Only a few years ago, analysts were warning that Mexico was at risk of becoming a “failed state.” These days, the Mexican government appears to be doing a much better PR job.
Despite the devastating and ongoing drug war, the story now goes that Mexico is poised to become a “middle-class” society. As establishment apostle Thomas Friedman put it in the New York Times, Mexico is now one of “the more dominant economic powers in the 21st century.”
But this spin is based on superficial assumptions. The small signs of economic recovery in Mexico are grounded largely on the return of maquiladora factories from China, where wages have been increasing as Mexican wages have stagnated. Under-cutting China on labor costs is hardly something to celebrate. This trend is nothing but the return of the same “free-trade” model that has failed the Mexican people for 20 years.
The North American Free Trade Agreement (NAFTA), which was ratified in 1993 and went into effect in 1994, was touted as the cure for Mexico’s economic “backwardness.” Promoters argued that the trilateral trade agreement would dig Mexico out of its economic rut and modernize it along the lines of its mighty neighbor, the United States.
The story went like this:
NAFTA was going to bring new U.S. technology and capital to complement Mexico’s surplus labor. This in turn would lead Mexico to industrialize and increase productivity, thereby making the country more competitive abroad. The spike in productivity and competitiveness would automatically cause wages in Mexico to increase. The higher wages would expand economic opportunities in Mexico, slowing migration to the United States.
In the words of the former President Bill Clinton, NAFTA was going to “promote more growth, more equality and better preservation of the environment and a greater possibility of world peace.” Mexico’s president at the time, Carlos Salinas de Gortari, echoed Clinton’s sentiments during a commencement address at MIT: “NAFTA is a job-creating agreement,” he said. “It is an environment improvement agreement.” More importantly, Salinas boasted, “it is a wage-increasing agreement.”
As the 20th anniversary of NAFTA approaches, however, the verdict is indisputable: NAFTA failed to spur meaningful and inclusive economic growth in Mexico, pull Mexicans out of unemployment and underemployment, or reduce poverty. By all accounts, it has done just the opposite.
The Verdict Is In
Official statistics show that from 2006 to 2010, more than 12 million people joined the ranks of the impoverished in Mexico, causing the poverty level to jump to 51.3 percent of the population. According to the United Nations, in the past decade Mexico saw the slowest reduction in poverty in all of Latin America.
Rampant poverty in Mexico is a product of IMF and World Bank-led neoliberal policies—such as anti-inflationary policies that have kept wages stagnant—of which “free-trade” pacts like NAFTA are part and parcel. Another factor is the systematic failure to create good jobs in the formal sectors of the economy. During Felipe Calderon’s presidency, the share of the Mexican labor force relying on informal work—such as selling chewing gum and other low-cost products on the street—grew to nearly 50 percent.
Even the wages in the manufacturing sector, which NAFTA cheerleaders argued would benefit the most from trade liberalization, have remained extremely low. According to the Bureau of Labor Statistics, Mexican manufacturing workers made an average hourly wage of only $4.53 in 2011, compared to $26.87 for their U.S. counterparts. Between 1997 and 2011, the U.S.-Mexico manufacturing wage gap narrowed only slightly, with Mexican wages rising from 13 to 17 percent of the level earned by American workers. In Brazil, by contrast, manufacturing wages are almost double Mexico’s, and in Argentina almost triple.
Mexico’s stagnant wages are celebrated by free traders as an opportunity for U.S. businesses interested in outsourcing. According to one report by the McKinsey management consulting firm, “for a company motivated primarily by cost, Mexico holds the most attractive position among the Latin American countries we studied. … Mexico’s advantages start with low labor costs.”
But even as the damning evidence against NAFTA continues to roll in, entrenched advocates of the trade agreement have been busy crafting new arguments. In his recent book, Mexico: A Middle Class Society, NAFTA negotiator Luis De la Calle and his co-author argue that the trade agreement has given rise to a growing Mexican middle class by providing consumers with higher quality, U.S- made goods. The authors proclaim that “NAFTA has dramatically reduced the costs of goods for Mexican families at the same time that the quality and variety of goods and services in the country grew.”
Most of the economic indicators included in the book conveniently fail to account for the 2008-2009 financial crisis, which hit Mexico worse than almost any other Latin American country. The result has been skyrocketing inequality. As the Guardian reported last December, “ever more Mexican families have acquired the trappings of middle-class life such as cars, fridges, and washing machines, but about half of the population still lives in poverty.”
The indicators of consumption that suggest the rise of Mexico’s middle class also exclude the dramatic increase in food prices in recent years, which has condemned millions of Mexicans to hunger. Twenty-eight million Mexicans are facing “food poverty,” meaning they lack access to sufficient nutritious food. According to official statistics, more than 50,000 people died of malnutrition between 2006 and 2011. That’s almost as many as have died in Mexico’s drug war, which dramatically escalated under Calderon and has continued under President Enrique Peña Nieto.
The food crisis has coincided with the “Walmartization” of the country. In 1994 there were only 14 Walmart retail stores in all of Mexico. Now there are more than 1,724 retail and wholesale stores. This is almost half the number of U.S. Walmarts, and far more than any other country outside the United States. The proliferation of Walmart and other U.S. big-box stores in Mexico since NAFTA came into effect has ushered in a new era of consumerism—in part through an aggressive expansion built on political bribes and the destruction of ancient Aztec ruins.
The arguments developed prior to the signing of NAFTA focused primarily on the claim that the trade agreement would make Mexico a nation of producers and exporters. These initial promises failed to deliver. Throughout the NAFTA years, the bulk of Mexico’s manufacturing “exports” have come from transnational car and technology companies. Not surprisingly, Mexico’s intra-industry trade with the United Sates is the highest of any Latin American country. Yet the percentage of Mexican companies that are actually exporters is vanishingly small, and imports of food into Mexico have surged.
Same Snake Oil, Different Pitch
Because their initial promises utterly failed to deliver, the NAFTA pushers are now hyping “consumer benefits” to justify new trade agreements, including the Trans-Pacific Partnership. One of the most extreme examples of this spin is an article in The Washington Post that celebrates a “growing middle class” in Mexico that is “buying more U.S. goods than ever, while turning Mexico into a more democratic, dynamic and prosperous American ally.” Devoid of all logic, it goes on to say that “Mexico’s growth as a manufacturing hub is boosted by low wages.” How can low wages make people more prosperous?
The Post also boasts that in “Mexico’s Costco stores, staples such as tortilla chips and chipotle salsa are trucked in from factories in California and Texas that produce for both sides of the border.” Is this something to celebrate? The influx of traditional Mexican food staples, starting with maize, and goods from the United States has displaced and dislocated millions of Mexican small-scale farmers, producers, and small businesses. And not only that, Mexicans’ increasing consumption of processed foods and beverages from the United States has made the country the second-most obese in the world.
In essence, NAFTA advocates have been reduced to saying: “so maybe NAFTA didn’t help Mexico reduce poverty or increase wages. But hey! At least it gave it Walmart, Costcos, and sweat shops.”
The bankruptcy of NAFTA’s promises is only compounded by the poverty of this consolation.
As interim Venezuelan President, Nicolas Maduro’s first protocol act was to hold talks with a Chinese delegation, in order to reinforce economic ties with the People’s Republic. Following the meeting on March 8, Maduro declared that “China is the biggest economic driving force of the new world and a main political actor in world decisions.” The meeting was broadcast live on local Venezuelan media and on big screens around the military academy, where Chavistas were paying an emotional farewell to their leader Hugo Chavez.
The meeting concealed a double meaning: It served as a public political cover against anyone interested in destabilizing the Bolivarian revolution, as had occurred in 2002 with the failed coup against Chavez. Officials in Washington likely took note. The second implicit meaning was to reinforce the spirit of the Chavista revolution. It represents a continuity with Chavez’s foreign policy: the Bolivarian revolution which started 14 years ago will pursue Chavez’s main personal goal of creating a multipolar world grounded on strong anti-imperialism.
In his speech at the funeral ceremony, Maduro lightly opened up to the United States, who had dispatched two low-profile delegates to the ceremony, but clearly stated that his future duty would lie in “shap[ing] a world where there are no hegemonic powers, especially here in America.”
Under Hugo Chavez’s presidential mandates, Venezuela attempted to establish a multipolar world order in order to challenge US hegemony. Since 1999, Chavez increased Venezuela bilateral relations with countries such as China, Russia, Belarus, Iran, Syria and Libya. He personally built a bridge between leftist countries in Latin America and this multi-polar world.
Chavez’s international relations were indeed very much self-oriented and grounded in strong friendships. Most of these friendly countries assisted with high profile delegations at the funeral and considered Chavez’s death a personal loss more than the passing of a mere political ally.
