international

Directing the Moderate Rebels: Syria as a Digital Age Crucible for Information and Propaganda Warfare

By Ben Arthur Thomason

A decade into Syria’s catastrophe as one of the deadliest wars of the 21st century, we can take greater stock of its effects not just on geopolitics and Syria itself, but on imperial management strategies, information warfare, and popular culture, particularly when considering the interventions by the West and its regional allies. A key pillar of Western imperialist projects next to the hard power of bombs and economic sanctions is the soft power of diplomatic maneuvering, media and cultural imperialism, manufacturing public consent for war, and inventing realities to maintain ideological hegemony. The complementary dialectic between hard and soft power in the US led imperial project in Syria built on historical ventures in Muslim majority countries and evolved propaganda and civil society hybrid warfare strategies that may become foundational for 21st century warfare.

Complementing hard and soft power: the UK FCO media and civil society consortium

Early in the Syrian conflict, through a scheme code-named Operation Timber Sycamore, the CIA partnered with Saudi Arabia, Turkey, and Qatar to flood Syria with weapons, many of which ended up on the black market or in the hands of extremist groups. In an echo of the CIA’s Operation Cyclone, where Mujahedeen fighters in Afghanistan were supplied with billions of dollars in arms including Raytheon manufactured anti-aircraft guided Stinger Missiles, the US and its allies supplied Syrian rebels, including Salafist groups like the Harakat Nur al-Din al-Zenki Movement, with Raytheon produced anti-tank guided BGM TOW missiles.

Supplementing the hard-power pressures of sanctions and lethal aid to militants was a soft power strategy that combined diplomatic pressure, propaganda, and civil society programs. Western governments and NGOs funded, supplied, and trained pro-opposition Syrian journalists, newspapers, magazines, radio, and TV stations. Pro-rebel outlets that sprung from this support were needed because Western journalists largely stayed out of reporting from rebel-held Syria for risk of being kidnapped or killed, despite the purported moderation of the Western backed Free Syrian Army and attempts to downplay the strength of extremist forces in Western media. Perhaps the most important organization, at least that we have significant documentation of right now, was a consultancy firm, Analysis Research Knowledge (ARK), and their search and rescue and media production group, Syria Civil Defence (British spelling), popularly known as the White Helmets.

Figure 1- An example of ARK’s “rebranding” projects for armed militias to sell the “moderate rebels” image (CPG01737 ARK 1.3.1, n.d.: 1)

ARK’s modern form was established as ARK FZC in 2011 and is based in Dubai, though its roots go back at least to 2009 when it was formed in Beirut, Lebanon as ARK Group or ARK Lebanon. The United Arab Emirates avoided full involvement in the arming and support of Syrian militants, instead opting to become an important partner in diplomatic and civil society efforts against the Assad government. ARK was started by former British Foreign Commonwealth Office (FCO) employee Alistair Harris, who got his start serving in the Yugoslav Wars. Contracting under the UK FCO, ARK first established a program for collecting and documenting alleged war crimes and set up an opposition media program called Basma Syria (Basma meaning smile in Arabic). In 2012 ARK, led by employee James Le Mesurier, a former UK military intelligence officer who also got his start in the Balkans during the Yugoslav Wars, established the search and rescue teams that would become the White Helmets. The group sold itself as a grassroots citizen activist humanitarian group and became media darlings in the West. 

The White Helmets were the bridge between the civil society and propaganda aspects of these soft-power pro-rebel operations. Not only did they provide services such as search and rescue, medical transport, fire suppression, and post-battle clean-ups and reconstruction, they filmed and photographed themselves doing all these things. They were often first on the scene reporting on bombings, skirmishes, and alleged chemical weapons attacks. The most famous accusations against the White Helmets, lobbed by Russian and alternative Western media, were that they collaborated with terrorist groups and staged fake attacks and/or rescue missions. Yet perhaps the more interesting and revealing thing about the White Helmets that can be confirmed is that they were a key part of a wider propaganda and civil society operation to support anti-Assad forces in Syria and justify and encourage foreign intervention led by corporate contractors working under the UK FCO.  

As the military war dragged on, Western backed militias needed to administer the areas they conquered as well as fight an information war. Since these rebel-held spaces were too dangerous for Western journalists, Western states raised a local media infrastructure through local proxies. US and European NGOs and governments funded, trained, and supplied outlets like Aleppo Media Center while ARK and its fellow UK FCO contractors set up their own media outlets like Basma, Moubader, and Syriagraph, establishing TV, radio, and magazine production for themselves or partner organizations. Other FCO contractors like Albany Associates Ltd identified and trained select spokespeople from and developed communication strategies for violent sectarian Salafi militias like Ahrar al-Sham and Jaish al-Islam. One prominent ostensibly grassroots media outlet for the Battle of Aleppo, Revolutionary Forces of Syria, was directly run by an FCO consortium member that partnered closely with ARK, The Global Strategy Network (TGSN), directed by Richard Barrett, former director of counterterrorism at MI6. These outlets then fed propaganda to their “well-established contacts with numerous key media organisations [sic] including Al Jazeera, Al Arabiya, Orient, Sky News Arabic, CNN, BBC, BBC Arabic, The Times, The Guardian, FT [Financial Times], NYT [New York Times], Reuters and others.”

Figure 2- One of several maps of Syria showcasing ARK’s media and civil society operations in Syria. “ICSP Beneficiaries” refer to local Free Syrian Police units while “Media Stringers” refer to freelance journalists trained and or employed by ARK (ITT Lot C – Technical Response)  

UK FCO contractors like Adam Smith International and ARK tried to create civil society infrastructure to provide essential services that could compete with Syrian state services. They set up a Free Syrian Police (FSP) as well as municipal governance, education, and sanitation services, while the White Helmets provided emergency fire, transportation, and rubble clean-up services. The FSP alone received hundreds of millions of dollars through US and European funding and had its own scandals of corruption and connections with terrorist groups. The White Helmets alongside media outlets set up with extensive help from Western governments and NGOs like Aleppo Media Center, or media outlets directly run by Western government contractors like Revolutionary Forces of Syria, audio-visually recorded and disseminated these services from local Arabic speaking audiences to global, particularly Western Anglophone audiences. For ARK, their civil society services and “media products” were one and the same. The US and European states spent over $1 billion on these media and civil society initiatives refined through constant polling, focus groups, data analysis, and target audience segmentation to maximize their media and public opinion impact.

Figure 3- ARK “Project Schematic” showing how civil society initiatives immediately became propaganda for local and Western audiences. The events for September-November were planned by ARK to both provide rebel governance and turn their services into pro-rebel, anti-regime propaganda. (ARK 1.2.1 Methodology, c2017)

Target Audiences: The Home Front

The White Helmets became the star group of this initiative not just because they provided local services and produced propaganda at the same time; they also gave the opposition to Assad a singular humanitarian face that could shroud the sectarian and theocratic violence that characterized the bulk of the Western backed armed opposition that eventually coalesced into ISIS. Among Western media and celebrities, that’s exactly what the White Helmets became. 

The program of influence peddling and manufacturing public consent for intervention in Syria made it to the highest levels of Western entertainment with the 2016 Oscar winning documentary The White Helmets, profiling the ARK created group. The documentary created a narrative of Russian and Assad military devils bombing helpless civilians who relied on angelic White Helmets as their only line of defense, scrubbing all rebel militias from the conflict except ISIS. It was made possible by the cheap labor of the White Helmet workers, with whom ARK had previously produced several Arabic-language documentaries, the money and government connections of oil and industrial interests through philanthropies like the Rockefeller Brothers Fund, and the enthusiastic endorsements of US and UK media. The organization that led the impact campaign for the documentary and the White Helmets targeting celebrities and the media as well as Western halls of power was The Syria Campaign (TSC). TSC was started and heavily funded by a Syrian expat, US educated billionaire oil CEO and major UK Tory party donor, Ayman Asfari, whose company was convicted and fined in 2021 by a UK court for paying millions of dollars in bribes to Iraq, Saudi Arabia, and the UAE for oil contracts. Even before the Syrian Civil War started Asfari had his hands in dirty influence peddling with the UK who led the propaganda and civil society war against Syria, the UAE, who served as a regional conduit for those efforts, and the Saudis, who helped lead the hard power militia war against Syria.

While The White Helmets documentary tugged at viewers’ heartstrings over the brutality of Syrian and Russian air power, the Syria Campaign and the White Helmets pushed for the US and its allies to establish a no-fly zone over Syria. This was the same kind of intervention that was instrumental in lynching Muammar Gaddafi in Libya and throwing that country into chaos and strife it still has not emerged from. Despite the risk of inciting a hot war with Russia that a no-fly zone in Syria implied, this policy was pushed by powerful political leaders, including the 2016 Democratic party presidential candidate, Hillary Clinton.

Cynical weaponization of real and alleged atrocity stories to justify intervention and create easy good vs. evil stories for the benefit of US backed rebel factions in Muslim countries is not new. Journalist Joel Whitney (2016) showed that the weaponization of refugees and training pro-rebel activists to encourage and film atrocities has historical precedent in Operation Cyclone in Afghanistan. The resumes and CVs from leaked UK Foreign Commonwealth Office documents also point to these programs repeating and building off each other through history, particularly in the destabilized Muslim majority regions of the world in the past 30 years. Several prominent employees with leadership roles in these government contractors in Syria have long resumes before joining ARK and other FCO contractors. Their employee profiles demonstrate a pattern of receiving military, media, civil society, and government transition positions in places like Bosnia, Kosovo, Afghanistan, Iraq, Libya, and Syria, sometimes in that order and often including several sub-Saharan African countries like Somalia, Sudan, Kenya, Mali, and Nigeria as well. These ventures have occurred before and will continue.

Many details of the Western propaganda and interference schemes in Syria are still unknown, locked in classified internal government and corporate documents. Yet the few leaks and investigative reports we have reveal an extensive, well-funded, years-long propaganda and disinformation warfare campaign waged first against the Syrian government but perhaps more intensely against Western publics. Through groups like the White Helmets and the media they produced, Western governments and corporations backed up their multi-billion-dollar effort to flood Syria with weapons and fighters with propaganda and civil society campaigns worth about a billion dollars. These facilitated rebel administrations on the ground and helped sell a simplified whitewashed narrative of the Syrian Civil War and build war fervor for Western intervention. This built off historical precedents, committed by the same people who engaged in similar campaigns in other Muslim majority countries. 

It must be said that these efforts failed in important ways. While nearly all Western mainstream corporate media and politicians fell in line behind the White Helmets and the consortium’s pro-intervention narratives, war weary Western publics, particularly in the US and UK, were skeptical and unconvinced. Outlets like the Syria Campaign, the Guardian, and the BBC were quite troubled by the popular pushback they got which, despite their best efforts, could not be smeared as all Moscow agents or their useful idiots spreading disinformation. Russia and Syria did have their own propaganda strategy to counter Western media, and this is an inevitable reality of modern warfare. Their tactics included accusations against the White Helmets that, while containing important grains of truth, were overly simplistic and designed to paper over the brutal acts they engaged in as belligerents in a generally brutal war. Yet it is striking that, after so many criminal imperialist adventures in the region, public skepticism and disillusionment toward institutional narratives pushing humanitarian intervention in another Muslim country would be dismissed by political and media professionals with such pious Cold War style deflection and finger-pointing. These went so far as to include a sting operation and media smear campaign led by yet another organization created by ARK against academics investigating Western intervention in Syria. This ideological disciplining of public discourse is particularly outrageous when critical investigations into what Western states and their allies were doing in Syria without substantial, if any, public consent or knowledge reveal disturbing patterns of violence, manipulation, and good-old fashioned corruption and self-aggrandizement.

CONIFA - The Guerrilla Alternative

[Pictured: Barawa celebrate scoring against Tamil Eelam in the CONIFA World Football Cup (Courtesy of Con Chronis/CONIFA)]

By Brendan S.

Taking a look at the connection between politics and football, one may find that just beyond the immediate realm of international political power, there is international sports. A normative conductor often playing a direly underestimated role in connecting civil society and the general population to political phenomena. With the existence of a national team on an international stage, soft power runs wild and unleashed for the nation or state it represents. Whether it be diplomacy of internationally recognized actors or unrecognized actors, relations between states, nations, and actors in all levels of society can be shaped and shifted when the interests of many of the world’s actors are all brought together in a stadium. However, the most popular international sports organizations such as the Olympics and FIFA often only cater to the world’s ruling classes, accepting only national teams from states which are internationally recognized. Some sports organizations outside of the mainstream have emerged from this dilemma, created with the purpose of including teams from nations and regions that are unrecognized. These organizations shall be referred to as ‘guerrilla sports organizations,’ alluding to their radical and parallel nature. In football, the Confederation of Independent Football Associations, or CONIFA, holds a very important stake in the world of unrecognized international sports competition.

