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Left-populist narratives of hydrocarbon extraction in the postcolonial world, including the twentieth-century Middle East, often construe it as a process whereby multinational fossil capital encloses and commodifies land held in common. Although such narratives may capture the experience of communities along certain oil and gas frontiers, they do not account for the social terrains and political trajectories of extractive land grabs in areas where private property in land already underpins commercial agriculture. How do energy companies engage with an existing market in land, and reorient a commodity frontier around extractive rather than agrarian capitalism? This article explores that question by examining property struggles in southern Iraq in the late 1940s and early 1950s, when the multinational Iraq Petroleum Company (IPC) sought to acquire land still devoted to cash crop agriculture. Drawing on business records and material from Iraqi archives entirely new to Anglophone scholarship, I show how land conflicts on the Basra oil frontier came to revolve less around the IPC as such than the Iraqi state. The latter’s expanding remit entailed both the revival of older powers of sovereign landlordism and the deployment of novel capacities, as the state sought to mediate conflicting legal claims on land and its value and manage the social consequences of territorial dispossession. Ultimately, this article historicizes the political-legal status of postcolonial landlord states like Iraq in an era of hydrocarbon extraction, locating the origin of their powers as much in the material assemblage of oil infrastructures as in the monopoly over oil rents.
Welfare regime theory remains a central framework in social policy literature, valued for its theoretical insights and policy relevance. However, as this framework is increasingly applied to countries in the Global South, scholars have questioned whether all contexts fit neatly into the established welfare regime types. Recent contributions suggest adopting a hybrid lens, which recognizes that welfare arrangements often vary within the same country, with different populations experiencing distinct forms of social protection. This study contributes to this evolving debate by exploring the development of Iraq’s welfare system and proposing a hybrid classification within the welfare regime framework. We argue that Iraq functions as a hybrid welfare regime, where access to welfare and social protection is unevenly distributed across different segments of society. In doing so, the study extends welfare regime theory by classifying Iraq as a case of hybrid welfare regime and highlights the importance of hybrid welfare models for understanding welfare systems in the Global South.
Despite lying at a crossroad of Pleistocene hominin dispersals, little is known about human occupation in Iraq during this period. An archaeological survey in the Western Desert is revealing recurrent hominin activity at Shbicha, highlighting the region’s potential in advancing our understanding of hominin behaviour and dispersal across South-west Asia.
The subject of insurgency explores how and why armed groups confront the state, their political and ideological claims, their links to society – including the support they have and their recruitment practices – and their political and military tactics. Rebel governance explores the behavior of non-state armed insurgencies in the territories they control – or partially control – and their attempts to provide public services, gain the support of the population, recruit members, manage economic policy, and gain legitimacy. Counterinsurgency involves efforts by state actors – sometimes with international assistance – to challenge and defeat rebel groups by military and political means and reassert the authority of the state in areas where rebel groups have influence. This chapter explores the relationship between insurgency and civil war, and the main theories of why insurgencies emerge and grow, their endurance, and their impact. As a part of this, it considers the provision of “governance” by some rebel groups in the territories in which they have some control, the services they attempt to provide, and the objectives that motivate this on the part of rebel leaders. Based on this, the chapter then explores the lessons of “rebel governance” for counterinsurgency campaigns and for peacebuilding after conflict.
We are currently in the era of great power competition, and many states are grappling with how the future may unfold. Coalition warfare will be a key consideration in any flare-up. This chapter analyses the complexity of coalition warfare in the twenty-first century through the prism of the British Army’s experiences in the United Kingdom–led Multi-National Division (South East) and in Basra in the Iraq War. Any future wars in which Australia participates will most likely be as part of a coalition effort. Australia is unlikely to be the leading partner and will need to assess how best it will serve as a supporting participant in future coalitions.
This chapter considers the concurrency pressures faced by the Australian Army, particularly in the middle years of this century’s first decade. As the 2020s portend not just localised regional crises or disasters but also a greater range of environmental challenges coupled with a surge in governance challenges and great power contestation, the Army needs to reflect on concurrency pressures of the recent past to prepare for what the future holds. In contemplating contingencies the Army can expect to face in coming years in Australia’s region, reflecting on the experience from 2003 to 2010 is a good place to start.
The legitimacy of armed forces in the eyes of civilians is increasingly recognized as crucial not only for battlefield effectiveness but also for conflict resolution and peace building. However, the concept of “military legitimacy” remains under-theorized and its determinants poorly understood. We argue that perceptions of military legitimacy are shaped by two key dimensions of warfare: just cause and just conduct. Leveraging naturally occurring variation during one of the deadliest urban battles in recent history—the multinational campaign to defeat the Islamic State in Mosul, Iraq—we evaluate our theory using a mixed-methods design that combines original survey data, satellite imagery, and interviews. Civilians living in neighborhoods where armed forces were less careful to protect civilians view those forces as less legitimate than civilians elsewhere. Surprisingly, these results persist after conditioning on personal experiences of harm, suggesting that perceptions are influenced not only by victimization—consistent with previous studies—but also by beliefs about the morality of armed forces’ conduct and the cause for which they are fighting.