Chavez’s Legacy and the Middle East
However, the main focus of Chavez’s foreign policy has been the Middle East and especially the Arab cause, which was considered a priority. Chavez found in the Middle East a common ground for his anti-imperialist policy and good allies not fearful to speak out against US hegemony. In the last decade, Venezuela signed several agreements with Middle Eastern countries, especially Syria, Libya and Iran, concerning natural resources, housing and trade, but mainly preparatory in order to reinforce the political alliance.
The future of these strong ties between Venezuela and Middle Eastern countries hostile to United States represents the main question after Chavez’s death.
Several delegations from the Middle East arrived in Venezuela to pay their condolences to the Venezuelan president. Syrian President Bashar al-Assad sent a telegram to Maduro and a delegation to assist with the funeral. Iranian President Mahmoud Ahmadinejad spent around 24 hours in Caracas and attracted much attention from Venezuelan media. During the ceremony, Ahmadinejad kissed several times the coffin and finally raised his fist in homage to his political ally and close friend.
Venezuelan media followed him around until his last steps on Venezuelan soil at the airport of Maiquetia. The relationship between Venezuela and Iran was solidified with Ahmadenijad’s rise to power in Iran in 2005, and with the consolidation of the Bolivarian political project in Latin America. Ahmadinejad traveled to Latin America on several occasions and received numerous visits from Latin American leaders.
On the other side, Chavez opened Latin America to Ahmadinejad as well, especially in terms of ideological and trade relations with other leftist governments in the region and especially with the members of the ALBA (Bolivarian Alliance for the Americas).
Facing international media speculations on the Venezuelan vacuum and about the end of bilateral relations between Iran and Venezuela after Chavez’s death, Ahmadinejad declared upon landing in Iran that “the Iranian nation has strong ties with revolutionary nations and we will help strengthening these ties. Thus, nobody should believe that our relations will be weaker because of the death of Chávez.”
The Iranian state PressTV also reported the declaration of Iran’s Vice-President for International Affairs Ali Saeedlou affirming that the death of Venezuelan leader Hugo Chavez would not undermine relations between Tehran and Caracas, and that it was wrong to consider ties with Venezuela as based merely on a personal relationship.
Beside the condolences from regional heads of states and the rush to discredit speculations, the main question remains after Chavez death: Will his successor be able to manage such a self-oriented foreign policy and stance toward the Middle East?
The Arab Spring and Venezuela Last Stances on the Middle East
In the last months, Hugo Chavez and Nicolas Maduro publicly supported China and Russia’s veto against UN Security Council resolutions to sanction Syria. In previous years, Chavez’s government expelled the Israeli ambassador as consequence of Operation Cast Lead in the Gaza Strip, and he vehemently criticized foreign intervention in Libya, supporting instead his close friend Muammar Gaddafi against what he considered another imperial aggression.
The Arab Spring destabilized Chavez’s relations with some Middle Eastern countries, and Libya was the first loss. But Adriana Boersner, director of the Venezuelan think tank Diploos, is skeptical that the Arab Spring represented any serious inconvenience for Venezuela: “the bilateral relations with Libya were merely related to an ideological component and they were very pragmatic in terms of trade, social, educational and cultural agreements. Of these 150 treaties, only 10 were being ratified by the assembly. Definitely the death of Gaddafi did not greatly affect Venezuela.”
Gaddafi’s death instead affected Hugo Chavez on a personal level. According to Reinaldo Bolivar, vice-minister of foreign affairs for Africa, “Venezuela lost contact with Libya but maintains good relations with other countries in the area.”
Indeed, Venezuela managed to maintain good relations with other countries from the region even if with different perspectives on the events in the Middle East – at least on an official level. That is the case especially with Qatar. The honeymoon between the emir and the comandante was mainly motivated by Chavez’s attempt to emulate the al-Jazeera model with his own creation, TeleSUR.
With the spreading of the Arab Spring to Syria, the agreements between the channels almost faded. But Venezuelan criticism toward al-Jazeera and Qatar’s role in Syria was left to low profile ministers and grassroots groups or individuals. The government publicly remained silent.
According to Reinaldo Bolivar, “in terms of Venezuelan politics toward the Middle East and North Africa, Maduro’s government will act in perfect continuity with Chavez’s mandate. Venezuelan foreign policy will be coherent with the Plan de la Patria of 2013-2019, which basically aims to create a multipolar world, express international solidarity with the oppressed people of the world, the defense of sovereignty and the complete rejection of foreign intervention.”
The Plan de La Patria is to be considered a road map for the coming years of the Bolivarian revolution and it was written a few months before Chavez’s death. It indicates that Venezuela’s prerogative in foreign policy is to shape a multipolar world which aims to preserve peace based on the principle of respect for all countries’ sovereignty.
Maduro, the Chavistas and the Middle East
Doubts persist if Maduro will be able to continue Chavez’s multipolar path and will be able to keep political alliances strongly based on friendship. Maduro was directly chosen by Chavez as his successor in his last public speech on December 8, before he traveled to Cuba for medical treatment against cancer.
Venezuelan analysts have different perspectives on the future of their country’s relations with the Middle East. Carlos Romero, professor at the Universidad Central de Venezuela, reminds us that “even if Chavez established very strong and personal relations with Middle East leaders, Maduro was his minister of foreign affairs for seven years before becoming vice president. He personally knows all these country’s leaders, and probably the relationship with the Middle East will be even deeper in the next years.”
Adriana Boersner instead maintains that after Chavez’s death “Venezuelan foreign policy will be deeply affected. During Chavez’s self-oriented mandates, the foreign ministry was reduced to a merely bureaucratic institution and it did not participate actively and autonomously in shaping international relations with other countries.”
Chavez’s self-oriented relationship with Middle Eastern countries is evident, too, from the limited awareness in terms of foreign policy at the grassroots level of the Bolivarian revolution.
Roso Grimau, delegate of the Venezuelan Communist Party and member of the Committee of International Solidarity in the Venezuelan Assembly considered that “Chavez personally accelerated Venezuela’s relations with the Middle East and Arab nations, because he considered it a right cause. Relations have never much been at the popular level, but now it is the duty of the Venezuelan people to engage and internationalize at its grass root’s basis, the Bolivarian revolution, by expanding ties with people who are facing imperialist aggressions, especially in the Middle East.”
That work needs to be done already. And beside this internationalist stance, Chavistas in the streets in the days of his funeral were sincerely unaware of who Mahmoud Ahmadinejad was when he was interviewed on local television. The basis of the Bolivarian revolution seems definitively uninterested in foreign policy and the Middle East, in particular at this stage.
The Future Bolivarian Roadmap to the Middle East
Maduro will probably win the next elections and act with greater pragmatism. It is not clear if other Latin American leftist leaders such as Evo Morales, Rafael Correa, Raul Castro or Daniel Ortega will follow in Chavez’s footsteps. Chavez’s path toward the Middle East was based on direct confrontation with the United States in the background, and not all these leaders seem interested or able to support that stance.
On the other side, the popular basis of the revolution neither appears ready nor interested in conducting and building solid relations with their counterparts in the Middle East.
The key lies in Maduro’s strength on the international scene. According to Carlos Romero, “Maduro will definitely continue on the path established by Chavez and he will maintain the basic axis of Venezuelan foreign policy for the Middle East, which is based on the support for a nuclear Iran, the rejection of foreign intervention in Syria and the condemnation of the occupation in Palestine.”
At least in the near future, the shadow of Hugo Chavez will guarantee the maintenance of strong relations between Venezuela and Middle East countries. Chavez was an extraordinary charismatic figure, but he shaped strong friendships that will be difficult to replace.
A record quantity of radioactive cesium – 7,400 times the country’s limit deemed safe for human consumption – has been detected in a greenling fish in the waters near the crippled Fukushima plant, two years after the nuclear disaster.
Tokyo Electric Power Co (TEPCO), which runs the Fukushima Daiichi Nuclear Power Station, discovered a record 740,000 becquerels per kilogram of radioactive cesium in the fish, Kyodo News reported.
The operator installed a net on the seafloor of the port exit near the plant to prevent the fish from escaping.
The bottom-dwelling greenling fish was found in a cage set up by TEPCO inside the port next to the Fukushima Daiichi plant, a utility official told AP on condition of anonymity.
The company also indicated that the previous record of cesium concentration in fish was 510,000 becquerels per kilogram detected in another greenling caught in the same area, TEPCO said.
In January, a fish containing over 2,500 times Japan’s legal limit for radiation in seafood was caught in the vicinity of the nuclear plant, the facility’s operator reported.
The March 11, 2011, earthquake and tsunami damaged the plant, causing meltdowns that spewed radiation into the surrounding soil and water. The disaster forced the evacuation of 170,000 local residents.
Some experts have speculated that radioactive water may be seeping from the plant into the ocean; this may have been confirmed after bluefin tuna caught off the coast of California tested positive for radiation poisoning at the end of February.