Channels of Sports Hegemony

In many international sports organizations where national teams compete, there is a rather blatant common factor which can be observed virtually across the board. That factor is, the exclusive participation of internationally recognized nation-states and their dependent territories. In football, the two most anticipated international competitions are the Olympics and FIFA. Taking a look at the member national teams of both organizations, there is scarcely a single nation represented that holds partial or no international recognition. Behold Article 30 of the Olympic Charter:

“1. In the Olympic Charter, the expression ‘country’ means an independent State recognised by the international community.

2. The name of an NOC (Natl. Olympic Committee) must reflect the territorial extent and tradition of its country and shall be subject to the approval of the IOC (Intl. Olympic Committee) Executive Board” (Intl. Olympic Committee).

Now, behold Statute 11 of the FIFA Statutes: “An association in a region which has not yet gained independence may, with the authorisation of the member association in the country on which it is dependent, also apply for admission to FIFA.” (FIFA)

It is explicitly mentioned in both the Olympics and FIFA guidelines that in order to have national team membership, the national team must either represent an internationally recognized state or be a dependent territory which gets permission from the ruling state’s team. For example, the Faroe Islands national football team is a FIFA member because it has been granted permission by the Denmark national football team. However, Tamil Eelam national football team is not a member association because it has not been granted permission from the Sri Lanka national football team to join FIFA.

To understand the reasons for why this culturally-hegemonic dynamic is codified, one needs to find how the organizations in question interpret a nation and a state. According to German sociologist Gunther Teubner, a nation-state is distinguished by the “collective identity of a social system.” (Duval, 248). According to his understanding, the nation is inherently attached to the state, and thus there cannot be more than one nation within a state. This understanding of the nation and the state is widely accepted in liberal and realist theory. However, the term ‘nation’ shall be defined in this paper from a less dehumanizing lens, as a group of people with a distinct identity and homeland, regardless of the internationally recognized nation-state they live within the borders of.

So, how exactly are a nation and a state interpreted from the lens of the Olympics and FIFA? Reading the guidelines, it appears they interpret them in a near identical manner to Teubner’s definition, hoping to avert as much condemnation from the hegemonies of internationally recognized states as possible. To the Olympics and FIFA, there is no difference between a nation and a state. The nation-state is a collective identity, even when its borders may make little sense, and even when there are multiple nations within a state, all deserving of self-determination; even when said nations are oppressed under the ruling class of the hegemony nation. Like water, both organizations follow the easiest path of least resistance---to powerful ruling classes. This path is rather obviously quite unethical, dehumanizing groups across the world who fight for their self-determination within nation-states that oppress them and certainly do not represent their identity. Following this interpretation of the state, Olympic and FIFA law intend to intersect with the accepted hegemonic laws of internationally recognized states whenever possible. With the complete absence of sub-state interests, states take advantage of this dynamic to make international sports a culturally hegemonic phenomenon. (Mestre, 101)

Observing the diplomatic significance of FIFA and the Olympics with this in mind, the two organizations have been utilized by states to exercise soft power in what is deemed ‘mega-events literature.’ In essence, mega-events literature is the language of ruling classes in conveying their state’s prestige to the world during international competitions, and also a tool for ruling classes to communicate with other states in building relations. In other words, it is a form of soft power whereby the state utilizes the national team to appear competent and insubordinate to other powers on the world stage, but also a method of diplomacy. Mega-events literature is unique in that it almost solely utilizes international sports competitions such as the Olympics and FIFA. While it can consolidate a global perception of power for large states, it can also be a beneficial tool for small states in acting as a direct funnel for soft power and diplomacy. For instance, the lack of attention that Tuvalu or Bhutan are plagued with in international political institutions such as the United Nations can be at least partially made up for via mega-events literature, where they have equal opportunity to make their prestige and diplomacy recognized through international competition (Grix, 17).

However, a dilemma presents itself in the ‘mega-events’ portion of ‘mega-events literature,’ making a full circle back to the Olympics and FIFA interpretation of the nation and the state. Mega-events literature, while benefiting (or harming) ties between states through soft power, structurally excludes marginalized interests, such as that of unrecognized nations within states. In this, mega-events literature reinforces the international legitimacy of oppressive ruling classes across the world. The nation-state national team is inherently projected as a collective entity, where the existence of self-determination among marginalized groups is completely dependent on whether the ruling class allows for it. Uncritical of the nation-state status quo, international competitions can thus be indirectly abused by those in power. Any soft power gained from the international competition can be diverted inward, against marginalized groups.

A Response to Sports Hegemony

Enter CONIFA (Confederation of Independent Football Associations), an international guerrilla football organization with national teams representing 166 million people in unrecognized nations across the world (Rookwood, 8). While players with backgrounds in unrecognized nations can switch between member associations in FIFA that represent internationally recognized states, they cannot play for their actual home nation, since it is unrecognized. They can, however, transfer to CONIFA, which is likely to have their home nation as a member association (Nance). Established in 2013 to consolidate preceding guerrilla football organizations, CONIFA is the first international guerrilla sports organization to holistically represent any and all unrecognized nations which desire to have a national football team, from Tamil Eelam to Tibet. With frequent matches across the world, the league holds a world championship every two years, consisting of teams which have won their respective continental championships. CONIFA’s four primary principles are to: “(1) strengthen people, (2) strengthen identity of people, for nations, minorities, and isolated territories, (3) respect differences, (4) contribute to world peace” (Utomo, 27).

While mega-events literature holds traditional diplomacy, or “the practice of intermediary service on behalf of a sovereign state in relation to other sovereign states under international law,” CONIFA breeds two forms of diplomacy which are generally separate from the recognized international system (Ganohariti and Dijxhoorn, 331). Mega-events literature is replaced by the sub-state modes of diplomacy: protodiplomacy and paradiplomacy. While some scholars claim the two terms are interchangeable, there appears to be a clear nuance in their usage. As defined by Ramesh Ganohariti and Ernst Dijxhoorn, protodiplomacy is “efforts to promote claims of political independence or autonomy by a people or political subunit,” while paradiplomacy is understood as “the involvement of subnational government external affairs in international relations,” whether by interaction with recognized or unrecognized entities. These definitions are generally accepted among scholars (Ganohariti and Dijxhoorn, 333)(Utomo, 30). In the words of scholar Ario Utomo: “Horizontally, CONIFA has the ability to become a supra-structure for the members to communicate and build a sense of intersubjectivity among each other. Vertically, CONIFA is benefitted by their specific focus so that they can help the members project the ‘sports countries’ image which might develop the members’ diplomatic statures” (Utomo, 33). The horizontal illustration explains paradiplomacy, while the vertical illustration explains protodiplomacy. With these distinctive diplomatic powers offered with membership in CONIFA, unrecognized nations are granted a platform to seek relations and support one another in their common fight against state cultural hegemony and ‘collective identity.’

In an example of protodiplomacy in CONIFA, the confederation utilizes high-profile sponsorships to the benefit of international attention toward the national teams, which in turn funnel toward the unrecognized nation it represents. For example, Irish betting firm Paddy Power is a major sponsor, creating a link from the national teams directly into civil society. In a more direct example of the organization’s protodiplomacy, CONIFA founded a youth exchange in 2013 intended to promote intercultural communication and educating, with a ‘cultural village’ that contains presentations, discussions, and exhibitions from representatives of the national teams (Utomo, 28). While this youth exchange is aimed at providing the unrecognized nations a chance to promote their self-determination, the national teams intermingle and improve relations with one another as they hold meaningful dialogue.

Another instance of CONIFA protodiplomacy uniting unrecognized nations was the 2016 championship, eagerly hosted by Abkhazia. To Abkhazia’s surprise, the Kabylian national team closely befriended the Abkhazian national team following their match. According to an observer during the last event, “the Kabylians sat on the roof…and watched the final in the rain with their new Abkhazian friends. The flags of both nations fluttered side by side in the wet breeze, a fraternity forged on the football field, immortalized by circumstances.”  This subsequently led to increased ties between Abkhazian and Kabylian civil societies aided by the newfound popular support of friendship between the two nations (Martyn-Hemphill, Ganohariti and Dijxhoorn 345).

Paradiplomacy in CONIFA, on the other hand, often more discreetly takes the form of direct dialogue between self-determination struggles. For instance, when the Mapuche and Aymara national teams (both Chilean indigenous groups) have met in matches, they display mutual solidarity in their common struggle against the oppressive policies of the Chilean state. Diplomatic dialogue can take place between the two communities’ representatives who are brought along to sustain relations between the Mapuche and Aymara struggles that would otherwise be difficult to attain under Chilean state surveillance. If the Mapuche or Aymara national teams were to face the Rapa Nui national team in the future, which is likely to occur, it would be another opportunity for paradiplomacy in solidarity against the Chilean state, which is rather difficult to otherwise achieve in-person as the Rapa Nui live 2,300 miles off the coast of the Chilean mainland (Jockel). Even if representatives of the movements are not available or prohibited in a venue, any communication which takes place can be relayed back to the movements and communities. As the matches often take place outside of the jurisdiction of the state hegemonies in question, CONIFA is a floating transnational refuge of unifying paradiplomacy between unrecognized nations, and recognized states can hardly do anything about it.

In the strange case of Chile, the Chilean Sports Ministry has actually funded the matches between indigenous nations in an attempt to make the Chilean state appear pro-indigenous (Jockel). Not all teams have enjoyed this unexpected sponsorship of states, however. The Sri Lankan state has banned the Tamil Eelam national team from entering the country, the Algerian state has sent threats to the families of the Kabylia national team, the Chinese state has blackmailed sponsors of the Tibetan national team, and the Ukrainian state has adamantly accused the Karpatalya national team of “sporting separatism” (Martyn-Hemphill, Utomo, 29).

While the unique perks of proto and paradiplomacy have helped unite national teams of unrecognized nations, one could argue, however, that CONIFA in fact sews more hatred than cooperation between struggles of self-determination. The Northern Cyprus national team’s behavior can be cited as an example of this. Since 2006, the Northern Cyprus national team, under pressure from the Northern Cyprus government, has attempted to bar various national teams from playing in its arenas on the basis of ethnic strife (Menary). However, CONIFA and its predecessor organizations cracked down on this behavior by stripping it of hosting world cups. One of CONIFA’s many commitments, according to the organization, is “fair play and the eradication of racism” (Rookwood, 8). Generally, associations which oppose each other on the basis of ethnic strife simply do not communicate nor play one another, and the confederation strictly prevents associations from coercing others in any way. In the cases they do play each other, while football matches between bitterly opposed nations may be particularly competitive, there is no material action of diplomacy which harms relations any further.

All in all, when observing the subsurface dynamic of the most prominent international guerrilla football organization in the world, it becomes evident that CONIFA is simple football on the surface level, but more importantly a source of sub-state diplomacy for unrecognized nations which yearn to seek ties with other movements or promote their own self-determination struggles. Certainly, the competition of football does not detract from the relations which already exist, but rather brings together the representatives of each unrecognized nation who seek solidarity in a somewhat nascent arena of proto and paradiplomacy. While the Olympics and FIFA only allow the membership of internationally recognized nation-states, refusing to separate the nation from the state in their official understanding, CONIFA has emerged to solve this problem, representing a myriad of unrecognized nations across the world while providing them the added perks of diplomacy that would otherwise be illegal. Through CONIFA, the guerrilla alternative, unrecognized nations have found a new forum of unprecedented unity and cooperation.

 

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The Pseudo-Cyclical Time of Non-Events

Art by Mimmo Rotella (1960)

By Michael Templeton

A man walked into a local bank, right in the symbolic center of the city itself, and randomly opened fire on anyone he saw in the bank. He killed three people. This was one of numerous events just like it around the United States. Random shootings occur with such frequency that they pass with barely a notice. People react with a modicum of shock. Public officials make their pronouncements of sympathy and outrage. By now, there are internet memes mocking the obligatory “thoughts and prayers” offered by political leaders. Then there are symbolic calls for gun legislation. The defenders of the second amendment push back. All the same bullshit gets exchanged. It is a dull round that disappears from memory almost as soon as it happens.

