, 2008, p. 775). While such a doctrinal discussion is beyond the scope
of this paper the next section takes this criticism into account by undertaking a
more substantive analysis in looking at how the foreign policy, foreign investment
and sovereignty arguments raised in favour of dismissal of ATCA suits have
failed. This approach goes beyond the submission itself to look at some of the
legal and practical implications aiding and abetting liability could have. Doing
so demonstrates just how unconvincing and unreasonable the arguments against
such liability in fact are.
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5.1 The argument that liability would
undermine U.S. foreign policy:
The argument is that the mere existence of aiding and abetting liability will deter
investment in foreign countries and thereby undermine the U.S. foreign policy of
‘constructive engagement’. To evaluate the merits of this argument and so also the
correctness of its dismissal, it is necessary to outline the ‘constructive engagement’
model and examine the effect aiding and abetting liability would have on it. The
model is largely based on the idea that foreign investment by corporations in countries
with repressive regimes will encourage reform and promote democracy and human
rights.42 The model is highly controversial and has generated much debate which
goes beyond the scope of this paper. There have been contradictory empirical studies,
one concluded that in some cases constructive engagement and investment actually
had the opposite effect by encouraging and increasing repressive behavior (FORCESE,
2002, p. 10-17) while another concluded that foreign investment was associated with
increased respect for civil and political rights (RICHARDS, 2001, p. 231-232).
What is of relevance is that since one of the purported goals of constructive
engagement is to promote freedom and democracy; a corporation which aids or
abets human rights violations would undermine the model and further the very
abuses it claims to help eradicate. Moreover, complicit corporations may have huge
legal and economic interests in maintaining or supporting oppressive regimes and
without the threat of liability as incentive to encourage reform face no consequences.
In this regard aiding and abetting liability could be used as a tool to ensure
that individual corporations who defy the policy of constructive engagement are
held accountable. It could also encourage corporations to conduct business in ways
which promote the goals of democracy and human rights in general. Thus aiding
and abetting liability could actually facilitate rather than undermine the model
and the argument of the U.S. government must fail.
The commentator Richard Herz has presented similar arguments and noted
further inconsistencies. First, the U.S. government seems to be applying a ‘double
standard’ by criticizing oppressive regimes but protecting corporations for aiding or
abetting abuses committed by them and that this casts doubt on how committed
the government in fact is to brining about reform in advancing democracy and
human rights.43 Second, by protecting corporations from liability on foreign
policy grounds the government may in fact ‘encourage or subsidize’ complicity.
This is so as without the possibility of being held accountable corporations could
decrease costs involved with taking measures to avoid complicity and without the
possibility of litigation avoid being liable for compensating successful victims. Such
corporations could have a competitive edge over other corporations who refuse to
operate in countries with oppressive regimes.
It could be argued that the risks of litigation are too marginal to deter
corporations from being complicit in abuses where comparatively huge economic
profit is at stake. However, as Herz correctly points out, the U.S. government’s
argument is that the risk of liability under the ATCA would be so substantial so as
to deter investment. Assuming that the risks of liability would be too marginal to
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deter complicity, the underlying rationale of the government’s argument would fall
away. On the other hand if the risk of potential litigation were substantial enough
to deter corporations from being complicit in abuses committed by oppressive
regimes, the U.S. government’s opposition of liability could reward and encourage
investment which directly undermines the model upon which their foreign policy
is based. These inconsistencies as noted by Herz provide additional convincing
support for rejecting the views of the U.S. government (HERZ, 2008, p. 207).
The preceding section argued that aiding and abetting liability could promote
rather than undermine U.S. foreign policy. By opposing liability corporations
would be shielded and perhaps even encouraged to engage in practices which would
undermine the purported goals of the ‘constructive engagement’ model. For these
reasons Judge Scheindlin was correct in dismissing the argument that aiding and
abetting liability would undermine U.S. foreign policy.
5.2 The argument that liability would
deter foreign investment:
The argument is that corporations will refuse significant investment opportunities or
pull out of existing projects, based on the possibility that they may be held liable for
aiding or abetting human rights violations. Judge Scheindlin concluded that since no
evidence was given to support this argument it had to be dismissed. Commentators
have argued that liability would not deter foreign investment and could in fact
encourage positive growth. Joseph Stiglitz, a Nobel laureate and former Chief
Economist of the World Bank, filed a letter with the court rejecting the economic
analysis relied on by the U.S. and South African governments (UNITED STATES
OF AMERICA, 2009a, p. 88). He argues that corporations should be held liable and
that doing so would contribute to confidence in the market system, create a more
favourable business climate and encourage positive growth and development in South
Africa.44 Stiglitz is widely regarded as one of the world’s foremost economists and
since his views directly contradict those of the U.S. and South African governments
they assist in presenting a stronger argument in favour of rejection.
The commentator Beth Stephens similarly argues that liability would
promote rather than undermine positive investment (STEPHENS, 2008, p. 773).
Since merely doing business in a country where abuses are being committed does
not attract liability under the ATCA, the argument that liability will deter foreign
investment only applies to corporations who may aid or abet violations of established
international norms (STEPHENS, 2008, p. 806). There is also the possibility that
companies will continue to invest and adopt policies and procedures which seek to
avoid aiding and abetting such abuses (STEPHENS, 2008, p. 806). Stephens argues
this kind of reform is more likely than deterrence as most ATCA cases have involved
corporations in the extraction industry45 who have already made large investments
and are highly unlikely to pull out based on the possibility of liability (STEPHENS,
2008, p. 806). In other words the costs of litigation compared with the large profits
multinational corporations are making will not likely deter or decrease investment
(STEPHENS, 2008, p. 807).
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The argument is not that no corporation will be deterred from investing;
presumably only those with dubious human rights practices will refuse. As already
stated this would promote the policy of constructive engagement and human
rights in general. Thus even if some potentially beneficial investment is deterred
this must be weighed against the greater benefits ATCA liability may achieve by
assisting to deter the aiding and abetting of human rights violations. In short and
as noted by commentators, over deterrence of the serious human rights abuses
attracting liability under the ATCA surely outweighs the marginal possibility that
innocent yet beneficial companies will refuse to invest. It has been argued that
courts are left with two options: either under-deterrence which will allow more
investment which encourages human rights abuses or over-deterrence which will
discourage investments where corporations may run the risk of participating in
human rights violations, even if the investments would not encourage abuses, given
the seriousness of alleged offenses under ATCA cases the latter option is clearly
preferable (HOFFMAN; ZAHEER, 2003, p. 81).
The preceding section demonstrates not only that the foreign investment
argument lacks supporting evidence but suggests that aiding and abetting liability
could be used to encourage positive investment and growth. Thus Judge Scheindlin
was correct in dismissing the argument that aiding and abetting liability would
deter foreign investment.
5.3 The argument that liability would
infringe upon sovereignty:
The South African and U.S. government argued that the litigation would infringe
upon South Africa’s sovereignty. This argument falls broadly within the doctrine
of international comity outlined above. As suggested in Sosa (UNITED STATES
OF AMERICA, 2004a), a court should consider ‘whether the exercise of jurisdiction
under the ATCA is consistent with those notions of comity that lead each nation
to respect the sovereign rights of other nations by limiting the reach of its laws
and their enforcement.’ (UNITED STATES OF AMERICA, 2004a, p. 73). However,
as noted by the Second Circuit Court in Khulumani ‘although the views of
foreign nations are important under the doctrine of international comity, we
have not held them to be dispositive.’ (UNITED STATES OF AMERICA, 2007a, p.
265). In other words the weight given to the views of foreign governments under
the comity doctrine is not as great as the weight given to the views of the U.S.
executive under the political question doctrine. On the other hand the argument
that judges must be careful not to act in ways which undermine legitimate
political and legal process appears stronger in cases such as Khulumani where a
democratically elected government decides not to allow similar liability claims
domestically (NEMEROFF, 2008, p. 283).
What is fatal to the sovereignty argument is that the conduct being
adjudicated is that of defendant corporations and not sovereign principals. In their
submissions both governments failed to appreciate this distinction and in so doing
confused the extraterritoriality argument with the doctrine of comity (KEITNER,
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2008, p. 101). Since claims under the ATCA seek to hold corporations liable as
accomplices, and not sovereign principals, the litigation does not directly infringe
the principal’s sovereignty under the Foreign Sovereign Immunities Act of 1976
(KEITNER, 2008, p. 102). Finally, while an agent of a foreign government would also
be immune under this Act, courts cannot be deprived of jurisdiction over defendant
corporations under this doctrine as they have no agency relationship with the
foreign government in whose country they are operating (KEITNER, 2008, p. 102).
The preceding section demonstrates that the sovereignty argument while
falling broadly with the doctrine of international comity was conceptually confused.
Thus Judge Scheindlin was correct in dismissing the argument that aiding and
abetting liability would infringe upon the sovereignty of South Africa.
6 The South African and U.S. governments’ turnabout
and subsequent developments
The preceding analysis reflects the recent trend in courts’ dismissal of executive
submissions upon finding their opposition to ATCA suits to be unreasonable
and unfounded. Judge Scheindlin’s opinion further solidified this by not only
dismissing the submissions but allowing the suit to continue without requiring
the government’s views to be resolicted as requested by the plaintiffs.46 While the
plaintiffs may have requested resubmission in the hope that the new Zuma and
Obama administrations would be more sympathetic to their cause, Judge Scheindlin
effectively ruled that it did not matter what either government thought.
On 22 April 2009, the defendants filed a motion for reconsideration. This was
denied upon which the defendants then filed a notice of appeal on 25 June 2009
with the Court of Appeals for the Second Circuit for the interlocutory review of
Judge Scheindlin’s decision to allow the litigation to proceed to trial.47 The review
was set for hearing on 11 January 2010.
On 1 September 2009, under the recently elected Zuma government, Justice
Minster Jeff Radebe sent an unsolicited letter to Judge Scheindlin with a copy to
the Court of Appeals for the Second Circuit. The letter in effect reversed the South
African government’s opposition of the litigation under former President Thabo
Mbeki. In this regard, the Justice Minister observed that the suit no longer involved
claims against corporations that merely did business in South Africa during that
time and instead limited the claims to those ‘based on aiding and abetting very
serious crimes, such as torture, [and] extrajudicial killing committed in violation
of international law by the apartheid regime.’ (MATABOGE, 2009). The Minister
also informed the court that ‘[t]he government of the Republic of South Africa,
having considered carefully the judgment of the…Southern District of New York,
is now of the view that this Court is an appropriate forum to hear the remaining
claims of aiding and abetting in violation of international law.’ (MATABOGE,
2009). However, the letter also stated that the government would be ‘willing to
offer counsel to the parties in pursuit of a settlement.’ (MATABOGE, 2009). Justice
Department spokesperson Tlali Tlali said the government’s turnabout was based
on the realization that there was no ‘appropriate forum’ in South Africa for such
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litigation and that ‘the US court is an appropriate forum to hear these matters’ but
that the ‘government is, however, available to facilitate [out-of-court] settlements
if the litigants are amenable to that option.’ (MATABOGE, 2009).
On 30 November 2009, the U.S. government as amicus curiae submitted
to the Court of Appeals for the Second Circuit a brief supporting the plaintiffs as
appellees (UNITED STATES OF AMERICA, 2009e). In short, the brief argues that
since the U.S. did not explicitly request that the case be dismissed on foreign policy
grounds (UNITED STATES OF AMERICA, 2009e, p. 2)48 and since Judge Sheindlin
did not deny defendants’ motion to dismiss despite such request, the collateral
order doctrine was not satisfied and the court should dismiss the appeal by the
defendants for lack of jurisdiction (UNITED STATES OF AMERICA, 2009e, p. 12).49
Both recent submissions clearly indicate a drastic turnabout. The effect of
these new submissions remains uncertain as judgment from the 11 January 2010
hearing by the Court of Appeals as to whether the litigation may proceed remains
reserved until later this year. Another uncertainty is that while Judge Scheindlin’s
opinion effectively excluded executive submission on the issue, it is unclear whether
the Supreme Court if faced to hear the case will follow a similarly undeferential
approach. If not, the new statements issued by the Zuma and Obama administration
may well assist the plaintiffs’ case provided an out-of-court settlement does occur
before the matter can be heard. It is argued that such an outcome would be
disappointing and undesirable.50
7 Conclusion
The possibility of indirect liability for aiding and abetting violations of international
law under the ATCA not only has the potential to promote U.S. foreign policy
and encourage beneficial investment but also to afford justice to litigants who
are entitled claimants. Litigating in U.S. courts is particularly beneficial as many
multinational corporations have sufficient ties with the U.S. allowing plaintiffs
to establish jurisdiction (NEMEROFF, 2008, p. 251). Corporations are also more
likely to have sufficient assets to pay successful claimants and are unlikely to
abandon their operations in the U.S. to avoid paying damages (NEMEROFF, 2008,
p. 251). Defendant corporations should be held liable where they have knowingly
participated in a violation of an international norm. Upon Judge Scheindlin’s
formulation for imposing liability, which this paper supports, plaintiffs would bear
the onus of showing that a corporation knowingly provided substantial assistance
to a regime that committed human rights violations which infringed established
international norms (UNITED STATES OF AMERICA, 2009a, p. 54). Under this
standard it is highly unlikely nor has it ever been the case, that a company will be
held liable for merely doing business in a country with a poor human rights record.51
Establishing a clearer doctrine for aiding and abetting liability under the
ATCA will provide better guidance to potential plaintiffs as to whether they have
a claim as well as how to structure it and thereby avoid unnecessary litigation. It
has been noted that ‘critics of ATCA suits have long complained that courts have
used the statute to make decisions based more on personal preference than legal
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principle. This critique has been fueled by most American lawyers’ lack of familiarity
with international law and by courts’ failure to produce a clear methodology for
adjudicating ATCA cases…courts can and should define a specific methodology for
deciding issue of international law in U.S. courts…[as] a forum for the settlement of
disputes involving foreigners…ATCA litigation need not consist of the application
of amorphous standers and judicial fiat. Instead the litigation of international norms
in U.S. courts can be grounded in well-established legal doctrine’ (HOFFMAN;
ZAHEER, 2003, p. 83). So too it could provide guidance to corporations in ensuring
that they take preventative measures to reduce exposure to litigation. However,
despite current uncertainty corporations are not left without defences (some not
discussed in this paper), such as forum non conveniens, exhaustion of local remedies
and properly founded arguments under the political question and international
comity doctrines. The high evidentiary burden plaintiffs carry in such cases also
operates in favour of corporate defendants (DHOOGE, 2009, p. 289).
The doctrine of aiding and abetting liability under the ATCA appeared to
be gaining momentum culminating in Judge Scheindlin’s opinion however, since
then; various federal courts have handed down decisions pointing the other way.52
Perhaps most significantly, the Second Circuit’s ruling in Presbyterian Church of
Sudan v. Talisman Energy Inc (UNITED STATES OF AMERICA, 2009e) that in order
to establish aiding and abetting liability under the ATCA, a plaintiff must show
‘that a defendant purposefully aided and abetted a violation of international law.’
In changing the standard from mere knowledge to purpose, the Second Circuit
has placed a heavier burden on plaintiffs bringing ATCA claims.
It should also be noted that despite the Bush administration’s submissions,
the U.S. Congress has never sought to amend the ATCA to either expressly include
or exclude indirect liability. This congressional silence could be from a lack of
interest or consensus or a desire to defer to the Supreme Court. It has been argued
that Congress’s failure to amend the ATCA to include aiding and abetting liability
despite judicial precedent does not indicate legislative intention in favour of liability
and that the lack of Congressional approval combined with the absence of explicit
reference to aiding and abetting liability in the statute itself should prevent the
imposition of aiding and abetting liability against corporate defendants (DHOOGE,
2009, p. 282). The limited guidance provided by the Supreme Court in this regard
has forced lower courts to make decisions as to the application of the ATCA. Since
the more recent federal court decisions appear to be closing the door and limiting
the statute’s application in favour of defendants, the outcome of the Khulumani
case will prove to be crucial.
