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This article proposes a hybrid legal framework combining jus ad bellum and jus in bello to govern the attribution of State responsibility for reparations at the end of a war of aggression. To this end, the article considers former international mass claims processes and proposes a complementary approach that, on the one hand, acknowledges the role of the aggressor State in waging the war, and on the other, takes a cautionary approach to prevent a disproportionate burden of compensation being imposed on the aggressor State as a form of collective punishment. The consequences of respective violations of the prohibition of the use of force and the law of war are blurred in a war of aggression, resulting in complexities around liability for aggressor States. In response, this article concludes with a nuanced proposal to calculate compensation based on (1) the aggressor party's capacity to comply with jus in bello; (2) the extent of damage caused by the war of aggression, factoring in jus ad bellum considerations if a party is found to be intentionally maximizing destruction; and (3) the incorporation of tort law principles for equitable attribution of responsibility.
This article argues that the scope of the neutrality duties of non-assistance and prevention allows for an exception – a carve-out for assistance given to the victim State of an armed attack. Rather than weighing in on debates as to whether current State practice accepted as law suffices to establish this rule inductively, the article offers a different approach to grounding the argument for this exception in the methodology of the sources of international law, which thus far has been underexplored. The central argument of the article is that the exception or carve-out—and its contours—deductively flows from the structure of international law of peace and security and, in particular, the victim State's right to self-defence. The purpose of that right—enabling the effective termination of the armed attack—must not be undermined through prohibitions of military assistance and duties of prevention. These considerations define the scope of neutrality duties as revealed through systemic treaty interpretation. Such deductive reasoning equally determines the scope of customary neutrality duties, whether discerning that scope is framed as systemic interpretation or as identification of custom.
Ukraine's war of self-defense against Russia is one of the clearest examples of a nation fighting a just war in recent history. Ukraine is clearly entitled to defend itself, and Russia is clearly obligated to cease hostilities, withdraw troops, and make repair. In light of this, some of the most salient moral questions related to Russia's war of aggression in Ukraine involve the international community; namely, what moral duties it has toward Ukraine, especially in light of Russia's extreme and pervasive human rights abuses. The first section of the essay argues that there is a pro tanto moral duty to intervene militarily in Ukraine to stop Russian human rights abuses and ensure that Ukraine achieves a military victory. This duty is grounded in duties of rescue, promissory obligations, and reliance obligations, as well as duties to nations’ own citizens and to the international community. The second section of the essay argues that the most relevant consideration in determining whether there is an all-things-considered duty for the international community to intervene militarily in Ukraine is Russia's nuclear coercion and the associated risk of nuclear war. This section highlights the nuclear risks involved in compliance with Russian nuclear coercion, which I argue have been neglected in prominent discussions. The moral stakes involved in this determination are very high, and succumbing to Russian nuclear coercion in the face of massive human rights violations would set a dangerous precedent. Any course of action should be guided by a thorough analysis of all the risks involved, both nuclear and moral.
This article reconceptualizes norm conflict in international law by uncovering the experiential dimension of its definition and the intentional dimension of its resolution that has been missing from traditional accounts. The article locates the basis of recognizing norm conflict in the experienced sense of incompatibility between norms in view of their contexts rather than in the predesignated constellation of norms with contrary or contradictory functions according to their texts. Concomitantly, it argues that the justification for using certain legal techniques to resolve norm conflicts lies in the intended relationship deducible only between those norms that share the same regulatory purpose rather than between norms merely applying to the same factual situation. This reconceptualization generates a new typology of norm conflicts in light of the norms’ end goals and the means they provide to achieve them: “Ends Conflict”, “Means Conflict”, and “Unexperienced Conflict”, and suggests apposite ways to tackle them.
This conclusion sets out a definitional framework for a prohibited ‘use of force’ under article 2(4) of the UN Charter according to the type theory developed in this monograph. It sets out the contextual elements of that provision and the elements of a ‘use of force’ that are identified and discussed in greater detail in earlier parts of the monograph. Finally, it offers some reflections on the legal nature of this framework and its potential as a tool for scholars and practitioners to assess whether forcible incidents meet the threshold of a prohibited ‘use of force’ between States under international law.