Most fish along the Fukushima coast are banned from market.
In his upcoming Israel visit, US President Barack Obama will spend just a few hours in Palestinian Ramallah and the rest of the 3-day tour visiting grave of Zionism founder Theodor Herzl, a Holocaust memorial and an anti-missile system, among other Israeli sites.
During the visit that begins on Wednesday, Obama will spend “just a few hours” in the Palestinian Authority base of Ramallah, and the rest of his three-day stay in al-Quds (Jerusalem), where he plans to visit an “official” so-called Holocaust memorial, a partially US-built Israeli Iron Dome anti-missile site and Herzl’s grave, The Los Angele Times reports on Friday.
In visiting the grave site of the Zionism founder and the Holocaust spot, Obama intends to highlight the point he made during his widely publicized Cairo speech in 2009, when he urged his Egyptian audience to accept the Zionist regime’s right to exist while denouncing efforts to deny the increasingly suspicious Holocaust story, the report states, citing US and Israeli officials. … Full article
On 16 March 2013 the South Hebron Hills Popular Committee built a tent to protect school children from Tuba and Maghayir Al Abeed while they wait for their military escort. Hours after the ceremonious construction of the tent — attended by villagers, school children, internationals and various media outlets — was over, the Israeli military demolished the tent and arrested one of the internationals present.
The schoolchildren coming from Tuba and Maghayire Al Abeed walk between the Israeli settlement of Ma’on and the outpost of Havat Ma’on in order to get to school in At-Tuwani. Since 2001 settlers have repeatedly attacked the children along this route, preventing most of the children, who feared for their safety, from being able to attend school. In 2004 volunteers from Christian Peacemaker Teams (CPT) and Operation Dove began accompanying the children along the path, but the violent attacks continued. These attacks brought the matter to the attention of the Children Rights Committee of the Knesset, which established in November 2004 a military escort to protect the children.
Since November 2004, CPT and Operation Dove have constantly monitored the military escort, documenting the failures of the Israeli army as well as settler violence toward the children. During the school year 2011-2012, the volunteers of Operation Dove and CPT published a report, The Dangerous Road to Education, which found that in 35% of cases the military escort was late. In addition, in 48% of cases, the military escort arrived late after school, forcing the children to wait for a total time of about 21 hours. There is nothing to shelter the children, some as young as six years old, from the elements as they wait for their unpunctual military escort.
The Popular Committee wanted to give the children a tent to shelter them while they wait. The event had around one hundred in attendance. These included some of the children whom the tent was being made for, teachers and administrators from the school, CPT and other international organizations, Palestinians from At-Tuwani and surrounding villagers and the media. The crowd was immediately met by soldiers who filmed all the attendees and took down Palestinian flags that children had put up around the building area. The children played and chanted in front of the soldiers while settlers on the next hilltop yelled down at them, “Kill all the Arabs.” The tent was completed and christened “Michele’s tent” after the late daughter of the Italian woman who funded the project.
As the afternoon wore on the crowd started to leave. Two hours after the tent was build the Israeli military demolished it and arrested one of the international volunteers who had remained there. The volunteer was released, but must leave the West Bank for two weeks. The Popular Committee plans to rebuild the tent, but as for now the schoolchildren will have to wait out in the rain when they return to school on Sunday.
The March 11, 2011 Tohoku earthquake and tsunami caused the deaths of approximately 16,000 persons, left more than 6,000 injured and 2,713 missing, destroyed or partially damaged nearly one million buildings, and produced at least $14.5 billion in damages. The earthquake also caused a triple meltdown at the Fukushima Daiichi nuclear power plant on Japan’s eastern coast. After reading the first news reports about what the Japanese call “3.11,” I immediately drew associations between the accident in Fukushima and the Chernobyl nuclear disaster of 1986 in what was then the Soviet Union. This was only natural, since studying the cultural fallout of Chernobyl has been part of my life’s work as an anthropologist for the past 17 years. Knowing rather little about Japan at the time, I relied on some fuzzy stereotypes about Japanese technological expertise and penchant for tight organization and waited expectantly for rectification efforts to unfold as a model of best practices. I positioned the problem-riddled Chernobyl clean-up, evacuation, and reparation efforts as a foil, assuming that Japan would, in contrast, unroll a state-of-the-art nuclear disaster response for the modern age. After all, surely a country like Japan that relies so heavily on nuclear-generated power has developed thorough, well-rehearsed, and tested responses to any potential nuclear emergency? Thus, I expected the inevitable comparisons between the world’s two worst nuclear accidents to yield more contrasts than parallels.
But as reporting on the meltdown at the Fukushima Daiichi NPP unfolded, an unsettling story of stonewalling and sloppiness emerged that was eerily reminiscent of the Chernobyl catastrophe. TEPCO (Tokyo Electric Power Company), which operates the Fukushima Daiichi NPP, and the plant’s head, Masao Yoshida, proved to be masters of understatement. Yoshida characterized radiation levels nearly 100 times higher than normal as “higher than the ordinary level,” and he used the wholly inadequate phrase “acute danger” to describe two explosions and the meltdown of three of the reactor cores1 (how about “catastrophic meltdown necessitating immediate evacuation?”). One is reminded of the first official statement acknowledging the Chernobyl accident, which only appeared in a Kyiv newspaper three days after the disaster, and was hidden on the third page in the Weather section: “From the Cabinet of Ministers of the USSR. An accident has occurred at the Chernobyl atomic electrostation; one of the atomic reactors was damaged. Measures are being taken to liquidate the consequences of the accident. The victims are receiving assistance.”2
Recently-released video footage of the early days and weeks of the Japanese crisis reveals that some of the same mistakes made during the Soviet state’s blighted response to Chernobyl were repeated at Fukushima Daiichi. Military helicopters made futile attempts to douse flames inside the damaged reactors with water, a strategy already proven ineffective, dangerous, and potentially counterproductive during the Windscale fire in Great Britain in 1957, and later at Chernobyl. Local Fukushima firefighters were called to the accident scene but not informed of the extremely high levels of radiation—the TEPCO video reveals an official at headquarters to say, “There’s no use in us telling the fire department. That’s a conversation that needs to happen at higher levels.” Recall the six firemen who lost their lives battling the fires at Chernobyl’s Reactor No. 4; along with 25 other plant workers and first responders the firefighters for years were the only Chernobyl casualties officially recognized by the Soviet state. The accidents at Chernobyl and Fukushima alike have been traced back to lax safety controls and poor plant design or siting, and the emergency response after both disasters included a muddled chain of command, the intentional withholding of vital radiological data and health directives, and the privileging of economic concerns and saving face over the well-being of human beings and the environment. Did we learn nothing from Three Mile, Selafield, Windscale, and Chernobyl? Will the Fukushima accident finally jar us out of complacency, or will the accident be successfully “socially contained,” enabling humankind to “stagger on toward our next disaster?”3
Thanks to colleagues at the Japan College of Social Work in Tokyo, during October and November 2012 I visited Japan to participate in interviews, informal meetings, and conference roundtables with Fukushima evacuees, social workers, medical professionals, and community activists. It was an enlightening though sobering experience: many of the Fukushima stories I heard echoed nearly word-for-word narratives I have read and collected among persons affected by the Chernobyl accident in the former Soviet Union. Just like people who survived Chernobyl and the Soviet Union’s “rectification efforts,” Fukushima-affected persons and their advocates complain of government secrecy and misinformation, top-down decision making, generalized disorganization, and the social ostracism of nuclear accident “victims.”
No one knows what really happened here”
I traveled through northeast Japan with an esteemed group of scholars: Dr. Yukio Yamaguchi and Dr. Takashi Fujioka, professors at the Japan College of Social Work; Dr. Masumi Shinya, a professor of sociology at East China University of Science and Technology’s School of Social and Public Administration; Dr. Decha Sungkawan, Dean of the Faculty of Social Administration at Thammasat University in Bangkok; and Dr. Charles Figley, professor and Chair of the Tulane University Trauma Institute.
We traveled by trains and taxis, making research stops in cities like Nihonmatsu and Yamagata City, which received thousands of disaster evacuees, and Otsuchi (Iwate Prefecture), a coastal town devastated by the 3.11 tsunami. Before the disaster Otsuchi had a population of 15,262. At least 800 residents were killed in the tsunami that carried away most of the city’s infrastructure; nearly 500 residents are still missing. Today there are 10,000 people living in Otsuchi, 5,400 of who still live in cramped temporary housing units.