In this regard, an out-of-court settlement would prevent the setting of
further precedent and frustrate the process of crystallization set in motion by Judge
Scheindlin at a most crucial period. While Judge Scheindlin provided much needed
clarity to the political question and international comity doctrines as well as the
standard of intent required, the issue of aiding and abetting liability under the
ATCA still needs to be addressed by the Supreme Court. Whether the litigation is
allowed to proceed and whether it will reach a Supreme Court with the necessary
quorum to hear the matter remains to be seen.
v. 7 • n. 12 • Jun. 2010 • p. 173-197 ■ 189
AlIENS, APARtHEID AND US cOURtS: IS tHE RIGHt OF APARtHEID VIctIMS tO clAIM REPARAtIONS
FROM MUltINAtIONAl cORPORAtIONS At lASt REcOGNIZED?
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F. Supp. 2d 1164 (C.D. Cal. 2005).
______. 2005g. Mujica v. Occidental Petroleum Corp., 381 F. Supp 2d 1164 (C.D.
Cal. 2005).
______. 2006a. City of New York v. Permanent Mission of India, 446 F.3d 365 (2d
Cir. 2006).
______. 2006b. Presbyterian Church of Sudan v. Talisman Energy, Inc., 453 F. Supp.
2d 633 (S.D.N.Y. 2006).
______. 2006c. Will v. Hallock, 546 U.S. 345, 347.
______. 2007a. Khulumani v. Barclay National Bank, 504 F. 3d 254 (2d Cir. 2007).
______. 2007b. Sarei v. Rio Tinto PLC, 487 F. 3d 1193 (9th Cir. 2007).
______. 2007c. Corrie v. Caterpillar Inc., 503 F.3d 974 (9th Cir. 2007).
______. 2007d. Arias v. Dyncorp, 517 F. Supp. 2d 221 (D.D.C. 2007).
192 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
lINDIWE KNUtSON
______. 2007e. Doe v. Exxon Mobil Corp., 473 F.3d 345 (D.C. Cir. 2007).
______. 2007f. Jama v. Esmor Correctional Services, Civ. No. 97-03093, 2008 WL
724337 (D.N.J, 2007).
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(S.D.N.Y. 2009).
______. 2009b. Turedi v. Coca-Cola Company, 343 Fed Appx 623 (2d Cir 2009).
______. 2009c. Aldana v. Del Monte Fresh Produce Inc., 578 F. 3d 1283 (11th Cir.
2009).
______. 2009d. Sinaltrainal v. Coca-Cola Company, 578 F. 3d 1252 (11th Cir. 2009).
______. 2009e. Presbyterian Church of Sudan v. Talisman Energy Inc., 582 F. 3d 244
(2d Cir 2009).
______. 2009f. United States Court of Appeals for the Second Circuit: Brief for the United
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NOTES
1. the total number of such corporate defendant chevron texaco (UNItED StAtES OF AMERIcA,
cases from 1960 to present is approximately 85 2004b). Only two decisions have held that aiding
with 61 of these being brought after 1996. Alleged and abetting liability is not actionable: In re South
abuses include, for example, in Doe I v. ExxonMobil Africa Apartheid litigation (UNItED StAtES OF
(UNItED StAtES OF AMERIcA, 2005a) that AMERIcA, 2004c), (which was overturned by the
ExxonMobil in seeking to protect their natural Second circuit decision in Khulumani) and Doe I
gas facilities had abetted genocide and crimes v. Exxon Mobil (UNItED StAtES OF AMERIcA,
against humanity by the Indonesian military and in 2005a) which in fact relied on the overturned 2004
Presbyterian church of Sudan v. talisman Energy, decision of the Southern District court in In re
Inc. (UNItED StAtES OF AMERIcA, 2003) South Africa Apartheid litigation.
that talisman Energy in seeking to clear areas
5. the case consists of two consolidated class
surrounding their oil concessions had assisted the
actions. Plaintiffs in the first action, Ntsebeza v.
Sudanese government in committing genocide.
Daimler A.G. et al brought a class action on behalf
2. ‘the district courts shall have original of ‘themselves and all black South African citizens
jurisdiction of any civil action by an alien for a tort (and their heirs and beneficiaries) who during the
only, committed in violation of the law of nations…’. period from 1973 to 1994 suffered injuries’ as
Also known as the Alien tort Statute ‘AtS’. a result of the defendant’s direct and secondary
3. the U.S. Supreme court finally affirmed this violations of the law of nations. Plaintiffs in the
reading of the AtcA in Sosa v. Alvarez-Machain second action, Khulumani v. Barclays National
(UNItED StAtES OF AMERIcA, 2004a, p. 732). Bank ltd. et al (UNItED StAtES OF AMERIcA,
4. See Doe I v. Unocal (UNItED StAtES OF 2005d) include Khulumani (a South African
AMERIcA, 2002a); Khulumani v. Barclay National organization that ‘works to assist victims of
Bank (UNItED StAtES OF AMERIcA, 2007a); Apartheid-era violence’) and other individuals.
Presbyterian church v. talisman Energy, Inc. 6. the court dismissed the claims seeking direct
(UNItED StAtES OF AMERIcA, 2005b); In re liability for the tort of apartheid by non-state
terrorist Attacks on September 11, 2001 (UNItED actors, stating that ‘although the establishment of
StAtES OF AMERIcA, 2005c); Bowoto v. state-sponsored apartheid and the commission of
v. 7 • n. 12 • Jun. 2010 • p. 173-197 ■ 193
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inhumane acts needed to sustain such a system is 12. In re South African Apartheid litigation
indisputably a tort under customary international (UNItED StAtES OF AMERIcA, 2009a, p. 37-
law, the international legal system has not thus far 39) ‘the AtcA is merely a jurisdictional vehicle for
definitively established liability for non-state actors the enforcement of universal norms…[i]deally the
who follow or even further state-sponsored racial outcome of an AtcA case should not differ from
oppression.’ the result that would be reached under analogous
7. From 1789 to 1980, twenty-one cases asserted jurisdictional provisions in foreign nations.’
jurisdiction under the AtcA, with only two 13. Khulumani (UNItED StAtES OF AMERIcA,
judgments for the plaintiffs. 2007a, p. 39). Judge Katzmann (held that aiding
8. the plaintiffs were the family of Joelito or abetting liability requires proof of purpose
Filartiga, a seventeen year old Paraguayan citizen, or intention to assist in the commission of the
tortured and murdered by a Paraguayan police violation, relying on Article 25(3)(c) and (d) of the
Inspector General who the family then sued. Rome Statute of the International criminal court.
the Second circuit court reversed the District Judge Hall (at 60) held liability should be based on
court’s decision and allowed the claim, stating federal common law, not international law and could
that modern international law clearly prohibits only exist by ‘facilitating the commission of human
state-sponsored torture (UNItED StAtES OF rights violations by providing the principal with
AMERIcA, 1980, p. 884). tools, instrumentalities, or services to commit those
violations with actual or constructive knowledge
9. On the evidence presented the court concluded that those, instrumentalities, or services will be (or
that Unocal: knew the military had a record of only could be) used in connection with that purpose.’
committing human rights abuses and using forced Judge Korman (UNItED StAtES OF AMERIcA,
labour and hired them anyway to provide security 2007a, p. 68-69) endorsed Judge Katmann’s view
for the project, benefited from the forced labour of intention as the test for liability and so similarly
carried out and knew or should have known that rejected Judge Hall’s opinion that federal common
abuses were and would continue to be committed by law and knowledge were the determinants.
them. the court then dismissed the case concluding
14. In re South African Apartheid litigation
that Unocal could only be liable if they wanted the
(UNItED StAtES OF AMERIcA, 2009a, p.
military to commit the abuses, which the plaintiffs
45) relying on the Icty decisions as reflecting
had not shown. On 18 September 2002 the United
international law on the issue, see fn 161 of the
States court of Appeals for the Ninth circuit
opinion for a list of the cases relied upon by the court.
reversed the decision on the basis that the plaintiffs
need only show that Unocal knowingly assisted 15. In re South African Apartheid litigation
the military to commit the abuses. this having (UNItED StAtES OF AMERIcA, 2009a, p. 54
been shown, the case was found to have enough after acknowledging p. 49), that Article 25(3)(c) of
evidence to go to trial. A jury trial date was set the Rome Statute as interpreted by Judge Katzmann
for June 2005. However in March 2005 Unocal presents ‘the most difficult question concerning the
agreed to compensate the plaintiffs and thereby end universality of the knowledge standard for aiding
the historic lawsuit. See Doe v. Unocal (UNItED and abetting under customary international law’ but
StAtES OF AMERIcA, 2005e). that it should be interpreted to conform to pre-
Roman Statute customary law, see United States of
10. Since 1997, of the approximately 52 cases
America (2009a, p. 50-53).
launched against corporations using the AtcA,
only Jama v. Esmor corr. Serv (UNItED StAtES 16. torture Victims Protection Act (UNItED
OF AMERIcA, 2007b) resulted in a jury verdict StAtES OF AMERIcA, 1991, p. 106 Stat.
in favour of the plaintiffs. Excluding the cases still 73), enacted in 1992, (‘tVPA’) and Racketeer
pending, approximately 3 have been settled the most Influenced and corrupt Organizations Act (UNItED
famous being Doe I v. Unocal (UNItED StAtES OF StAtES OF AMERIcA, 1970), codified as chapter
AMERIcA, 2002a), 32 have been dismissed including 96 of 18 U.S.c. § 1961–1968 (‘RIcO’).
Presbyterian church v. talisman Energy, Inc (UNItED 17. As summarized by the Second circuit in
StAtES OF AMERIcA, 2005b) where the District Khulumani (UNItED StAtES OF AMERIcA,
court held that the plaintiffs had failed to provide 2007a, p. 294). the examples of assistance cited by
sufficient evidence showing talisman had provided the plaintiffs include automobiles by Daimler-Benz
‘substantial assistance’ to the Sudanese government in from which South African police shot at protestors,
committing violations of international law. computers manufactured by IBM used to implement
11. Since this decision approximately 104 cases racist policies, and loans with favorable repayment
have asserted AtcA jurisdiction in federal courts. terms from numerous financial institutions. See also
Approximately one-third of these involved claims In re South Africa Apartheid litigation (UNItED
against the U.S. government, its officials and/or StAtES OF AMERIcA, 2009a, p. 544-545).
government contractors all of which were dismissed, 18. Khulumani (UNItED StAtES OF AMERIcA,
another one-third involved claims against foreign 2007a, p. 260) (per curiam). the Second circuit
governments all of which were dismissed under the affirmed the dismissal of the tVPA claims on the
doctrine of sovereign immunity. the remaining third same basis as the lower court namely, that the
have involved corporate defendants. plaintiffs’ failed to establish a connection between
194 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
lINDIWE KNUtSON
the defendants’ actions and the conduct of South citizens alleging that the mining corporation was liable
African officials. for human rights violations and environmental damage
19. American Isuzu Motors, Inc. v. Ntsebeza in the area. the court also dismissed claims under
(UNItED StAtES OF AMERIcA, 2008) the the international comity and act of state doctrines.
order being in terms of Supreme court Rule 4(2) the decision was reversed on appeal in Sarei v. Rio
and 28 U.S.c. § 2109. the recusals undoubtedly tinto Plc (UNItED StAtES OF AMERIcA,
were due to the four justices (chief Justice Roberts 2007b, p. 1205-1207) where the court held that
and Justices Kennedy, Breyer and Alito) holding although ‘serious weight’ had to be given to executive
investments in or having family ties with some of submissions which raised foreign policy concerns, this
the defendant corporations. did not mean a court was bound to dismiss the case.
20. Khulumani (UNItED StAtES OF AMERIcA, 31. citing Kadic v. Karadzic, (UNItED StAtES OF
2007a, p. 260-264). Judge Sprizzo died on 16 AMERIcA, 1995, p. 249).
December 2008 leaving Judge Scheindlin to hear 32. citing Id. Accord Veith v. Jubelirer (UNItED
the case. StAtES OF AMERIcA, 2004e).
21. the governments of Germany, Switzerland, 33. citing city of New york v. Permanent Mission
canada and Britain expressed similar views of India (UNItED StAtES OF AMERIcA, 2006a,
although not by formal submission to the court as p. 376).
no British, canadian or Swiss defendants remained.
34. citing Hilton v Guyot (UNItED StAtES OF
22. 10/30/03 Submission of Interest of the U.S. at AMERIcA, 1895).
1, cited in In re South African Apartheid litigation
35. citing In re Maxwell comm. corp. (UNItED
(UNItED StAtES OF AMERIcA, 2009a, p. 88).
StAtES OF AMERIcA, 1996).
23. Brief for the United States of America as
36. the Submission of Interest never states that this
amicus curiae supporting Respondents as cited
litigation will necessarily deter such investment, and
in Khulumani (UNItED StAtES OF AMERIcA,
there is no reason to believe based on the pleadings
2007a, p. 13).
that these cases – viewed in light of the applicable
24. 4/15/03 Submission of thabo Mbeki as cited in law - will have such an effect.
In re South African Apartheid litigation (UNItED
37. citing Baker v. carr (UNItED StAtES OF
StAtES OF AMERIcA, 2009a, p. 91).
AMERIcA, 1962). In contrast, see the case of
25. 7/23/03 Declaration of Penuell Mpapa Maduna, corrie v. caterpillar Inc. (UNItED StAtES OF
Minister of Justice, Republic of South Africa at AMERIcA, 2007d) where caterpillar Inc. was
para 3.3 as cited in In re South African Apartheid sued for aiding and abetting extrajudicial killing
litigation (UNItED StAtES OF AMERIcA, by selling bulldozers to the Israeli Defense Force.
2009a, p. 92). the United States Government had in fact paid for
26. See also Final Report of the truth and the bulldozers. In light of this, the Ninth circuit
Reconciliation commission (tRc, 2003). dismissed the case based on the political question
27. In re South African Apartheid litigation doctrine, reasoning that a decision would amount to
(UNItED StAtES OF AMERIcA, 2009a, p. questioning the political branch’s decision to provide
262, footnote 10), both parties to the dispute military assistance.
‘agreed that Sosa’s reference to ‘case-specific 38. the ten cases are the following: Arias v. Dyncorp
deference’ implicates either the political question or (UNItED StAtES OF AMERIcA, 2007e), Bowoto
international comity doctrine.’ v. chevron (UNItED StAtES OF AMERIcA,
28. the six factors being: [1] textually 2004b), corrie v. caterpillar (UNItED StAtES
demonstrable constitutional commitment of the OF AMERIcA, 2007d), Doe v. Exxon Mobil corp.
issue to coordinate a political department; [2] a (UNItED StAtES OF AMERIcA, 2007f), Doe v.
lack of judicially discoverable and manageable Unocal (UNItED StAtES OF AMERIcA, 2005e),
standards for resolving it; [3] the impossibility of In Re Agent Orange Product liability litigation
deciding without an initial policy determination of (UNItED StAtES OF AMERIcA, 2005f),
a kind clearly for nonjudicial discretion; [4] the Khulumani v. Barclay National Bank, ltd., Mujica
impossibility of a court’s undertaking independent v. Occidental (UNItED StAtES OF AMERIcA,
resolution without expressing lack of respect due to 2005d), Presbyterian church of Sudan v. talisman
coordinate branches of government; [5] an unusual Energy, Inc. (UNItED StAtES OF AMERIcA,
need for unquestioning adherence to a political 2006b), Sarei v. Rio tinto, (UNItED StAtES OF
decision already made; [6] potential embarrassment AMERIcA, 2002b, 2007b).
from multifarious pronouncements by various 39. the two exceptions being: Bowoto v. chevron
departments on one question (UNItED StAtES OF (UNItED StAtES OF AMERIcA, 2004b) where
AMERIcA, 1962, p. 217). the judge has not yet responded to the executive
29. cited in In re South African Apartheid submission and Doe v. Unocal (UNItED StAtES
litigation (UNItED StAtES OF AMERIcA, OF AMERIcA, 2005e) where the parties settled
2009a, p. 105). before the court could address the issue.
