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Risk and Randomness in International Legal Argumentation
Published online by Cambridge University Press: 01 December 2008
Abstract
The idea of randomness is mostly excluded from international legal argumentation. If we need law at all, we are told, it is precisely to avoid arbitrary fortuity. Nonetheless, the exclusion of randomness renders international law structurally incapable of dealing with general risk issues, be they external or manufactured. The core of the problem is the notion of causation. International law seems to be infused by a model of causation that excludes any consideration of randomness. The law of state responsibility and certain elements of international trade law bear witness to this point. Randomness, however, is Janus-faced, and risk is its correlate aspect. By excluding randomness, risk is also left out. Therefore the model of causation embedded in international legal language makes that very language incapable of framing the ideas that a risk society needs to express. It is not surprising, then, that risk societies turn to other languages to express their needs, as is evidenced by the WTO SPS disputes. In this context, international law seems to become a broker of expertise, which refers to the relevant epistemic community that is needed to ‘get the job done’, and abandons any aspiration to holding an independent normative pull in itself.
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References
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39 Ibid., at 129.
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52 Ibid., at 19.
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57 Ibid., at 109, where strict adherents to the ‘but for’ test are labelled ‘minimalists’.
58 Ibid.
59 For arguments on the second block of objections see ibid. In fact, the bulk of Hart and Honoré's discussion in Causation is precisely why the ‘but for’ test does not reflect all the nuances derived from the problem of legal causation.
60 H. Kelsen, Pure Theory of Law (2005) at 6.
61 Ibid., at 7.
62 H. Kelsen, ‘Causality and Imputation’ (1950) 61 Ethics 1.
63 Ibid., at 6.
64 Ibid., at 7.
65 R. Dworkin, Taking Rights Seriously (2007), 31.
66 The fire example is taken from Hart and Honoré, supra note 49, at 17.
67 Kelsen, supra note 62, at 6.
68 J. S. Mill, A System of Logic Ratiocinative and Inductive, Being a Connected View of the Principles of Evidence and the Methods of Scientific Investigation, Book III, Ch. V, § 3 [1843], in J. S. Mill, The Collected Works of John Stuart Mill, ed. J. M. Robson (1974), VII, at 327.
70 Mill, supra note 68, at 328.
72 Hart and Honoré, supra note 49, at 22.
73 The same argument is used for a different purpose in ibid., at 37.
74 T. Becker, Terrorism and the State: Rethinking the Rules of State Responsibility (2006), 289.
75 Hart and Honoré, supra note 49, at 307.
76 Articles on the Responsibility of States for Internationally Wrongful Acts, adopted by the ILC on 10 August 2001 in Report of the International Law Commission, Fifty-Third Session (2001), UN Doc. A/56/10, Ch. IV. The General Assembly took note of the Articles, recommended and annexed them to GA Resolution 56/83 (10 December 2001), and deferred until 2004 the question of whether the articles should be adopted as a multilateral convention. The question was deferred twice more, on 2 December 2004 (GA Res. 59/35) and on 6 December 2007 (GA Res. 62/61).
77 This fact has been noted before, in Straus, M., ‘Causation as an Element in State Responsibility’, (1984) 16 Law and Policy in International Business (now retrievable as Georgetown Journal of International Law) 893, at 902Google Scholar.
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79 F. V. García-Amador, First Report on State Responsibility, UN Doc. A/CN.4/96, 1956.
80 F. V. García-Amador, Second Report on the Responsibility of the State for Injuries Caused in Its Territory to the Person or Property of Aliens, UN Doc. A/CN.4/106, 1957.
81 See L. B. Sohn and R. R. Baxter, ‘Responsibility of States for Injuries to the Economic Interests of Aliens: II. Draft Convention on the International Responsibility of States for Injuries to Aliens’, (1961) 55 AJIL 548.
82 See R. Ago, First Report on State Responsibility – Review of Previous Work on Codification of the Topic of the International Responsibility of States, UN Doc. A/CN.4/217, 1961, and Corr.1 and Add.1.