Soon after this happened, everything went back to normal. The events of the day consisted of local crimes, a nod to the “important events of the nation,” and sports and weather. After devoting hours of airtime to the event, images of the event went to their websites where it stayed for months. Scroll through the day’s events and at the bottom of the page you find a replay of the horrible shooting. The event simultaneously disappears and remains suspended in perpetual image-time. The event of the horrible shooting faded quickly, but the images of the event remained suspended in cyber-time—remained suspended in a space that has no space and a time that is disconnected from the passing of real human time. The usual vapid feel-good stories of children who survive cancer and local churches doing great things for the community, etc. But the fact is, people forgot about the shooting. And yet, images of the shooting persisted on social media for weeks. The event was instantly superseded by the rush of other events, and the relative significance of events did not matter. Or rather, the significance of events was and is weighted according to criteria which may or may not have anything to do with the humane value of events or the impact events may have on everyday life. The event of the shooting simply got washed away in the flood of new events. However, the images persist online and on various other electronic media.

The time of events is fleeting. The time in which individuals can engage images of the event is different. There are two forms of time: the synchronic time of the image which remains constant, and diachronic time of everyday life which changes from day to day—even moment to moment. The synchronic time of the image is the time available for exchange; diachronic time belongs to individuals and has no exchange value. Yet, in both cases, the events are mediated by images. There is image-time in the present, and there is perpetual, or cyclical image-time. The immediacy of the event is unknowable except for a few people. Participation and consumption of images of the event unfolds in two different strata of time.

Shootings like this occur with regularity in the United States, and the fallout is precisely the same in just about every case. There is the event, the momentary media signification of the event—this includes the pollical stage-show, and then instant forgetting except for the images of the event which replay forever. Any and all knowledge of events is mediated by images. Symbolic participation happens via images. Immediacy is instantaneously overtaken and subsumed by mediation, and the force of events are instantaneously overtaken by the dislocated isolation of time that has no duration. Situating a mediated presence into the past of real events, individuals remove themselves from actual life. Mediation and consumption of the image become supplements to lived experience. Hashtags serve to insinuate words into online mediated participation and remove any and all substance. “#grief” takes the place of grief as a signifier for the complex set of lived emotions which constitute grief. Life becomes a system of empty signifiers in the no-time of mediated images of things which no longer exist.

Our modern experience of time is one in which everything takes place on an abstract plane of continuous play. The time of immediate events is immediately lost. Even those who lived the experience and horror of a random shooting are forgotten. The time of abstraction in the form of endless images remains eternal. The only thing which has meaning is the eternal time of the images of events. Like the abstract space of the highway, we live in the abstract time of the stream of images. We are no longer even contained by the images of a day; we now participate in an eternity of images in cyber-time where the images of the events can and do play on forever. Since few of us will ever experience the horror of a random shooting, but everyone needs to know that they are participants in such events. The masses are able to insinuate themselves into the spectaculum of the events via consumption of the images. We are now able to transform consumption into an interactive pseudo-experience with the use of hashtags on social media. The shooting in Cincinnati led to #cincinnatistrong. Sympathy and support are provided by proxy with the use of the hashtag. When others use or search the hashtag, those who used it will be recognized via their images as participants in the horrifying event. The event exists in image-time and individual participation in the event is created through the hashtag and places individual images into the image-time of the event. The hashtag guarantees that once we insert our own image-participation, it will become part of the grand flow of other image-participations.

At the same time, the insertion of signifiers into the stream of images guarantees eternal separation from actual events. I gain access to the stream of images which signify the event, and I am able to remove myself to a space of non-existence. I do not even need to be a real person in order to insinuate my participation in the stream of images which constitute my image-participation. “I” exist in the eternal time of separation and isolation. The mediation of the consumable of event forecloses any real contact between real people. Participation by proxy in the image-time of the event is paid for with complete isolation in the world of physical lived experience. Image-time is the time of the commodity. Images are commodities exchanged endlessly in the market of commodities. This is a time outside of time. It unfolds without regard for everyday life. Image-time takes place in the heaven of the commodity where exchange follows the cyclical time of eternity. Everything always comes back to where it was. Like the cyclical time of the pre-modern world in which time was nothing more than the endless cycles of nature and God, the time of commodities and the time of the image endlessly comes back to an eternal present tense so that each new day offers the same exchangeable image of the event.

This all comes to the schiz between human time, the time that is lived by bodies in the world, and pseudo-cyclical time, time-as-commodity. Lived time, the time of everyday life, has no value, has no meaning unless it is entered into the ledgers of exchange. The time of people’s lives is meaningless until it takes on the false form of objectification in spectacular form. Experience must be projected onto the screen of the spectacle in order to take on meaning and value. Time only has meaning and value to the extent that time has exchange value, to be precise. There is no time unless it can be exchangeable for either more time or something else of value. What I do is meaningless and insignificant-- remains unsignified-- except insofar as that time enters into the system of exchange as a commodity like all other commodities. Time measured by a clock which is calibrated against all other clocks, churning out regulated blocks of time each of which carries a specific value measured against other units of value, forever amen—this is the only time that is substantial. The great irony is that this “substantial” time is nothing but abstraction. The time of living bodies is material. It cannot be measured against any other standard other than itself. Time-as-commodity can be measured, quantified, and valued. It has no substance, but it is all that can be known. Time-as-commodity takes on the appearance of cyclical time because it is experienced as perpetually renewing itself with every new day the market finds value in the representations of time. It is pseudo-cyclical time to the extent that it “is in fact merely the consumable disguise of the time-as-commodity of the production system, and it exhibits the essential traits of time: homogeneous exchangeable units, and the suppression of any qualitative dimension” (Debord, 110). While the time of image-participation unfolds in the seemingly infinite duration of cyclical time, it is in fact discreetly measured units of time. The perception of a cyclical or eternal presence of the representation of events persists only as long as replaying these events constitutes marketable, consumable, and profitable units of time. We who experience this pseudo-cyclical time forfeit our lived experience in favor of participation in image-time, the time of the image which exists in pseudo-cyclical time. Isolation and separation become the fate of individuals as we hand over our experience to image-participation in pseudo-cyclical time. In the end, our failure to commit to time as commodity will de-value representations. At which point, representations of events and our vicarious position as participants will dissolve. We and the event will fade back into the anonymity of the unsignified, unknowable, and irrelevant ephemera.

As the time of lived experience fades into the illegible under the eternal time of time-as-commodity, the time marked by image-participation, lived experience becomes another commodity. Our real lived experience pales in comparison to the experience we gain by those experiences prescribed and offered by the spectacle. Waiting for experiences to be signified by the generators of images of experience, we simply find our external space of experience and insinuate ourselves into it. We become apparitions taking possession of the outward forms of experience, and lived experience is devalued and denatured:

The dominant trait of the spectacular-metropolitan ethos is the loss of experience, the most eloquent symptom of which is certainly the formation of that category of “experience”, in the limited sense that one has “experiences” (sexual, athletic, professional, artistic, sentimental, ludic, etc.). In the Bloom, everything results from this loss, or is synonymous with it. Within the Spectacle, as with the metropolis, men never experience concrete events, only conventions, rules, an entirely symbolic second nature, entirely constructed. It imposes there a radical schism between the insignificance of everyday life, called “private”, where nothing happens, and the transcendence of a history frozen in a sphere called “public”, to which no one has access. (Theory of the Bloom, 48)

Everyday life, private life—this is where nothing ever happens because “real” experience cannot be known or understood outside the performances constructed by the spectacle. Image time is constructed according to algorithms, SEO analysis, “hits” on social media accounts—these are the metrics of experience, and we are left behind in the day to day which takes place in a void. Time is an abstract formal eternity in the infinite space of the image-sphere.

Lived experience takes its meaning from an other scene, as it were. Something of an unconscious provide meaning for lived experience, but this unconscious is not within individual minds. It is now the projection of experience into the spectacular realm of image-time, or pseudo-cyclical time. The world of images is not subject to the passage of time. All images are simultaneous. All are old and new at the same time. Freud said that the unconscious has no time; it is always present, and every feature of the unconscious is always present. Our present world projects this into the heaven of images, and our own inner life and inner world withers from inanity. Everyday life is now the impoverished and banal content which exists to reveal the latent content of images. What is my life if I do not have followers on Instagram? And the Real of my life is of no consequence in comparison to the images which stand in for me. Everyday life is now an illusion.

Even as an event as horrifying as a mass shooting, a mass shooting at school, even—nothing can merit the status of a real event until it has been evacuated of its interior substance and rendered as a timeless event in the world of images, in the world that is the spectacle. My individual forgetting of the event, anyone’s individual forgetting of the event is perfectly acceptable because there is an external form of the internal memory in the form of image-time which remembers for us in the manner of a prayer wheel. We do not need to send thoughts and prayers, the heaven of images is perpetually sending thoughts and prayers for us.

The medieval Great Chain of Being sutured everyone to a specific place in the cosmos. At the center and circumference of everything, there was God. The orders of being descended from heaven to earth and the King occupied the place of God’s vice-regent in this fallen world which included the passage of time. At the level of the individual, nothing mattered because one’s place was ordained and guaranteed by this divine order. The passage of time was marked by the passage of the seasons and the days. What happened on one day was only distinguishable from what happened on another day to the extent that the events were either present or past. There was no causality to events because causality was in the hands of God. The cycles of time were performed in the holy offices of the Church and at local festivals which marked the passing of one season to the next. But all time would cycle back to the same thing. Time was cyclical. Knowledge of the passing of time was projected outward onto the heavens which directed the passing of time.

In the pseudo-cyclical time of the spectacle, time once again belongs elsewhere. The passing of time and the significance of time are marked by spectacular performances. The cycle is sustained in the manner of pre-modern cyclical time by spectacular performances which mark the passing of events. But pseudo-cyclical time, the time of images, lacks the guarantee of God and the Great Chain of Being. Its eternal status is sustained by the fact that it is eternally consumable. Every image is just as consumable as every other image and in precisely the same way. You can download Bach’s St. John Passion as easily as you can download a digital cum shot. So it is that the consumable images of the shooting at the bank take on the eternal cycle of cyclical time. All mass shootings take on this cyclical disguise, when in fact they are nothing more than consumable images generated for the sole purpose of being consumed. As we consume them, our sense that we are participating in the Great Chain of Modern Events allows us to extract ourselves from real events and remain in our isolated pockets of emptiness. Like the medieval serfs whose lives were immaterial non-events in pre-modern culture, we have taken an analogous position of insignificant peasants under the heaven of image-time.

As our individual relations to actual events are overtaken by our solitary relations to the images of events, so our relations to each other have kept pace. The singular events of our lives are made real to the extent that they are linked to the events in image-time. Everyone who posted a photograph, a quotation from a great thinker, a prayer, a remembrance, etc. who also linked these things with the hashtag #cincinnatistrong became participants in the series of images which mark the event of the shooting. Anyone who did not use the hashtag remained completely isolated. And yet, the linkages of the hashtag are only made manifest to the extent that they are linked in image-time. The isolation of individual participants remains, and the hollowness of the sentiments becomes more pronounced as these words and images are pulled into the swirl of spectacular time and the logic of the spectacle. The endlessly exchangeable status of images and image-participation is ultimately subject to the same logic as any other image or any other commodity. Professions of faith, sympathy, and commitment rise into the ether of the image. A prayer is an image of a prayer is an image and only an image: a thing of nothing. Any images which may have taken on a life beyond the image-time of the event took its value entirely from its status as an object of exchange. The use-value of the prayer, if there is such a thing, is rendered ephemeral at best in its becoming a form of exchange-value. Individuals, in the beginning and the end, remains isolated monads delinked from the validity and reality of events and each other. The purported bond of the hashtag serves only to distance and isolate. Individual monads participate in isolation together.

The net result of the loss of real experience is the fission between individuals which is an overall dissolution of community. In the grand suburban existence that is contemporary America, a new metropolitan existence has come to define life. As experience is given over to the formal display of experience in the heaven of pseudo-cyclical time, the inevitable isolation among individuals takes on the form of experience rather than experience. The modern metropolis is a form without substance and experience consists of the images of substance without form. “At which point the loss of experience and the loss of community are one and the same” (The Bloom, 52). We live the supplement of life in the image. The throbbing metropolis is the dystopic non-place of empty space and timeless time: “In the metropolis, man purely undertakes the trial of his negative condition. Finitude, solitude and display, which are the three fundamental coordinates of that condition, weave the decor of the existence of each within the grand village. Not the fixed decor, but the moving decor, the combinational decor of the grand village, for which everybody endures the icy stench of their non-places” (The Bloom, 50). Image-time, pseudo-cyclical time, the non-space of the interstate—all of this serves the sprawling non-place of the modern metropolis where nothing is, where isolation offset by meaningless display define the emptiness of everyday life.