Since its first codification in the early twentieth century, Iranian family law has followed the Shiʿi (Jaʿfarī) school of jurisprudence. In other parts of the Shiʿi world, the question of codifying Shiʿi family law has emerged more recently. This chapter argues that codification enhances the formal rule of law. In the past, family law codification was considered to conflict with a fundamental element of Shiʿi legal thought and religious practice, namely ijtihād, independent legal reasoning by qualified scholars, which makes for a living law. Based on a comparative analysis of Iranian family law and recent Shiʿi (draft) laws put forward in Afghanistan, Bahrain, and Iraq, this chapter discusses where modern Shiʿi family law is located between the “opposite” poles of the formal rule of law (where law is general, prospective, clear, and certain) and ijtihād. The findings indicate that, today, the two are not viewed as contradicting each other. Yet, while Iranian family law only serves as a limited model for other parts of the Shiʿi world, the comparison shows that Iran subjects Shiʿi family law to the formal rule of law more comprehensively than is the case in the other three analyzed countries.
During the pandemic, specifically in 2021, I established a virtual network that gathers Iraqi women academics who are based in the diaspora and in Iraq. The network is a private WhatsApp group and an X account that promotes the scholarly work of Iraqi women and fosters collaboration. We have attracted the attention of international institutions, enlarged our group to include Iraqi women academics across the continents, and introduced our work to a larger audience. Like any other group, the network has faced several challenges. We are academic women who are overloaded with endless tasks and burdened with family responsibilities, but we have found solidarity in our group. Our steps are small and slow, but we are making progress in enhancing the global visibility of Iraqi women academics and supporting the higher education system in Iraq.
Adopting a human rights-based approach, this paper scrutinizes the treatment of illicit trafficking in cultural property as a human rights issue. The study focuses on the Iraqi contribution to the international agenda, revealing that Iraq co-sponsored at least 13 UN resolutions on the restitution of illegally expropriated cultural property, actively contributing to the negotiation of others, along with submitting its legal opinions on the drafts of relevant international documents, starting from as early as 1936 to culminate with the calls to stop cultural plunder feeding Western markets since the 1990s. Centering the Iraqi voices and adopting a critical decolonial rights-based perspective, the study showcases how illicit trade in cultural property clearly emerges as a violation of a state’s permanent sovereignty over its wealth and resources, negatively impacting its ability to guarantee the right to pursue economic, social, and cultural development for its people, as well as to freely dispose of their resources, the key components of the right to self-determination.
The Eridu region in southern Mesopotamia was occupied from the sixth until the early first millennium BC, and its archaeological landscape remains well preserved. The present study has identified and mapped a vast, intensive, well-developed network of artificial irrigation canals in this region.
The Environmental Impact Assessment (EIA) is a powerful tool for assessing future projects and initiatives to avoid their negative consequences on biodiversity and the environment in the early stages. To examine how project developers and planners can maximize the full value of EIAs to manage biodiversity risks in the Middle East and North Africa (MENA) region, this chapter evaluates the adverse impacts of three major projects on the biodiversity of the Tigris and Euphrates river basin: the Güneydoğu Anadolu Projesi (GAP) project in Türkiye; the Tropical Water Projects in Iran; and drainage projects in Iraq. The chapter illustrates how the lack of a comprehensive EIA in water projects on the Tigris and Euphrates river basin has had diverse and adverse consequences on the environment and biodiversity of the basin. The chapter then provides insights into how the EIA could be enhanced in current and future developments in the basin by improving legal frameworks at the national level, increasing institutional capability and integrating technological advancement into the EIA.
The conclusion of the book summarizes its main arguments and findings and considers their implications for research on forced migration, conflict, and political violence. Beyond strategic displacement, the book illuminates the politics of civilian movements in wartime, which can shape the perceptions of civilians as well as combatants during and after war. To demonstrate this, the chapter provides evidence of a survey experiment from Iraq that shows how displacement decisions during the ISIS conflict influence people's willingness to accept and live alongside others after war. The chapter also discusses the policy implications of the analysis in five areas: displacement early warning, justice and accountability, humanitarian aid, post-conflict peacebuilding, and refugee resettlement and asylum. It also discusses some of the limitations of the analysis in the book and pathways for future research.
Forms of violence and the literary avenues for expressing them constitute allegorical worlds that place them on the fringes of literature. Such worlds submerged under the normative conception of world assert their existence through violent bonds and alliances. Against the predominantly secular and centrist underpinnings in the world literature debate, the chapter construes worlds through malleable, multiple, and contra-normative temporal coordinates. World-making through violence, as Yasmina Khadra’s The Attack, Kae Bahar’s Letters from a Kurd, and Ahmed Saadawi’s Frankenstein in Baghdad show, unfolds deep within such temporalities where vernacular renditions of divine and organized vengeance have an insurgent mode. Contesting secular notions of the sublime as something to be revealed to the subject at the end of reason, the insurgent sublime manifests as an intrasecular force invoked on a whim at the limit of reason. This intrasecular sublime is salient to Sinan Antoon’s The Corpse Washer and Omar Robert Hamilton’s The City Always Wins, wherein death and dead bodies become breeding sites of violent alliances. Death in the two novels enables a thanatopolitical resistance where acts of naming, washing, resurrecting, and ennobling the dead lend themselves to a critique of necropolitical technologies that manufacture death as though it were a commodity.