83 R. Ago, Second Report on State Responsibility – The Origin of International Responsibility, UN Doc. A/CN.4/233, 1970, para. 53.
84 Ibid. For an introduction to the differences between primary and secondary obligations see J. Crawford and S. Olleson, ‘The Nature and Forms of International Responsibility’, in E. Evan (ed.), International Law (2006), 452 at 463.
85 Ago, supra note 83, para. 54.
86 It should be noted that the problem of causation and harm is different from (and actually the inverse of) the issue of fault, alternatively called ‘strict liability’, ‘objective responsibility’, or ‘faultless responsibility’. Causation as an element of state responsibility asks the question: do we need an effective harm to hold a state responsible for unlawful conduct? A faultless responsibility regime asks: do we need unlawful conduct to hold a state responsible for an effective harm? The difference is important: in a faultless-responsibility regime the proof of harm is required, while that proof is, by definition, not required in a regime not based on the causation of harm (such as state responsibility). This means that, ultimately, there cannot be a regime of responsibility that is at the same time faultless and not based on the causation of harm. On the discussion of faultless responsibility in state responsibility see Brownlie, supra note 78, at 37.
87 Ibid.
88 See Hart and Honoré, supra note 49, at xlvi. But see H. Kelsen, Principles of Public International Law (1966), 199.
89 In the same sense see Commentaries to the ILC Articles on the Responsibility of States for Internationally Wrongful Acts, UN Doc. A/56/10 (hereinafter Commentaries), Ch. IV, Commentary to Art. 2, para. 9.
90 United States Diplomatic and Consular Staff in Tehran (United States of America v. Iran), [1980] ICJ Rep., at 3.
91 Ibid., paras. 56 and 69.
92 Ibid., para. 58.
93 Ibid., para. 60.
94 Ibid., para. 61.
95 J. Crawford, Third Report on State Responsibility, UN Doc. A/CN.4/507, 2000, para. 29.
96 Ibid., para. 28 (footnotes omitted).
97 Ibid., para. 28 (footnotes omitted).
98 See, generally, T. Bingham, ‘The Alabama Claims Arbitration’, (2005) 54 ICLQ 1.
99 Ibid., at 3.
100 Ibid., at 1.
101 F. W Hackett, Reminiscences of the Geneva Tribunal of Arbitration (1911), 160. According to Hackett's account, the British Saturday Review characterized US claims as ‘perverted and spiteful’, and a ‘malignant composition’.
102 Notes, ‘Alabama Claims’ (1869) 4 American Law Review 31, at 34.
103 See F. T. Hill, Decisive Battles of the Law: Narrative Studies of Eight Legal Contests Affecting the History of the United States between the Years 1800 and 1886 (1907), 176.
104 See T. W. Balch, The Alabama Arbitration (1900), 124.
105 Statement of Count Sclopis on 19 June 1872, as reproduced in Hackett, supra note 101, at 393.
106 Bingham, supra note 98, at 1.
107 The GDP (PPP) of Sweden in 2006 was US$288.9 billion; that is, around £144 billion as at March 2008: see World Development Indicators database, available at http://go.worldbank.org/B5PYF93QF0%20 (last visited 12 February 2008).
108 Bingham, supra note 98, at 25.
109 Although the causation requirement is present in all three measures, the wording of such a requirement is different in each regime, following its specific characteristics as defined in each substantive provision: (i) countervailing: Art. 15(5) of the Agreement on Subsidies and Countervailing Measures; (ii) anti-dumping: Art. 3(5) of the Antidumping Agreement; and (iii) safeguards: Marrakesh Agreement Establishing the World Trade Organization, Annex 1A, Article XIX(1)(a) (hereinafter General Agreement on Tariffs and Trade 1994 or GATT 1994); and Marrakesh Agreement Establishing the World Trade Organization, Annex 1A, Article 4.2 (b) (hereinafter Agreement on Safeguards or AS).