With this isolation and emptiness comes the outward display of false commitment and performances of substance. The more lived life becomes devoid of anything which could be construed as intrinsically meaningful, the more the performance of values and commitments becomes important. It is only the mass of isolated individuals living in self-imposed exile of unwilling anonymity which partakes of the empty image-participation which serves only to further their isolation. The image takes over for life as it is actually lived, and everyday life is devalued and rendered meaningless:

Images detached from every aspect of life merge into a common stream, and the former unity of life is lost forever. Apprehended in a partial way, reality unfolds in a new generality as a pseudo-world apart, solely as an object of contemplation. The tendency toward the specialization of the images-of-the-world finds its highest expression in the world of the autonomous image, where deceit deceives itself. (Debord, 12)

Images become the lie which stands in for real lived life, and the even the lie begins to believe itself. The reality of everyday life is supplanted by the image lodged in pseudo-cyclical time. In this way, the metropolis, or the suburban world in the United States, becomes the empty space of unreality where no meaningful connection can be established between individuals because the grid on which meaning and understanding can be established has been projected from the ground of life onto the non-life of the spectacle. Space and time no longer exist in the world of living individuals. Space and time are in the domain of images and commodity exchange. A projection of interior life which is in fact a performance of a pre-scripted form of life effectively negates interior life. The hashtags which constitute image-participation in the spectacular event of a mass shooting are the forms of belief which stand for an overall lack of belief. This is to say that individuals do not and cannot sustain real belief in anything like sympathy, grief, or even faith since these things have been evacuated of their content and replaced with images of sympathy, grief, and faith. Real people in the world cannot sustain these things in everyday life because everyday life has no content. Content is projected out into the formless spectacle, and the forms of life left to individuals have become devoid of content. It is under the dominance of image-time and the non-space created by the interstate that we arrive at our current state of contemporary life in the suburban metropolis where the logic of the Bloom takes shape:

The Bloom cannot take part in the world in an internal way.  It never enters there except in the exception of itself.  That is why it presents such a singular tendancy towards distraction, deja-vu, cliche, and above all, an atrophie of the memory which confines it inside an eternal present.  And that is why it is so exclusively sensitive to music, which alone can offer it abstract sensations -- it would here be necessary to evoke velocity and “friction coefficient”, which are also bloomesque pleasures, but this time it is abstraction itself which appears to them as sensation. (The Theory of the Bloom, 54)

It is only a people devoid of faith who feel the need to declare their faith with grotesque gestures and monuments. Thoughts and prayers for the victims of random shootings come from a population whose thoughts come in prescribed images and for whom prayers are histrionic performances of a total lack of faith. There are no more compelling atheists than those who do tricks in the service of faith. Creation theme parks, grotesque statues of Jesus Christ, religion.com, and professional Christians abound in this metropolis of emptiness. In this suburban metropolis devoid of substance where all that remains is the form of life, a diabolical inversion of belief takes the place of belief. Even as the heartfelt declarations of horror and sympathy poured out for the victims of the mass shooting, the individuals who authored these sentiments betray the fact that they no longer have access to the very conditions on which such sentiments can be formed. Isolation and contempt for everyone else are the only real attributes of the suburban metropolis.

He who cannot do anything but play with life needs the gesture, so that his life may become more real than a game adjustable in all directions.  In the world of merchandise, which is the world of generalized reversibility, where all things blend together and transform into one another, where everything is only ambiguity, transition, ephemerality and blending, only the gesture settles once and for all.  In the flash of its necessary brutality it cuts out the “after” that is insoluble in its “before”, which the ONE will regretfully have to recognize as definitive.

Michael Templeton is an independent scholar, writer, and musician. He completed his Ph.D. in literary studies at Miami University of Ohio in 2005. He has published scholarly studies and written cultural analysis, creative non-fiction, and poetry published in small independent publications. He currently works as a freelance writer providing articles for a non-profit called the Urban Appalachian Community Coalition. He lives in Cincinnati, Ohio with his wife who is an artist.

References

Debord, Guy. The Society of the Spectacle. Tr. Donald Nicholson-Smith. New York: Zone           Books,1995.

The Invisible Committee. Theory of the Bloom. Tr. Robert Hurley. Creative Commons. 2012.

Walter Rodney’s Revolutionary Praxis: An Interview With Devyn Springer

By Derek Ford

Republished from Liberation School.

The following interview, facilitated by Derek Ford, took place via e-mail during June and July in preparation for Black August, when progressive organizers and activists deepen our study of and commitment to the Black struggle in the U.S. and the anti-colonial and anti-imperialist class struggles worldwide. During this time, we wanted to provide a unique and accessible resource on Walter Rodney, the revolutionary Guyanese organizer, theorist, pedagogue, political economist, and what many call a “guerrilla intellectual.” Liberation School recently republished Rodney’s essay on George Jackson here.

About Devyn Springer

Devyn Springer is a cultural worker and community organizer who works with the Walter Rodney Foundation and ASERE, an extension group of the Red Barrial Afrodescendiente. They’re a popular educator who doesn’t just study Rodney but practices his philosophies. Since 2018, they’ve hosted the Groundings podcast, which is named after Rodney’s revolutionary educational praxis. The podcast, which has addressed an impressive array of topics relevant to the struggle, is available on all major streaming platforms. They’ve written timely and important pieces on politics and education in academic and popular outlets, some of which can be found here. They’ve also produced the documentary Parchman Prison: Pain & Protest, and you can support their work and get access to exclusive content by supporting their Patreon.

Derek Ford: Thanks so much for agreeing to this interview, Devyn. I always look forward to working and learning with you and I appreciate your work on revolutionary movements and education. I know you’re involved with the Walter Rodney Foundation, which is not just about preserving his legacy but promoting the revolutionary theories, practices, and models he developed. Can you tell me a bit about the Foundation, your role, and why it’s important for the movement broadly in the U.S.?

Devyn Springer: The Walter Rodney Foundation was formed by the Rodney family in 2006, with the goal of sharing Walter Rodney’s life and works with students, scholars, activists, and communities around the world. Because of the example Walter Rodney left in his own personal life and the principles he established in his work, we see supporting grassroots movements, offering public education, and the praxis of advancing social justice in a number of ways as what it really means to share his life with the world; Walter Rodney was as much a fan of doing as he was speaking, after all. We have a number of annual programs, including many political education classes oriented around themes related to Rodney’s body of work—colonialism, underdevelopment, Pan-African struggle, scholar-activism, assassination, Black history, the Caribbean, etc. We also run ongoing projects like the Legacies Project, which is actively seeking and collecting stories and oral histories around the world about Walter Rodney.

I’ve volunteered with the WRF since around 2013. I currently help coordinate the Foundation’s social media, and offer other types of support as needed.

I feel the Foundation is crucial for the movement broadly for a number of reasons. First, the critical analysis of slavery, colonialism, imperialism, and underdevelopment Rodney gave in works like How Europe Underdeveloped Africa remains relevant, and we need organizations dedicated to distilling this knowledge. Second, because our movement must reckon with the lives, works, histories, struggles, and relevance of the elders past and present who we owe so much to, whether it’s the Claudia Jones School For Political Education, the Paul Robeson House & Museum, Habana’s Centro Martin Luther King Jr., or the Walter Rodney Foundation: there needs to be organizations and groups dedicated to maintaining these legacies and continuing their work.

More than just maintaining legacies, in other words, the WRF also makes sure that Walter Rodney’s critical analyses remain critical, and do not get co-opted. Finally, the foundation is important because it is run by the Rodney family, who themselves have extensive decades of organizing, advocacy, and knowledge which is always beneficial. (And I must clarify, whenever I speak of a ‘movement’ broadly as above, I am speaking about the global Black Liberation Movement foremost, in a Revolutionary Pan-Africanist sense).

Those are precisely the reasons we wanted to do this interview, particularly to expose readers (and ourselves) to the broader range and context of his work, and to learn more about the depth of his praxis and why it’s needed today. To start then, can you give our readers a bit of historical and biographical context for Walter Rodney’s life and work? What was happening at the time, who was he working with, agitating against, etc…?

I will try to be brief here and give some basic biographical information, because there’s so much one could say. Walter Rodney was an activist, intellectual, husband, and father, who lived and visited everywhere from Guyana, Jamaica, the USSR, Cuba, and Tanzania, to Kenya, Uganda, Ghana, London, Spain, Portugal, Italy, the U.S., and Canada. He was born in Georgetown, Guyana in March 1942, where he was raised and resided for much of his life. He graduated from the University of the West Indies (UWI) in Jamaica in 1963, then received his PhD with honors in African History from the School of Oriental and African Studies in London at the age of 24. His thesis, A History of the Upper Guinea Coast, 1545-1800, was completed in 1966 and then published in 1970, and I highly recommend it to readers [1].

Rodney was deeply influenced by a number of revolutionary movements and ideologies which had flourished during his lifetime: the multitude of armed African decolonial struggles across the continent, the Black Power Movement in the U.S., Third World revolutionaries like Che, Mao, and Cabral, and Pan-African/Marxist praxis generally. Walter Rodney taught in Jamaica, working to break the bourgeois academy from its ivory tower, where he delivered a number of groundings across the island to the working class, including the Rastafari and other marginalized communities at the time. While at the 1968 Black Writers’ Conference in Montreal, Canada, the Jamaican government banned him from re-entering on the grounds that his ‘associations’ with Cuban, Soviet, and other communist governments posed a threat to Jamaica’s national security. Massive outbursts now known as the “Rodney Riots” subsequently broke out across Kingston. Rodney spent many months writing in Cuba prior to traveling to the University of Dar es Salaam in revolutionary Tanzania in 1969. 

In 1974, Walter returned to Guyana to take up an appointment as Professor of History at the University of Guyana, but the government (under the dictates of President Forbes Burnham) rescinded the appointment. Rodney remained in Guyana and helped form the socialist political party, the Working People’s Alliance, alongside activist-intellectuals like Eusi Kwayana and Andaiye. Between 1974 and 1979 he emerged as the leading figure in the resistance movement against the increasingly repressive government led by the People’s National Congress, which can be summarized as publicly espousing Pan-African, anti-aparatheid, and socialist talking points while running a despotic, corrupt Western-backed state operation.

He gave public and private talks all over the country that served to engender a new political consciousness in the country, and he stated in his speeches and writing that he believed a people’s revolution was the only way towards true liberation for the Guyanese people. During this period he developed and advocated the WPA’s politics of “People’s Power” that called on the broad masses of people to take political control instead of a tiny clique, and “multiracial democracy” to address the steep obstacles presented by the racial disunity between Afro-Guyanese and Indo-Guyanese peoples (which is still present today).

On June 13, 1980, shortly after returning from independence celebrations in Zimbabwe, Rodney was assassinated in Georgetown, Guyana by an explosive device hidden in a walkie-talkie, given to him by Gregory Smith, former sergeant in the Guyana Defense Force. Smith was subsequently given new passports and secretly flown out of the country. Donald Rodney, Walter’s younger brother who was in the car with him when the bomb went off, was falsely accused and convicted of being in possession of explosives; he fought to clear his own name for decades until April of this year, when Guyana’s appellate court exonerated him. A few weeks later the Government of Guyana officially recognized Walter’s death as an assassination. This comes after years of struggle on behalf of the Rodney family, particularly Dr. Patricia Rodney and the WRF. Walter was just 38 years old at the time of his assassination, but his legacy is continued by his wife, three children, and the dozens of incredible speeches, essays, interviews, and books he gave and wrote.

Rodney’s best-known work is How Europe Underdeveloped Africa. Why do you think that is? What are his main arguments there, and are they still relevant to understanding Western imperialism and African resistance?

That’s a special type of book that, like few others, can completely change or deeply influence one’s politics. Rodney essentially put forth a historical-materialist argument showing that economically, politically, and socially, Europe was in a dialectical relationship with Africa, wherein the wealth of Europe was dependent upon the underdevelopment of Africa. In other words, Rodney shows with painstaking detail how European capitalism (and eventually the global capitalist system) could not have existed without the systematic precolonial exploitation of Africa, the massive amounts of capital generated through the Maafa, later the expansive economic, political, financial, and social domination under direct colonial rule, and the continuing—or perfecting—of these exploitative processes under the current neo-colonial world order. As Rodney puts it:

“Colonialism was not merely a system of exploitation, but one whose essential purpose was to repatriate the profits to the so-called mother country. From an African viewpoint, that amounted to consistent expatriation of surplus produced by African labor out of African resources. It meant the development of Europe as part of the same dialectical process in which Africa was underdeveloped” [2].