30. the plaintiffs were a group of Bougainvillian 40. corrie v. catepillar (UNItED StAtES OF
v. 7 • n. 12 • Jun. 2010 • p. 173-197 ■ 195
AlIENS, APARtHEID AND US cOURtS: IS tHE RIGHt OF APARtHEID VIctIMS tO clAIM REPARAtIONS
FROM MUltINAtIONAl cORPORAtIONS At lASt REcOGNIZED?
AMERIcA, 2007d) and Mujica v. Occidental Rule of Appellate Procedure 4(a)(4)(A) and so the
Petroleum corp (UNItED StAtES OF AMERIcA, notice of appeal on 25 June 2009 was timely.
2005g) in both, the political question doctrine was 48. Stating that ‘when a defendant seeks dismissal
found to apply. of a suit predicated on the suit’s interference with
41. In re South African Apartheid litigation the United States’ foreign relations, a district
(UNItED StAtES OF AMERIcA, 2009a, p. 105- court’s denial of the motion to dismiss is subject
107), see also for example city of New york v. to interlocutory appeal under the collateral order
Permanent Mission of India (UNItED StAtES OF doctrine only if the United States explicitly informed
AMERIcA, 2006a, p. 377, footnote 17) where the the court that the case should be dismissed on that
court stated that the foreign policy concerns were ground. At no time in this litigation has the United
not sufficiently severe, lacked a sufficient ‘level of States made such a representation to the courts.
specificity’ and were too ‘speculative’. Because defendants’ appeal therefore does not come
42. For an in depth discussion on the policy of within the limited reach of the collateral order
constructive engagement and how it promotes doctrine, this court should dismiss the appeal for
freedom see USA Engage ‘Economic engagement lack of jurisdiction.’ the statement acknowledged
promotes freedom’ (available at <http://archives. but distinguished that previous U.S. briefs in this
litigation made legal arguments under the AtcA
usaengage.org/archives/studies/engagement.html>
and supported dismissal on this basis at 10.
last accessed on 30 June 2010). the model posits
that Western business officials and corporations 49. citing the Supreme court case of Will v.
impart democratic values through interaction with Hallock (UNItED StAtES OF AMERIcA,
the government officials and local employees of 2006c, p. 349), that for an order to qualify as
that country and that Western governments can use a collateral order subject to immediate appeal,
such interactions to bring about reform. Further, the order must ‘[1] conclusively determine the
that investments create a middle class in that disputed question, [2] resolve an important issue
country who then push for similar reform. South completely separate from the merits of the action,
Korea is used as an example of the first test case and [3] be effectively unreviewable on appeal from
for constructive engagement. the U.S. government a final judgment.’ the Supreme court went on to
claims that its decision to continue economic explain that the third criterion referred to an order
relations and engagement despite South Korean that would impair a right to avoid trial (UNItED
Special Forces killing 200 civilians on May 18, StAtES OF AMERIcA, 2006c, p. 350-351) and
1980 contributed to bringing about democracy. more specifically ‘of a trial that would imperil a
substantial public interest’ (UNItED StAtES OF
43. See for example in Doe v. Unocal (UNItED
AMERIcA, 2006c, p. 353).
StAtES OF AMERIcA, 2005e) the Bush
Administration’s criticisms of and imposition of 50. For the most recent and controversial
sanctions against the Burmese military while at the settlement see Doe v. Unocal (UNItED StAtES OF
same time arguing against liability for corporations AMERIcA, 2005e).
complicit in human rights abuses committed there. 51. this is evident from what remains of the
44. See also ‘Nobel laureate endorses Apartheid consolidated actions first filed in 2002 and 2003
reparations’ (tERREBlANcHE, 2003). in In re South African Apartheid litigation
(UNItED StAtES OF AMERIcA, 2009a) at 134-
45. Such as oil, gas or mining operations, which
135 now vastly different and much narrower after
cost corporations large amounts to establish,
5 years of litigating motions to dismiss. the most
Doe v. Unocal (UNItED StAtES OF AMERIcA, recent order dismissed claims against corporate
2005e); Wiwa v. Royal Dutch Petroleum (UNItED defendants who merely did business with the
StAtES OF AMERIcA, 2000); Doe v. Exxon Apartheid government (claims against Barclays
Mobil (UNItED StAtES OF AMERIcA, 2005a); Bank ltd. and Union Bank of Switzerland) and
Mujica v. Occidental Petroleum (UNItED StAtES dismissed claims that a corporation which aided
OF AMERIcA, 2005g); Bowoto v. chevrontexaco and abetted particular acts could be held directly
(UNItED StAtES OF AMERIcA, 2004b); liable for the tort of apartheid.
Presbyterian church of Sudan v. talisman Energy,
Inc. (UNItED StAtES OF AMERIcA, 2003). 52. Recent decisions contributing to the reining in
of the application of the doctrine include turedi v.
46. In re South African Apartheid litigation coca-cola company company (UNItED StAtES
(UNItED StAtES OF AMERIcA, 2009a, p. 111, OF AMERIcA, 2009b) (7 July, 2009) and Aldana
286) where the court explained that doing so was v. Del Monte Fresh Produce (UNItED StAtES OF
unnecessary in light of its ‘determination that the AMERIcA, 2009c) (13 August, 2009) where the
political question doctrine and international comity courts have been willing to affirm AtcA dismissals
do not require dismissal.’ on grounds on forum non conveniens. In Sinaltrainal
47. Federal Rule of Appellate Procedure 4 requires v. coca-cola company (UNItED StAtES OF
filing a notice of appeal within 30 days of the AMERIcA, 2009d) (11 August, 2009) the court
‘judgment’ appealed. the 30-day time period runs relied on heightened pleading standards enunciated
from the day that the district court denied defendants’ by the Supreme court in other cases to impose a
reconsideration motion on May 27 2009, see Federal higher standard of pleading on AtcA claimants.
196 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
lINDIWE KNUtSON
RESUMO
Na última década, um crescente número de casos apresentados perante cortes dos EUA continha
a alegação de que grandes empresas multinacionais foram cúmplices de violações de direitos
humanos cometidas por agentes de governos estrangeiros, dos quais teriam se beneiciado. Estes
casos relacionam-se a uma das questões mais controversas da defesa internacional dos direitos
humanos, qual seja, a previsão da obrigação de reparação secundária e indireta e, em particular, a
obrigação de reparação por cumplicidade. Enquanto a Suprema Corte dos EUA deverá ainda tratar
do assunto, muitas Cortes do Circuito e Distritais decidiram que a obrigação de reparação por
cumplicidade está incluída no escopo da Lei de Reclamação sobre Danos Estrangeiros (Alien Tort
Claims Act, ATCA). Este artigo visa a examinar a decisão mais recente do caso In re Apartheid da
África do Sul (usualmente conhecido como o caso Khulumani), decidido pela Corte Distrital Sul
de Nova Iorque, e argumentar a favor da decisão da Corte de que a obrigação de reparação por
cumplicidade está prevista, é necessária e desejável e não entra em conlito com questões políticas
e doutrinas de convivência harmônica internacional. Argumentar-se-á que as propostas contra o
reconhecimento deste tipo de obrigação, como as da administração Bush e do governo sul-africano
de Mbeki, são baseadas em julgamentos errôneos, ilógicas e prejudiciais, e que, sem esta ameaça,
prevista pela ACTA, empresas multinacionais não enfrentariam as conseqüências por colaborar
com os mesmos abusos que a política externa dos EUA alega procurar evitar.
PALAVRAS-CHAVE
Lei sobre Danos Estrangeiros (ACTA) – Obrigação de reparação por cumplicidade – Vítimas
do Apartheid – Reparação – Empresas multinacionais – Questão política – Convivência
harmônica internacional
RESUMEN
En la última década, en una cantidad cada vez mayor de casos presentados ante la justicia de
los Estados Unidos se airma que grandes corporaciones multinacionales fueron cómplices y
se beneiciaron de violaciones a los derechos humanos cometidas por agentes de gobiernos
extranjeros. Estos casos tienen que ver con una de las cuestiones más debatidas en los litigios
internacionales por los derechos humanos: la responsabilidad secundaria o indirecta, y en
particular la responsabilidad por complicidad. Si bien la Corte Suprema de Estados Unidos aún
debe abordar la cuestión, muchos tribunales de primera y segunda instancia han decidido que la
responsabilidad por complicidad está prevista en la Alien Tort Claims Act - ‘ATCA’.
El presente trabajo procura examinar el fallo más reciente en el caso In re South African
Apartheid Litigation (comúnmente citado como el caso Khulumani) del Tribunal de Distrito
Sur de Nueva York, y argumenta a favor de la opinión del tribunal en el sentido de que la
responsabilidad por complicidad está prevista, es necesaria y deseable, y no entra en conlicto
con las doctrinas de la cuestión política y la cortesía internacional. Se argumentará que las
manifestaciones en contra del reconocimiento de esta responsabilidad, como las de los
gobiernos de Bush y de Mbeki en Sudáfrica, son equivocadas, ilógicas y perjudiciales y que sin
la amenaza de la responsabilidad, que puede ofrecer la ATCA, las empresas multinacionales no
enfrentarán las consecuencias por ser cómplices de los mismos abusos que la política exterior de
Estados Unidos dice querer evitar.
PALABRAS CLAVE
Alien Tort Claims Act (ATCA) – Responsabilidad por complicidad – Víctimas del Apartheid –
Reparaciones – Corporaciones multinacionales – Cuestión política – Cortesía internacional
v. 7 • n. 12 • Jun. 2010 • p. 173-197 ■ 197
DAVID BIlcHItZ
Prof. David Bilchitz is an Associate Professor at the University
of Johannesburg, and Director of the South African Institute for
Advanced constitutional, Public, Human Rights and International
law. He has a BA (Hons) llB from the University of the
Witwatersrand and an MPhil and PhD from the University of
cambridge. His book Poverty and Fundamental Rights was published
by Oxford University Press in 2007 and he has published widely in other fields
relating to fundamental rights including business and human rights.
Email: davidb@saifac.org.za
ABSTRACT
John Ruggie, Special Representative to the Secretary-General of the United Nations on
Business and Human Rights, has released a framework in which he contends that the key
responsibility of corporations is to respect human rights. his paper irst seeks to analyse this
contention in light of international human rights law: it shall be argued that whilst Ruggie’s
conception of the responsibility to respect efectively includes a responsibility to protect as
well, the nature of the responsibility remains largely ‘negative’ in nature. he second part of
this paper argues that Ruggie’s conception of the nature of corporate obligations is mistaken:
corporations should not only be required to avoid harm to fundamental rights; they
must also be required to contribute actively to the realisation of such rights. A normative
argument will be provided for this contention. his understanding of the nature of corporate
obligations is of particular importance to developing countries and will be illustrated by
considering the duties of pharmaceutical companies to make life-saving drugs available at
afordable prices to those who need them.
Original in English.
Submitted in April 2010. Accepted in May 2010.
KEYWORDS
Ruggie Framework – Corporations – Human rights – Positive obligations – Obligations to
respect, protect and fulil – Developing countries
his paper is published under the creative commons license.
his paper is available in digital format at <www.surjournal.org>.
198 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
THE RUGGIE FRAMEWORK: AN ADEQUATE RUBRIC
FOR CORPORATE HUMAN RIGHTS OBLIGATIONS?
David Bilchitz
Human Rights advocates are increasingly realising the importance of ensuring
that responsibility for the realisation of such rights is not the responsibility of
states alone (see HUMAN RIGHTS WATCH, 2008; PAUST, 2002, p. 817-819).1 The
traditional focus of international law has been upon states as the primary subjects
of international law: yet, in recent years, greater focus is being placed both in
academia and in the United Nations (‘UN’) upon the legal obligations of non-
state actors such as non-governmental organisations, liberation organisations, and
corporations (ALSTON, 2005, p. 4-6). In particular, given the power of corporations
to impact upon the realisation of fundamental rights, there have been a range
of initiatives, mostly voluntary ones, seeking to outline the responsibilities of
corporations in this regard.2
In 2005, the United Nations Human Rights Council asked the UN
Secretary-General to appoint a Special Representative (‘the SRSG’) to investigate
a number of important issues relating to business and human rights. The mandate
of the SRSG arose from the failure by the Council a year earlier to adopt a
document known as the UN Norms on the Responsibilities of Transnational
Corporations and other Business Enterprises with Regard to Human Rights
(henceforth, ‘Norms’).3 The appointee – Prof John Ruggie of Harvard University
– has conducted wide-ranging research in this area and released a series of
important reports.4 In April 2008, he made public his proposed framework for
the imposition of human rights responsibilities upon corporations (what I shall
term ‘the Ruggie framework’). This article seeks to evaluate Ruggie’s conception
of the nature and extent of the responsibilities of corporations for the realisation
of fundamental rights.5
Part I of this paper is concerned with recognising the importance of this
Notes to this text start on page 224.
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tHE RUGGIE FRAMEWORK: AN ADEQUAtE RUBRIc FOR cORPORAtE HUMAN RIGHtS OBlIGAtIONS?
issue within the work of the Ruggie mandate as well as with capturing accurately
what Ruggie in fact envisages as being the nature of the responsibilities of
corporations in relation to fundamental rights. First, a brief history of the mandate
is outlined which, as is suggested in the concluding section of this article, may
provide some explanation for the conservative positions that Ruggie adopts. After
outlining the key components of Ruggie’s 2008 framework, the focus is shifted
on to Ruggie’s claim that corporations essentially have only a ‘responsibility to
respect’ fundamental rights. Principles of international human rights law are
used to help clarify what Ruggie means by the ‘responsibility to respect’ which,
it shall be argued, includes a ‘responsibility to protect’ as well. Despite Ruggie’s
wider interpretation of this responsibility, it is argued that the core of Ruggie’s
position is that corporations generally only have ‘negative obligations’ to avoid
harming the fundamental rights of others either through their own actions or
those they are associated with.
Part II of this paper critically evaluates Ruggie’s conception of the scope
of corporate obligations. A normative argument is provided for the claim that
corporate obligations should not only involve ‘negative’ obligations to avoid
harm but also include a ‘duty to fulfil’: obligations to contribute actively
to the realisation of fundamental rights. The argument involves engaging
with Ruggie’s claims concerning the differential responsibilities of states and
corporations. Whilst sympathetic to the need for such a distinction, I argue
that this difference does not track the distinction between positive and negative
obligations. I go on to consider an example which highlights the importance
of recognising that corporations have positive obligations for the realisation
of fundamental rights. The example relates to the duties of pharmaceutical
companies to make life-saving drugs (such as anti-retroviral treatments) available
at an affordable price and provides a clear illustration of the large impact that
corporate positive obligations may have upon individuals, particularly those in
developing countries.
The concluding part of this paper considers a possible explanation for the
key problem that I have identified in Ruggie’s work. Many of his conclusions, I
argue, are motivated by a desire to achieve consensus in the global community
which ultimately has entailed making a number of pragmatic compromises
to achieve this end. Whilst human rights advocates should be sensitive to the
difficulties of attaining a global consensus, Ruggie’s framework goes too far
in sacrificing principle for the purposes of achieving agreement. As it stands,
the f laws in Ruggie’s framework – particularly his reduction of corporate
obligations to a ‘responsibility to respect’ – could threaten the realisation of
fundamental rights (particularly in the developing world) and imperil the
development of a more adequate framework for the protection of fundamental
rights in the longer term. Accepting Ruggie’s minimalist framework as it
stands would mean reducing widely our expectations of business and the
very possibility of transforming our world from the current status quo of
vast differentials in well-being into one that offers the possibility of realising
the rights of all.