110 There are few examples of explicit causation analysis undertaken by WTO Panels or the Appellate Body (hereinafter AB); however, whenever the analysis has been undertaken, the two-step test has been present. Each of the three areas features a landmark case on causation which applies the two-step test, and serves in turn as the basis for posterior adjudication. In countervailing measures, the landmark case is United States – Final Countervailing Duty Determination with Respect to Certain Softwood Lumber from Canada, Report of the Appeals Body, 2003–6, WTO Doc. WT/DS257/AB/R, 19 January 2004 (hereinafter US – Softwood Lumber IV), paras. 7.135–7.137. In anti-dumping, the case is United States – Antidumping Measures on Certain Hot Rolled Steel Products from Japan, Report of the Appeals Body, 2001–2, WTO Doc.WT/DS184/AB/R, 23 August 2001 (hereinafter US – Hot Rolled Steel), paras. 221–236. Finally, in safeguards, the case is United States – Definitive Safeguard Measures on Imports of Wheat Gluten from the EC, Report of the Appeals Body, 2000-10, WTO Docs WT/DS166/AB/R, 22 December 2000 (hereinafter US – Wheat Gluten Safeguard), paras. 68–78.
111 See, for example, US – Softwood Lumber IV, supra note 110, para. 7.137.
112 United States – Definitive Safeguard Measures on Imports of Wheat Gluten from the EC, Report of the Panel, WTO Doc. WT/DS166/R, 31 July 2000.
113 Vital wheat gluten is a sticky, paste-like substance, 75 per cent of which is protein. It derives from wet milling that fully separates wheat starch from wheat gluten. Starch is used in glues and ethanol production. Gluten, in turn, is dried and sold as a free-flowing powder, mainly for food and feed items. Gluten raises the protein content of flour, thereby increasing the protein content of dough. Thus wheat gluten is a substitute for the inherent protein in wheat kernels. This is important, as protein-rich flour is needed for end products that require stronger, more flexible dough (e.g. frozen products or high-protein breads, such as bagels). See Balzer, B. and Stiegert, K., ‘The European Union–United States Wheat Gluten Policy Dispute’ (1999) 30 Journal of Food Distribution Research 1Google Scholar.
114 Source: US Department of Commerce, quoted in Balzer and Stiegert, supra note 113, at 3.
115 GATT 1994, supra note 109.
116 Agreement on Safeguards, supra note 109.
117 US – Wheat Gluten Safeguard, supra note 112, para. 9.2.
118 US appellant's submission, para. 54, as reproduced in US – Wheat Gluten Safeguard, supra note 112, para. 64.
119 Ibid.
120 US appellant's submission, para. 73, as reproduced in US – Wheat Gluten Safeguard, supra note 112, para. 11.
121 Ibid.
122 US – Wheat Gluten Safeguard, supra note 112, para. 44.
123 Ibid., para. 79.
124 Ibid.
125 Ibid., para. 80.
126 Ibid., paras. 81, 85, 87, 91.
127 Indeed, in US – Shirts and Blouses the AB held that safeguard measures are not an exception to the general principle according to which it falls upon the complaining party to prove that the conduct of the respondent is not in accordance with the relevant legal provisions; see United States – Measures Affecting Imports of Woven Wool Shirts and Blouses from India, Report of the Appeals Body, 1997-1,WTO Doc. WT/DS33/AB/R, 25 April 1997.
128 Rio Declaration on Environment and Economic Development, UN Doc. A/CONF.151/26, 1992 (Vol. I) (hereinafter Rio Declaration).
129 J. B. Wiener, ‘Precaution’, in D. Bodansky, J. Brunnée, and E. Hey, The Oxford Handbook of International Environmental Law (2007), 602.
130 Ibid., at 605.
131 Sandin, P., ‘Dimension of the Precautionary Principle’, (1999) 5 Human and Ecological Risk Assessment 889CrossRefGoogle Scholar.
132 See Wiener, supra note 129, at 604.
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135 See infra, section 4.
136 Marrakesh Agreement Establishing the World Trade Organization, Annex 1A (Agreement on the Application of Sanitary and Phytosanitary Measures).