It remains his most recognized work because it remains incredibly relevant, both in the sense that the current world capitalist structure is built on this historical underdevelopment of the South, and because, under imperialism, the North must still exploit and perpetually underdevelop the South. Its publication marked a significant contribution to theories of underdevelopment and dependency. Alongside revolutionary intellectuals like Samir Amin and Osagyefo Kwame Nkrumah, it was groundbreaking in that it applied Marxism to the Third World with great precision and depth. Further, Rodney goes into detail about not just underdevelopment but the history of class society and feudalism in Africa, social violence, fascism, agrarian struggles, racism, enslavement, gender, economics, misleadership and African sellouts, and so much more. In some ways, I like to think of it as a foundational text for revolutionaries in the same way that many consider Marx’s Capital or Marx and Engels’ The Communist Manifesto to be.

One example of its relevancy is in thinking about labor and the workforce as it relates to slavery. Rodney uses data to explain that the social violence of the Maafa had a deep impact on African development because it removed millions of young Africans from the labor force, created technological regression, and directed whatever mass energy aimed at productive or technological innovation towards the trade in human captives.

He says, “The European slave trade was a direct block, in removing millions of youth and young adults who are the human agents from whom inventiveness springs. Those who remained in areas badly hit by slave capturing were preoccupied about their freedom rather than with improvements in production” [3]. I relate this to the crisis of incarceration in the U.S., wherein millions of Africans are removed from the labor force, removed from their families and communities, and in the same way, are removed even from the very opportunity of innovation and production to instead perform hyper-exploited, forced labor at the hands of the settler-capitalist state. Ruth Wilson Gilmore’s work has, to an extent, explained how the capitalist state necessitates this incarceration, and in the same way I’d suggest that European capitalism’s violently expansive nature necessitated the multitude of exploitative interactions with Africa, from slavery to neo-colonialism.

What about the influence it’s had, not just academically but in terms of revolutionary struggles?

I get letters, emails, and calls almost on a monthly basis from incarcerated people who are reading not only that book but also The Groundings With My Brothers, an underrated gem of Rodney’s. They’ve formed reading groups and created zines around his work; asked me to further explain concepts he mentions; and even drawn incredible illustrations of Rodney. I find this engagement with Rodney equally valuable (and often more rewarding) as that of academics. Patricia Rodney has told me that over the decades incarcerated people have consistently gravitated towards Rodney’s work and written to her, likely because of the accessible way he’s able to break down complex concepts. I’m actually currently working with the WRF on a project to donate many copies of Walter Rodney’s books to incarcerated people, and hopefully in the coming months we’ll have more info to share on this.

Beyond that, Rodney’s work has globally influenced the left in more ways than I could explain or speculate in this interview. His revolutionary African analysis has corrected Eurocentric views of history and allowed us to better understand the important role decolonization plays in our fight against imperialism. He also offers a great example for young writers, researchers, and organizers on how to write materialist history and analyses. For example, as one reads his work it’s impossible not to note the multitude of ways Rodney directly eviscerates bourgeois historians and apologists.

Please keep us updated on the WRF project, because we’ll definitely want to support it. It seems that Rodney was exemplary at achieving true “praxis,” the merging of theory and practice. One of the ways this shows up most is in his pedagogical work–his theories and practices–which he called “groundings.” It’s not just a pedagogy, but a practice of decolonizing knowledge and empowering oppressed people to organize, at least as I understand it. I know it’s influenced your own work and you’ve written about it, so how would you describe it to someone just joining the struggle, or just learning about imperialism, colonialism, and racism?

Yes, I co-wrote a piece titled “Groundings: A Revolutionary Pan-African Pedagogy for Guerilla Intellectuals” that’s available for free online, and which I plan to re-write/expand soon, and my podcast is named after this pedagogical model as well. Usually, when people refer to Rodney’s “groundings” they are referring to his period as a professor in Jamaica, where he quite literally broke away from the elitist academy and brought his lectures to the people: in the streets, the yards, the slums, wherever workers and others gathered. He gave public lectures on African and Caribbean history, political movements, capitalism, colonialism, Black Power, etc. These groundings were often based on what people expressed interest in learning about, and Rodney found ways to make various topics relevant and important to the lives of those listening. In many regards, Rodney should be placed next to popular educators like Paulo Freire for his contributions and his example of merging theory with practice. The book The Groundings With My Brothers is a collection of speeches, many given at or about these groundings [4].

More than just giving public lectures, groundings entailed democratizing knowledge and the tools of knowledge production, which are traditionally tied up with the capitalist academy. He empowered communities to tap into their own histories, oral and written, to generate knowledge and research amongst themselves based on their interests and needs, to place European history and Eurocentric frameworks as non-normative, and to hold African history as crucially important to the process of African revolution. He brilliantly lays out the importance of African history in Black liberation in “African History in the Service of Black Liberation,” a speech he gave in Montreal, ironically at the conference from which he would not be allowed to return to Jamaica [5].

In the most basic terms, I would explain groundings as the act of coming together in a group, explaining, discussing, and exploring topics relevant to the group’s lives; everyone in the group listens, engages, contributes, reasons, and grounds with one another, and all voices are valued. Groundings can take place inside of jail cells, within classrooms, in parks and workplaces, or anywhere the intentions of Afrocentric group dialogue and learning are maintained.

One of the interesting things about The Groundings With My Brothers is the way it moves from Black Power in the U.S. to Jamaica, to the West Indies, to Africa, and then to groundings. As a final set of questions, can you explain what he meant by Black Power and Blackness, and what they had to do with education?

Well, to understand that book you have to understand a bit about the context in which the book arose. In Groundings we see Rodney’s ability to take seemingly large concepts like neo-colonialism, Black Power, Blackness, etc., and break them down to a level that could engage people. It taught them how to make sense of the fact that the people oppressing them were the same color and nationality as them. In the midst of decolonization and independence movements sweeping the world, there was a crucial Cold War and neo-colonization taking place simultaneously. Facilitating this counter-revolution were several African leaders and activists employed to do the bidding of imperialist powers seeking to regain or retain their power. In Jamaica, this was no different: the Jamaican government in 1968 went so far as to ban any literature printed in the USSR and Cuba, as well as an extensive list of works about Black Power and Black revolution, including those of Black Power activists such as Trinidian-born Kwame Ture (Stokley Carmichael), Malcolm X, and Elijah Muhammad.

Placed in this context, we see that Rodney’s work explaining the U.S. Black Power movement’s importance and relevance for the Caribbean and Africans everywhere was quite important in raising the political consciousness of working-class Africans. A key part of this was educating on the role of “indigenous lackeys” or “local lackeys of imperialism” in maintaining the (neo)colonial status quo. In a speech initially published as a pamphlet titled, Yes to Marxism!, he says:

“When I was in Jamaica in 1960, I would say that already my consciousness of West Indian society was not that we needed to fight the British but that we needed to fight the British, the Americans, and their indigenous lackeys. That I see as an anti-neo-colonial consciousness as distinct from a purely anti-colonial consciousness” [6].

His distinct analysis of misleadership and its colonial implications was a searing threat, as Dr. Charisse Burden-Stelly wonderfully explains [7].

Rodney defines power as being kept ‘milky white’ through imperialist forces of violence, exploitation, and discrimination, and that Black Power in contrast may be seen as the antithesis to this imperialist, colonial, racial demarcation that structures capitalist society. The following quote is long, but I want to quote it in full because I find it useful. He says:

“The present Black Power movement in the United States is a rejection of hopelessness and the policy of doing nothing to halt the oppression of blacks by whites. It recognises the absence of Black Power, but is confident of the potential of Black Power on this globe. Marcus Garvey was one of the first advocates of Black Power and is still today the greatest spokesman ever to have been produced by the movement of black consciousness. ‘A race without power and authority is a race without respect,’ wrote Garvey. He spoke to all Africans on the earth, whether they lived in Africa, South America, the West Indies or North America, and he made blacks aware of their strength when united. The USA was his main field of operation, after he had been chased out of Jamaica by the sort of people who today pretend to have made him a hero. All of the black leaders who have advanced the cause in the USA since Garvey’s time have recognised the international nature of the struggle against white power. Malcolm X, our martyred brother, became the greatest threat to white power in the USA because he began to seek a broader basis for his efforts in Africa and Asia, and he was probably the first individual who was prepared to bring the race question in the US up before the UN as an issue of international importance. The Students Nonviolent Coordinating Committee (SNCC), the important Black Power organisation, developed along the same lines; and at about the same time that the slogan Black Power came into existence a few years ago, SNCC was setting up a foreign affairs department, headed by James Foreman, who afterwards travelled widely in Africa. [Kwame Ture] has held serious discussions in Vietnam, Cuba and the progressive African countries, such as Tanzania and Guinea. These are all steps to tap the vast potential of power among the hundreds of millions of oppressed black peoples” [8].

He defined Black Power in the U.S. context as “when decisions are taken in the normal day-to-day life of the USA, the interests of the blacks must be taken into account out of respect for their power – power that can be used destructively if it is not allowed to express itself constructively. This is what Black Power means in the particular conditions of the USA” [9].

Rodney finds there are three ways in which Black Power applies to the West Indies:

“(1) the break with imperialism which is historically white racist; (2) the assumption of power by the black masses in the islands; (3) the cultural reconstruction of the society in the image of the blacks” [10].

I’m sure this was a much longer answer than anticipated, but I find it incredibly important to understand that Walter Rodney’s conception of Black Power was revolutionary, and was also fundamentally inspired by his Marxist approach which sought to apply these revolutionary ideals to the specific context of the Caribbean and Africans globally. He also explains, in detail, his notion of ‘Blackness’ as being stretched differently to how we conceive of ‘Blackness’ today to include the entirety of the colonized world. He states, “The black people of whom I speak, therefore, are non-whites – the hundreds of millions of people whose homelands are in Asia and Africa, with another few millions in the Americas;” however he clarifies that “further subdivision can be made with reference to all people of African descent, whose position is clearly more acute than that of most nonwhite groups” [11].

He places Blackness as the most crucial element, stating “Black Power is a doctrine about black people, for black people, preached by black people,” and later adds that “once a person is said to be black by the white world, then that is usually the most important thing about him; fat or thin, intelligent or stupid, criminal or sportsman – these things pale into insignificance” [12]. This understanding stands in relevance to Frantz Fanon’s similar move, where he states: “In the colonies the economic infrastructure is also a superstructure. The cause is effect: You are rich because you are white, you are white because you are rich. This is why a Marxist analysis should always be slightly stretched when it comes to addressing the colonial issue” [13].

It wasn’t long but incredibly informative and the context you’ve given has helped me grasp his moves throughout that book. I’ve really appreciated your time and energy, and definitely recommend that our readers check out your podcast and other work. I’m looking forward to our next collaboration!

References

[1] Walter, Rodney A. (1966).A history of the Upper Guinea Coast, 1545-1800, PhD dissertation (University of London). Availablehere.
[2] Rodney, Walter. (1972/1982).How Europe underdeveloped Africa(Cambridge: Harvard University Press), 149.
[3] Ibid., 105.
[4] Rodney, Walter. (1969/2019).The groundings with my brothers, ed. J.J. Benjamin and A.T. Rodney (New York: Verso).
[5] Rodney, Walter. (1968). “African history in the service of Black liberation.” Speech delivered at the Congress of Black Writers, referenced fromHistory is a Weapon, undated, availablehere.
[6] Cited in Burden-Stelly, Charisse. (2019). “Between radicalism and repression: Walter Rodney’s revolutionary praxis,”Black Perspectives, 06 May. Availablehere.
[7] Ibid.
[8] Rodney,The groundings with my brothers, 14-15.
[9] Ibid., 18.
[10] Ibid., 24.
[11] Ibid., 10.
[12] Ibid., 9, 10.
[13] Fanon, Frantz. (1961/2005).The wretched of the earth, trans. R. Philcox (New York: Grove Press), 5.

Five Characteristics of Neo-imperialism: Building on Lenin's Theory of Imperialism in the Twenty-First Century

By Cheng Enfu and Lu Baolin

Neoimperialism is the specific contemporary phase of historical development that features the economic globalization and financialization of monopoly capitalism. The characteristics of neoimperialism can be summed up on the basis of the following five key features. First is the new monopoly of production and circulation. The internationalization of production and circulation, together with the intensified concentration of capital, gives rise to giant multinational monopoly corporations whose wealth is nearly as great as that of whole countries. Second is the new monopoly of finance capital, which plays a decisive role in global economic life and generates a malformed development, namely, economic financialization. Third is the monopoly of the U.S. dollar and intellectual property, generating the unequal international division of labor and the polarization of the global economy and wealth distribution. Fourth is the new monopoly of the international oligarchic alliance. An international monopoly alliance of oligarchic capitalism, featuring one hegemonic ruler and several other great powers, has come into being and provides the economic foundation for the money politics, vulgar culture, and military threats that exploit and oppress on the basis of the monopoly. Fifth is the economic essence and general trend. The globalized contradictions of capitalism and various crises of the system often undergo an intensification that creates the new monopolistic and predatory, hegemonic and fraudulent, parasitic and decaying, transitional and moribund form of contemporary capitalism as late imperialism.