Our guide in Otsuchi was Mr. Ryoichi Usuzawa, a community organizer. Mr. Usuzawa drove us around the city, much of which now consists only of partial concrete foundations where buildings once stood. The entire city administration of Otsuchi (more than 20 persons) drowned in the tsunami—they had been called by the mayor to the town hall at the time of the earthquake. Mr. Usuzawa drove us up a steep hill to an area overlooking the town, just above the now-destroyed Buddhist temple and the adjoining hillside cemetery, which is still intact. On 3.11, hundreds of residents watched from this vantage point as the massive wall of water rolled in and mowed down their town (including their own homes, some with people still inside), the buildings collapsing “like dominos.” The devastation resulted in huge amounts of debris that caused further damage in turn, as tanks of propane gas bobbed along, became entangled in debris, and ignited fires and explosions “bubbling on top with smoke.” Mr. Usuzawa says, “It was like a huge washing machine was spinning the whole town. Everything was moving clockwise.”4
One of these hilltop spectators captured the scene on video, and we watched the terrifying footage on Mr. Usuzawa’s laptop as we looked down over the now-leveled city.5 He explained that hundreds of residents, many of them elderly, fled to the Buddhist temple for refuge from the water and drowned inside. As the tsunami was rolling over Otsuchi, some 200 kilometers away a wall of water invaded the coast of Fukushima Prefecture, destroying the Fukushima Daiichi nuclear power plant and the surrounding towns. Yet the impact on residents’ health is harder to calculate, because it consists not only of physical destruction but radiation contamination.
As cultural geographer Shiloh Krupar notes, “Embodied knowledge…take[s] on a particular significance in the presence of large-scale technological -environmental disasters…, where the variability and duration of harmful waste and its biological effects are uncertain and never closed.”6 Measuring radiation exposure and absorbed dose requires specific, often hard-to-access technologies, and laypersons are dependent on experts and their expert knowledge for interpretation of these measurements. Individuals’ ability to know and assess their risks is severely curtailed when expert knowledge—produced by agents usually beholden to states and powerful industrial interests—is the only form of knowledge recognized as valid, even as states and industry intentionally withhold information on hazards and their biological effects. Meanwhile, embodied self-knowledge is discredited.
Fukushima evacuees and their advocates report egregious examples of misinformation, negligence, and cover-up that have exacerbated their health risks. After the earthquake and tsunami the United States Department of Defense and the Department of Energy conducted environmental and radiological monitoring of air, water, and soil on DOD installations in the region.7 According to Professor Yukio Yamaguchi of the Japan College of Social Work, when this valuable data was shared with Japanese authorities they shelved it for two weeks instead of immediately informing the population about radiation risks. Further, the Japanese government failed to provide the Japanese public with data from the System for Prediction of Environmental Emergency Dose Information (SPEEDI)—data predicting the location and extent of radioactive contamination after the nuclear accident—until March 23, nearly two weeks after the disaster. Because the SPEEDI data was not available, some families evacuated themselves to locations that actually were more contaminated than where they were living.8 Perversely, the Japanese authorities provided the SPEEDI data to the U.S. military on March 14 but waited a full nine days before releasing it to the Japanese people.9
As happened in the Soviet Union after the Chernobyl accident, after the Fukushima accident the government quickly raised the “acceptable” level of individual radiation exposure. In Japan, the pre-nuclear accident maximum “safe” exposure was one millisievert (mSv)/year.10 After the Fukushima disaster, suddenly exposure of 20 mSv/year was deemed safe. Some medical professionals went so far as to suggest that 100 mSv/year was a safe level of exposure.11 Such inconsistencies made it difficult for those living near the Fukushima Daiichi NPP to make informed choices and take actions to minimize their risk of exposure to damaging radionuclides. In this context of uncertainty, a common phrase among Fukushima accident-affected persons is that, “No one knows what really happened here.”
In an age where sophisticated radiological monitoring is possible and information technology facilitates the rapid evaluation and dissemination of radiological data, the Japanese government’s crude “mapping” of the radiation fallout baffles the innocent and informed alike. Environmental contamination after a nuclear explosion or accident is uneven and patchy. We have known this since the 1950s, when radioactive fallout from bombs detonated in Nevada was carried by rain clouds all the way to New York state. Similarly, radiation maps of the area around Chernobyl (not released until years after the disaster) show an irregular contamination pattern around the NPP with “anomalous” hotspots of contamination hundreds of miles away caused by rains —biochemist and journalist Mary Mycio describes it as a “hand” with a dark palm six miles around the plant and 20-30 mile-long “fingers” caused by radiation carried by the wind.12 Why, in the immediate wake of the Fukushima Daiichi accident, did the authorities not apply this knowledge? Why was the contamination not mapped according to the actual radiological data? Instead, in a move strangely reminiscent of the initial Chernobyl “mapping” of a 30-kilometer “zone of alienation,” a 20-kilometer “planned evacuation zone”13 of compulsory evacuation was drawn around the Fukushima Daiichi NPP. The Japanese Cabinet Public Relations Office announced that the cumulative radiation level in those areas could reach 20 mSv/year. People living outside this artificially-drawn zone have been provided no state support to evacuate from their homes, even if the levels of contamination are actually higher there than in some places inside the planned evacuation zone.
Consider for instance the town of Namie. Namie, which was affected by both the tsunami and the NPP accident, is located inside the exclusion zone, and its roughly 20,000 surviving residents were evacuated to the city of Nihonmatsu.14 However, levels of contamination in Namie are lower than in some towns outside the zone,15 whose residents have not had equitable access to evacuation assistance, medical care and social services. Evacuees from Namie face their own set of very difficult circumstances in Nihonmatsu: they are tired of living in hastily-built, cramped temporary housing quarters; unemployment, boredom, and feelings of lack of control over the future fuel anomie. Long-term reliance on social welfare is demoralizing, and evacuation is especially frustrating for elderly persons who just want to go home. According to a community leader at NPO Namie in Nihonmatsu, evacuees are experiencing serious psychological problems; now that they are not in “emergency mode,” he said, they increasingly dwell on their memories of the devastating tsunami. Many suffer from survivor guilt, asking themselves why they lived when others perished. Social workers report high levels of depression and anxiety, alcoholism, gambling, and marital discord among residents of temporary housing units.
Temporary housing site for Namie evacuees in Nihonmatsu. Located in a former athletic field, this site accommodates 240 families (550 persons), including 75 children under 15 years old, and 78 solitary elderly persons. Photo by Charles Figley.
Realizing that returning to Namie is only a distant prospect, and concerned about reports of Namie children being bullied in local schools, in fall 2012 a group of community activists founded Namie Elementary School in Nihonmatsu. The school has enrolled just 30 students so far, but organizers hope it will grow and serve to cohere the community of Namie evacuees in Nihonmatsu, who one community leader described as having been “scattered like sesame seeds.”16 Indeed, loss of community is one of the consequences of 3.11 and the resulting evacuations and resettlements of paramount concern to social workers and NPO leaders. Social work specialists in Japan point out that loss of communities was a major problem after the Great Hanshin (Kobe) earthquake in 1995, but the lessons of that tragedy have not been applied after 3.11.
Living apart is too difficult”
The experiences of the Nakamura family illustrate the difficulties faced bt many Fukushima accident-affected families. Before 3.11, Miki Nakamura, a nutritionist, lived with her husband and three young daughters in Koriyama in Fukushima Prefecture, 58 kilometers from the damaged NPP. The Nakamuras evacuated temporarily immediately after the accident. However, being understandably reluctant to uproot their young family, they returned to Fukushima as the new school year began in April. As in other locations close to the damaged nuclear power plant, the schools in Koriyama stayed open even though neither radiological monitoring nor decontamination efforts were underway.17 During an informal interview in October 2012, Miki Nakamura recalled that she and other parents were told “very firmly” by their children’s schoolteachers that children should continue to attend school; children were advised to wear masks, windbreakers, and hats to protect them from radiation. Trusting in the judgment of the teachers—and in the reassurances issued by the then Prime Minister Naoto Kan and the Secretary General that “there will not be immediate health impacts”—the children in Koriyama continued going to school.
The young families who at the time of the Chernobyl accident were living in Pripyat—the workers’ city built 2 km from the NPP—would find this tragedy familiar. Although news of the accident began to circulate informally hours after the Chernobyl explosion, the authorities did not warn the 49,000 residents of Pripyat to take precautions until a full 36 hours after the accident. Children enjoyed playing outside on the warm April day, unaware that their young bodies, especially their young thyroid glands, were soaking up radioactive particles. The thyroid gland is the organ most sensitive to radiation exposure; this is particularly true for children and for those with iodine deficiencies. Local health workers were instructed not to distribute prophylactic potassium iodine pills, for fear of “causing panic.” (Subsequently, around 6,000 cases of thyroid cancers—and many more cases of thyroid anomalies—have been documented among children who at the time of the Chernobyl accident were living in contaminated areas in Ukraine, Belarus, and Russia.18) Incredibly, a similar scenario unfolded after the Fukushima Daiichi accident. Although health workers themselves took prophylactic potassium iodine, it was not given to children.19
On March 15, it snowed in Fukushima, and the snow contained radioactive materials. Radioactive particles landed on the surface of the soil. In April, the air dose rate exceeded 3.8 microsieverts (/hour at “hot-spots” in Koriyama, and 8 microsieverts/hour at some points along the school route.20 Meanwhile, during the days following the Fukushima Daiichi accident, the Nakamuras’ dosimeter registered radiation levels of 1.5 microsieverts /hour right outside their home. It was not long before the eldest Nakamura daughter (age nine at the time) started having uncontrollable nosebleeds that her mother says “persisted even after going through a box of tissues.” The child’s nosebleeds were the first key factor in the family’s decision to leave Koriyama.