137 Ibid.
138 Australia – Measures Affecting Importing of Salmon, Report of the Appeals Body, 1998-5, WTO Docs. WT/DS18/AB/R, 6 November 1998 (hereinafter Australia – Salmon), paras. 137–139.
139 For example, see L. Prior, A. T. Glasner, and R. MacNally, ‘Genotechnology: Three Challenges to Risk Legimitation’, in U. Beck, B. Adam, and J. Van Loon (eds.), The Risk Society and Beyond: Critical Issues for Social Theory (2000), 105, and E. Beck-Gernsheim, ‘Health and Responsibility: From Social Change to Technological Change and Vice Versa’, in ibid., at 122.
140 The five cases are (i) European Communities – Measures Concerning Meat and Meat Products, Report of the Appeals Body, WTO Doc. WT/DS26/AB/R, WTO Doc. WT/DS48/AB/R, 13 February 1998 (hereinafter EC – Hormones); (ii) Japan – Measures Affecting Agriculture Products (Apples), Report of the Appeals Body, 1998-8, WTO Doc. WT/DS76/AB/R, 19 March 1999 (hereinafter Japan – Agriculture Products); (iii) Australia – Measures Affecting Importing of Salmon, Report of the Appeals Body, 1998-5, WTO Doc. WT/DS18/AB/R, 6 November 1998 (hereinafter Australia – Salmon); (iv) Japan – Measures Affecting the Importation of Apples, Report of the Appeals Body, WTO Doc. WT/DS245/R, 10 December 2003 (hereinafter Panel Japan – Apples); (v) European Communities – Measures Affecting the Approval and Marketing of Biotech Products, Panel Report, WTO Doc. WT/DS291, 292, 293/R, 21 November 2006 (hereinafter EC – Biotech). As for literature, one of the best introductions can be found in Pauwelyn, J., ‘The WTO Agreement on Sanitary and Phytosanitary (SPS) Measures as Applied in the First Three SPS Disputes’, (1999) 2 Journal of International Economic Law 641CrossRefGoogle Scholar. For a good critique of certain elements in EC – Hormones, along the lines proposed here, see Thomas, R. D., ‘Where's the Beef? Mad Cows and the Blight of the SPS Agreement’, (1999) 32 Vanderbilt Journal of Transnational Law 487Google Scholar. See generally J. Scott, The WTO Agreement on Sanitary and Phytosanitary Measures: A Commentary (2007).
141 Indeed, the AB has held that where a violation of Art. 5 (1) of the SPS Agreement is found, one can presume that a more general violation of Art. 2(2) has also taken place: see Australia – Salmon, supra note 140, paras. 137–138. Such preponderance of risk has been underscored by the AB in EC – Hormones, supra note 140, paras. 179–180.
142 Australia – Salmon, supra note 140, para. 125.
143 Beck, supra note 1, at 62 (emphasis in original).
144 It continues to be endlessly reproduced in the relevant literature as the conflict between SPS and the precautionary principle. See G. Sampson, The WTO and Sustainable Development (2005), 118, 148.
145 Beck, supra note 2, at 2.
146 EC – Hormones, supra note 140.
147 Ibid., para. 2.
148 European Communities – Measures Concerning Meat and Meat Products. Complaint by the US. Report of the Panel, WTO Doc. WT/DS26/R/USA, 13 February 1998, para. 8.94. The same argument can be found in the Report of the Panel on the Canadian complaint, WTO Doc. WT/DS48/R, 13 February 1998, para. 8.97.
149 Ibid., para. 8.155 (United States) and para. 8.149 (Canada).
150 EC – Hormones, supra note 140, para. 187.
151 Ibid., para. 123.
152 For a summary of the arguments against the AB's decision see Chang, H. F., ‘Risk Regulation, Endogenous Public Concerns, and the Hormones Dispute: Nothing to Fear but Fear Itself?’, (2004) 77 Southern California Law Review 743Google Scholar; see also Thomas, supra note 140, at 503, and generally Howse, R., ‘Democracy, Science, and Free Trade: Risk Regulation on Trial at the World Trade Organization’, (2000) 98 Michigan Law Review 239CrossRefGoogle Scholar.