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DAVID BIlcHItZ
Part I
The Ruggie Mandate and the Nature
of Corporate Responsibilities
(i) Context
In 2003, the United Nations Sub-commission on Human Rights adopted a
document known as the ‘UN Norms on the Responsibilities of Transnational
Corporations and Other Business Enterprises with regard to Human Rights’ (henceforth,
‘the Norms’). These Norms sought “definitively to outline the human rights and
environmental responsibilities attributable to business” (NOLAN, 2005, p. 581).
Those responsibilities were designed to be mandatory obligations imposed upon
corporations by international law.6 The rights which the Norms identify as being
applicable to corporations include a number of unsurprising candidates such
as labour and environmental rights as well as a general catch-all provision that
corporations may be responsible for the full range of human rights within their
‘sphere of influence’ (UNITED NATIONS, 2003a, para. 1). As such, the Norms
went beyond the voluntary initiatives that had until this point been the dominant
framework in which corporate responsibility for the realisation of human rights
had been articulated. They imposed wide-ranging responsibilities upon business
for the realisation of fundamental rights whilst also outlining the contours of
an international legal regime that would govern transnational corporations
and other business enterprises in this area. The Norms, it was claimed, derived
their legal authority ‘from their sources in treaties and customary international
law, as a restatement of international legal principles applicable to companies”
(WEISSBRODT; KRUGER, 2003, p. 915).7
The reaction to the Norms was mixed. Many international human rights
nongovernmental organisations (NGOs) endorsed the draft Norms (RUGGIE,
2007, p. 821). However, the business community, represented by the International
Chamber of Commerce and International Organisation of Employers, was strongly
opposed. The Norms were submitted to the Commission on Human Rights where
they received a largely hostile reception from a range of states (BACKER, 2006, p.
288). The Commission eventually declared that the Norms had ‘no legal standing’
and that the Sub-Commission ‘should not perform any monitoring function in
this regard’ (UNITED NATIONS, 2004b).
Though the Norms were divisive and failed to garner wide-ranging
support, many states still felt that the responsibilities of business for the
realisation of human rights were important and required further investigation.
A year after the resolution on the UN Draft Norms, the UN Human
Rights Commission asked that the UN Secretary-General appoint a Special
Representative (the SRSG) to investigate further some of the outstanding
issues relating to business and human rights (RUGGIE, 2007, p. 821). The
appointee – Prof John Ruggie of Harvard University – was initially appointed
for a two year period and was given a mandate that defined the terms of
reference for his activities.
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tHE RUGGIE FRAMEWORK: AN ADEQUAtE RUBRIc FOR cORPORAtE HUMAN RIGHtS OBlIGAtIONS?
(ii) The Mandate and its Key Features
The mandate of the SRSG required that he was to present his views and
recommendations for consideration by the Commission on the following issues:
(a) to identify and clarify standards of corporate responsibility and accountability for
transnational corporations and other business enterprises with regard to human rights;
(b) to elaborate on the role of States in effectively regulating and adjudicating the
role of transnational corporations and other business enterprises with regard to
human rights including through international co-operation;
(c) To research and clarify the implications for transnational corporations and other
business enterprises of concepts such as ‘complicity’ and ‘sphere of influence’;
(d) To develop materials and methodologies for undertaking human rights impact
assessments of the activities of transnational corporations and other business
enterprises;
(e) To compile a compendium of best practices of States and transnational
corporations and other business enterprises (UNITED NATIONS, 2005, para. 1).
It is clear that the mandate is a wide-ranging one and is meant to engage with a
number of key questions in the field of business and human rights. Clearly, in many
ways, the mandate emerged from the discussions surrounding the UN Draft Norms
which provided the impetus for the consideration of certain key issues.8 Considering
the various components of the mandate, its work can conceptually be divided into
two key areas: first, the SRSG must seek to clarify what may be termed the ‘content
question’: what in fact are the obligations that corporations have (or should have)
for the realisation of human rights?; secondly, there is the institutional question:
what institutions and forms of control can best ensure that corporations realise the
responsibilities that they have concerning fundamental rights? The latter question
raises a further issue as to who bears the responsibility for ensuring that corporations
meet their responsibilities: the mandate is required to investigate the role of the state
in this regard as well as the role of corporations themselves in this process.9
Whilst some of the tasks of the mandate are evidence-based and require
descriptive research, the ultimate import of the mandate – at least in relation to the
‘content question’ - must be normative. Its starting point is that there is a lack of
clarity concerning the responsibilities of corporations for human rights protection
and the task of the SRSG is to provide clarification in that regard. The notion of
clarification suggests that existing standards are unclear and lacking in definition.
Yet, the process of clarifying standards is not simply a descriptive process: rather, it
requires interpretation of the existing international legal position as well as choices
to be made concerning the standards that ‘ought’ to govern a particular area.10 This
is something that has been recognised by the SRSG in his very first report where,
describing his mandate, he states that “insofar as it inevitably will entail assessing
difficult situations that are themselves in flux, it inevitably will also entail making
normative judgements” (UNITED NATIONS, 2006, para. 81).
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DAVID BIlcHItZ
(iii) The Execution of the Mandate and the Framework
Since the beginning of his mandate, Ruggie has stimulated much discussion in this area
and produced a number of important documents. He has, together with his team of
researchers and advisors, organised consultations with the most important stakeholders
in this area and has conducted wide-ranging academic research in this field (RUGGIE,
2007, p. 822). He has also produced four important reports that have been placed before
the Commission on Human Rights each year. The focus of this paper will be on the
Ruggie framework, a report released in 2008, which contains a proposed ‘conceptual
and policy framework, a foundation on which thinking and action can build’ (UNITED
NATIONS, 2008a, para. 8). To the extent that his prior and subsequent reports have
influenced the nature of the framework, these too will be considered.
Ruggie’s framework rests upon what he terms ‘differentiated but
complementary responsibilities’ (UNITED NATIONS, 2008a, para. 9) and comprises
three main principles. First, the report emphasizes the state’s duty to protect
individual rights against abuse by non-state actors.11 To this end, states are
encouraged to introduce regulatory measures to strengthen the legal framework
governing human rights and business, as well as to provide mechanisms for the
enforcement of such obligations (UNITED NATIONS, 2008a, para. 18).
Secondly, businesses are said to have the responsibility to respect human
rights. Ruggie claims in his framework that corporate responsibility extends to all
internationally recognised human rights. He also contends that it is necessary to
focus on the specific responsibilities of corporations in relation to fundamental
rights and to distinguish these from the responsibilities of states. “To respect rights
essentially means not to infringe on the rights of others – put simply to do no harm”
(UNITED NATIONS, 2008a, para. 24). The report proposes a ‘due diligence’ approach
whereby companies are expected to ensure that the impact of their activities does
not cause adverse human rights impacts.
Finally, the third principle is that there must be access to remedies where
disputes arise concerning the impact of corporations upon fundamental rights
(UNITED NATIONS, 2008a, para. 26, 82). This involves ensuring that investigative
processes take place where violations are alleged, as well as making provision for
redress and punishment where required. The report proposes a variety of judicial
and non-judicial mechanisms to improve and strengthen enforcement.
Despite Ruggie’s presentation of the three prongs of the framework as equally
important components thereof, it is important to consider whether this is so and the
relationship between them. When we consider the state duty to protect, it becomes
evident that this forms part of the state’s function as an enforcement agent at
international law: this means that the state is itself tasked with ensuring that other
entities understand and comply with their responsibilities concerning fundamental
rights. The actual detail of the state duty to protect – what enforcement measures
it must take, for instance – will be guided by the obligations that non-state actors
have and the ways in which they can impact upon fundamental rights. These
obligations are dealt with in the second part of Ruggie’s framework which outlines
the corporate responsibility to respect.
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tHE RUGGIE FRAMEWORK: AN ADEQUAtE RUBRIc FOR cORPORAtE HUMAN RIGHtS OBlIGAtIONS?
A similar point can be made about the third part of the framework
- dealing with access to remedies - which is not about the content of the
obligations that corporations have but the remedies that must be provided if
such obligations are not met. The first and third parts of the framework thus
work together: if the state is the primary enforcement agent, then it will be
responsible for ensuring that remedies are available when fundamental rights
are violated. In fact, the third part of the framework can be seen largely as a
sub-section of the state duty to protect, determining what remedies the state
must create in the case of a violation (though the remedies need not be the
sole preserve of the state).
This analysis of the various parts of the Ruggie framework indicates that
the conceptual heart of the mandate must relate to clarifying the obligations
of corporations for the realisation of human rights. The first and third parts of
the framework are dependent upon achieving an adequate conception as to the
ambit of corporate obligations. It is to this question that I now turn.
(iv) The Corporate Responsibility to Respect
The key normative part of Ruggie’s framework is, in many ways, his claim that
corporations have the specific responsibility to respect human rights. The scope
of this duty he claims is defined largely by ‘social expectations’ and the notion of
a company’s ‘social license to operate’ (UNITED NATIONS, 2008a, para. 54). The
responsibility to respect involves effectively ‘doing no harm’. This goes beyond
a passive responsibility and can entail taking positive steps.12 Discharging the
responsibility requires reference to the notion of due diligence.13 “This concept
describes the steps a company must take to become aware of, prevent and address
adverse human rights impacts’ (UNITED NATIONS, 2008a, para. 56). The scope
of the duty can be highlighted by three sets of factors. First, consideration must
be given to the contexts in which business activities take place and the particular
human rights challenges that may arise. Secondly, the impact of business upon
human rights within these specific contexts must be taken into account. Finally,
the potential for business activities to contribute to abuse through relationships
with other agents – such as business partners, suppliers, State agencies, and
other non-State actors – must be considered. The substantive content of the
due diligence process involves reference to the International Bill of Rights
and conventions of the International Labour Organisation which embody the
benchmarks against which ‘social actors judge the human rights impacts of
companies’ (UNITED NATIONS, 2008a, para. 58).
In order to grasp what he means by the responsibility to respect, it is
important to distinguish the language Ruggie uses from that employed in the
Norms. It is noticeable that the Norms place a much wider range of obligations
upon corporations to ‘promote, secure the fulfilment of, respect, ensure respect
of, and protect human rights recognised in international as well as national law’
within their sphere of activity and influence (UNITED NATIONS, 2003a, para. 1).
Ruggie begins his discussion of the nature of corporate obligations by criticising
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DAVID BIlcHItZ
the approach taken by the Norms. The Norms, he claims, attempt to identify a
specified list of rights for which corporations may be responsible. In relation to
those rights, the Norms extend the entire range of duties that States have with
the proviso that corporations only have such duties where they fall within a
corporation’s ‘sphere of influence’ and that such duties are ‘secondary’ rather than
‘primary’. Ruggie criticises this framework for attempting to define a ‘limited list
of rights linked to imprecise and expansive responsibilities’ rather than ‘defining
the specific responsibilities of companies with regard to all rights’ (UNITED
NATIONS, 2008a, para. 51).14 In order to capture accurately the differences between
Ruggie’s position and that outlined in the Norms, it is necessary to investigate
in particular the technical meaning of the obligations to respect, protect and
fulfil in international human rights law.
Henry Shue (1996, p. 52) famously criticised attempts to distinguish between
‘negative rights’ and ‘positive rights’ on the grounds that the former give rise
largely to obligations to avoid infringing the rights of others whilst the latter give
rise to obligations actively to take steps to realise the rights of others.15 According
to Shue, it is more accurate to recognise that the ‘complete fulfilment of each
kind of right involves the performance of multiple kinds of duties’ (SHUE, 1996,
p. 52). Thus, each right – whether a civil and political right or a socio-economic
right - does not have only one type of correlative duty but rather can be seen to
have at least three types of derivative duties emanating from it, if the right is
to be successfully realised.16 These duties include duties to avoid depriving an
individual of a right (these are largely ‘negative’ in character); duties to protect
individuals from the deprivation of their rights (these arise largely in order to
ensure that duties to avoid depriving and to aid are enforced); and duties to aid
the deprived (these are largely ‘positive’ in character and require active steps to
be taken to fulfil the rights) (SHUE, 1996, p. 52-55).
Shue’s typology of duties has influenced the analysis of the obligations
imposed by the human rights treaties upon State parties.17 It has thus been
mirrored in international human rights language by recognising that states have
a duty to respect (avoid depriving); a duty to protect (protect from deprivation);
and a duty to fulfil (aid the deprived). In recent years, some of the treaty bodies
have expanded upon this framework to take account of further obligations that
may be necessary for the effective implementation of a right.18
Seen in this light, Ruggie’s claim that corporations only have a responsibility
to respect would appear prima facie to involve a severe contraction of the
obligations that corporations may be required to perform in comparison to
those imposed by the Norms.19 Indeed, the comparison would seem to suggest
that, on Ruggie’s account, corporations largely have responsibilities to refrain
from violating rights but are not required actively to contribute towards their
realisation. Some of Ruggie’s statements concerning the responsibility to respect,
however, cast some ambiguity as to whether it is to be understood in the restrictive
manner that international human rights law would suggest. The next section
attempts to gain further clarity on the nature of the responsibility to respect in
Ruggie’s work prior to engaging critically with it.
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tHE RUGGIE FRAMEWORK: AN ADEQUAtE RUBRIc FOR cORPORAtE HUMAN RIGHtS OBlIGAtIONS?
(v) The ‘Negative’ Core of the Responsibility to Respect
The key element of the responsibility to respect does appear to be the negative duty to
avoid infringing the rights of others, ‘put simply, to do no harm’ (UNITED NATIONS,
2008a, para. 24). Ruggie claims that this is the ‘baseline expectation for all companies
in all situations’ (UNITED NATIONS, 2008a, para. 24). Yet, he claims that there may be
additional responsibilities that corporations have in particular circumstances: Ruggie
recognises that these may arise where companies perform certain public functions
or have undertaken additional commitments voluntarily. These responsibilities do
not, however, apply in all situations: it is only the negative responsibility to respect
that applies across the board (UNITED NATIONS, 2009c, para. 48).
Moreover, in exploring the ambit of the responsibility to respect, Ruggie
does state that ‘doing no harm’ can require that positive steps be adopted to
ensure that negative consequences do not result from corporate action (UNITED
NATIONS, 2008a, para. 24).20 How does this impact on the nature of the duties that
are encompassed by the responsibility to respect?
The example Ruggie uses is important in helping to understand the ambit
of the responsibility to respect: a workplace anti-discrimination policy, he claims,
might require that a company adopt specific recruitment and training programmes
(UNITED NATIONS, 2008a, para. 55). If we try to draw out what he could mean by
this statement, presumably, the training component of such programmes would be
designed to shift discriminatory attitudes within a firm. 21 Recruitment programmes
would, it seems, at least have to be based upon equal opportunity principles and could
perhaps also involve some form of affirmative action to redress past discriminatory
practices. This example, however, highlights the fact that any positive steps that a
company must take are ultimately designed to prevent violations of fundamental
rights: in the example Ruggie gives, the violation would involve the infringement of
equality rights through discriminatory practices. The positive duties of a company
in this context simply flow from its general ‘negative’ obligation to avoid violating
rights and essentially are designed to guard against any such violations.
Corporate obligations for Ruggie are also not simply confined to taking
positive steps to avoid violating rights through its own actions. In the due diligence
enquiry that he proposes, Ruggie supports the position that a corporation must also
consider how it could contribute to human rights violations through the abuses
of third parties.22 He is clear that the corporate responsibility to respect would
involve avoiding ‘complicity’ which ‘refers to the indirect involvement by companies
in human rights abuses – where the actual harm is committed by another party,
including governments and non-State actors’ (UNITED NATIONS, 2008a, para. 73).