The second factor was the resignation of Professor Toshiso Kosako, an expert on radiation safety at the University of Tokyo and a nuclear advisor to the Japanese Prime Minister. In late April 2011 Kosako resigned in protest of the Japanese government’s decision after the Fukushima Daiichi accident to raise the official acceptable level of radiation exposure in schools from 1 to 20 mSv/year, a decision that allowed “children living near the crippled Fukushima Daiichi nuclear plant to receive doses of radiation equal to the international standard for nuclear power plant workers…a level [that is] is far higher than international standards set for the public.”21 Professor Kosako said he could not endorse this policy change from the point of view of science, or from the point of view of human rights.
The Nakamura family made a difficult decision: Miki and the children would move to Yamagata City, about an hour’s drive across the mountains from Koriyama. Mr. Nakamura would remain behind for his job, and the family would get together on weekends. Thus, Miki Nakamura and her three girls joined approximately 4,200 evacuees from Fukushima prefecture who moved to Yamagata. Like the Nakamuras, around 2,500 of these evacuees are from Fukushima City and the surrounding Nakadori area that were not under mandatory evacuation.22 As “voluntary” evacuees, these citizens are hardly entitled to the same state entitlements that mandatory evacuees receive. Some voluntary evacuees did receive two-part reparation payments from TEPCO, the first for the months up until December 2012, and the second for the months from January to August 2013.
The financial stress on voluntary evacuees—many of which find themselves running two households (one back home, one in Yamagata)—is enormous. Rent is free for evacuation housing, but families spend approximately 100,000 Yen ($1,110) per month on moving costs, utilities for two residences, and children’s kindergarten and school fees outside their place of official residence. (The latter obstacle compels some voluntary evacuee families to transfer their official place of residence, a decision that produces its own set of complications.) Costs of transportation are also high for these split families, who travel frequently to spend time together; also, unlike mandatory evacuees, voluntary evacuees must cover the costs of their own medical check-ups. Reparations from TEPCO do not even begin to offset these expenditures: the Nakamura family received the first compensation payment of just 400,000 yen for one child, 80,000 yen for each parent “for their unnecessary radiation exposure that could have been avoided,” and another 200,000 yen “for minor and additional costs.” The second payment consisted of only 80,000 yen for a child, 40,000 yen for an adult, and 40,000 yen for additional costs.
Miki Nakamura notes that, lacking appropriate entitlements and compensation, among voluntary evacuees “ there are so many children and mothers across the country that live each day by digging into their savings set aside for children’s education and their own retirement.”23 Over time, despite their continuing concerns about radioactive contamination, the financial and emotional burdens of voluntary evacuation have compelled a number of these families to return home against their better judgment. Miki Nakamura predicts that a number of families will return to Fukushima Prefecture from Yamagata in spring 2013, “not because Fukushima will be safe, but because living apart is too difficult.”
I am not a doctor but I know my children are sick”
In Yamagata City, the Nakamura girls continue to have health problems such as sore throat, canker sores, swollen lymph nodes, and dark circles under their eyes, which their mother believes to be related to the nuclear accident. The 10-year-old’s nosebleeds continue, but doctors—state employees who likely do not have the freedom to admit a Fukushima accident-related diagnosis—continue to discount radiation effects. One doctor who examined the eldest Nakamura child suggested that the girl’s nosebleeds were “caused by the stress of the mother.”
This readiness to attribute bodily complaints of disaster-affected persons to psychological and emotional stress is all too reminiscent of the diagnoses of “radiophobia” doled out by medical professionals and experts in the Soviet Union after the Chernobyl disaster. Not surprisingly, many people in Ukraine, Belarus and Russia who believed that Chernobyl fallout had compromised their health balked at the suggestion that their ailments were caused by “fear of radiation,” not radiation itself. They had good reason to be skeptical. Anthropologist Adriana Petryna’s ethnographic study of the Chernobyl medical assessment and compensation system has revealed that system to be anything but objective.25 Petryna documents how the invention and application of radiation-related diagnoses in Soviet medicine were as political and social as they were scientific. Further, only half-hearted attempts were made to systematically collect health data from Chernobyl-affected persons (plant workers, clean-up workers, evacuees), making any firm conclusions about biological effects of radiation exposure versus psychological effects of “radiophobia” impossible.
During 1997 I shadowed medical professionals working at the clinic in Kyiv that houses the “Chernobyl registry.” Persons with a “Chernobyl tie” from across the country (those deemed partially or fully disabled due to Chernobyl’s effects on their health) were offered regular examinations at the clinic—some were required to undergo these checks to retain their benefits—and personnel were supposed to enter patients’ data into the clinic’s computer database. The doctors and nurses I shadowed were harried and underpaid, and saw the data entry task as a nuisance. Often data was never entered, or it was entered helter-skelter. It is well known that after Chernobyl some data concerning individual exposure to radiation (particularly among clean-up workers) was actively destroyed or changed.26
I also in 1997 assisted with a WHO-funded study of children’s thyroid health in Chernobyl-contaminated areas whose planned evacuation was scuttled due to lack of funds. The research team exerted a yeoman’s effort, but the desperate conditions of local infrastructure made our tasks extremely difficult. We worked in hospitals without running water or electricity, and thus our ability to do blood draws and perform ultrasounds on children’s thyroids was limited. Local medical personnel were skeptical of our team and the study’s motives and we suspected they actively discouraged sick villagers from participating. Qualitative questionnaires were not tailored to local ways of life. For instance, youngsters who spent hours each day working in the fields and walking long distances to school were never sure how to answer the ill-phrased question, “Do you exercise or do sports regularly?”
Observing these problematic data-collection procedures makes me question research conclusions that purport to definitively assess Chernobyl’s health impacts, and especially those that downplay the medical effects of radiation exposure (e.g. the 2003-2005 Report of the Chernobyl Forum).27 The same critical eye should be applied to Fukushima accident health studies, since reports from Japan indicate that health monitoring of persons exposed to radiation after the Fukushima Daiichi NPP accident has been far from systematic or problem-free. The affected population is skeptical that doctors in the state system of medicine can offer objective diagnoses. This distrust means they may be compelled to pay out-of-pocket for private health care, in which case their medical data may not make it into official databases. In the future, these persons will not be eligible for public compensation for their Fukushima accident-related health problems.
Skepticism of official health pronouncements is reflected in people’s desire to have their personal levels of radiation exposure checked. Whole body counters (a device used to identify and measure the radioactive material in the body) are in deficit in Fukushima City, and the waiting list to be checked is some six months long.28 Even though Yamagata hosts the largest group of Fukushima evacuees in Japan, there is not a single whole body counter in the city.29 And as with Chernobyl, the chaotic evacuation of residents after the Fukushima accident complicates exposure assessment and health monitoring. Additionally, in early Feburary 2013 at a private meeting of the research and survey committee on residents’ health, it was suggested that the Fukushima Prefectural Medical College, the institution entirely responsible for examining radiation and its health effects, has attempted to delay the thyroid check-up for evacuees outside the prefecture.30
Not surprisingly, “radiophobia” has made its way into the Fukushima accident lexicon.31 It becomes convenient and somehow perversely comforting to focus on the psychological impacts of nuclear disasters, with their many “unknowns.” The victim-blaming Miki Nakamura encounters (“the child’s health complaints are caused by the stress of the mother”) would be familiar to many Chernobyl-affected persons I have interviewed in Ukraine. Of course, this is not to discount the real psychosocial stresses associated with evacuation and the multiple forms of Fukushima’s fallout (radioactive, economic, social, psychological), many of which are being tracked by the Fukushima Health Management Survey.32
Miki Nakamura has met with other forms of stonewalling in her efforts to monitor her children’s health. Like all children living near the disaster site, the Nakamura girls are entitled to thyroid screenings. After her daughters’ thyroid checks at the Fukushima Prefectural Medical College, Miki received a brief notice in the mail that lacked any details or explanation of the test results. When she phoned the Medical College to ask for an explanation of the test results, personnel told her, “We are so very busy…” and discouraged her from getting a second opinion, which in the words of the doctors, “just causes confusion.” Despite the deficit of whole body counters, Miki managed to arrange whole body counts for her daughters. However, without regular follow-ups to track the dynamic—whether their counts are going up or down—the information is of limited utility.