153 See A. Orford, ‘Trade, Human Rights and the Economy of Sacrifice’, in A. Orford, International Law and Its Others (2006), 170.
154 EC – Hormones, supra note 140, para. 208.
155 For a similar counter-argument regarding a different reading of the structure of the international legal argument see M. Koskenniemi, From Apology to Utopia: The Structure of International Legal Argument (2006), 592.
156 EC – Biotech, supra note 140
157 Ibid., para. 7.438.
158 Ibid., para. 7.2529.
159 Annex A(4) of the SPS Agreement provides that risk assessment is ‘the evaluation of the likelihood of entry, establishment or spread of a pest or disease within the territory of an importing Member according to the sanitary or phytosanitary measures which might be applied, and of the associated potential biological and economic consequences; or the evaluation of the potential for adverse effects on human or animal health arising from the presence of additives, contaminants, toxins or disease-causing organisms in food, beverages or feedstuffs’.
160 EC – Biotech, supra note 140, para. 7.3053.
161 See J. Peel, ‘A GMO by Any Other Name . . . Might Be an SPS Risk! Implications of Expanding the Scope of the WTO Sanitary and Phytosanitary Measures Agreement’, (2006) 17 EJIL 1009, at 1024.
162 Beck, supra note 1, at 62.
163 F. Ewald, ‘The Return of Descartes' Malicious Demon: An Outline of a Philosophy of Precaution’, in T. Baker and J. Simon (eds.), Embracing Risk: The Changing Culture of Insurance and Responsibility (2002), 295.
164 Beck, supra note 1, at 64.
165 Strict liability is a recurring proposal in the law of international responsibility for environmental torts; for an early example see L. F. E. Goldie, ‘Liability for Damage and the Progressive Development of International Law’, (1965) 14 ICLQ 1189.
166 F. Ewald, supra note 163, at 277.
167 Ibid., at 290.
168 Ibid., at 298.
169 See infra, section 4.1.
170 An international legal precedent of such line of reasoning is the debate stirred by Thomas M. Franck's Fairness in International Law and Institutions (1995). Franck's theory of legitimacy drew fire as it seemed to presume what it intended to prove – state compliance with international law: see Kohane, R., ‘International Relations and International Law: Two Optics’, (1997) 38 Harvard International Law Journal 487, at 493Google Scholar.
171 This point has been made before, in C. R. Sunstein, The Laws of Fear: Beyond the Precautionary Principle (2004), at 53.
172 Ibid., at 14.
173 Once again, literature on SPS is useful in this respect; see J. Peel, ‘Risk Regulation under the WTO SPS Agreement: Science as an International Normative Yardstick?’, Jean Monnet Working Paper 02/04, available at www.jeanmonnetprogram.org/papers/04/040201.pdf (last visited 21 March 2008), at 86; and Green, A. and Epps, T., ‘The WTO, Science, and the Environment: Moving towards Consistency’, (2007) 10 Journal of International Economic Law 285, at 288CrossRefGoogle Scholar.
174 This concern has been expressed, among others, in the context of an emerging global administrative law; see N. Krisch, ‘The Pluralism of Global Administrative Law’, (2006) 17 EJIL 247, at 256.
175 See Wagner, J. M., ‘The WTO's Interpretation of the SPS Agreement has Undermined the Right of Governments to Establish Appropriate Levels of Protection against Risk’, (2000) 31 Law and Policy in International Business (now retrievable as Georgetown Journal of International Law) 855, at 857Google Scholar.
176 U. Beck, ‘Conflicts over Progress: The Technocratic Challenge to Democracy’, in U. Beck, Ecological Politics in an Age of Risk (1995), 158 (originally published in Gegengifte: Die organisierte Unverantwortlichkeit (1988)).
178 C. R. Sunstein, ‘The Laws of Fear’, (2002) 115 Harvard Law Review 1119, at 1121.
179 Ibid., at 1120.
180 See Krisch, supra note 174, at 257; and Paterson, J., ‘Trans-science, Trans-law and Proceduralization’, (2003) 12 Social and Legal Studies 523, at 529CrossRefGoogle Scholar.