The historical evolution of capitalism has passed through several distinct stages. At the beginning of the twentieth century, capitalism reached the stage of private monopoly, which V. I. Lenin termed the imperialist stage. The era of imperialism brought with it the law of uneven economic and political development. In order to expand overseas and redistribute the territory of the world, the leading powers formed various alliances and launched a fierce struggle that led to two world wars. Eurasia suffered from continuous wars throughout the first half of the twentieth century. One after the other, national democratic revolutions and the communist movement developed continuously. After the Second World War, a number of economically underdeveloped countries adopted a socialist path of development, intensifying the confrontation between capitalism and socialism. Although The Communist Manifesto had long anticipated that capitalism would inevitably be replaced by socialism, this was only possible in a very few countries. The capitalist and imperialist system, despite suffering grave problems, survived. From the 1980s and early ’90s, capitalism carried out a strategic shift to neoliberal policies and evolved into its neoimperialist phase. This represents a new phase in the development of imperialism following the Cold War.

In his book Imperialism, the Highest Stage of Capitalism, Lenin set out the definition and characteristics of imperialism as follows:

If it were necessary to give the briefest possible definition of imperialism we should have to say that imperialism is the monopoly stage of capitalism.… We must give a definition of imperialism that will include the following five of its basic features: (1) the concentration of production and capital developed to such a high stage that it has created monopolies which play a decisive role in economic life; (2) the merging of bank capital with industrial capital, and the creation, on the basis of this “finance capital,” of a financial oligarchy; (3) the export of capital as distinguished from the export of commodities acquires exceptional importance; (4) the formation of international monopolist capitalist associations which share the world among themselves, and (5) the territorial division of the whole world among the biggest capitalist powers is completed. Imperialism is capitalism at that stage of development at which the dominance of monopolies and finance capital is established; in which the export of capital has acquired pronounced importance; in which the division of the world among the international trusts has begun; in which the division of all territories of the globe among the biggest capitalist powers has been completed.1

In an article published in December 1917, Lenin further elaborated that: “Imperialism is a specific historical stage of capitalism. Its specific character is threefold: imperialism is monopoly capitalism; parasitic, or decaying capitalism; moribund capitalism.”2

Based on Lenin’s theory of imperialism, we shall analyze contemporary capitalism while bearing in mind the recent changes it has undergone. Neoimperialism, we shall argue, is the phase of late imperialism that has arisen in the contemporary world, against the background of economic globalization and financialization.3 The character and features of neoimperialism can be summarized, as stated, around five aspects.

The New Monopoly of Production and Circulation

Lenin stated that the most profound economic foundation of imperialism is monopoly. This is deeply rooted in the basic law of capitalist competition, which holds that competition results in the concentration of production and capital, and that this concentration will inevitably lead to monopoly when it reaches a certain level. In the early years of the twentieth century, the capitalist world experienced two huge waves of corporate mergers as the concentration of capital and of production reinforced each other. Production came increasingly to be concentrated in a small number of large companies, with the process bringing about organization on the basis of industrial monopolies with cross-sector multiproduct management. Instead of free competition, monopoly alliances held sway. Beginning in the early 1970s, capitalism encountered a “stagflation” crisis that lasted for nearly ten years, followed by a period of secular stagnation, or a long-term decline in growth rates. Economic recession and competitive pressures in the domestic market drove monopoly capital to seek new growth opportunities overseas. With the support of a new generation of information and communications technologies, foreign direct investment and international industrial transfers have continually reached new heights, with the degree of internationalization of production and circulation dwarfing that of the past.

Monopoly capital is being redistributed globally from production to circulation. Through the decentralization and internationalization of production processes, a system has arisen in which global value chains and the operational networks for organizing and managing multinational corporations have been divided up. The multinational companies coordinate their global value chains through complex networks of supplier relationships and through various governance models. In such systems, the processes involved in the production and trading of intermediate products and services are divided up and distributed around the world. The input and output transactions are carried out in the global production and service networks of the subsidiaries, contract partners, and suppliers of the multinational companies. According to statistics, about 60 percent of global trade consists of the exchange of intermediate products and services, and 80 percent of it is achieved via multinational companies.4

Within the new monopoly structures, the second characteristic of neoimperialism is the internationalization of production and circulation. The further concentration of capital leads to the rise of giant monopoly multinational corporations whose wealth may be as great as that of whole countries. Multinational corporations are the true representatives of contemporary international monopolism. The characteristics of the giant monopoly corporations can be summarized as follows.

  1. The number of multinational corporations has grown globally, and the degree of socialization and internationalization of production and circulation has reached a higher level.

    Since the 1980s, multinational corporations have become the main driving force of international economic intercourse as the bearers of foreign direct investment. In the 1980s, foreign investment worldwide grew at an unprecedented rate, much faster than the growth during the same period of other major economic variables such as world output and trade. In the 1990s, the scale of international direct investment reached an unprecedented level. Multinationals established branches and affiliates around the world via foreign direct investment, the volume of which had expanded dramatically. Between 1980 and 2008, the number of global multinational companies increased from 15,000 to 82,000. The number of overseas subsidiaries grew even faster, from 35,000 to 810,000. In 2017, an average of over 60 percent of the assets and sales of the world’s one hundred top nonfinancial multinational companies were located or achieved abroad. Foreign employees accounted for approximately 60 percent of total staff.5

    Ever since the capitalist mode of production came into being, the concentration of production activities, expanding collaboration, and the evolution of the social division of labor have led to a continuous increase in the socialization of production. The decentralized labor processes are increasingly moving toward a joint labor process. The facts have proved that the sustained growth of outward foreign direct investment has strengthened the economic ties between all countries, as well as significantly increased the level of socialization and internationalization of the production and distribution systems, in which multinationals play a key role as the dominant force at the micro level. The internationalization of production and the globalization of trade have extensively redefined the way in which countries participate in the international division of labor, and this in turn has reshaped the production methods and profit models within those countries. Throughout the world, the majority of countries and regions are integrated into the network of international production and trade created by these giant corporations. Thousands of companies around the world form value creation nodes in the system of global production chains. Within the global economy, multinational firms have become the main channels for international investment and production, the core organizers of international economic activity, and the engine of global economic growth. The rapid development of multinational corporations shows that in the new imperialist phase constructed around the globalization of capital, the concentration of production and capital is reaching ever greater dimensions. Tens of thousands of multinational corporations now dominate everything.

  2. The scale of accumulation by multinational monopoly capital is increasing, forming a multinational corporate empire.

    Although the number of multinational capitalist corporations is not especially large, they all possess great strength. They not only comprise the main force in the development and use of new technologies, but also control the marketing networks and more and more natural and financial resources. On this basis, they have monopolized the proceeds of production and circulation and equipped themselves with an unparalleled competitive advantage. Between 1980 and 2013, benefiting from the expansion of markets and the decline in production factor costs, the profits of the world’s largest 28,000 companies increased from $2 trillion to $7.2 trillion, representing an increase from 7.6 percent to approximately 10 percent of gross world product.6 In addition, these multinational corporations not only form alliances with organs of state power, but also develop links with the global financial system, together forming financial monopoly organizations backed by state support. The globalization and financialization of monopoly capital further consolidate its wealth accumulation. In terms of sales revenue, the economic scale of some multinational corporations exceeds that of a number of developed countries. In 2009, for example, Toyota’s annual sales exceeded the gross domestic product (GDP) of Israel. In 2017, Walmart, rated by the Fortune 500 list as the world’s largest company, achieved total revenues of more than $500 billion, greater than the GDP of Belgium. If we combine the data for multinational corporations and the world’s total of almost two hundred countries, and draw up a list of their annual revenues and GDPs, it becomes clear that the countries represent fewer than 30 percent of the world’s one hundred largest economies, while the corporations account for more than 70 percent.

    If world development continues along these lines, there will be more and more multinational companies whose wealth is similar to that of whole countries. Although industrial globalization has made economic activity more fragmented, vast quantities of profits still flow to a few countries of the developed capitalist world. Investment, trade, exports, and technology transfer are principally managed via the giant multinational corporations or their overseas branches, and the parent companies of these multinational monopolies remain tightly concentrated in geographic terms. In 2017, corporations from the United States, Japan, Germany, France, and the United Kingdom accounted for half of the top five hundred companies in the world. Some two-thirds of the top one hundred multinationals are from these countries.

  3. Multinational corporations monopolize the industries in their particular fields, controlling and running international production networks.

    The multinational giants have immense quantities of capital and formidable scientific and technological strengths, which ensure them a dominant position in global production, trade, investment, and finance, as well as in the creation of intellectual property. The economies of scale that result from the monopoly positions enjoyed by multinational corporations have expanded their competitive advantage. This is because “the larger the army of workers among whom the labour is subdivided, the more gigantic the scale on which machinery is introduced, the more in proportion does the cost of production decrease, the more fruitful is the labour.”7 The high degree of monopoly exercised by the multinational corporations means that the concentration of production and the concentration of control over markets reinforce each other, accelerating capital accumulation. Meanwhile, competition and credit, as two powerful levers for the concentration of capital, accelerate capital’s trend of coming under increasingly narrow control as it accumulates. Over the past thirty years, all of the world’s nations have promoted policy options aimed at boosting investment and relaxing the restrictions to which foreign direct investment is subject. Although the increasing scale of outward foreign direct investment by developed countries has to varying degrees accelerated capital formation and the development of human resources in underdeveloped countries, and increased their export competitiveness, it has also brought about large-scale privatization and cross-border mergers and acquisitions in these nations. This has accelerated the process through which small and medium enterprises are bankrupted or forced to merge with multinational corporations. Even relatively large enterprises are vulnerable.

    Around the world, many industries now have an oligopolistic market structure. For example, the global market for central processing units has been almost completely monopolized by the firms Intel and Advanced Micro Devices. As of 2015, the global market for seeds and pesticides was almost entirely controlled by six multinational companies—BASF, Bayer, Dow, DuPont, Monsanto, and Syngenta—that together controlled 75 percent of the global market for pesticides, 63 percent of the global market for seeds, and 75 percent of global private research in these areas. Syngenta, BASF, and Bayer alone controlled 51 percent of the global pesticide market, while DuPont, Monsanto, and Syngenta accounted for 55 percent of the seed market.8 According to statistics of the European Medical Devices Industry Group, the sales in 2010 of just twenty-five medical device companies accounted for more than 60 percent of the total sales of medical devices throughout the world. Ten multinationals controlled 47 percent of the global market for pharmaceuticals and related medical products. In China, soybeans are one of the vital food crops. All aspects of global soybean production, supply, and marketing chains are controlled by five multinational companies: Monsanto, Archer Daniels Midland, Bunge, Cargill, and Louis Dreyfus. Monsanto controls the raw materials for seed production, while the other four control planting, trading, and processing. These multinationals form various alliances through joint ventures, cooperation, and long-term contractual agreements.9 As more and more social wealth is seized by fewer and fewer private capitalist giants, monopoly capital deepens its control and exploitation of labor. This leads to capital accumulation on a world scale, aggravating global overcapacity and the polarization between rich and poor.

In the era of neoimperialism, information and communications technology is developing rapidly. The emergence of the Internet has greatly reduced the time and space required for social production and circulation, bringing about a surge of cross-border mergers, investment, and trade. Consequently, more and more noncapitalist regions have been incorporated into the process of accumulation dominated by monopoly capital, which has greatly strengthened and expanded the world capitalist system. The socialization and internationalization of production and circulation have undergone a great leap during the era of capitalist economic globalization in the twenty-first century. The pattern, described in The Communist Manifesto, according to which “a cosmopolitan character” has been given “to production and consumption in every country” has been greatly strengthened.10 The globalization of monopoly capital requires world economic and political systems to be on the same track in order to eliminate the institutional barriers between them. However, when a number of postrevolutionary countries abandoned their earlier political and economic systems and turned to capitalism, they were not rewarded with the affluence and stability preached by neoliberal economists. On the contrary, the neoimperialist phase is the setting for the rampages of hegemony and monopoly capital.