Miki Nakamura sums up her frustrations: “I am not a doctor but I know that my children are sick. And I saw that other children from Fukushima and in the greater Kanto region had the same health problems as my daughters, though I do not hear about it anymore…” Recent health studies show that Miki’s concern about her daughters’ thyroid health is far from unfounded. According to the April 2012 Sixth Report of Fukushima Prefecture Health Management Survey, which included examinations of 38,114 children, 35.3% of those examined were found to have cysts or nodules of up to 5 mm (0.197 inches) on their thyroids. A further 0.5% had nodules larger than 5.1 mm (0.2 inches).33 Contradicting earlier reports, the National Institute of Radiological Sciences admitted in July 2012 that children from Fukushima had likely received lifetime thyroid doses of radiation.34 The Health Risk Assessment from the Nuclear Accident after the 2011 Great East Japan Earthquake and Tsunami published by the World Health Organization (WHO) in February 2013 states that in the most affected regions of Fukushima Prefecture the preliminary estimated radiation effective doses35 for the first year after the disaster ranged from 12 to 25 mSv. According to the report, in the most contaminated location the estimated increased risks over what would normally be expected are as follows:
*all solid cancers – around 4% in females exposed as infants;
*breast cancer – around 6% in females exposed as infants;
*leukemia – around 7% in males exposed as infants;
*thyroid cancer – up to 70% in females exposed as infants (the normally expected risk of thyroid cancer in females over lifetime is 0.75% and the additional lifetime risk assessed for females exposed as infants in the most affected location is 0.50%).36
The future is what we are looking at right now”
Miki Nakamura spends time with other evacuee families every day as founder and director the Yamagata Association of Mothers in Evacuation (YAME). The association is a resource base and support system for families like the Nakamuras who are voluntary evacuees often split between two households. YAME has a liaison council to help mothers get necessary information, provides babysitting services and a “mothers’ morning out,” offers free legal consultations, and sponsors a regular “children’s plaza” where mothers can socialize and exchange advice while their children play. Miki Nakamura and her association worked with a local politician to draft the Fukushima Child Victims’ Law, which was passed by the Diet. But this is just a resolution without enforceability, and specific measures to protect victims’ rights (e.g. the right not to return to Fukushima) have not been determined.
As a nutritionist, in a context of radiological uncertainty Miki Nakamura draws on her knowledge of food properties and the complexities of the food supply to regulate her children’s diet. She shares and publishes recipes that contain “radioprotective” ingredients. Foods that contain beta carotene and vitamin C, for example, can help rid the body of radionuclides.37 One food that people in the Fukushima-affected areas have not enjoyed since 3.11 is persimmons (a crop for which the region is famous), which actively absorb radionuclides and thus are highly contaminated. The Yamagata countryside is adorned with scores of persimmon trees laden with ripe, juicy, entirely inedible fruit. Just as apples have become the key symbol of the Chernobyl accident (the forbidden fruit, original sin, humankind’s folly in seeking to control nature through science)38, perhaps the quintessential symbol of the Fukushima Daiichi accident will be the persimmon, which in Buddhist thought symbolizes the transformation of humans’ ignorance (the acrid green persimmon) into wisdom (the sweet, ripened fruit).
Miki Nakamura has lost all trust in the authorities. Before the disaster she always believed the government and she never thought twice about living near a nuclear power plant. Today she demands justice. She said: “The Fukushima disaster is not just an economic problem, but a problem of our children’s future. The future is what we are looking at right now. Our kids have the right to safety and to a good and long, peaceful life. These are not ‘poor kids.’ They have a future. The most important part of reconstruction after the accident is the restoration of people’s trust and sense of security.”
Was nuclear technological failure—the Chernobyl disaster—the “straw that broke the camel’s back” of the Soviet Union?39 The botched handling of the accident and its aftermath—and especially the central government’s overt failure and disinterest to protect the safety of citizens—confirmed what many citizens strongly believed: their government did not care for them and the system had become thoroughly corrupt and untrustworthy. While widespread protest against nuclear energy and its environmental and health risks was not possible in the authoritarian Soviet state, even in those conditions of a muzzled press and lack of freedom of speech a green movement emerged in response to Chernobyl. Chernobyl’s political fallout was one factor contributing to Gorbachev’s policy of glasnost (openness), and in a limited way anti-nuclear sentiment also fueled the Ukrainian independence movement.
Similarly, Japanese citizens have lost trust in the government and in engineers and physicians who previously commanded such respect and authority. Community leaders strongly feel that Japan lags behind other industrialized nations in democratic governance; they are particularly concerned about lack of press freedom. Indeed, in December 2012 the World Audit on corruption, democracy, and freedom of press gave Japan a democracy ranking of 29 (1 is most democratic, 150 least democratic). This puts Japan in the Audit’s “Division 2” list, along with Ghana, Panama, and Israel. Of the 26 OECD countries, Japan ranks 19th in democratic governance.40
The sound defeat of the Democratic Party by the Liberal Democratic Party in the national parliamentary elections in December 2012 reflected dissatisfaction with the status quo. But the elections were a referendum on the DP, not nuclear power; the LDP is pro-nuclear and does not plan to scale back nuclear energy production. Indeed, traveling through Japan I was struck by the relative lack of anti-nuclear discourse, even in Fukushima Prefecture. Few politicians criticize nuclear power. A notable exception is Tetsunari Iida, director of the Institute for Sustainable Energy Policies who lost a bid for governor of Yamaguchi Prefecture in elections in July 2012. The anti-nuclear Tomorrow of Japan Party—formed less than a month before the national parliamentary elections in December 2012—garnered scant voter support and disappeared. Reportedly the party’s calls for nuclear power draw-down failed to gain traction “amid concerns that electrical shortages could hurt the already shrinking economy.”41
Indeed, one gets the impression that response to the disaster has centered primarily on short-term economic, not human, concerns. Before the accident at the Fukushima NPP, Japan relied on nuclear power for 30% of its energy needs and was planning to increase that to over 50% within two decades. According to Japan’s Agency for Natural Resources and Energy, scrapping nuclear power would result in losses of $55.9 billion for power companies, at least four of which would likely face insolvency.42 With these economic stakes, it is not surprising that TEPCO and the Japanese government have been stingy with information about the disaster, the radioactive fallout, and the potential health consequences. My acquaintances who hoped Japan would abandon nuclear energy after the Fukushima disaster fear that the chance to “change the country’s direction” has already passed by.
Haruhiko Fukase, a resident of Yamagata City who worked as a shelter volunteer and coordinator during the evacuation effort, said that the nuclear accident-affected people have been forgotten not just by the international community, but by many of their fellow Japanese citizens. “For people in Tokyo and other big cities,” he said, “the evacuees don’t even register anymore. Their problems have been forgotten.” But for thousands of families, the Fukushima nuclear disaster will never end. Community leaders repeat this refrain: “The reactor is still hot; the situation is still unstable.” Miki Nakamura and like-minded community leaders are not giving up on the democratic process. They continue to speak justice to power. As Nakamura said during the December 2012 Japanese elections, “ To give up on Japanese politics is, to me, to give up on Fukushima.”43
Fukushima is Chernobyl. Independent of the system (Japanese, Soviet), nuclear technology requires disregard for the public, misleading statements, and obfuscation in multiple domains (medicine, science and technology, governance). As anthropologist Hugh Gusterson notes, “The disaster at Fukushima has generated cracks in what we might call the ‘social containment vessels’ around nuclear energy—the heavily scientized discourses and assumptions that assure us nuclear reactors are safe neighbors.”44 Comparing the nuclear accidents at Chernobyl and Fukushima shows that “peaceful” nuclear technology is anything but.
I am grateful to Miki Nakamura, Satoko Hirano, Yukio Yamaguchi, Paul Josephson, Marvin Sterling, and Charles Figley for their contributions to this article.
Sarah D. Phillips is Associate Professor of Anthropology at Indiana University, Bloomington. She is author of Women’s Social Activism in the New Ukraine: Development and the Politics of Differentiation (2008, Indiana U Press) and Disability and Mobile Citizenship in Postsocialist Ukraine (2011, Indiana U Press). Her website is at http://www.indiana.edu/~medanth/.
8 Fuminori Tamba (Disaster Recovery Research Institute, Fukushima University), “Recovery in Fukushima: Present Situation and Future Issues,” paper presented at the International seminar on Social Welfare and the Pacific Rim 2012, “Social Work in Fukushima—Social Recovery from Damages Caused by Radiation” (November 3, 2012).