This chapter examines belief in misinformation during the Coalition air war against ISIL in Iraq. In particular, it investigates a unique nationwide survey of contemporary Iraq that measures Iraqis’ factual perceptions about the Coalition airstrikes against ISIL, as well as whether they have lived under ISIL rule where the vast majority of strikes actually occurred. Moreover, this survey is paired with geo-located event data on the Coalition airstrikes themselves obtained from Airwars in order to measure the respondents’ proximity to the events more directly. Overall, the results reveal that Iraqis’ factual misperceptions about Coalition actions are widespread – fueled by both their own preexisting political orientations and streams of information in the dispute – but that civilians with greater personal exposure to the campaign are much less likely to embrace these falsehoods. Indeed, both experience living under ISIL control and proximity to the airstrikes themselves significantly reduce factual misperceptions about the Coalition’s aerial campaign, including false claims about its targeting of Shiʿa Arab-led militias and its strategic benefits to ISIL.
This article analyses the struggle for possession of the House of Baha’u’llah in Baghdad during the 1920s and 1930s. One of the Bahai religion’s most sacred sites, the House of Baha’u’llah was the subject of protracted legal and political-diplomatic disputes following efforts by anti-Bahai activists to appropriate it from its Bahai custodians in 1921. The ensuing case touched almost every facet of the Iraqi judicial system, galvanised the international Bahai community and captured the attention of the British colonial state, the Iraqi government and the League of Nations. This article explores the causes and implications of the dispute, which can be considered one of the first incidents of religious persecution in modern Iraq. Rather than explaining the incident with reference to the intolerant attitudes of the Shi`i majority, the article argues for the role of the institutions of colonial modernity – the Mandates system, the new minorities regime, the praxis and discourse of colonial expansion, and the internationalism of the interwar period – for the unravelling of the case itself and for affecting modern, secular articulations of anti-Bahai prejudice.
The dramatic impact of the 11 September 2001 attacks on New York and Washington sharply intensified relations between Australia and the USA. The bilateral relationship was reconfirmed as the two states joined in war against an elusive, and unexpected, enemy. As the war on terrorism broadened, Australia enthusiastically joined the so-called ‘coalition of the willing’, sending troops to fight in Afghanistan and, more controversially, deploying forces alongside the USA in the invasion and occupation of Iraq. From late 2001 commentary in Australia invariably accepted that ‘relations with the United States dominated Australian foreign affairs’ or more subtly observed that ‘the central dynamics of Australian foreign policy revolved around the issue of relations with the superpower, and the implications of this relationship’ for the broader exercise of Australian foreign policy.
The Australian Federal Parliament stands magnificently atop Constitution Hill in Canberra as a symbol of the importance Australia attaches to its long and strong democratic tradition. The semiotic message of the Parliament’s architecture is that this is a people’s place, ‘a publicly accessible monument’, a place where its visitors will be as much a part of the fabric of its business as the business of the legislature. The Parliament has used technology to match this physical accessibility such that never has there been a period when greater access to the business and deliberations of the Parliament has been more possible. This accessibility has, however, been matched in the period under review by increasing physical constraints and barriers to access never envisaged at its creation: for the first time in the history of the Commonwealth, the Parliament was closed to the people – on the occasion of the visit of President George W. Bush in October 2003. In this way, the Parliament stands also as a symbol of the way the world has changed since the bombings of the twin towers in September 2001.
As 2001 began, Australia’s relationship with West Asia could be characterised as one between perfect strangers. Despite regular military forays into the region, largely in support of the USA, and a burgeoning commercial relationship, the region had never been considered part of Australia’s primary area of strategic interest nor had political relations between the Australian Government and its regional counterparts ever really moved beyond occasional visits and diplomatic courtesies. Meanwhile, to the extent that Australia entered the consciousness of regional elites and the broader population, it was mainly as a supplier of primary products, such as sheep and wheat, and as a steadfast, if somewhat lower-profile, ally of the USA. In effect, there was a degree of mutual, if largely happy, ambivalence between Australia and the region.
To address the growing need for good-quality mental health service provision to patients in Iraq, mhGAP-IG 2.0 training in mental, neurological and substance use (MNS) disorders was delivered for primary care physicians in May–June 2022 by the Royal College of Psychiatrists (RCPsych) volunteers scheme. An innovative hybrid model was used to deliver this training to improve engagement compared with virtual training alone. Pre- and post-training assessment tools showed a significant improvement in participants knowledge of MNS disorders. Follow-up fortnightly supervision sessions by RCPsych volunteers were planned to help participants consolidate their learning in managing MNS disorders.