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War participation risks mental disorders. Ukrainian combatants in Anti-Terrorist Operation/Joint Forces Operation since 2014 receive psychiatric care. Some show unique symptoms, not fitting recognized disorders, termed post-combat delayed response (tension) syndrome. The aim of this study was to establish diagnostic criteria and develop a scale of differential diagnosis of post-combat delayed response (tension) syndrome.
Methods
This was a clinical retrospective study conducted on the basis of Zaporizhzhia Military Hospital and Zaporizhzhia and State Medical University, Ukraine, in the period from 2015 to 2021. Combatants of Ukraine—members of Anti-Terrorist Operation/Joint Forces Operation were involved in the study. In total, 426 male combatants were surveyed from whom those suffering from post-traumatic stress disorder (n = 24), neurasthenia (n = 35), and post-combat delayed response (tension) syndrome (n = 46) were selected.
Results
The key symptoms of post-combat delayed response (tension) syndrome were selected and ranked in order of their differential diagnostic value. The diagnostic scale for post-combat delayed response (tension) syndrome was developed, which consists of 12 points.
Conclusions
The received anamnestic information is important for classifying patients at risk of post-combat delayed response (tension) syndrome.
Chapter 4 looks at the concept of combatants and non-combatants, and its connected status, that of prisoner of war (POW). It examines who is entitled under IHL to combatant status, and examines those persons who have been denied combatant and POW status under IHL. Particular attention is paid to the status of resistance fighters, national liberation and guerrilla fighters, those participating in a levée en masse, and participants in non-international armed conflicts. The chapter outlines those categories of participant not entitled to combatant status such as spies, mercenaries, so-called unlawful combatants, and private military and security contractors. Chapter 4 also explores the current legal thinking regarding a contentious area of the law – that of civilians taking direct part in hostilities. The rules regarding POW status and the treatment of POWs are described. The chapter concludes by examining another developing area of the law: the power of detention in non-international armed conflicts.
Does targeting combatants really provide a military advantage during an armed conflict? The limitations on the use of force against civilians and means and methods of warfare are well developed under contemporary international humanitarian law (IHL), but the issue of targetability of adversary combatants remains underdeveloped. This paper builds on contemporary developments in international human rights law and moral just war theory to offer a revised lex ferenda look at the basic principles of IHL through the internalization of the value of the lives of combatants. It is argued that such a reading of IHL would allow for a rejection of the automatic necessity of targeting combatants, and hence give due consideration to the value of life of combatants (both adversary combatants and own combatants) in the evaluation of the use of force during armed conflicts, including through reduced military advantage, force protection, and adjusted proportionality analysis.
The war in the former Yugoslavia produced many highly trained and experienced combatants, some of whom engaged not only in a variety of organized criminal activities such as the illicit trade of natural resources, trafficking and corruption, but also war crimes. In the post-war environment various criminal groups took advantage of post-conflict transition conditions which enabled them to be transformed into legitimate legal entities. The failure to investigate and hold to account those involved in criminal activity meant that demobilized soldiers turned to highly profitable, legally constituted private military and security companies (PMSCs). This is coupled with poorly designed security sector reforms that often fail to enhance effective and accountable security that is respectful of human rights. In recent years, similar transformations of many former combatants and criminal groups into legitimate PMSCs around the globe have raised new concerns about their growing activities across different sectors. This article uses the former Yugoslavia as an example from which to highlight some of the increasingly common problems posed by the creation of private military and security providers globally, as a result of the current uncoordinated processes to prevent armed conflicts. The article reflects on the need to avoid smart sanctions and use other foreign policy tools, while calling for an integrated approach to security sector reform and transitional justice that is necessary for sustainable peace.
This chapter discusses the development and application of international humanitarian law (IHL) and its interrelationship with human rights law. It further examines this special relationship, which is of particular importance for the protection of civilians, especially where the applicability of IHL is contested or where IHL constitutes an exception to certain rights, such as the right to life, or fails to prevent and/or provide effective remedies for violations. The chapter seeks to identify the scope of application of IHL and demonstrate the degree to which the two can be reconciled. Moreover, a special case is made for the law applicable in situations of military occupation whereby human rights are subordinate to IHL. Despite this subordination, in practice because international human rights tribunals are not mandated to apply humanitarian law they necessarily interpret and enforce the rights of the victims on the basis of the rights found in their respective statutes. As a result, the jurisprudence of human rights tribunals is not always consistent with IHL. Yet, such tribunals are hard pressed to accept jurisdiction over situations which would otherwise be resolved on the basis of IHL alone. This chapter therefore goes on to discuss the exercise of extraterritorial jurisdiction by human rights tribunals.