The New Monopoly of Finance Capital

In Imperialism, the Highest Stage of Capitalism, Lenin stated: “The concentration of production; the monopolies arising therefrom; the merging or coalescence of the banks with industry—such is the history of the rise of finance capital and such is the content of that concept.”11 Finance capital is a new type of capital formed by the merger of bank monopoly capital and industrial monopoly capital. The turning point in the change from general capitalist rule to that of finance capital appeared around the beginning of the twentieth century, when banks in the leading imperialist countries were transformed from ordinary intermediaries into powerful monopolists. But before the Second World War, due to recurrent wars, high information transmission costs, and technical and institutional barriers such as trade protection, the linkages between global investment, trade, finance, and the market were relatively weak. The degree of globalization of the economy remained low, hindering the outward expansion of monopoly capital. After the Second World War, economic globalization was accelerated by the new technological revolution. In the early 1970s, rising oil prices triggered a worldwide economic crisis and brought about the grotesque phenomenon, impossible for Keynesian economics to explain, in which inflation and economic stagnation coexisted. In order to find profitable investment opportunities and escape from the “stagflation” quagmire, monopoly capital transferred traditional industries overseas, thus maintaining its original competitive advantage. Meanwhile, it accelerated its decoupling from the traditional industries and sought to open up new financial territory. Capitalist globalization and financialization catalyzed and supported each other, accelerating the “virtualization” of monopoly capital and the hollowing out of the real economy. The Western economic recession of the 1970s thus acted not only as a catalyst for the internationalization of monopoly capital, but also as the starting point for the financialization of industrial capital. Since then, monopoly capital has accelerated its turn from monopoly exercised in a single country to international monopoly, from the monopoly of the industrial entity to the monopoly of the financial industry.

Within the context of the new monopoly of finance capital, the second key characteristic of neoimperialism is that financial monopoly capital plays a decisive role in global economic life, giving rise to economic financialization.

Minority of Financial Institutions Control Main Global Economic Arteries

To seek monopolistic power is the very nature of imperialism. “The big enterprises, and the banks in particular, not only completely absorb the small ones, but also ‘annex’ them, subordinate them, bring them into their ‘own’ group or ‘concern’ (to use the technical term) by acquiring ‘holdings’ in their capital, by purchasing or exchanging shares, by a system of credits, etc.,” Lenin explains. “We see the rapid expansion of a close network of channels which cover the whole country, centralising all capital and all revenues, transforming thousands and thousands of scattered economic enterprises into a single national, capitalist, and then into a world capitalist economy.”12 At the neoimperialist phase, a small number of multinational corporations, most of them banks, have spread a very extensive and detailed operational network over the world via mergers, participation, and shareholding, and thus control not only countless small and medium enterprises but also the main global economic arteries. An empirical study by three Swiss scholars, Stefania Vitali, James B. Glattfelder, and Stefano Battiston, showed that a relatively small number of multinational banks effectively dominate the whole global economy. Based on their analysis of 43,060 multinational corporations all over the world and the shareholding relationships between them, they found that the top 737 multinational corporations controlled 80 percent of total global output. After further study of the complicated network of these relationships, they came up with the even more amazing discovery that a core consisting of 147 multinational corporations controlled nearly 40 percent of the economic value. Of the 147 corporations, some three-quarters were financial intermediaries.13

The Globalization of Monopoly-Finance Capital

When imperialism evolved into neoimperialism, the financial oligarchies and their agents set the rules of trade and investment aside, and proceeded to launch currency, trade, resource, and information wars, plundering resources and wealth globally and at will. Within this system, neoliberal economists play the role of spokespeople for the financial oligarchs, advocating for financial liberalization and globalization in the interests of the monopolists and enticing developing countries to liberalize their capital account restrictions. If the countries concerned follow this advice, exercising financial supervision will become more difficult and their vulnerability to the hidden dangers of the financial system will increase. The effect will be to provide more opportunities for financial monopoly capital to plunder these countries’ wealth. In their operations on capital markets, the international financial investment giants tend to attack the fragile financial firewalls of developing countries and seize opportunities to plunder the assets these countries have accumulated over decades. This indicates that financial globalization and liberalization have certainly established a unified and open global financial system, but in the meantime have created mechanisms through which the global center appropriates the resources and surplus value of the less developed periphery. Concentrated in the hands of a minority of the international financial oligarchies and armed with actual monopoly power, finance capital has gained increasing volumes of monopoly profits through foreign investment, new business ventures, and cross-border mergers and acquisitions. As finance capital continuously levies tribute from all over the world, the rule of the financial oligarchs is consolidated.

From Production to Speculative Finance

Financial monopoly capital, which has rid itself of the constraints associated with material form, is the highest and most abstract form of capital, and is extremely flexible and speculative. In the absence of regulation, financial monopoly capital is very likely to work against the goals set by a country for its industrial development. After the Second World War, under the guidance of state interventionism, commercial and investment banks were operated separately, the securities market was strictly supervised, and the expansion of finance capital and its speculative activity were heavily restricted. In the 1970s, as the influence of Keynesianism faded and neoliberal ideas began taking over, the financial industry began a process of deregulation and the basic forces controlling the operation of financial markets ceased to be those of governments and became the leading participants in the markets themselves. In the United States, the Jimmy Carter administration in 1980 enacted the Depository Institutions Deregulation and Monetary Control Act, which abolished the deposit and loan interest rate controls, and by 1986 interest rate liberalization was complete. In 1994, the Riegle-Neal Interstate Banking and Branching Efficiency Act ended all geographical restrictions on banking operations and allowed banks to conduct business across state lines, increasing the competition between financial institutions. In 1996, the National Securities Market Improvement Act was promulgated, markedly reducing supervision over the securities industry. The Financial Services Modernization Act followed in 1999, and the enforced separation of commercial banking from investment banking and insurance, a provision that had existed for nearly seventy years, was completely abolished. Advocates of financial liberalization initially claimed that if the government relaxed its supervision over financial institutions and financial markets, the efficiency with which financial resources were allocated would be further improved and the finance industry would be better able to boost economic growth. But finance capital has many unruly tendencies, and if restraints on it are lifted, it is quite capable of behaving like a runaway horse. Excessive financialization will inevitably lead to the virtualization of economic activities and to the emergence of huge bubbles of fictitious capital.

Over the past thirty years, finance capital has expanded in a process linked to the continuous deindustrialization of the economy. Because of the lack of opportunities for productive investment, financial transactions now have less and less to do with the real economy. Capital that is otherwise redundant is directed into speculative schemes, swelling the volume of fictitious assets in the virtual economy. In line with these developments, the cash flow of large enterprises has shifted extensively from fixed capital investment to financial investment, and corporate profits now come increasingly from financial activities. Between 1982 and 1990, almost a quarter of the sums previously invested in factory plant and equipment in the private real economy were shifted to the financial, insurance, and real estate sectors.14 Since the relaxation of financial restrictions in the 1980s and ’90s, supermarket chains have offered a wider and wider variety of financial products to the public, including credit and prepaid debit cards, savings and checking accounts, insurance plans, and even home mortgages.15 The shareholder value maximization principle popularized since the 1980s has forced CEOs to prioritize short-term goals. Rather than paying off debts or improving their company’s financial structure, CEOs in many cases use profits to buy back the company’s stocks, pushing up the stock price and thus increasing their own salaries. Of the companies listed on Standard & Poor’s 500 Index between 2003 and 2012, 449 invested a total of $2,400 billion to purchase their own shares. This sum corresponded to 54 percent of their total revenues, and another 37 percent of revenues were paid as dividends.16 In 2006, the expenditure by U.S. nonfinancial companies on repurchasing their own shares was equal to 43.9 percent of non-residential investment expenditure.17

The financial sector also dominates the distribution of surplus value within the nonfinancial sector. The sums paid as dividends and bonuses in the nonfinancial corporate sector account for a greater and greater proportion of total profits. Between the 1960s and the ’90s, the dividend payout ratio (the ratio of dividends to adjusted after-tax profits) of the U.S. corporate sector underwent a significant increase. While the average in the 1960s and ’70s was 42.4 and 42.3 percent, respectively, from 1980 to 1989 it never fell below 44 percent. Although total corporate profits fell by 17 percent, total dividends increased by 13 percent and the dividend payout ratio reached 57 percent.18 In the days before the U.S. financial crisis broke out in 2008, the proportion of net bonuses to net after-tax profits amounted to about 80 percent of companies’ final capital allocations.19 Further, the boom in the virtual economy has no relation whatever to the ability of the real economy to support such growth.

Stagnation and shrinkage in the real economy coexist with excessive development of the virtual economy. The value created in the real economy depends on such purchasing power as has appeared through the expansion of asset bubbles and the rise of asset prices, the so-called wealth effect. As the gap between rich and poor continues to widen, the financial institutions are obliged, with government backing, to rely on a variety of financial innovations to support credit-fueled consumption by citizens who are not asset owners and to disperse the resulting financial risks. Meanwhile, the huge income and wealth effects generated by the appearance on the scene of derivative financial products and the growth of asset bubbles attract more investors to the virtual economy. Driven by monopoly profits, numerous derivative financial products are created. The innovations in the area of financial products also lengthen the debt chain and serve to pass on financial risks. An example is the securitization of subprime mortgage loans; layer upon layer of these were packaged together with the seeming purpose of raising the credit rating of the products involved, but actually in order to transfer high levels of risk to others. Increasingly, the trade in financial products is separated from production; it is even possible to say that it has nothing to do with production and is solely a gambling transaction.

The Monopoly of the U.S. Dollar and Intellectual Property

Again, in Imperialism: The Highest Stage of Capitalism, Lenin stated: “Typical of the old capitalism, when free competition held undivided sway, was the export of goods. Typical of the latest stage of capitalism, when monopolies rule, is the export of capital.”20 After the Second World War, the deepening and refining of the international division of labor brought more developing countries and regions into the global economic network. Within the global production mechanism, every country and enterprise is seemingly able to exercise its own comparative advantages. Even the least developed countries can rely on cheap labor and such resource advantages as it might have to allow participation in the international division of labor and cooperation. However, the real motive of monopoly capital is to compete for favorable trading platforms and to plunder high monopoly profits. In particular, the U.S. dollar hegemony and the developed-country monopoly of intellectual property mean that international exchange is seriously unequal. Thus, the characteristics of the old imperialism, coexisting with the commodity output, define the general capital output. Meanwhile, the characteristics of neoimperialism that coexist with the commodity output and the general capital output are the output of the U.S. dollar and intellectual property.

The third characteristic of neoimperialism is defined by the hegemony of the U.S. dollar and the developed-world monopoly of intellectual property, which together generate the unequal international division of labor along with a polarized global economy and wealth distribution. In each of the four aspects that can be summed up as state-capital, capital-labor, capital-capital, and state-state, the dominant forces of giant monopoly capital and neoimperialism are further strengthened under the conditions of economic globalization and financial liberalization.

The Spatial Expansion of the Capital-Labor Relation: Global Value Chains and the Global Labor Arbitrage

Through mechanisms that include outsourcing, setting up subsidiaries, and establishing strategic alliances, multinationals integrate more and more countries and companies into the global production networks they dominate. The reason why capital accumulation can be achieved on this global scale is the existence of a large, low-cost global workforce. According to data from the International Labor Organization, the world’s total workforce grew from 1.9 to 3.1 billion between 1980 and 2007. Of these people, 73 percent were from developing countries, with China and India accounting for 40 percent.21 Multinational corporations are all organized entities, while the global workforce finds it exceedingly difficult to unite effectively and defend its rights. Because of the existence of the global reserve army of labor, capital can use the strategy of divide and conquer to discipline wage workers. Over decades, monopoly capital has shifted the production sectors of developed-world economies to the countries of the Global South, compelling workforces in different areas of the globe to compete with one another for basic living incomes. Through this process, multinationals are able to extort huge imperialist rents from the world’s workers.22 In addition, these giant corporations are well able to lobby and pressure the governments of developing countries to formulate policies that benefit the flow of capital and investment. Trying to secure GDP growth by inducing international capital to invest and set up factories, many developing country governments not only ignore the protection of social welfare and labor rights, but also guarantee various preferential measures such as tax concessions and credit support. The globalization of production has thus enabled the developed capitalist countries to exploit the less developed world in a more “civil” fashion under the slogan of fair trade. In order to launch their modernization, developing countries often have little choice but to accept the capital offered by the imperialists—along with the conditions and encumbrances that go with it.