10 The millisievert is the most commonly accepted unit for measuring the amount of radiation people receive (their “dose”). 1 mSv = 0.001 Sv. It is estimated that the average person in the U.S. receives an effective dose of about 3 mSv per year from naturally occurring radioactive materials and cosmic radiation from outer space. Around 2 mSv of this “background radiation” comes from radon gas in homes. Common radiological procedures carry the following approximate effective doses: Computed Tomography (CT)-Colonography: 10 mSv; Computed Tomography (CT)-Spine: 6 mSv; X-ray of extremity: 0.001 mSv; Intraoral (dental) X-ray: 0.005 mSv; Mamography: 0.4 mSv. Source: Radiological Society of North America, Inc., http://www.radiologyinfo.org/en/safety/index.cfm?pg=sfty_xray
11 Miki Nakamura, 2012, personal communication.
12 Mary Mycio, Wormwood Forest: A Natural History of Chernobyl (2005, Washington, D.C.: Joseph Henry Press), p. 18.
19 This was related by Haruhiko Fukase, head of the “Yamagata Lifesaving Club” at the Yamagata City Sports Complex and a shelter management volunteer leader during the evacuation of disaster victims to Yamagata.
22 Information from official at support organization for evacuees located inside the Yamagata City Sports Complex.
23 Miki Nakamura, post to Facebook wall, 12/16/12.
24 Adriana Petryna, Life Exposed: Biological Citizens after Chernobyl (2002, Princeton: Princeton University Press).
25 Petryna (2002).
26 Sergii Mirnyi, Worse than Radiation (2001, Budapest: Bogar Kiado).
27 Chernobyl’s Legacy: Health, Environmental and Socio-Economic Impacts and Recommendations to the Governments of Belarus, the Russian Federation and Ukraine. Chernobyl Forum 2003-2005. Vienna: IAEA.
28 Information from Haruhiko Fukase, head of the “Yamagata Lifesaving Club” at the Yamagata City Sports Complex and a shelter management volunteer leader during the evacuation of disaster victims to Yamagata.
29 Information from Haruhiko Fukase.
30 “The East Japan’s Great Earthquake/Fukushima Daiichi Nuclear Accident: Thyroid examination ‘delayed for evacuees outside the prefecture’ Fukushima Prefecture, principle discussed in a private meeting.” [Higashi Nihon Daishinsai: Fukushima Daiichi genpatsu jiko. Kojosen kensa “Kengai hinansha, atomawashi” Fukushima-ken, himitsukai de hoshin.], The Mainichi Newspaper [Online], Feb. 9, 2013, http://mainichi.jp/feature/20110311/news/20130209ddm041040143000c.html
35 Effective dose is a measure of the overall risk arising from the exposure. The WHO describes effective dose as “sum of the products of absorbed dose to each organ multiplied by a radiation-weighting factor and a tissue-weighting factor that takes into account the radiosensitivity of tissues and organs” (WHO, 2013, p. 110).
37 Sarah D. Phillips, 2002, “Half-Lives and Healthy Bodies: Discourses on ‘Contaminated’ Foods and Healing in Post-Chernobyl Ukraine.” Food and Foodways 10(1-2):27-53. http://www.tandf.co.uk/journals/titles/FOF-sp-issue.pdf
38 Sarah D. Phillips, 2004, “Chernobyl’s Sixth Sense: The Symbolism of an Ever-Present Awareness.” Anthropology and Humanism 29(2):159-185.
39 Adriana Petryna, 1995, “Sarcophagus: Chernobyl in Historical Light.” Cultural Anthropology 10(2):196-220, http://www.jstor.org/stable/656333
In the late 1990s and early part of this century I worked as a researcher and writer for the journal Southland Prison News. This small journal usually ran about thirty pages and was sent out to prisoners incarcerated primarily in the US South. Edited by an inmate in Virginia, each issue contained a digest of articles concerning prisoners and prisons along with a feature or two, some book reviews, some prisoner poetry and art. I stopped working for the journal when the funding dried up. Before that work, I had never spent much time working on prison-related issues. Sure, I had attended forums and rallies supporting various political prisoners and prisoner rights ever since the uprising and massacre at Attica prison in 1971, but my political work usually did not involve prison issues. Perhaps this came from a distaste acquired through various brushes with the law and the subsequent days spent in jail here and there.
The same cannot be said for Nancy Kurshan and the people whose work she so artfully chronicles in the recently released book Out of Control: A Fifteen Year Battle Against Control Unit Prisons. Kurshan, a lifelong political activist, (among other things, she is one of the founders of the Yippies) is an ardent opponent of the US prison system, especially those prisons known as control unit prisons. Her book tells of the genesis and growth of these units throughout the United States and of the battle to oppose them.
It is not a tale with a happy ending. According to the text’s introduction, over 80,000 prisoners are currently locked away in control unit prisons in the United States. What this means is that over 80,000 prisoners exist in a world controlled almost completely by prison architecture and the guards those prisons employ. Living in cells smaller than many suburban bathrooms, the walls are painted white, lights are on most of the day, no windows or even bars, hardly any exercise, no reading materials and no visitors; that is the life of most prisoners in these units. Sometimes there are even further restrictions. Rarely are there fewer. These units are constantly watched by prison video feeds and prisoners are often beaten at will by the guards. If this doesn’t bother you, then you probably shouldn’t bother reading the rest of this review.
There are over 2,000,000 people locked up in the United States. That is more than any other nation in the world. Furthermore, the rate of incarceration in the United States is higher than that of any other nation. According to the NAACP, African American and Latinos comprised 58% of all prisoners in 2008, even though they make up approximately one quarter of the US population. This is not because Blacks and Latinos are more likely to be criminals. It is because US laws and the police that enforce those laws target these demographic groups. This fact alone lends credence to the argument made by the activists in Out of Control that there is a calculated plan to imprison black and Latino men in the US. The history of the US is one that required control of its Black population, even after slavery. Indeed, even more so after slavery. Prisons are part of that plan. It is with this as a fundamental part of that understanding that Kurshan tells her story of a movement (Movement to End the Marion Lockdown) built to oppose that calculation.
The reader is presented with detailed descriptions of the meetings, protests, legal campaigns, and other work the Committee to End the Marion Lockdown undertook over the fifteen years of its existence. This group was composed of leftists, religious clergy and laity, families of prisoners and other concerned humans. There are small victories and many defeats, primarily because of the complete lack of regard for prisoners’ humanity displayed by the Bureau of Prisons, most politicians and other officials. There are also the small victories. After years of demanding a new water source be built for the Marion prison, headway was finally made. Occasionally, even a prisoner gets freed. Throughout, the narrative is told with a warmth and humanity that exists in direct contrast to the tales being told. Her description of the development of a friendship between her family and the Reverend Bruce Wright, whose book Black Robes, White Justice was one of the first books to discuss in plain terms the role the US justice system plays in continuing the racism of US society, is the story of a friendship between unsung warriors.
Many of the procedures used in control unit prisons began in the 1960s when the United States government started locking up leftist revolutionaries and others as part of its COINTELPRO program. This time period is also when leftists began to consciously focus on prisoner rights, in part because their leaders were being locked up. This work helped them to understand that prisons are the final point of confrontation between the state and those who act against it. Indeed, this is precisely why prisoner struggles for human rights are components of the greater struggle for those rights.
As pointed out before, there are now over 2,000,000 people incarcerated in the United States. Prison construction and maintenance is often one of the larger elements of government budgets. This is despite the fact that crime has consistently gone down in the past decade. These facts make it clear that prisons are not so much about fighting crime as they are about controlling segments of the population. As austerity takes a greater hold on the US economy, one can be certain that more working and poor men and women will be sent to prison while the real thieves run the country further into the ground.
Besides being a detailed and inspiring account of a group of human rights activists, Nancy Kurshan’s Out of Control is a useful resource for discussing the realities of prison in the twenty-first century United States. It is also the tale of a particular part of the movement opposed to that reality.
The United Nations’ Commission on the Status of Women (CSW) has condemned Israel for violating the rights of Palestinian women.
In a resolution issued on Friday, the UN policy-making body, condemned Tel Aviv’s regime for the degrading living conditions for Palestinian women.
“The Israeli occupation remains the major obstacle for Palestinian women with regard to their advancement, self-reliance and integration in the development of their society…” the eight clause resolution read.
The resolution was passed by 29 votes. It was rejected only by Israel and the United States. 10 other countries also abstained.
The UN commission also issued a declaration, urging an end to violence against women across the world.
“The commission urges states to strongly condemn all forms of violence against women and girls and to refrain from invoking any custom, tradition or religious consideration to avoid their obligations with respect to its elimination,” said the declaration.
The declaration also called on the word’s countries to “devote particular attention to abolishing practices and legislation that discriminate against women and girls, or perpetuate and condone violence against them.”
The 18-page declaration includes the viewpoints of Iran and other Muslim countries. Activists have described the document as a victory for women.