The chapter discusses the application of the principle of distinction to combatants and civilians, the consequences of that distinction and the issue of those civilians who directly participate in hostilities both in IACs and NIACs. It then discusses the application of the concept in cyber warfare. The chapter then considers the positions of members of private military security companies, unlawful combatants and UN peacekeepers.
By drawing together key documents, case law, reports and other materials on international humanitarian law from diverse sources, the book presents in a systematic and analytically coherent manner this body of law and to offer students, teachers and practitioners an easily accessible, targeted but also critically informed account of the relevant rules and of how they apply in practice. It covers all areas of international humanitarian law and specifically addresses issues of contemporary interest such as cyber warfare, targeting, occupation, detention, human rights in armed conflict, peacekeeping, neutrality, responsibility and accountability, enforcement, reparations. The book is ideal for instruction, research, reference and application purposes either as a standalone resource or as accompaniment to textbooks and more specialist references.
Animals are the unknown victims of armed conflicts. Wildlife populations usually decline during warfare, with disastrous repercussions on the food chain, on fragile ecosystems and precarious habitats. Belligerents take advantage of the chaos of war for poaching and trafficking of animal products. Livestock, companion, and zoo animals, highly dependent on human care, are direct victims of hostilities. The book is the first legal analysis of these issues. It maps the framework of international humanitarian law, examining which and how the concepts, principles, and rationales can be applied and adapted for a better protection of animals. The contributions inter alia discuss precautions for animal civilians, problems of animal combatants and prisoners, a specific status for veterinarian personnel, the recognition of biodiversity hotspots as specially protected zones, and the potential of enforcement mechanisms. The concluding chapter draws together novel interpretations and reform proposals.
IHL has historically been divided into two main branches, consisting of rules that regulate the “means and methods of warfare”and the rules that deal with the “protection of persons and projects.” The rules governing the means and methods of warfare are known as “Hague Law” due to the fact that the main treaties governing this field of law were, for a long time, the 1899 and 1907 Hague Conventions and the annexed Hague Regulations. The provisions dealing with the protection of persons and objects hors de combat (“out of combat”) are known as “Geneva Law,” as these rules can be found in the Four Geneva Conventions of 1949. The two Additional Protocols of 1997 cover both norms concerning the means and methods of warfare, and those protecting individuals. This chapter begins with the foundations and the history of IHL, before discussing the scope of application of IHL and the law governing the conduct of hostilities, namely the means and methods of warfare. The final sections discuss the law governing the protection of persons during armed conflict, and the implementation and enforcement of IHL.
IHL has historically been divided into two main branches, consisting of rules that regulate the “means and methods of warfare”and the rules that deal with the “protection of persons and projects.” The rules governing the means and methods of warfare are known as “Hague Law” due to the fact that the main treaties governing this field of law were, for a long time, the 1899 and 1907 Hague Conventions and the annexed Hague Regulations. The provisions dealing with the protection of persons and objects hors de combat (“out of combat”) are known as “Geneva Law,” as these rules can be found in the Four Geneva Conventions of 1949. The two Additional Protocols of 1997 cover both norms concerning the means and methods of warfare, and those protecting individuals. This chapter begins with the foundations and the history of IHL, before discussing the scope of application of IHL and the law governing the conduct of hostilities, namely the means and methods of warfare. The final sections discuss the law governing the protection of persons during armed conflict, and the implementation and enforcement of IHL.
Section E seeks to show how the law on the conduct of hostilities that would apply in relation to the use of conventional weapons also applies in respect of nuclear weapon operations. The Rules and Commentaries deal with persons participating in the hostilities, who are distinguished from protected civilians, and with specific issues of naval and air warfare. The Rules and Commentaries on nuclear targeting address the notion of ‘attack’, the principle of distinction, prohibited nuclear attacks, the definition of military objectives, proportionality and active and passive precautions. As to methods of nuclear warfare, the Section addresses perfidy and ruses, the improper use of protective indicators and emblems, as well as the concept of zones. The Section further includes Rules and Commentaries on persons and objects entitled to specific protection and on the protection of the natural environment in times of armed conflict.
Joseph Capizzi lays out Catholic just war theory and its tie to the Church’s teaching on conscience. The scriptural context for just war teaching is Jesus’ discourse in John 14, in which he promises to give peace, but not as world gives. The world’s peace is often tainted with the temptation to sacrifice neighbors and innocents. War can be an expression of conscience, but only if ordered toward peace, guided by morality, and open always to the conversion of self and neighbor. The just war approach excludes objectives such as vengeance. It prohibits direct harm to noncombatants. Both sides in a conflict are potential members of the community for whom peace is a goal. As against any duty of military service, US law currently protects the conscience of conscientious objectors (COs) who oppose all wars on the basis of religion or nonreligious morals. It does not, however, protect “selective conscientious objectors” (SCOs), those who oppose only unjust wars. Finally, consistent application of conscience protection instructs that soldiers with moral agency as rational beings with a conscience, should refuse to follow orders against their conscience and the moral law.