This introduction highlights the prevailing uncertainty regarding the meaning of a ‘use of force’ under article 2(4) of the UN Charter and customary international law. It sets out the key research questions that this monograph addresses regarding the meaning of ‘use of force’ under jus ad bellum, including if ‘force’ means physical/armed force only and whether kinetic means or the use of particular weapons required, if a (potential) physical effect is required and the required nature of such effects, if there is a de minimis gravity threshold, and if a coercive or hostile intent is required. It also explains why the definition of prohibited force matters and its consequences under international law, including with respect to the gap between ‘use of force’ under article 2(4) and ‘armed attack’ under article 51 as well as the rise of grey zone operations. Finally, it sets out the aims and contributions of this monograph and an outline of its structure.
This chapter examines the origin of the customary prohibition of the use of force between States and its relationship to article 2(4) of the UN Charter, focusing on the pre-UN Charter era. In doing so, it critically analyses two possibilities for the norm to have emerged prior to 1945: that it developed prior to the UN Charter and article 2(4) was declaratory of that pre-existing custom, or that article 2(4) crystallised a customary rule that was already in the process of formation. It rejects these two possibilities, arguing that article 2(4) was a significant legal development which went beyond the existing laws of the time in order to found a new international legal order in the aftermath of World War II. Any pre-existing customary limitations on the use of force were significantly broadened by article 2(4), and the drafting process was not accompanied by meaningful State practice developing in parallel with this radical change in the law. Therefore, the customary rule prohibiting recourse to force between States must have arisen after the Charter entered into force. The emergence and development of the customary rule from 1945 onwards are examined in the next chapter.
Le présent article se propose de concevoir l’influence de la notion de légitimité au-delà du rôle lui étant communément attribué en droit international humanitaire (DIH), en s’intéressant particulièrement à la relation entre ce dernier et les causes de la guerre, la nature des acteurs impliqués dans les conflits armés ainsi que les motivations des parties. En remettant notamment en question de l’idée d’une stricte séparation entre jus in bello et jus ad bellum, il est soutenu que les tentatives visant à isoler le DIH de ces questions de légitimité sont à la fois vaines, mais également à rebours de l’évolution et des logiques du régime. Il est en revanche défendu que la notion de légitimité en DIH se manifeste à travers deux modes de légitimation — l’un dérivant du statut, l’autre de la cause — à partir desquels la distribution de droits, devoirs, immunités, privilèges ou encore statuts s’opère et se voit justifiée au sein du régime. Ce faisant, de nombreux discours empruntant au second registre, souvent qualifiés d’aberrations du point de vue du DIH, ou dont la nature juridique est contestée, s’avèrent finalement être des arguments juridiques parfaitement valides et ancrés dans l’évolution et les logiques du DIH.
Prohibited 'use of force' under article 2(4) of the UN Charter and customary international law has until now not been clearly defined, despite its central importance in the international legal order and for international peace and security. This book accordingly offers an original framework to identify prohibited uses of force, including those that use emerging technology or take place in newer military domains such as outer space. In doing so, Erin Pobjie explains the emergence of the customary prohibition of the use of force and its relationship with article 2(4) and identifies the elements of a prohibited 'use of force'. In a major contribution to the scholarship, the book proposes a framework that defines a 'use of force' in international law and applies this framework to illustrative case studies to demonstrate its usefulness as a tool for legal scholars, practitioners and students. This title is also available as Open Access on Cambridge Core.