What Ruggie says here can be likened to the positive duties a state would
have to protect individuals against the abuse of their rights by third parties. Take,
for instance, its obligations in relation to the right to freedom and security of the
person. In fulfilling this right, the state would be required, amongst others things,
to protect individuals against violent criminal activity. This would entail the state
setting up proper enforcement agencies, seeking to understand the causes of crime
and addressing these through carefully designed policies. The state could also be
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required to educate its citizens about ways of avoiding criminal activity as well as
to provide advice on how to avoid becoming the victim of crime.23
In the context of the state, such a duty would usually form part of what is
referred to in international human rights law as the ‘duty to protect’. In relation
to corporations, it would seem then that Ruggie envisages moving beyond the
traditional meaning of a responsibility to respect in human rights law. In fact, his
views seem to imply that corporations also have a responsibility to protect individuals
against abuses by third parties with whom they have some form of contact.
His conflation of these two duties within the responsibility to respect framework
is likely to lead to confusion given the different taxonomy in human rights law. Given
his views on this matter, it would have been desirable thus to recognise explicitly
that corporate responsibilities include both duties to respect and protect as they are
conceived of currently in human rights law. However, even with this deeper analysis
of what Ruggie’s framework envisages for corporate obligations, it is still evident that
his framework narrows the focus of corporate obligations to the largely ‘negative’ task
of avoiding harm to fundamental rights – whether it is the corporation’s own actions
or those it is associated with - rather than requiring that corporations assume positive
obligations actively to take steps to assist in the realisation of human rights.24 In the next
part of this article, this contention about the distinctive ambit of corporate obligations
for the realisation of rights is examined critically and a normative argument provided
for expanding the range of these responsibilities to include a ‘duty to fulfil’.
Part II
Developing Corporate Duties Beyond
the Responsibility to Respect
(i) The Role of the State and the Role of the Corporation
One of the central criticisms that Ruggie lodges against the Draft Norms is the
fact that they ‘extend to companies essentially the entire range of duties that
States have’ (UNITED NATIONS, 2008a, para. 51). Whilst the Norms recognise that
certain rights may not pertain to companies, they ‘articulate no actual principle
for differentiating human rights responsibilities based on the respective social
roles performed by states and corporations’ (UNITED NATIONS, 2006, para. 66).
Whilst corporations may be ‘organs of society’, Ruggie claims they are ‘specialised
economic organs, not ‘democratic public institutions’ (UNITED NATIONS, 2008a,
para. 53). The differing nature of corporations and states thus means that corporate
‘responsibilities cannot and should not simply mirror the duties of States’ (UNITED
NATIONS, 2008a, para. 53). Consequently, Ruggie asserts, ‘by their very nature,
corporations do not have a general role in relation to human rights like states but
a specialised one’ (UNITED NATIONS, 2006, para. 66). Ruggie thus attempts in his
framework to identify the ‘distinctive responsibilities of companies in relation to
human rights’ (UNITED NATIONS, 2008a, para. 53). His claim that corporations
have only a responsibility to respect reflects this attempt to capture the particular
role they should play in relation to fundamental rights.25
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The argument here is of central importance in determining the role that
corporations should play in realising fundamental rights. It is uncontroversial
that the state and the corporation are distinctive entities with differing roles in
the social order. Yet, recognising this point does not entail that the obligations
of corporations are limited to the largely ‘negative’ duties encompassed by the
responsibility to respect. In order to understand the nature of the obligations that
corporations should have in relation to fundamental rights, we need a normative
theory that is capable of relating the distinctive nature of the corporation to the
forms of obligation that they should be subject to. I shall now attempt to provide
a brief outline of such a theory which provides support for the view that corporate
obligations are not confined to the responsibility to respect but also include positive
obligations to promote and fulfil fundamental rights.26
(ii) Rooting Obligations in the Social Function of the Corporation
Businesses are conducted through a range of legal forms: however, the dominant
structure in the modern world has been the corporation.27 The major distinctive
feature of the corporation has been what is often termed its ‘separate legal personality’
which allows the company to be the bearer of its own rights and liabilities.28 This is
clearly a construct as the corporation cannot in reality act other than through the
individuals who make it up and are the brains behind it. Nevertheless, conceiving of
a corporation as a separate legal person has a number of legal advantages, foremost
amongst which is the notion of limited liability (MILLER; JENTZ, 2005, p. 519): the
corporate form separates out the shareholders from bearing full responsibility for
the fate of the company and thus “the risk carried by the contributors of capital
extends no further than the loss of the amount which they have contributed to
the venture as capital” (CILLIERS, 2000, p. 66).29 Corporations also gain the benefit
of perpetual succession in that they continue to exist irrespective of changes in
their shareholding (or for that matter their staff). These legal benefits clearly were
developed to attain a number of social advantages: they encourage people to take
more risk, stimulate innovation and provide a catalyst for greater competition.30
Much of corporate law has evolved so as to ensure that these benefits are obtained
and that the risks that arise out of the creation of a structure such as the corporation
do not materialise (BACKER, 2006, p. 298-300).
It is clear therefore that corporations are essentially entities created and
regulated through law in order to attain a number of social and individual benefits
that flow from their separate legal personality.31 Clearly, should the advantages
of corporate personality be accompanied by grave social harms, then there would
be a need for legal restrictions to be placed on corporations to guard against
those harms.32 Such harms may in fact arise from the very fact that the focus of
corporate activity has often been upon achieving value for its shareholders without
imposing full responsibility for its actions upon those very shareholders: some have
argued that “this creates a structure which is pathological in the pursuit of profit”
(CORPOR ATE WATCH, 2006; BAKAN, 2004). The need for regulation to guard
against harms that arise from the creation of a corporate structure could provide
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a normative basis for the obligations that would flow from Ruggie’s responsibility
to respect. Since every individual must have his or her rights respected and the
corporate form could function as a method through which responsibility for such
violations could be avoided, it is of critical importance to ensure that corporations
are required at least to avoid harming such fundamental rights.
However, once we conceive of the aim of providing corporations with separate
legal personality as being the creation of certain social advantages, the question
is why we need to confine our conception of such benefits to the traditional ones
outlined above. If corporations may be able to attain these benefits and yet be
capable of contributing to other social goods of vital importance, why should we
not require that they actively promote such goods as well?33 Moreover, given that
the existence of separate legal personality provides many advantages to those who
invest in the corporation, why should society not require that corporations pay a
form of social dividend in order to attain those very advantages?34 Seeing that law
effectively creates the corporate form for social purposes, it is unclear why it may
not impose obligations upon corporations actively to realise certain social goods,
provided this does not fundamentally prevent the corporation from realising its
economic purposes.35 Moreover, the realisation of fundamental rights is not just
any type of social good. It is (or should be) a central norm of the international legal
order as well as the national legal systems in which corporations are registered. It
plays such an important role in legal systems for a very good reason: fundamental
rights are about the protection of the most vital interests of individuals, without
which the possibility of living a decent life becomes meaningless.36
As it stands, Ruggie’s framework seems to give expression to what might be
termed a ‘libertarian vision’ of the corporation. Ultimately, the social role he has
articulated for the corporation is a limited one focused on the benefits of having an
entity oriented towards profit maximisation without creating strong social harms.
Libertarianism is generally only in favour of regulation and the imposition of
obligations by the state where this is necessary to prevent the violation of individual
rights (typically conceived of as ‘civil rights’) and where this is necessary to protect
individuals against such harms as force, fraud and theft (see, for instance, NOZICK,
1972, p. 26-28). In relation to business, this view was defended strongly by Milton
Friedman who famously stated that ‘there is one and only one social responsibility
of business – to use its resources and engage in activities designed to increase its
profits so long as it stays within the rules of the game, which is to say, engages
in open and free competition, without deception or fraud.’ (FRIEDMAN, 1972, p.
133). The rules of the game for Ruggie would go further than those envisaged by
Friedman and involve respecting human rights.37
However, it is unclear what grounds of principle we have for limiting the
rules within which corporations are required to operate only to negative obligations.
The harms individuals may suffer are not limited to ones where their rights are
actively violated by corporations: indeed, lack of access to food, water, health-
care, and legal representation may severely impact upon the lives of individuals.38
Corporations may have the capacity to assist with the realisation of these rights
for a large number of individuals. If the point of enabling corporations to function
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tHE RUGGIE FRAMEWORK: AN ADEQUAtE RUBRIc FOR cORPORAtE HUMAN RIGHtS OBlIGAtIONS?
as separate legal persons through law is to create certain social benefits, then it
seems that corporations may be required to play their part in helping to fulfil these
important social goods.
Most societies do not seem to consider it illegitimate for states to tax
corporations on the basis of their activities for wider social purposes, and, indeed,
Ruggie at no point appears to question the validity of taxation.39 If this is so, then
why could we not regard positive obligations upon corporations for the realisation
of fundamental rights as a form of tax on their activities that require certain active
contributions to realise fundamental rights in both money and in kind?
The reasoning I have proposed here can be seen to take further the notion
that Ruggie employs in his framework, namely, that companies require a ‘social
license’ in order to operate (UNITED NATIONS, 2008a, para. 54). When as a society
we grant a company the license to operate, it is not simply a license to create as much
wealth for its shareholders as possible. It can also involve the requirement that the
company actively assist in the fulfilment of the fundamental rights of individuals.
Understanding the social context in which corporations operate shows that they
cannot be considered in purely individualistic terms but need to be considered as
part of a co-operative social order.40
Yet, does this not confuse the social roles of the corporation and that of the
state? Whilst the state should be under no illusion concerning its responsibility to
realise the rights of individuals, I have attempted to show in the argument presented
above that the reasons underlying the creation of the corporation in law do not
provide any strong justification for excluding positive obligation being placed upon
corporations actively to contribute to the realisation of fundamental rights.41 When
we consider the power of corporations to impact upon fundamental rights and
their having been created in order to achieve benefits for society, a case begins to
emerge for the imposition of positive obligations upon corporations. This does not
mean that corporations must assume the same range of responsibilities as the state
in realizing fundamental rights: we thus need some principled basis upon which
to determine the allocation of responsibilities between corporations and the state.
Henry Shue provides a plausible account of what the criteria should be for
determining who should be the bearers of positive obligations. In his view, two
factors must be considered in this regard: first, means-end reasoning must establish
what needs to be done in order for a right to be fulfilled and, in light of this, it must
be determined who best can perform those tasks (SHUE, 1996, p. 164).42 Secondly,
the allocation of duties also depends upon what burdens are reasonable and fair to
place upon specific agents. In relation to the first factor, it is clear that, in many
instances, corporations will be able to play an important role in helping to realise
fundamental rights.43 This appears to provide an important justification for the
allocation of obligations to corporations where particular interventions that could
have a large potential impact upon fundamental rights fall within their area of
speciality, and their capacity to assist. The second factor identified by Shue provides
a justification for limiting the role of corporations in this regard: it would require,
for instance, that the burden of positive obligations be spread equally amongst
corporations and require that corporations still be able to realise their economic
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goals. The second factor does not, however, provide any general reason in principle
why corporations cannot have positive obligations for the realisation of rights.
No doubt it will be important for these factors to be developed so as to specify
the guiding principles that will determine the positive obligation that corporations
have in particular circumstances. The Norms attempted to use the vague concept
of ‘sphere of influence’ to try and capture some of these complexities. Ruggie has
successfully highlighted a number of the inadequacies of this notion and done
much to try and disentangle various elements of the concept.44 There is clearly
still much work needed to flesh out the ambit and scope of the positive obligations
that corporations have.
Nevertheless, the absence of a fully worked out theory in this regard
does not mean we can reach the conclusion that there are no general positive
obligations that corporations have for the realisation of fundamental rights. Nor
does it provide a justification for omitting such obligations from an international
framework that is designed to be the point of reference for determining the ambit
of corporate obligations. As has been argued, there are in fact strong reasons
to recognise the existence of such positive obligations even if we do not as yet
have a full understanding of their exact scope.45 If we accept this point, then the
Ruggie framework is fundamentally incomplete. It also forecloses the possibility
of achieving an adequate allocation of legal duties to fulfil fundamental rights
by creating a general exclusion for corporations in relation to these obligations.
Given the large capacity that corporations have in our current world to help states
realise fundamental rights, this exclusion can be seen seriously to undermine the
possibility of realising a wide range of human rights. In particular, this is of great
importance in the developing world, where placing positive obligations upon
corporations has the potential to assist these societies to meet the fundamental
interests of individuals living therein.46 I now provide an example that seeks to
illustrate this point in a more concrete manner.
(iii) Positive Obligations and their Impact on Fundamental
Rights in the Developing World
The example in question concerns whether pharmaceutical companies have
obligations to make anti-retroviral drugs available at affordable prices to those
suffering with HIV. According to United Nations statistics, at the end of 2007
there were 33.4 million people living with HIV.47 The main treatment that has been
developed for HIV is in the form of anti-retroviral drugs which are largely effective
in increasing life expectancy and the quality of lives of individuals who suffer from
the disease.48 In terms of the law of many countries, and more recently in terms
of the international trade regime established by the World Trade Organisation,
pharmaceutical companies are allowed to obtain strong intellectual property rights
known as patents for a limited period that allows them exclusively to profit from
the development of drugs such as these.49 Until recently, these drugs were extremely
expensive and largely accessible only within developed countries (CULLETT, 2003, p.
143). Due to a range of initiatives, the price of these drugs has come down and, these
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drugs have become more accessible within a wider range of developing countries
(SLEAP, 2004, p. 170). The United Nations Declaration of Commitment on HIV/
AIDS, has clearly recognised that pharmaceutical companies are central to reducing
the cost of ARV drugs and increasing the availability thereof. 50 The question, thus,
arises as to whether there should be any obligation upon pharmaceutical companies
to make such drugs available to individuals at an affordable rate.51
It is important to analyse what the nature of any such obligation would be.
The corporation here is not actively creating the harm in this instance: whether
actively engaging in risky behaviour or accidentally being infected, it is an
individual’s contraction of HIV that may lead to his or her illness and death.52 It
also clearly seems possible for an ethical corporation to manufacture and develop
these drugs without causing any harm to other human beings.53 Thus, in producing
anti-retroviral drugs, a corporation may avoid doing harm and so comply with the
responsibility to respect individual rights in terms of the Ruggie framework. Yet,
this framework effectively fails to address the most pressing and relevant question
in this context which concerns whether a corporation that produces life-saving
medication such as anti-retroviral drugs and has a patent covering such medication
actively has a duty to help ensure that individuals are able to have access to it
at an affordable rate.54 To recognise such a duty would require that we place an
obligation upon corporations in this field actively to promote and fulfil individual
health rights rather than simply having to respect such rights.55 By limiting the
ambit of corporate obligations to his ‘responsibility to respect’ framework and
asserting that this responsibility is sourced in societal expectations, Ruggie would
essentially be claiming that, in the context of the current example, our societal or
moral expectations of pharmaceutical companies do not extend to a duty to help
render such life-saving medicines affordable to those who need them.