As will become evident through the course of this chapter, development in its human rights context is primarily a value that translates into individual and communal well-being. This well-being may be linked to industrial or other financial development, although the correlation between the two is neither self-evident nor necessary. If this right to well-being is to make a difference in the lives of people, whether in poor or rich nations, it must be susceptible to quantifiable measurement through which one is able to assess its progress and realisation. In the last decade experts have developed a list of detailed indicators which allow us to assess well-being more accurately. At the same time, wealthy nations have abandoned ad hoc unilateral efforts to assist their poorer neighbours to escape perpetual cycles of poverty by entering into institutionalised multilateral commitments to contribute part of their annual earnings to developmental goals. These goals are also vigorously pursued by multilateral development banks, such as the World Bank and the African Development Bank.
This chapter presents the scope of combatants as lawful targets in light of considerations of military necessity. Hereunder the scope of the rule prohibiting unnecessary suffering on combatants.
The fact that children are drawn to join the ranks of armed forces or non-state armed groups is a scourge that persists despite concerted efforts to eradicate the practice. No facet of this reality is perhaps more shocking than children’s direct participation in hostility, in that it raises the spectre of combatants directly targeting children. International humanitarian law has been largely silent on this specific aspect of child soldiering, leaving armed forces to improvise their stance when confronted with child soldiers on the battlefield. The Canadian Armed Forces in 2017 adopted what is said to be the first official military doctrine on child soldiers. This article analyzes this doctrine in light of the regulation of the use of force against child soldiers under international humanitarian law. It assesses whether children can ever be full-fledge combatants, when they can be considered civilians directly participating in hostilities, and, if children can be directly targeted, what limits humanitarian law imposes on the means and measures of war employed against them.
The present paper aimed to explore the neuropsychiatric characteristics of the antiterrorism (ATO) combatants in the Donets Basin (Donbass) and to propose therapeutic strategies for managing their mental healthcare.
Methods
A total of 54 ATO combatants were included in our study and compared with four groups of subjects exposed to other emergencies, including the Chernobyl disaster and the war in Afghanistan. The neuropsychiatric features were assessed through psychopathological assessments, neurological examinations, and quantitative electroencephalography (qEEG).
Results
The ATO combatants were characterized by low health self-estimation, somatic concerns, a high prevalence of posttraumatic stress disorder, anxiety, insomnia, depression, social dysfunction, mild cognitive impairment, and neurological soft signs, similar to individuals involved in the Chernobyl disaster and veterans of the Afghan War. Quantitative EEG showed abnormalities suggestive of irritation of the corticolimbic system and diencephalic structures. Some post-conflict personality changes in ATO combatants were recorded. The treatment of ATO combatants included a comprehensive strategy: from psychotropic drugs to different psychotherapies.
Conclusions
On the basis of 30 years of experience in the management of the consequences of Chernobyl disaster and the available studies on war veterans, the authors proposed a method for assessment and an approach to providing mental healthcare for ATO combatants, refugees, and migrants from the Donbass, which perhaps can be used as guidelines for other conflicts. Taken together, the findings of the study suggest that voluntary participation in war may decrease but does not eliminate the risk of developing the neuropsychiatric consequences caused by such conflicts. A comprehensive strategy—one that would encompass psychopharmacological, psychological, and rehabilitation techniques—seems to be the most successful approach to managing the main symptoms and disorders involved.
Goldstone's recent retraction can leave the reader of the report that bears his name somewhat perplexed. Indeed, if the deliberate intent to target civilians could be discussed in some specific attacks listed, such a report nevertheless describes a pattern of behaviour that cannot be swept aside without disregarding the order of priorities set by the Israeli legal system itself. Through analysis of the new Israeli military code of ethics as well as the Israeli Supreme Court case law, this paper examines how civilians in Gaza were deliberately put at risk by a specific interpretation breaking down the flat rule of civilian immunity into a more complex construction opposing the Israeli soldiers’ right to life to the rights of an ‘enemy population’.
Combatants — Parachutists — Rules of War Applicable to.
Prisoners of War — Employment of — Employment of Prisoners in Unloading Arms and Ammunition from Aeroplanes — Parachutists — Duties of — Hague Regulations in Relation to Parachutists.
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