In appreciating the institutional perpetuity of war, while simultaneously acknowledging the historically informed, inherent limitations of attempts to bound its conduct by international law, this chapter introduces the three interrelated questions that serve as the organising themes of this volume: first, is there a historical continuity with legal protections in war being informed by notions of ‘civility’ and ‘barbarity’?; second, what is the relationship between the ideals and operational realities in international humanitarian law (IHL)?; and third, what are the limitations of international laws designed to restrain excess in war? Via a brief overview of the divergent evolutions of jus ad bellum and jus in bello law, this introductory chapter further explores the sub-themes present in this volume: universalism and its shortcomings; problems with punishing violations of IHL; and the degree to which modern laws of war legitimate activities that should otherwise be prohibited.
It is clear that, under customary international law, the state that has suffered an armed attack must request aid before other states can provide it with that aid in the exercise of collective self-defence. There are a range of factors that need to be considered that do (or, at least, may) have a bearing on the ‘validity’ of that request. This chapter analyses perhaps the most controversial of them: the question of who can issue a collective self-defence request. In so doing, it examines the view that only states can request aid in collective self-defence and, indeed, further asks whether the issuer of the request must be a UN member. The bulk of the chapter then examines how one identifies the de jure government of the state for the specific purpose of issuing a collective self-defence request. A traditional reference point for the recognition of governments in international law generally has been the effective control of territory. However, this is of minimal – if any – importance to the identification of the entity that can request aid in collective self-defence. Instead, other factors, such as democratic and constitutional legitimacy, are of greater importance.
The Introduction outlines the nature of the study and the rationale for undertaking it. It argues that collective self-defence remains under-theorised (and collective self-defence practice under-analysed) despite the increased invocation of it by states in recent years. The Introduction also discusses the book’s methodology, particularly in relation to its focus on state practice and opinio juris as crucial ‘raw materials’ for legal standards in this context. The key facts and findings of the famous 1986 Nicaragua decision of the International Court of Justice are then summarised, because the case is referred to throughout the book. The Introduction concludes with a summary of the structure of the book.
This chapter seeks to delineate the notion of collective self-defence in international law. While the core concept can be stated relatively easily, there has been persistent controversy regarding the nature of collective self-defence. It is possible to identify no fewer than five different ‘conceptions’ of collective self-defence that have been advanced in scholarship. These conceptions are all explored in detail. The chapter also examines the question of whether collective self-defence is indeed an ‘inherent right’, as Article 51 of the United Nations Charter proclaims. The status of collective self-defence as a right (and, moreover, as a right that is inherent) has been contested. As such, its status requires theorisation based on the analysis of the views of states. Finally, the chapter considers the modality of collective self-defence: in other words, it asks what ‘qualifies’ as an act of collective self-defence. In examining this question, there is particular focus on whether the provision of weapons and logistical support in support of an attacked state amounts to the exercise of collective self-defence.
This chapter examines how collective self-defence request needs to be issued. There are a number of unanswered questions about the necessary manner and form of such requests. First, the chapter analyses whether ‘open-ended’ requests will suffice, or whether they must be targeted at a particular state (or states). It then considers whether collective self-defence requests must take any specific form and, in particular, queries whether they can be inferred. Similarly, it examines whether a collective self-defence request must even be made publicly (or, at least, be publicised), or whether covert requests can suffice. Finally, the chapter engages with two questions concerning the timing of the request. These are whether the request must be made before the collective self-defence action begins, and whether the existence of a collective self-defence treaty arrangement between the relevant states suffices as a ‘request’ (or whether an ad hoc and specific request is still required in addition).
In the 1986 Nicaragua case, the International Court of Justice famously took the view that two additional criteria exist in customary international law for the exercise of collective self-defence, alongside the criteria that it shares with individual self-defence. These purported additional criteria have been commonly repeated in scholarship since. First, it is said that the state that has been attacked must ‘declare’ that it has been so attacked. Second, it must ‘request’ aid in its defence. This chapter sets out the manner in which the Court identified these requirements and whether it considered them to be legally determinative or merely evidentiary. It then goes on to examine state practice/opinio juris, to test whether the requirements indeed can be identified as rules of customary international law. It is argued that the first of those asserted requirements and declaration, in fact, has no legal basis. In contrast, it is argued that the issuance of a request is, as the Court indicated, a binding requirement for the exercise of collective self-defence.