It is important to recognise, as has been argued above, that pharmaceutical
companies are allowed to operate and make profits for the purpose of creating certain
social benefits: the traditional argument is that the possibilities of financial reward
would lead to innovation and large investment in the production of new and more
effective drugs which will ultimately make all individuals better off.56 Yet, once life-
saving medicine is developed and patented, it may be that only the wealthiest individuals
can afford it, at least in the short-term whilst the company’s patent is in force. The
existence of the drug may benefit humanity in the abstract sense that a treatment to
a life-threatening illness is available; however, a large number of people who cannot
afford the drug may be in no better position than if the drug had not existed at all. In
order to ensure that all individuals are equally able to access the very social benefits
that are meant to flow from enabling corporations to profit from new medications that
they develop,57 it is necessary to place positive obligations upon them to ensure that the
life-saving treatments that result from their research are made available to individuals at
an affordable rate.58 The point is that medicine should not be treated like a commodity
in the same way as other goods (COHEN; ILLINGWORTH, 2003, p. 46):59 this industry
has the potential to affect the most vital fundamental rights of individuals to life and
to health. Given the critical nature of these interests and the capacity of corporations
to impact upon such interests, there is a strong reason to impose positive obligations
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upon corporations operating within this industry to ensure that life-saving medication
is made available to individuals at a reasonable rate.60
The example provided demonstrates the large number of people whose lives
may be improved through positive obligations being placed upon corporations for the
realisation of fundamental rights.61 It also provides a good instance in which reliance
on philanthropy from corporations would not have been enough: strong social pressure
and potential harm to their good-will have been critical in ensuring that corporations
reduce the costs of ARVs. During 2001, for instance, 39 pharmaceutical companies
took the South African government to court for adopting legal measures that would
have increased the availability of anti-retroviral drugs and reduced the price thereof.62
The case provoked large demonstrations around the world against the action of
these companies, suggesting that many people are of the view that such life-saving
medicines – even if they had been developed by a private company – should be made
available to individuals in the developing world at an affordable rate.63 Companies
left to their own devices focused upon defending their own commercial interests
without regard to the human cost: a large number of people around the world helped
to pressure corporations into reducing the price of drugs.64 But, what happens in
the case of many other drugs, where there is a lack of such widespread mobilisation?
The principled case for access to life-saving drugs does not differ between
HIV/AIDS and medications designed to treat other life-threatening illnesses. To
ensure that individual rights are realised, it would be entirely ineffective to rely
on the contingencies of social pressure or corporate good-will. It is thus of great
importance that the international framework governing corporate responsibility
for human rights allow for the recognition of binding positive obligations that
can render corporations obligated to ensure the availability and affordability of
life-saving medicines that they develop.
(iv) Objections to Imposing a ‘Duty to Fulfil’ upon Corporations
Whilst illustrating the great importance that placing positive obligations upon
corporations can have, and the critical gap that currently exists in Ruggie’s framework,
the example also provides a real-life context in which to engage with certain of the
objections that Ruggie has raised against the imposition of such obligations. First,
he raises the problem that the imposition of positive obligations may, he suggests,
‘undermine corporate autonomy, risk taking and entrepreneurship’ (RUGGIE, 2007,
p. 826). Quoting Philip Alston, he asks ‘[w]hat are the consequences of saddling
[corporations] with all the constraints, restrictions and even positive obligations which
apply to government?’ (RUGGIE, 2007, p. 826). The question is itself a misnomer as
the imposition of some positive obligations upon corporations would not saddle them
with all of the obligations (or even the same obligations) that apply to government.
Nevertheless, the example I have given does highlight some concerns in this
regard and suggests a number of competing tensions that may exist in relation to the
social benefits that flow from the corporation being recognised as a separate legal
person. For instance, it may be that wider social benefits – such as increasing the
availability of life-saving medication to all - may conflict with the social benefits
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that result from allowing a relatively free market in drugs – which, it is claimed,
include a large investment in research and development.65 At a certain point, a
corporation may claim that it has no reason to continue to invest in research and
development (or even to operate) if it is faced with overly onerous positive obligations
that force them to lessen their profits through a reduction in pricing.
However, this argument does not provide a case against imposing positive
obligations upon pharmaceutical corporations for the realisation of health-care
rights. Instead, what it shows is that if we wish to gain the traditional benefits
of the market-place as well as additional social advantages for the realisation of
fundamental rights, it is necessary to balance a number of factors that determine
the extent of the positive obligations we can impose upon a corporation. Such
balancing is not unique to this context and would involve many of the factors often
used to determine the tax rate, for instance, applicable to corporations.66
Consider, for instance, the fact that most companies produce a wide-range
of drugs. In certain circumstances, the benefits of such medicines – such as a new
pain-killer with fewer side-effects - are important yet they are not critical. 67 In
other cases, the medicine that is produced – such as in the case of ARVs – has
the potential to improve the life expectancy and quality of lives of millions of
people. Considering the differential impact that the different types of drugs have
on fundamental rights, it is clear that there is a stronger case for the imposition of
hard positive obligation upon corporations to ensure that the life-saving medication
is made available to individuals at an affordable rate. The case is weaker for such
an obligation to exist in the case of the new pain-killer. This could allow such a
company to make large profits from the new pain-killer, whilst placing stronger
positive obligations upon corporations in respect of life-saving medication.
Some may claim, however, that imposing strong positive obligations in the
case of life-saving medication would create a perverse incentive for corporations
to focus their efforts upon less important types of drugs from which they can
make large profits.68 However, to avoid such effects, a range of policy options
exist including ‘push programmes’ through which government may help subsidize
such research and ‘pull programmes’ which reward developers for producing
a product with strong social benefits (JOHRI et al., 2005). If stricter measures
were required, it could also be possible to regulate pharmaceutical companies
through provisions that required that they invest a certain percentage of their
profits made from drugs like the pain-killer into the production of life-saving
medication. There would thus be various methods of ensuring that there remain
incentives to produce life-saving drugs even though it would be recognised that
unrestricted profit maximisation would not be permissible in this area.69 It thus
seems eminently possible to impose some positive obligations whilst still retaining
the benefits of a more limited but still significant degree of corporate autonomy,
risk-taking and entrepreneurship.
Ruggie is also clearly worried about the possibility that weak governments
will attempt to shift their positive obligations for the realisation of rights onto
corporations. He claims that the recognition of corporations as co-equal duty
bearers for the broad spectrum of human rights obligations ‘may undermine
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efforts to build indigenous social capacity and to make governments responsible
to their own citizenry’ (UNITED NATIONS, 2006, para. 68). It is important to
recognise that the imposition of positive obligations upon corporations need not
render them equal duty bearers with the state and it could still be of importance to
differentiate between their respective obligations. Nevertheless, whether Ruggie’s
fears are realised is not a necessary consequence of positive obligations being
imposed upon corporations but an empirical matter that will depend upon the
institutional setting for the co-ordination of government and corporate initiatives.
For instance, it could be argued that, with a co-operative approach, corporations
could indeed help increase indigenous social capacity and aid governments in
responding to their citizenry in many areas. Arguably, for instance, the provision
by Boehringer Ingelheim of free ARVs to the government in South Africa for the
prevention of mother-to-child transmission of HIV helped to highlight the existing
inadequacies in public provision. It was also instrumental in the outcome of the
Treatment Action Campaign case in which the Constitutional Court eventually
ordered the government to make the drug available across the public health care
system (SOUTH AFRICA, Minister of Health vs Treatment Action Campaign, 2002, para.
135). What is needed is thus a movement away from the traditional assumption
embedded in the Ruggie framework that only governments are responsible for the
realisation of rights and the recognition that, in many cases, it will be necessary
to involve wider social actors - that often will include corporations - in this task.
Ruggie’s mandate could assist in developing principles according to which such
co-operation can take place that would minimize the problems he raises: to do
so, however, would mean first recognising that corporations do indeed have such
positive obligations to assist in the realisation of fundamental rights.
Conclusion: the Relationship Between Consensus and Principle
This article has sought to offer a detailed consideration and critique of the Ruggie
mandate’s conclusions concerning the ambit of the responsibilities that corporations
have for the realisation of fundamental rights. Some may argue that the critical
appraisal of his framework has failed adequately to take account of the difficult
context in which his mandate came about and in which it operates. As has been
outlined in Part 1, the mandate resulted from the failure of the Norms to command
the support of the Human Rights Commission, and the virulent opposition of
business as well as many states. In his 2006 interim report, after recognising the
history that led to the creation of his mandate, the SRSG expressed his desire to
adopt an approach that would involve consensus building: he has as a result held
many workshops and extensive consultations. Moreover, at the end of that report,
the SRSG refers to his approach in dealing with the normative claims he is required
to determine as involving a ‘principled form of pragmatism: an ‘unflinching
commitment to the principle of strengthening the promotion and protection of
human rights as it relates to business, coupled with a pragmatic attachment to what
works best in creating change where it matters most – in the daily lives of people.’
(UNITED NATIONS, 2006, para. 81).
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The framework of the SRSG could thus be understood as an attempt to create a
compromise between what principle dictates and the pragmatic demands of achieving
a world-wide consensus on the ambit of corporate obligations.70 The SRSG has indeed
had a number of important pragmatic considerations to contend with. First, the initial
mandate was set up only for a very brief period of two years which was eventually
extended for a further year. With the release of the framework for business and human
rights in 2008, the Commission has decided to extend the mandate for another three
years. The SRSG thus had a short period of time in which to show sufficient progress
to justify the extension of his mandate by the Commission.
Secondly, should the mandate have failed to function in a consensual manner
and made recommendations that were clearly inimical to the views held by members
of Commission, it could easily have been terminated. The continuation of the mandate
was of importance not for its own sake but, amongst other reasons, in order to keep
the whole issue of business and human rights on the agenda of the United Nations
(‘UN’), to ensure discussion on the issue at the elevated level of the Human Rights
Commission and to assist in the development of standards in this area.
Finally, much work had gone into preparing the Norms which had taken five
years to complete and yet they had not succeeded in being adopted by the Commission.
Their status and very relevance were placed in question by the Commission and thus
their possible impact seemed to be severely curtailed. If the SRSG mandate was to
succeed in having an impact and developing the responsibilities of business at an
international level, then it needed to be concerned with garnering as wide a consensus
around its work as possible. The reaction to his proposed framework indicates that
the SRSG’s consultative approach has indeed been largely successful in achieving a
greater degree of consensus on the issue of business and human rights.
Human rights advocates cannot afford to ignore the importance of real-
politik in the development of international law and normative standards.71 The
mere assertion of standards and responsibilities that rest in a vacuum and have no
possibility of being enforced may reflect certain utopian ideals but in the end may
have no real-life impact if they are not widely accepted. Yet, at the same time, it
should be recognised that, as has happened in relation to the Norms, business will
naturally resist any attempt to assert binding international human rights obligations
upon them or, where such obligations are accepted, they will want to restrict them
to the minimum degree possible.72
Consequently, the attempt to achieve consensus in such circumstances may
lead to an acceptance of standards that represent the lowest common denominator
and could lead to concessions that undermine the basic normative commitments
involved in accepting fundamental rights.73 It may be popular, for instance, at
the international level to ignore the rights of lesbian and gay people given the
virulent controversy this may cause in certain countries: yet, to do so, for a human
rights advocate would be to give up on a foundational commitment to respect the
interests and dignity of all individuals equally.74 Moreover, international actors
may be tempted to accept a minimalist framework that can achieve consensus in
the short-term, yet in the longer term this may imperil the possibility of achieving
substantive improvements in the realisation of fundamental rights.
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DAVID BIlcHItZ
Unfortunately, in Ruggie’s quest for consensus, it appears that he has fallen
into some of these traps and made compromises of principle that human rights
defenders should refuse to accept. One of the most controversial elements of the
Norms was its assertion of binding legal responsibilities upon corporations for
the realisation of human rights. Ruggie attempts to assuage corporate concern in
this regard by denying that corporations have international legal obligations to
realise human rights and by providing that any responsibilities that they do have
are only a matter of social expectation. He then goes even further and holds that
the responsibilities that corporations have are severely curtailed and involve only
a requirement that they avoid harming fundamental rights.
Understood in light of the desire to achieve consensus, Ruggie’s minimal
proposal may be likely to garner more support than would a recognition of binding
and more expansive duties, such as were contained in the Norms.75 Yet, the costs
involve accepting a very serious reduction in what we can expect of corporations or
hold them accountable for. And indeed, in respect of a world suffering from severe
economic inequality and deprivation, this can impact negatively on the human
rights and well-being of millions of individuals. This is a cost that human rights
defenders should not assent to.
This article has sought to focus upon Ruggie’s assertion that corporations
only have a responsibility to respect fundamental rights. Yet, it has been argued that
corporations in fact should be subject to the full range of human rights obligations at
international law, including obligations to protect and fulfil. The existence of positive
obligations upon corporations is supported by the normative arguments that have been
made as well as recognition of the importance of imposing such obligations in a world
characterised by severe economic deprivation and vast corporate power.
Ruggie has at points suggested that his framework might constitute simply
a starting point upon which to build wider obligations in time. He refers to the
responsibility to respect as a ‘baseline obligation’ (UNITED NATIONS, 2008a, para.
24): this is ambiguous between the idea that this is simply a starting point or the
main fundamental obligation. Ruggie often uses it in the latter sense with the
notion that any further obligations are exceptional. Whilst it has been argued that
Ruggie is mistaken in this regard, it is also important to recognise that focusing on
the responsibility to respect alone is also a mistaken starting point. For it attempts
to cast the division of labour between corporations and the state for the realisation
of fundamental rights in terms of the distinction between ‘negative’ and ‘positive’
obligations. Yet, the allocation of duties for the fulfilment of fundamental rights
to particular actors cannot convincingly be based upon the distinction between
these two forms of obligation. Rather, such allocative decisions must be based on
other factors which include the capacity of an actor to perform certain obligations,
the importance of such obligations and the fairness of imposing such obligations
upon them. Moreover, an obligation to respect is a very minimal one and could
easily curtail the development of wider obligations upon corporations. At a time
in which the international norms relating to the nature of corporate obligations for
the realisation of fundamental rights are being developed and where such norms
can have large implications for the rights of many individuals, the starting point
v. 7 • n. 12 • Jun. 2010 • p. 199-229 ■ 217
tHE RUGGIE FRAMEWORK: AN ADEQUAtE RUBRIc FOR cORPORAtE HUMAN RIGHtS OBlIGAtIONS?
should be one that is more expansive and that could allow corporations to share
some of the burdens of realising fundamental rights more equitably.
The starting point should thus be that businesses do not only have a responsibility
to avoid harming fundamental rights but are actively required to assist in their
realisation. There is no strong principled reason why a society should not require that
corporations do business on condition that they play a part in realising fundamental
rights where they are able to. Ruggie is currently busy working on developing the
concrete implications of the responsibility to respect. Given the argument in this
paper, it is important that his mandate be widened to include an investigation into
corporate obligations to protect and fulfil as well and to develop guiding principles
for the determination of the exact scope and nature of corporate obligations in this
regard. Through recognising the full range of human rights obligations that can fall
upon corporations, it will be possible to allocate responsibilities for the realisation of
rights to those often in the best position to meet them. It will also hopefully provide
the basis for re-shaping the nature of corporations so that they are not simply regarded
as entities focused upon the self-interested maximisation of profit but that they are
structures whose activities are designed to advance and benefit the societies and
individuals with whom they interact.
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tHE RUGGIE FRAMEWORK: AN ADEQUAtE RUBRIc FOR cORPORAtE HUMAN RIGHtS OBlIGAtIONS?
NOTES
1. Human Rights Watch, for instance, has released a 10. Indeed, at international law, the process of
report that outlines the impact that corporations can clarification of norms generally leads to their
have on a whole range of fundamental rights. In order development at the same time. See, for instance,
to deal with these abuses, the report stresses the need Malcolm Shaw (1997, p. 89) on the confusion between
for global intergovernmental standards on business ‘law-making, law-determining and law-evidencing’.
and human rights. 11. A good example of the violation of a state duty
2. the voluntary initiatives include the following: to protect occurred in Nigeria where the government
the Organisation for Economic Development and apart from actively violating human rights, allowed oil
co-operation (OEcD) Guidelines for Multinational companies to degrade the environment, impacting on
Enterprises; the International labour Organisation the right to health, the right to housing and the right
(IlO) tripartite Declaration of Principles concerning to food of the Ogoni people in this area. this was found
Multinational Enterprises and Social Policy; and to be a violation of Nigeria’s duties under the African
the United Nations (UN), the United Nation Global charter in Social and Economic Rights Action centre
compact. the focus of this article will be on the attempts and centre for Economic and Social Rights v Nigeria.
to assert more binding obligations upon corporations.