Mérida – The assassination of indigenous Yukpa chief Sabino Romero on Saturday 3 March has led to public criticisms of the Venezuelan government’s handling of the land rights conflict in the Sierra de Perijá region.
Romero was killed by gunfire on 3 March as he made his way to an indigenous election in the Sierra de Perijá in the west of Venezuela, the region where the indigenous Yukpa people live. His partner Lucia was left seriously injured in the incident.
Romero was an indigenous leader and land rights activist who fought for the handing over of ancestral Yupka lands, some of which have been officially granted to the Yupka by the government but are still occupied by large-scale cattle ranchers.
His murder has drawn renewed attention to the land struggle between the Yupka, and ranching and mining interests in the Sierra de Perijá. The government’s role in the conflict has also come under the spotlight, with social movements blaming judicial impunity and public media silence for allowing Romero’s assassination to take place and the persecution of the Yukpa to continue.
The government’s reaction
The Venezuelan government suspects that Romero was murdered by hired killers for his role in the land struggle against cattle ranchers in the region.
The government was quick to denounce the assassination, with communications minister Ernesto Villegas calling it “a terrible act…which is condemnable and must be repudiated from all points of view”.
Further, interior affairs minister Nestor Reverol said the assassination was “part of, once again, the violence that the corrupt right-wing wants to reign over the indigenous peoples who have traditionally occupied these lands to develop their way of life”.
Following the murder, the Venezuelan government sent a high-profile investigation team to the Sierra de Perijá, Zulia state, comprised of the national intelligence service SEBIN and the criminal investigation body CICPC.
On Wednesday, two local police officers and one National Guard soldier were arrested and are being questioned for their possible connection with the crime.
Meanwhile Attorney General Luisa Ortega has promised that “justice will be done” and “we’re going to search and find those responsible for the act”.
Social movement criticisms
Some social movements and indigenous rights activists have accused the government of not acting to protect Romero’s life when it was known he was in danger. They further claim that local judicial impunity is preventing those responsible for violence against the Yupka from being held to justice.
Social movements have also criticised Venezuelan state media for ignoring the land conflict in the Sierra de Perijá, contributing to the climate of impunity. Since Romero’s assassination, state media have begun reporting more on the Yupka’s struggle, including reporting some of the criticisms being leveled against the government.
On Sunday 4 March, the day after Romero’s murder, various collectives and activists protested outside the Attorney General’s office to demand that “justice be done” in the Romero case and that “impunity cease”.
Lusbi Portillo of the Homo et Natura Society said to press that Romero had received over 20 death threats before his assassination.
Threats against Romero’s life seem to have intensified after Romero travelled to Caracas last November with some 60 Yupka. There, he demanded that the government act against violence on the part of cattle ranchers, and protested against government vacillation over the conflict.
During the 4 March protest, a spokesman for the Attorney General addressed the crowd to defend the institution’s role in the protection of Romero’s life.
“We offered Sabino protection measures from 2008, but when we tried to fulfill the measure, according to information given to us, which we have record of, he didn’t give [the authorities] information of a fixed residence and he was always based in different places, and he always told us that he looked after his own security,” said the spokesman.
Protesters also demanded a resolution to the land conflict in the Sierra de Perijá, and asked why lands which the Chavez government had granted to the Yupka were still being held by ranchers.
“There are 395,000 hectares of demarcated indigenous territory that still haven’t been handed over,” said lawyer Soraya Suarez to Telesur.
“Where is the response about the [public] money that was supposedly granted to pay the cattle ranchers [for their land] so that they leave these lands once and for all in the Sierra de Perijá…which can then come under the control of the Yupka?” she continued.
Some groups have also suggested that social organisations form part of the investigation into Romero’s murder, such as social movements based in Zulia state which are members of the pro-government Great Patriotic Pole coalition.
An on-going struggle
The Yupka’s demand for the demarcation and granting of ancestral lands is legally based on the 1999 National Constitution and the Indigenous Peoples Law, which grant a number of political, legal, and territorial rights to Venezuela’s indigenous, who make up just under 3% of the population.
However in the Sierra de Perijá, an area rich in coal seams and grazing land, ranching and mining interests have resisted efforts to demarcate and hand over ancestral lands to the Yupka. When some Yupka groups began to occupy such lands in 2008, these economic groups responded with violence and assassinations.
While local, political, and judicial interests have been accused of colluding with the campaign against the Yupka, in August 2008 President Hugo Chavez pledged support for the Yupka, saying, “Nobody should have any doubts: Between the large estate owners and the Indians[sic], this government is with the Indians.” Chavez further ordered top government figures to implement the Indigenous Law and demarcate and grant lands in the Sierra de Perijá to the Yupka.
Yet some indigenous chiefs, including Sabino Romero, opposed the land demarcation process that followed, arguing that it was not carried out in proper consultation with Yupka communities and that the land granted was demarcated in a manner conserving the best lands for ranching, mining and military interests.
Romero was imprisoned from 2009 to 2011 for his supposed role in a violent incident in October 2009 related to the dispute over government land grants to indigenous groups. His imprisonment was challenged as illegal with an appeal contesting that his case should fall under the competence of indigenous law.
Following Romero’s increasingly public campaign for the Yupka and his November 2012 trip to Caracas, the Yupka chief became “an obstacle to be eliminated” for cattle ranchers, landowners and other interests in the region, according to a statement by left union current, the Socialist Workers Unit (UST).
With Sabino Romero’s assassination, to date 38 Yupka have been killed in the conflict with ranchers, according to Venezuelan cinema artist and politician Carlos Azparua. This number includes the murder of Romero’s father and one of Romero’s children in 2008, and the murder Romero’s fellow activist Alexander Fernández last year.
The UST claims that vested economic interests in the Sierra de Perijá “have the support and complicity of government and military bureaucrats”. Further, the UST says that these economic interests also have “known links” with politicians from the conservative Democratic Unity (MUD) opposition coalition.
In light of Romero’s murder, a Venezuelan coalition of social organisations, Life Forum, has demanded that protection be afforded to family members and others connected with Romero who may be in danger. They also advocate the resumption of the process of Yupka land demarcation, and the full consultation with indigenous communities of any mining projects on their lands.
The public investigation into Romero’s assassination continues.
The US has renewed the exemptions for Japan and ten European Union countries from tough sanctions imposed on countries buying Iranian oil.
Japan and the 10 European Union countries, including Belgium, the Czech Republic, France, Germany, Greece, Italy, Netherlands, Poland, Spain, and the UK are on the list.
“I will report to the Congress that exceptions to sanctions will apply to financial institutions based in these countries for a potentially renewable period of 180 days,” US Secretary of State John Kerry said in a statement.
“The United States and the international community remain committed to maintaining pressure on the Iranian regime until it fully addresses concerns about its nuclear program,” Kerry said.
“The message to the Iranian regime from the international community is clear: take concrete actions to satisfy the concerns of the international community, or face increasing isolation and pressure,” he said.
Under the law, putting pressure on Iran over its contested nuclear program, Washington bars banks from countries buying Iranian oil from doing business in the US.
The European Union completely cut imports from Iran from July 1, 2012. However, financial institutions in the EU still have non-petroleum transactions with the Central Bank of Iran.
Japan has also reduced imports despite energy shortfalls in the wake of the tsunami and nuclear incident two years ago.
A total of 20 countries have “continued to significantly reduce the volume of their crude oil purchases from Iran,” John Kerry stressed in a statement.
India is expected to get another exemption from sanctions too. The country’s refineries have said that they will stop importing crude oil from Iran because they will not get the necessary insurance.
According to the IEA, Iran lost an estimated $40bn in oil export revenues in 2012 as the West tightened sanctions, while the country’s oil production in January hit a 30 year low.
However, Iran is finding new ways to circumvent the sanctions by increasing its exports to Asian countries, specifically China. In the last few months, Iran bought second-hand tankers to take more oil to China, the IEA said, citing industry reports.
By Prof. Tony Hall | American Herald Tribune | July 15, 2016
The Kevin Barrett-Chomsky dispute in historical perspective – 3rd part of the series “9/11 and the Zionist Question”
Over decades Chomsky has moved towards the center of formidable networks of academic associations, publishing enterprises, activist groups, speakers forums and New Media operations. The fact that the senior professor is so well wired into such an effective communication grid of activist interaction has hugely amplified his voice and his influence.
Chomsky’s ideas have been broadcast to the far corners of the world in every conceivable format. His work is translated into many languages as the MIT professor goes from honor to honor, distinction to distinction, all the while seeming to combat the expansionary impulses emanating from some of the world’s leading centers of power including those in Israel. The phenomenal success of Chomsky’s career would seem to prove and illustrate that there is still some substance in the conception of America as the land of the free, home of the brave. … continue
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