This chapter examines the history and development of collective self-defence. It is argued that – contrary to the common assertion that the concept was created in 1945 – its roots can be seen throughout history. The chapter maps that history, starting briefly with the alliances of ancient Greece and moving through to the writings of the seventeenth century, when recognisable characteristics of the modern concept truly began to emerge. It then focuses on the developments in the interwar years and during the Second World War, which saw an increase in the number of collective defence treaties. This period concluded with the emergence of a collective defence system in the Americas, which was extremely influential for the drafting of Article 51 of the UN Charter. The chapter concludes by analysing the drafting process, and the changes to collective self-defence that the adoption of the Charter brought about. It is argued that Article 51 ‘conjoined’ individual and collective self-defence in a way that had little basis in the previous historical development of collective defence arrangements under international law. This has had significant implications for how collective self-defence is understood today.
This chapter considers the criteria for collective self-defence that are shared with individual self-defence. It is uncontentious to say that the same criteria that apply to individual self-defence – armed attack, necessity, proportionality, the reporting requirement, and the ‘until clause’ – also apply to collective self-defence. Indeed, this is an inevitable consequence of the way the concepts appear in Article 51 of the UN Charter. The nature and application of these criteria in the context of individual self-defence have been examined at great length in the existing literature. This chapter therefore does not provide in-depth analysis of all of their aspects. That said, it does provide a brief overview of these requirements to ensure that this book presents a comprehensive picture of the operation of collective self-defence today. The chapter’s main focus, though, is to examine how the operation of these criteria works specifically in the context of collective self-defence actions, which is something that has been largely overlooked in scholarship.
This chapter examines collective self-defence treaty arrangements. It engages with a diverse range of examples of the collective self-defence treaties (or treaties that contain collective self-defence aspects) that have emerged since 1945 to draw out common themes as to the nature, process, and role of such arrangements, as well as to establish notable variations. The aim is to contribute an overall picture of collective self-defence today specifically in the context of treaty relationships. The chapter argues that such relationships inevitably impose only weak obligations on their parties to defend each other and also can cause notable issues related to overlapping memberships, bureaucracy, and antagonism amongst members (amongst other difficulties). Equally, these arrangements – of which there are now hundreds – are concluded for good reason(s). They provide a range of benefits, especially in terms of their deterrent effect.
This chapter examines the relationship between collective self-defence and another legal basis for the use of force, which in scholarship is referred to as ‘military assistance on request’ or ‘intervention by invitation’. Analysing the relationship between collective self-defence and military assistance on request is crucial because these concepts are, in some respects, strikingly similar. Indeed, it has been argued that they overlap, and states often blur them in their argumentation. The chapter explores the extent to which the concepts can be differentiated at the ‘doctrinal’ or ‘conceptual’ level. It then turns to the various legal requirements (actual or, in some cases, arguable) for collective self-defence and military assistance on request, with the aim of highlighting similarities or differences, as relevant, when it comes to the operation of these two concepts.
Observing China’s use of force, its voting behaviours and argumentation in the UN Security Council (UNSC) and its official statements on other relevant occasions allows summing up the Chinese approach to jus ad bellum in the following aspects: a narrow meaning of the term ‘force’, a positivist interpretation of the threshold, time and target requirements of exercising the right of self-defence, a negative attitude towards humanitarian intervention and a strict reading of the responsibility to protect. These positivist tools have led China to consistently endorse a ‘restrictivist’ understanding of the UN Charter that prohibits any use of military force by one state against another absent authorization from the UNSC or a situation involving self-defence. In this sense, China would likely maintain its ‘wait and see’ approach regarding jus ad bellum in cyberspace. However, faced with the anonymity of cyberspace and the increasing frequency of cyber-attacks, the possibility that China will adopt a more flexible understanding of certain rules cannot be ruled out.