12. the example given is of anti-discrimination policy
3. For a fuller description of the process leading to the which might require the company to adopt specific
mandate, see John Ruggie (2007, p. 821.). recruitment and training programmes: see (UNItED
4. the central reports under consideration in this NAtIONS, 2008a, para. 55).
article are the ‘Interim Ruggie Report’; the ‘2007 13. Ruggie’s mandate has been renewed for three
Ruggie Report’; the ‘Ruggie Framework’; and the years with one of the tasks he has been set being to
‘2009 Ruggie Report’ (UNItED NAtIONS, 2006, ‘elaborate further on the scope and content of the
2007, 2008a, 2009c). corporate responsibility to respect all human rights
5. Ruggie’s mandate, as is outlined below, is expressed and to provide concrete guidance to business and
to cover ‘transnational corporations and other business other stakeholders’ (see UNItED NAtIONS, 2008c,
enterprises’. Business is in fact conducted through a para. 4(b)). In fulfilling this mandate, Ruggie has
range of different structures including sole proprietors, released a preliminary work plan in which he expresses
partnerships and corporations. Given the fact that the the intention to develop ‘a set of guiding principles
corporation has certain particular features and has on the corporate responsibility to respect and other
become the most important structure for conducting accountability measures’: see Special Representative
business in the modern world, the focus of this article of the Secretary-General, Preliminary Work Plan
is upon the responsibilities of corporations for the (UNItED NAtIONS, 2009c, p. 3).
realisation of fundamental rights. Given the focus of
14. Ruggie’s comments are though in some ways
this paper, I often use the responsibilities of ‘business’
puzzling for, whilst the Norms do identify a limited
for human rights realisation and the responsibilities
set of rights that are mentioned directly, there is a
of ‘corporations’ in this regard interchangeably. the
general recognition therein that corporations can
extension of these responsibilities to other structures
have obligations in relation to the full range of human
through which business is conducted lies beyond the
rights. the Preamble acknowledges ‘the universality,
scope of this paper.
indivisibility, interdependence, and interrelatedness of
6. Weissbrodt and Kruger (2003, p. 913) explain that human rights, including the right to development that
the Norms were not simply a ‘voluntary initiative of entitles every person and all peoples to participate
corporate social responsibility’ though they recognize in; contribute to and enjoy economic, social, cultural
that determining the exact source of the legal authority and political development in which all human rights
of the Norms is complex. See also, campagna (2003). and fundamental freedoms can be fully realised’. In
7. Weissbrodt and Kruger make this statement but add the first substantive section of the Norms relating
the qualification that ‘they have room to become more to general obligations, as quoted in the text, the
binding in the future’. considering the way in which obligations appear to relate to all human rights in
the Norms could have been binding in more detail lies ‘international as well as national law’. Ruggie seems
beyond the scope of this paper. to overstate the case against the Norms: this could be,
8. For instance, the mandate requires the SRSG to as is suggested in the concluding part of this paper, for
examine the concept ‘sphere of influence’ which was purposes of distinguishing his work from the Norms so
used in the Draft Norms and which required further as to achieve greater consensus on his framework even
specification. See, in this regard, Olivier De Schutter where the similarities between the two are evident.
(2006, p. 12-13). 15. Often civil and political rights were seen to be
9. the mandate at paras (d) and (e), appears to largely ‘negative’ in nature and socio-economic rights
envisage some form of corporate self-regulation as ‘positive’ in nature. Shue attempts to show that each
well. Ruggie has in his 2007 Report also considered right – whether civil and political or socio-economic -
models of corporate self-regulation though that will involves both ‘negative’ and ‘positive’ duties if it is to
not be the focus of this article. be realised effectively.
224 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
DAVID BIlcHItZ
16. For a way in which to retain the correlativity of 26. I shall argue for the existence of such positive
rights and duties in Shue’s framework, see Bilchitz obligations without specifying the exact scope or extent
(2007, p. 90-91). thereof: this enables me to support the claim that
17. His analysis has, in large measure been adopted by the Ruggie framework as it stands is an inadequate
the treaty bodies charged with oversight of the treaties: one for capturing the nature of corporate obligations.
see, for instance, Human Rights committee, General In the same way that Ruggie proposes to develop
comment No 31 (UNItED NAtIONS, 2004a, para. guidelines concerning the responsibility to respect
in his coming work (UNItED NAtIONS, 2008d)
6), where the committee recognises that the obligations
there will be a need to go beyond the position in this
under the IccPR are both ‘negative and positive in
paper and develop more determinacy surrounding the
nature’. the committee on Economic, Social and
positive obligations that corporations have in specific
cultural Rights has expressly recognised this in the
circumstances. this is a large project and one of great
Right to Water, General comment no 15 (UNItED
import for political philosophy and both international
NAtIONS, 2002, para. 20) where it states that ‘[t]he
and domestic human rights law which I shall seek to
right to water, like any human right, imposes three types
develop in forthcoming work.
of obligations on State parties: obligations to respect,
obligations to protect, and obligations to fulfil’. 27. Janet Dine (1999, p. 221-229) outlines a number
of theories concerning the nature of the corporate
18. the UN committee on Economic, Social and entity that she employs to reach certain conclusions
cultural Rights, for instance, in its General comment about governance models for corporations. Instead of
no. 14 (UNItED NAtIONS, 2000) has further divided proceeding from an analysis of these theories, I shall
the duty to fulfill into a duty to facilitate, a duty to instead attempt to derive a conception of corporate
promote and a duty to provide. obligation from a consideration of what I take to be a
19. Indeed, Ruggie seems actively to support such distinctive feature of the corporation: separate legal
a reduction in the range of duties and sees this as a personality. the argument here might be extended to
virtue of his framework (RUGGIE, 2007, p. 825-827). other legal forms through which business is conducted
See also Ratner (2001, p. 517-518) who argues for by considering the way in which law facilitates their
a limitation of corporate responsibility to negative operation though a detailed consideration of this lies
obligations to avoid harm. beyond the scope of this paper.
20. See also Ratner (2001, p. 517) who is also 28. the most important contribution of corporate law
prepared to allow that positive measures may be has been said to be the creation of a legal person, ‘a
required to give effect to these negative duties. contracting party distinct from the various individuals
who own or manage the firm, or are suppliers or
21. An additional example could be the one given
customers of the firm’ (HANSMANN; KRAAKMAN,
by Ratner (2001, p. 516) who seems to think that
2004, p. 7). See also Stephens (2002, p. 54).
there is a positive duty upon a company to train its
security personnel such that they do not infringe the 29. As Stephens (2002, p.54-55) points out, limited
prohibitions against torture. liability only became widespread in the early nineteenth
century in the United States and some fifty years later
22. In the Ruggie Framework (UNItED NAtIONS,
in England but is currently seen to be a ‘core element
2008a, para. 81), it is stated that ‘the relationship of the corporate form’.
between complicity and due diligence is clear and
compelling: companies can avoid complicity by 30. this view of the function of business and
employing their due diligence processes described above corporations is linked to the broader justification
– which, as noted, apply not only to their own activities concerning the benefits arising from free market
but also to the relationships connected with them”. capitalism and private property: see, for instance
Nozick (1972, p. 177). In relation to the rationale
23. For an example of where a state body has been behind limited liability, in particular, see Easterbrook
required by a court to take positive steps to protect and Fischel (1985, p. 93-97). Of course, in recent
individual safety, see South Africa, Rail commuters years, the corporate form has been changed and
Action Group vs transnet ltd t/a Metrorail (2005). is often used by non-profit organisations to create
24. Indeed, in his Report (UNItED NAtIONS, 2009c, separate legal personality as well. this often occurs to
para. 62), he persists in contending that activities encourage individual involvement in such organisations
that go beyond the responsibility to respect may be without the risk of personal liability if things go wrong.
‘desirable for companies to do’ but ‘should not be the corporate form here again assists as a way of
confused with what is required of them’. this is a shielding individuals from full liability for problems
strange statement given that the whole of the Ruggie that may occur with the organisation. the focus of
framework rests upon ‘social expectations’ rather than this piece, however, shall be on corporations that are
law and so the notion that corporations are ‘required’ formed for the purposes of conducting business and
to do something seems to involve the notion of being thus have economic aims at their root.
morally bound rather than being legally bound. 31. lewis Kornhauser (2000, p. 88) states that
25. Ruggie (2007, p. 826) lays out certain additional ‘a conception of corporate and commercial law
policy reasons against placing further responsibilities unconnected to increasing the general level of well-
on corporations. I shall consider some of these later on being is completely implausible’.
in this article. 32. Indeed, the current global financial crisis is
v. 7 • n. 12 • Jun. 2010 • p. 199-229 ■ 225
tHE RUGGIE FRAMEWORK: AN ADEQUAtE RUBRIc FOR cORPORAtE HUMAN RIGHtS OBlIGAtIONS?
leading to calls for greater regulation of corporations now widely believed that the function of government
– particularly banks – to prevent a recurrence of extends far beyond the provision of internal and external
the problems that are affecting millions of lives. security through the prevention of interpersonal
See, for instance, IMF (2008)) where Dominique violence, the protection of private property, and defence
Strauss Kahn, managing director of the International against foreign attack’. I cannot in this piece provide a
Monetary Fund, stated that “it’s because there were detailed critique of libertarianism but the above authors
no regulations or controls, or not enough regulations locate the fundamental mistake of libertarianism in the
or controls that this situation was born. We must draw idea that individuals’ (and by extension corporations’)
conclusions from what has happened – that is to say ‘pretax income and wealth are theirs in any morally
regulate, with greater precisions, financial institutions meaningful sense. We have to think of property as
and markets’. what is created by the tax system, rather than what is
33. Backer (2006, p. 298-302) traces this kind of disturbed or encroached on by the tax system. Property
reasoning back to the views of E. Merrick Dodd rights are the rights people have in the resources they
in the 1950s that he expressed in an engagement are entitled to control after taxes, not before’.
with Adolph Berle in the Harvard law Review 40. Backer (2006, p. 299) states the school of
concerning corporate social responsibility. According thought originating with Dodd, ‘sees the corporation as
to this school of thought, corporations are created embedded in the social and political fabric of society,
to serve a social purpose and for the public good in which corporations are expected or permitted to
and, as such, ‘corporations might be made to serve participate’.
other constituencies, or might seek to serve such 41. this view thus seeks to rebut the claim made by
constituencies within a broader context than that Ratner (2001, supra note 68 at 518) that ‘to extend
of mere shareholder profit maximization’ (Backer, their duty away from a dictum of “doing no harm”
2006, p. 299). – either on their own or through complicity with
34. In the English case of Re Rolus Properties & the government – towards one of proactive steps to
Another, the judge recognised, for instance, that ‘[t] promote human rights outside their sphere of influence
he privilege of limited liability is a valuable incentive seems inconsistent with the reality of the corporate
to encourage entrepreneurs to take on risky ventures enterprise’. Sadly, Ratner does not develop this point
without inevitable personal total financial disaster. It any further.
is, however, a privilege which must be accorded upon 42. Bilchitz (2007, p. 92) also states that ‘[e]
terms…’. the question is why those very ‘terms’ need ffectiveness would require that duties be allocated
be focused only upon the regulation of shareholder within a society to those particular individuals and
interests and do not also involve the creation of wider institutions most suitably placed to fulfil these duties’.
social benefits. See also Parker (2002, p. 3-4) who
43. tomuschat (2003, p. 91) states that ‘[i]t is true
refers to a ‘concession theory’ of the corporation that, particularly in developing countries, transnational
that sees ‘the legal qualities of limited liability and/ corporations bear a heavy moral responsibility because
or separate legal personality as a privilege granted of their economic power which may occasionally
from the state and therefore inherently justifying exceed that of the host state’.
state intervention’. this rationale would essentially be
rooted in the notion of reciprocity. 44. See Ruggie Sphere of Influence Report (UNItED
NAtIONS, 2008b). His researchers have also
35. I shall deal with the objection that such wider social published a brief but interesting piece in which they
obligations cannot co-exist with the traditional free attempt to separate out various elements that are
market benefits of the company when I engage with conflated within the ambit of this concept: see lehr
objections to the example I provide in part II (iv) below. and Jenkins (2007).
36. Shue (1996, p. 19) states that ‘[b]asic rights, then 45. Indeed, it is widely accepted in international
are everyone’s minimum reasonable demands upon the human rights law that the state has positive obligations
rest of humanity. they are the rational basis for justified even though the exact scope thereof, particularly
demands the denial of which no self-respecting person under the IcEScR, is still being developed. Ruggie
can reasonably be expected to accept.’ also outlines the responsibility to respect though he
37. Indeed, Weissbrodt and Kruger (2003) say proposes to provide more detail on the nature of this
that ‘[i]t is doubtful, however, that even Friedman responsibility in the forthcoming work of his mandate.
would argue that corporations could pursue profit by A similar position could have been taken in relation to
committing genocide or using slave labour’. positive obligations.
38. Part of the critique of libertarianism would involve 46. See Ssenyonjo (2007, p. 111) who states that
asserting that it fails to capture why it is only ‘freedom ‘by virtue of the increasing powers of NSAs (non-
rights’ that matter and not rights to the resources state actors), they are uniquely positioned to affect,
necessary to enjoy this freedom: Rawls (1999, p. 179), positively and/or negatively, the level of enjoyment
for instance, distinguishes between ‘liberty’ (the system of ESc (economic, social and cultural) rights’) (my
of liberties available within a state to individuals) and explanation of abbreviations inserted).
the ‘worth of liberty’ (the capacity of individuals to 47. these statistics are drawn from the 2009 United
advance their ends within this system of liberties). Nations report on the HIV/AIDS epidemic (UNItED
39. Murphy and Nagel (2002, p. 6) state that ‘[i]t is NAtIONS, 2009a).
226 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
DAVID BIlcHItZ
48. For a short description of anti-retroviral drugs, respect by including omissions in this way. However,
see Sleap (2004, p. 154-155). See also <http://www. although we may recognize moral culpability in such
unaids.org/en/PolicyAndPractice/HIVtreatment/ instances, most countries do not impose legal liability
default.asp>. last accessed on: 31 Mar. 2010). upon someone for harming another where one was not
49. the agreement in terms of which intellectual under a special duty to care for them and one omitted
property rights are protected by the World trade to provide them with what they needed: see Feinberg
Organization is the Agreement on trade-Related (1984, p.126-186). Moreover, the widening of the
Aspects of Intellectual Property Rights, Including responsibility to respect to include omissions to fulfill
trade in counterfeit Goods, Apr. 15, 1994, Marrakesh rights would simply reproduce all the questions relating
Agreement Establishing the World trade Organization, to the ambit of duties to fulfill under the responsibility
Annex 1c, legal Instruments-Results of the Uruguay to respect. It would also essentially blur the difference
Round vol.31, 33 I.l.M. 81 (1994) (hereinafter, in human rights law between obligations to respect,
tRIPS). See also, Ferreira (2002, p. 1138-1148). protect and fulfill. As I have argued above, the thrust of
Ruggie’s work suggests that he does not envisage such
50. the UN Declaration of commitment on HIV/AIDS a broadening of the responsibility to respect nor does
was passed unanimously by the General Assembly he see this as desirable. However, if this is not done,
in 2001 and is available at: <http://www.un.org/ga/ then the responsibility to respect framework cannot
aids/coverage/FinalDeclarationHIVAIDS.html>. last include an obligation upon corporations to ensure that
accessed on: 31 Mar. 2010. Its Preamble recognises life-saving medicine is affordable and accessible to
that ‘there is a need to reduce the cost of these drugs poorer individuals. For, in such instances, it is not that
and technologies in close collaboration with the private companies must refrain from actively causing harm to
sector and pharmaceutical companies’. Article 55 that individuals who are ill but rather that they must actively
deals with treatment is vague but again recognises do what is within their power positively to promote their
the importance of affordability and pricing of anti- right to life and to health.
retrovirals and the role of the private sector in this
regard. Whilst it stops short of imposing an obligation 56. these financial rewards would usually flow from
upon corporations to reduce drug prices, it is clear that the patents that are placed on new drugs, allowing
they are key players in rendering drugs more accessible the corporation a monopoly for a set period over
to people in the developing world. production of the drug and which allows them to
charge higher prices for these drugs: see Ferreira
51. For a discussion of whether a moral responsibility (2002, p.1138). the problem, however, is that the
rests upon corporations in this regard, see Resnik financial incentives produced by the operation of
(2001, p. 11-32) and Brock (2001, p. 33-37). this is the market may be of the wrong kind or inadequate
relevant to Ruggie’s framework as he does not claim to cover the full range of human illnesses. thus,
that the responsibility to respect is a legal duty but one companies may invest large amounts in dealing with
sourced in social expectations or morality. ailments of the rich in which they believe they can
52. there are good reasons to provide access to anti- maximise profit rather than innovating in an area
retroviral treatment for individuals who contract HIV/ which may have maximum social benefits: see Resnik
AIDS even if we accept that they have some degree of (2001, p. 16).
responsibility for their contraction of the virus: see the 57. the United Nations committee on Economic,
useful analysis in Metz (2008). Social and cultural Rights has used similar reasoning
53. there may be harms caused to certain animals if to address the question of the relation between
drugs are tested upon them which generally happens intellectual property rights and fundamental rights:
in the development process but I leave aside here the ‘[u]ltimately, intellectual property is a social product
debate concerning the permissibility of violating the and has a social function. the end which intellectual
rights of animals in these instances. property protection should serve is the objective of
54. this important question has recently been human well-being, to which international human
addressed in the report of Special Rapporteur on the rights instruments give legal expression’: (UNItED
Right of Everyone to the Enjoyment of the Highest NAtIONS, 2001).