181 Kennedy, D., ‘Challenging the Expert Rule: The Politics of Global Governance’, (2005) 27 Sydney Law Review 5 at 12 (emphasis in original)Google Scholar.
182 Haas, P., ‘Introduction: Epistemic Communities and International Policy Co-ordination’, (1992) 46 International Organizations 1, at 3CrossRefGoogle Scholar (hereinafter Introduction: Epistemic Communities). See further Haas, P., ‘Banning Chlorofluorocarbons: Epistemic Community Efforts to Protect Stratospheric Ozone’, (1992) 46 International Organizations 187CrossRefGoogle Scholar; P. Haas, ‘Obtaining International Environmental Protection through Epistemic Consensus’, in I. Rowlands and M. Greene (eds.), Global Environmental Change and International Relations (1992); and P. M. Haas, ‘Social Constructivism and the Evolution of Multilateral Governance’, in J. Hart and A. Prakash (eds.), Globalization and Governance (1999). Ernst M. Haas (incidentally Peter's father) has also used the concept of epistemic communities, most importantly in When Knowledge Is Power (1990); however, his approach will not be used here.
183 Haas, ‘Introduction’, supra note 182, at 3.
184 Ibid., at 9.
185 P. Haas, ‘Epistemic Communities’, in Bodansky, Brunnée, and Hey, supra note 129, at 802.
186 See R. Urueña, ‘This Is an Exception: Humanitarian Legal Expertise and Its Role in Anti-terrorist Policy’, in K. Padmaja (ed.), Humanitarian Laws and Obligations (2008), ch. 5.
187 Although affected in other ways; see e.g. Peel, supra note 161, at 23.
188 This view of law, however, is not novel in legal theory. For a readable introduction to this view's evolution in the United States see Riles, A., ‘Property as Legal Knowledge: Means and Ends’, (2004) 10 Journal of the Royal Anthropological Institute 775CrossRefGoogle Scholar.
189 For a recent discussion on such an instrumental view see Nardin, T., ‘Theorising the International Rule of Law’, (2008) 34 Review of International Studies 385CrossRefGoogle Scholar.
190 I have explored the consequences of this approach in the context of anti-terrorist policy in Urueña, R., ‘International Law as Administration: The UN's 1267 Sanctions Committee and the Making of the War on Terror’, (2007) 4 International Organizations Law Review 321CrossRefGoogle Scholar.
191 Anthropological research on international human rights lawyers suggests that this ‘instrumentalist’ view of law is fairly common among members of that group. See Riles, A., ‘Anthropology, Human Rights, and Legal Knowledge: Culture in the Iron Cage’, (2006) 108 American Anthropologist 52CrossRefGoogle Scholar.
192 J. Bolton is commonly named as a key proponent of such a strategy: see Bolton, J., ‘Is There Really “Law” in International Affairs?’, (2000) 10 Transnational Law and Contemporary Problems 1Google Scholar. For a critical overview cf. Mansell, W. and Haslam, E., ‘John Bolton and the United States' Retreat from International Law’, (2005) 14 Social and Legal Studies 459CrossRefGoogle Scholar. This argument is commonly followed through, either explicit or implicitly, to Carl Schmitt; see e.g. G. Noll, ‘Force, Partisanship, Dislocation: An Essay on International Law in the State of the Exceptional’, in J. Petman and J. Klabbers (eds.), Nordic Cosmopolitanism: Essays in International law for Martti Koskenniemi (2003), 207.
193 See R. B. Stewart, ‘Instrument Choice’, in Bodansky, Brunnée, and Hey, supra note 129, 148.
194 ‘Pigouvian taxes’ are levied on negative externalities of an activity, e.g. a tax on polluting emissions or on cigarettes. Their name derives form Arthur Cecil Pigou (1877–1959), a British economist who is a key figure in welfare economics.
195 See Stewart, supra note 193, at 153.
196 J. L. Borges, Deutsches Requiem, in J. L. Borges, El Aleph (2006), 62.
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