Attainable Standard of Health (UNItED NAtIONS, 58. this would apply particularly in the case of a
2009b). the Special Rapporteur, Paul Hunt, recognises strong system of intellectual property rights though,
a number of extensive positive obligations upon even if such rights did not exist, it might still be
corporations including conducting research and necessary to impose some positive obligation upon a
development of drugs for diseases of the developing drug inventor to disclose the composition of a drug in
world, ensuring prices are affordable (and putting order for it to be produced by others.
in place differential pricing regimes), packaging 59. this point was essentially accepted in a
material differently for different climates, and making declaration issued by the WtO’s Ministerial council
information concerning drugs easily accessible to all. in Doha in 2001 where it was asserted that the
55. Of course, it could be argued that harm is not only Agreement on trade-Related Aspects of Intellectual
caused by actions but also by omissions: allowing an Property Rights (tRIPS) ‘can and should be
individual to die where one can save them could, in interpreted and implemented in a manner supportive
some sense, be said to ‘cause’ them harm. Ruggie could of WtO Member’s right to public health and, in
potentially increase the ambit of the responsibility to particular, to promote access to medicines for all’:
v. 7 • n. 12 • Jun. 2010 • p. 199-229 ■ 227
tHE RUGGIE FRAMEWORK: AN ADEQUAtE RUBRIc FOR cORPORAtE HUMAN RIGHtS OBlIGAtIONS?
see Declaration on the tRIPS Agreement and Public 66. See Murphy and Nagel (2002, p. 135-139) for a
Health (WtO, 2001). brief discussion of the economic literature on the setting
60. Ferreira (2002, p. 1177) argues that there is a of optimal tax rates and their relation to social justice.
‘soft’ law obligation upon corporations not to ‘obstruct 67. cohen and Illingworth (2003, p. 46) state that
the efforts of developing countries to promote and ‘[m]any of the drugs the industry spends money on
fulfil human rights to health, life, medical treatment, have little to do with saving lives and much to do with
development and an equitable distribution of the improving quality of life’.
benefits of scientific progress’. Since this involves drug 68. Indeed, it appears that just such incentives
companies not interfering with the policies of their currently exist for corporations to focus their energies
host countries and not challenging measures that limit on drugs for the developed world: see De Feyter (2005,
their patents in order to render the medicine more p. 178).
accessible, effectively, this will entail an obligation
upon corporations at least to allow prices in drugs 69. Resnik (2001, p. 26) distinguishes between
to reduce to a level where they are affordable. She ‘morally reasonable profits’ (the profit a company
does explicitly say at p.1176 that ‘the drug companies should be allowed to realize) and ‘economically
may also violate their obligation to respect and reasonable profits’ (the profit a company can realise).
cooperate with state policies to promote the right to 70. Indeed, in Ruggie’s defence, it could be said
medical treatment when they charge prices so high that even courts that are often seen to be the most
that only one-tenth of one percent of worldwide HIV/ important fora of principle often act pragmatically
AIDS sufferers can buy their drugs’. Resnik (2001, p. at times: see, for instance, the recent analysis of the
20) also provides arguments for his conclusion that record of the South African constitutional court in
in general, ‘pharmaceutical companies have moral Roux (2009).
responsibilities to develop drugs that benefit society 71. Donnelly (1989, p. 205-228) in his analysis of the
and to make such drugs available to participant development of international human rights regimes,
populations at a reasonable price’. recognises the role of politics and power in this
61. Of course, this is not the only example that can process. Kennedy (2006, p. 132) argues, in the context
be given: private hospitals in developing countries of international humanitarian law, for humanitarians
may have positive obligations to assist in the to be ‘pragmatic’: ‘[d]espite a century’s work of
provision of medical care where they have available pragmatic renewal, humanitarianism still wants to be
beds; private law firms may have a duty to assist in outside of power, even if the price is ineffectiveness’.
the realisation of the right to have adequate legal Some argue that a recognition of pragmatic factors
representation and so on. relating to our global world places in question the
62. For a more in-depth discussion of this case and usefulness of international law as a means of securing
its ramifications, see Ferreira (2002, p. 1148-1158). the realisation of fundamental rights: see Evans
the measures the legislation would have allowed (2001, p. 55).
the government of South Africa to adopt included 72. As George (1999, p. 29) states ‘[t]he system’s
compulsory licensing (the government granting a license chief beneficiaries cannot be expected or, under present
to third parties to manufacture generic versions of circumstances, forced to act against their immediate
medicines under patent without the patent holder’s interests, against the very principles of profit and self-
authorisation) and parallel importing (where the advantage upon which the free market and their own
government imports patented drugs from other countries success are founded. to imagine that these beneficiaries
where those same patented drugs are cheaper). might, in large or even significant numbers, recognise
63. Sleap (2004, p. 166) states that ‘[j]ust as in time the need for external regulation is to deny all
significant as the legal implication of the South the known laws of human behaviour. this contradiction
African victory is the fact that it showed that must be underscored and faced’.
public opinion was not prepared to accept that 73. this is not only a problem raised in the context
these lifesaving drugs be priced out of the reach of of corporations but also surfaces in relation to
those who need them most in order to ensure that states taking on further human rights responsibilities
pharmaceuticals maintain their profit margins’. the themselves. As Evans (2001, p. 53) points out, treaties
effect of the government action would have been to are often drafted in accordance ‘with the principle of
force the company to reduce prices. the “lowest common denominator”, which attracts
64. that this resulted from public pressure can be the widest possible number of ratifications but avoids
gathered from comments such as those of J.P. Garnier, arduous obligations that might restrict future action’.
chief Executive of GlaxoSmithKlein (one of the 74. Persistence in this regard has in fact led recently
litigants) who when asked about this case, said ‘We to the adoption of a ground-breaking declaration
don’t exist in a vacuum. We’re a very major corporation. by the UN General Assembly condemning human
We’re not insensitive to public opinion. this is a factor in rights violations based on sexual orientation and
our decision-making’: quoted in Swarns (2001). gender identity: see International lesbian and Gay
65. critics of the industry claim that the industry Association (2008).
inflates its research and development costs and 75. Indeed, Ruggie might point to the fact that even
that this often takes place through publicly-funded his minimal proposals have garnered some opposition
institutions: see cohen and Illingworth (2003, p. 46). from the business community.
228 ■ SUR - INtERNAtIONAl JOURNAl ON HUMAN RIGHtS
DAVID BIlcHItZ
RESUMO
John Ruggie, Representante Especial do Secretário Geral das Nações Unidas para Empresas e
Direitos Humanos, divulgou um marco no qual defende que a principal responsabilidade das
empresas é respeitar os direitos humanos. Na primeira parte, este artigo procurará analisar a
airmação à luz do direito internacional dos direitos humanos: argumentar-se-á que, embora o
conceito de responsabilidade de respeitar elaborado por Ruggie inclua também a de proteger,
sua natureza é preponderantemente “negativa”. A segunda parte do artigo demonstrará que
o conceito da natureza das obrigações das empresas elaborado por Ruggie está enganado:
as empresas não deveriam apenas evitar violações dos direitos fundamentais, mas também
ser obrigadas a contribuir ativamente para sua concretização. Um argumento normativo será
utilizado para fundamentar esta airmação. Esta interpretação da natureza das obrigações das
empresas tem importância especial para os países em desenvolvimento e será exempliicada
pela análise dos deveres das indústrias farmacêuticas de disponibilizar drogas que salvam vidas
a preços acessíveis àqueles que delas necessitam.
PALAVRAS-CHAVE
Marco Ruggie – Empresas – Direitos humanos – Obrigações positivas – Obrigação de
respeitar, proteger e realizar – Países em desenvolvimento
RESUMEN
John Ruggie, Representante Especial del Secretario General sobre la Cuestión de los
Derechos Humanos y las Empresas Transnacionales, elaboró un marco en el que sostiene
que la responsabilidad principal de las empresas es la de respetar los derechos humanos.
El presente trabajo procura, en primer lugar, analizar esta airmación a la luz del derecho
internacional de derechos humanos. Argumenta que mientras que la concepción de Ruggie
de la responsabilidad de respetar incluye efectivamente una responsabilidad de proteger, la
naturaleza de la responsabilidad sigue siendo en gran medida ‘negativa’. En la segunda parte de
este trabajo se sostiene que la concepción de Ruggie acerca de la naturaleza de las obligaciones
de las empresas es errónea: se debe exigir a las empresas no sólo que eviten el daño a los
derechos fundamentales sino que contribuyan activamente a la realización de tales derechos. Se
presentará para esta aseveración un argumento normativo. Este entendimiento de la naturaleza
de las obligaciones de las empresas es de particular importancia para los países en desarrollo
y será ilustrado considerando las obligaciones de las empresas farmacéuticas de producir
medicamentos que salven vidas a precios accesibles para quienes los necesitan.
PALABRAS CLAVE
Marco Ruggie – Empresas– Derechos humanos – Obligaciones positivas – Obligaciones de
respetar, proteger y cumplir – Países en desarrollo
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Implementing the Right to
MIcHEllE RAttON SANcHEZ criminal courts
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Brief observations on the mechanisms SERGIO BRANcO
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the Environment Pharmaceutical corporations right to education
FIONA MAcAUlAy and access to drugs in developing tHOMAS W. POGGE
civil Society-State Partnerships for countries: the way forward Eradicating systemic poverty: brief
the Promotion of citizen Security in clóVIS ROBERtO ZIMMERMANN for a Global Resources Dividend
Brazil Social programs from a human
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VíctOR E. ABRAMOVIcH the role of NGOs in the UN Human
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cARlOS M. cORREA lights and shadows of the new United Imagining locally-motivated
tRIPS Agreement and Access to Nations Human Rights council accountability for mass atrocities:
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poverty and its promising encounter PAUlO SéRGIO PINHEIRO European migration control in the
with human rights Sixty years after the Universal African territory: the omission of the
Declaration: navigating the extraterritorial character of human
INtERVIEW WItH JUAN MéNDEZ contradictions
By Glenda Mezarobba rights obligations
FERNANDA DOZ cOStA
SUR 8, v. 5, n. 8, Jun. 2008 Poverty and human rights from SUR 11, v. 6, n. 11, Dec. 2009
rhetoric to legal obligations: a critical
MARtíN ABREGú account of conceptual frameworks VíctOR ABRAMOVIcH
Human rights for all: from the From Massive Violations to
EItAN FElNER Structural Patterns: New Approaches
struggle against authoritarianism to A new frontier in economic and social
the construction of an all-inclusive and classic tensions in the Inter-
rights advocacy? turning quantitative American Human Rights System
democracy - A view from the data into a tool for human rights
Southern cone and Andean region accountability VIVIANA BOHóRQUEZ MONSAlVE
AMItA DHANDA AND JAVIER AGUIRRE ROMáN
KAtHERINE SHORt tensions of Human Dignity:
constructing a new human rights From commission to council: has the
lexicon: convention on the Rights of conceptualization and Application to
United Nations succeeded in creating International Human Rights law
Persons with Disabilities a credible human rights body?
lAURA DAVIS MAttAR DEBORA DINIZ, líVIA BARBOSA
ANtHONy ROMERO AND WEDERSON RUFINO DOS
legal recognition of sexual rights Interview with Anthony Romero,
– a comparative analysis with SANtOS
Executive Director of the American Disability, Human Rights and Justice
reproductive rights civil liberties Union (AclU)
JAMES l. cAVAllARO AND JUlIEtA lEMAItRE RIPOll
StEPHANIE ERIN BREWER SUR 10, v. 6, n. 10, Jun. 2009 love in the time of cholera: lGBt
the virtue of following: the role Rights in colombia
of Inter-American litigation in ANUJ BHUWANIA ECONOMIC, SOCIAL AND
campaigns for social justice “Very wicked children”: “Indian CULTURAL RIGHTS
torture” and the Madras torture
RIGHT TO HEALTH AND ACCESS commission Report of 1855 MAlcOlM lANGFORD
TO MEDICAMENTS Domestic Adjudication and Economic,
DANIElA DE VItO, AISHA GIll
PAUl HUNt AND RAJAt KHOSlA AND DAMIEN SHORt Social and cultural Rights: A Socio-
the human right to medicines Rape characterised as genocide legal Review
tHOMAS POGGE cHRIStIAN cOURtIS ANN BlyBERG
Medicines for the world: boosting Notes on the implementation by the case of the Mislaid Allocation:
innovation without obstructing free latin American courts of the IlO Economic and Social Rights and
access convention 169 on indigenous peoples Budget Work
JORGE cONtESSE AND DOMINGO BENyAM D. MEZMUR AlDO cAlIARI
lOVERA PARMO Intercountry adoption as a measure trade, Investment, Finance and
Access to medical treatment for of last resort in Africa: Advancing the Human Rights: Assessment and
people living with HIV/AIDS: success rights of a child rather than a right Strategy Paper
without victory in chile to a child PAtRIcIA FEENEy
GABRIElA cOStA cHAVES, HUMAN RIGHTS OF PEOPLE ON Business and Human Rights: the
MARcElA FOGAçA VIEIRA AND Struggle for Accountability in the
THE MOVE: MIGRANTS AND
RENAtA REIS UN and the Future Direction of the
REFUGEES
Access to medicines and intellectual Advocacy Agenda
property in Brazil: reflections and KAtHARINE DERDERIAN AND INTERNATIONAL HUMAN RIGHTS
strategies of civil society lIESBEtH ScHOcKAERt COLLOQUIUM
Responding to “mixed” migration
SUR 9, v. 5, n. 9, Dec. 2008 flows: A humanitarian perspective Interview with Rindai chipfunde-
JUAN cARlOS MURIllO Vava, Director of the Zimbabwe
BARBORA BUKOVSKá Election Support Network (ZESN)
Perpetrating good: unintended the legitimate security interests of
consequences of international human the State and international refugee Report on the IX International
rights advocacy protection Human Rights colloquium
v. 7 • n. 12 • Jun. 2010 • p. 230-231 ■ 231
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