Monopoly-Finance Capital and Multinational Corporate Dominance

The new structure of the international division of labor inherits the old unbalanced and unequal system. Although production and marketing are fragmented, the control centers of research and development, finance, and profit are still the multinational corporations. These corporate entities usually occupy the top of the vertical division of labor, owning the intellectual property rights associated with core components. The giant, globe-straddling corporations are in charge of formulating technology and product standards, as well as controlling the design, research, and development links. Meanwhile, their “partners” in developing countries are typically contracted to multinational corporations and are the recipients of such product standards. They usually engage in such labor-intensive activities as production, processing, and assembly, and are responsible for producing simple parts in mass quantities. Performing relatively unspecialized factory operations for multinationals, these enterprises earn only slender profits. The jobs in these enterprises generally feature low wages, high labor intensity, long working hours, and poor working environments. Although the value embodied in the products is primarily created by production workers in developing-world factories, most of the value additions are plundered by the multinationals via unequal exchange within the production networks. The proportion of overseas profits within the total profits of U.S. corporations increased from 5 percent in 1950 to 35 percent in 2008. The proportion of overseas-retained profits increased from 2 percent in 1950 to 113 percent in 2000. The proportion of overseas profits within the total profits of Japanese corporations increased from 23.4 percent in 1997 to 52.5 percent in 2008.23 In a slightly different accounting, the share of foreign profits of U.S. corporations as a percent of U.S. domestic corporate profits increased from 4 percent in 1950 to 29 percent in 2019.24 Multinational corporations are often able to use their monopoly of intellectual property to generate huge returns. Intellectual property includes product design, brand names, and symbols and images used in marketing. These are protected by rules and laws covering patents, copyrights, and trademarks. Figures from the UN Conference on Trade and Development show that royalties and licensing fees paid to multinational corporations increased from $31 billion in 1990 to $333 billion in 2017.25

With the advance of financial liberalization, finance capital no longer merely serves industrial capital, but has far overtaken it. The financial oligarchs and rentiers are now dominant. In the space of just twenty years from 1987, debt in the international credit market soared from just under $11 billion to $48 billion, with a rate of growth far exceeding that of the world economy as a whole.26

Neoimperialism and the Neoliberal State

Since the mid–1970s, economic stagflation has seen Keynesianism abandoned by governments, or employed much less. Neoliberal approaches such as modern monetarism, the rational expectations school, and supply-side theories are hits among economists, and dominate economic theory and policy in the neoimperialist countries. This is because these approaches accord with the expanding globalization and financialization of monopoly capital. Neoliberalism is a superstructure that has arisen on the basis of financial monopoly capital; essentially, it represents the basis for the ideology and policies required to maintain the rule of neoimperialism. In the 1980s, U.S. president Ronald Reagan and British prime minister Margaret Thatcher were the world standard-bearers of neoliberalism. Advocating the ideas of modern monetarism and the positions of the private property and supply-side schools, they implemented privatization and market-oriented reforms, relaxed government supervision, and weakened the power of labor unions to defend working-class rights. After taking office, Reagan immediately approved the establishment of a special group of CEOs, with vice president George H. W. Bush as its director, to revoke or relax regulations. The changes advocated by the group related to job safety, labor protection, and the protection of consumer interests. The Reagan administration also joined forces with big capitalists to crack down on labor unions in the public and private sectors, dismissing union leaders and organizers and leaving the working class, already in a weak position, even worse off. The so-called Washington-Wall Street Complex argued that the interests of Wall Street and those of the United States were identical; what was good for Wall Street was good for the country. The U.S. government had in practice become a tool for the financial oligarchy to pursue its economic and political interests.27 Therefore, it was not the votes of citizens, or even the democratic system of the separation of powers, but the Wall Street financial oligarchy and the military-industrial complex that ultimately controlled the government. Wall Street influenced the political process and policy formation in the United States by providing campaign contributions and manipulating the media. Held captive by monopoly interest groups, the U.S. government had little power to promote the sound development of the economy and society and to improve people’s livelihood. The list of Wall Street executives with annual salaries of tens of millions of dollars features numerous matches with the people holding top U.S. government posts. For example, the seventieth U.S. secretary of the treasury, Robert Edward Rubin, had previously spent twenty-six years working for investment bankers Goldman Sachs. The seventy-fourth secretary of the treasury, Henry Paulson, had earlier served the Goldman Sachs Group as its chairman and CEO. Many senior officials of the Donald Trump administration also had histories as executives of monopoly enterprises. The existence of this “revolving door” mechanism means that even if the government were to introduce relevant financial regulatory policies, it would be hard fundamentally to shake the interests of the financial chaebols of Wall Street.

Whenever a financial crisis occurs, the government provides emergency assistance to the monopoly oligarchs of Wall Street. U.S. scholars have found that the Federal Reserve has used secret emergency loans to meet the needs of large Wall Street interest groups, in some instances providing strong support to bankers who are board members of regional Federal Reserve banks. In 2007, the U.S. subprime mortgage crisis broke out. Bear Stearns, one of Wall Street’s top five investment banks, was acquired by JPMorgan Chase. Lehman Brothers declared bankruptcy and Merrill Lynch was acquired by Bank of America. Goldman Sachs, however, survived; the main reasons include a decision by the government to urgently grant Goldman Sachs the status of a holding company, allowing it to obtain massive life-saving funds from the Federal Reserve. In addition, the U.S. Securities and Exchange Commission banned the shorting of financial stocks.28

U.S. Dollar Hegemony, Intellectual Property Rights, and the Plundering of Global Wealth

In July 1944, on the initiative of the U.S. and British governments, representatives of forty-four countries gathered in Bretton Woods, New Hampshire, to discuss plans for the postwar monetary system. In the course of the Bretton Woods Conference, the documents Final Act of the United Nations Monetary and Financial ConferenceArticles of Agreement of the International Monetary Fund, and Articles of Agreement of the International Bank for Reconstruction and Development—collectively known as the Bretton Woods Agreements—were passed. A key point of the Bretton Woods system was to construct an international monetary order centered on the U.S. dollar.29 Other currencies were pegged to the dollar, which was in turn pegged to gold. The U.S. dollar then began to play the role of world currency, replacing the British pound. The unique advantage that derives from the central place of the U.S. dollar in the international monetary system gives the U.S. a special position compared to the rest of the world’s countries. The U.S. dollar makes up 70 percent of global currency reserves, while accounting for 68 percent of international trade settlements, 80 percent of foreign exchange transactions, and 90 percent of international banking transactions. Because the U.S. dollar is the internationally recognized reserve currency and trade settlement currency, the United States is not only able to exchange it for real commodities, resources, and labor, and thus to cover its long-term trade deficit and fiscal deficit, but can also make cross-border investments and carry out cross-border mergers of overseas enterprises employing the U.S. dollars that it prints at almost no cost. The hegemony of the U.S. dollar provides an excellent illustration of the predatory nature of neoimperialism. The United States can also obtain international seigniorage by exporting U.S. dollars, and can reduce its foreign debt by depreciating the U.S. dollar or assets that are priced in U.S. dollars. The hegemony of the U.S. dollar has also caused the transfer of wealth from debtor countries to creditor countries. This means that poor countries subsidize the rich, which is completely unfair.

Since the mid–1990s, international monopolies have controlled 80 percent of the world’s patents, technology transfers, and most of the internationally recognized trademarks, something that has brought them large quantities of revenue. According to figures from Science and Engineering Indicators 2018 Digest, released by the National Science Council of America in January 2018, the total global cross-border licensing income from intellectual property in 2016 was $272 billion. The United States was the largest exporter of intellectual property, with income from this source comprising as much as 45 percent of the global total. The corresponding figure for the European Union was 24 percent, for Japan 14 percent, and for China less than 5 percent. In sharp contrast, the royalties on intellectual property paid by China to other countries increased from $1.9 billion in 2001 to $28.6 billion in 2017, and China’s deficit on cross-border intellectual property transactions reached more than $20 billion. During this period, the U.S. annual net income from licensing intellectual property to other countries was at least $80 billion.30

The New Monopoly of the International Oligarchic Alliance

Lenin stated in Imperialism, the Highest Stage of Capitalism that “the epoch of the latest stage of capitalism shows us that certain relations between capitalist associations grow up, based on the economic division of the world; while parallel to and in connection with it, certain relations grow up between political alliances, between states, on the basis of the territorial division of the world, of the struggle for colonies, of the “struggle for spheres of influence.”31 Finance capital and its foreign policy, which is the struggle of the great powers for the economic and political division of the world, give rise to a number of transitional forms of state dependence. Two main groups of countries—those owning colonies and colonies themselves—are typical of this epoch, as are the diverse forms of dependent countries that, politically, are formally independent, but in fact are enmeshed in the net of financial and diplomatic dependence.32 Nowadays, neoimperialism has formed new alliances and hegemonic relations in the economic, political, cultural, and military fields.

Within the context of the new monopoly of the international oligarchs, the fourth characteristic of neoimperialism is the formation of an international monopoly capitalist alliance between one hegemon and several other great powers. An economic foundation consisting of money politics, vulgar culture, and military threats has been formed for them to exploit and oppress via monopoly both at home and abroad.

The G7 as the Mainstay of the Imperial Capitalist Core

Neoimperialism’s current international monopoly economic alliance and the framework of global economic governance are both dominated by the United States. The G6 group was formed in 1975 by six leading industrial countries, the United States, United Kingdom, Germany, France, Japan, and Italy, and became G7 when Canada joined the following year. G7 and its monopoly organizations are the coordination platforms, while the International Monetary Fund (IMF), the World Bank, and the World Trade Organization are the functional bodies. The global order of economic governance that was set up under the Bretton Woods system after the Second World War is essentially a high-level international capitalist monopoly alliance manipulated by the United States to serve its strategic economic and political interests. In the early 1970s, the U.S. dollar was decoupled from gold and the Bretton Woods currency system collapsed. One after another, summits of the G7 countries then shouldered responsibility for strengthening the Western consensus, contending against the socialist countries of the East, and boycotting the demands made by the less developed countries of the South for reforms to the international economic and political order.33 Since neoliberalism became the set of concepts dominating global economic governance, these multilateral institutions and platforms have become the driving force for the expansion of neoliberalism throughout the world. In line with the wishes of the international financial monopoly oligarchy and its allies, these bodies spare no effort to induce the developing countries to implement financial liberalization, the privatization of production factors, marketization without prior supervision, and free exchange in capital projects so as to facilitate inward and outward flows of international “hot money.” These institutions are constantly ready to control and plunder the economies of developing countries, extracting huge profits by encouraging speculation and creating financial bubbles. As Zbigniew Brzezinski stated in The Grand Chessboard, “the International Monetary Fund and the World Bank can be said to represent ‘global’ interests, and their constituency may be construed as the world. In reality, however, they are heavily American dominated.”34

Since the 1980s, the IMF and World Bank have lured developing countries to implement neoliberal reforms. When these countries have fallen into crisis because of privatization and financial liberalization, the IMF and other institutions have forced them to accept the Washington Consensus by adding various unreasonable conditions to loans provided earlier. The effect is to further intensify the impacts of neoliberal reform. Between 1978 and 1992, more than seventy developing countries or former socialist countries implemented a total of 566 structural adjustment programs imposed by the IMF and the World Bank.35 In the early 1980s, for example, the IMF used the Latin American debt crisis to force Latin American countries to accept neoliberal “reforms.” In order to curb inflation, the U.S. Federal Reserve in 1979 pushed short-term interest rates up from 10 percent to 15 percent, and finally to more than 20 percent. Because the existing debt of the developing countries was linked to U.S. interest rates, every 1 percent rise in U.S. interest rates would result in developing-world debtor countries paying an additional $40 to 50 billion per year in interest. In the second half of 1981, Latin America was borrowing at the rate of $1 billion a week, mostly in order to pay the interest on existing debt. During 1983, interest payments consumed almost half of Latin American export earnings.36 Under pressure to repay their loans, Latin American countries were forced to accept neoliberal reform plans initiated by the IMF. The main content of these plans consisted of privatizing state-owned enterprises; liberalizing trade finance; implementing economic austerity policies, with the effect of reducing living standards; cutting the taxes on monopoly enterprises; and reducing government spending on social infrastructure. During the 1997 Asian financial crisis, the IMF attached numerous conditions to assistance provided to South Korea, including that the allowance for foreign shareholdings be relaxed from 23 percent to 50 percent, and then to 55 percent by December 1998. Moreover, South Korea was required to allow foreign banks to set up branches freely.37

NATO and the International Monopoly-Capitalist Military and Political Alliance

Established in the early days of the Cold War, the North Atlantic Treaty Organization (NATO) is an international military alliance for the defense of monopoly capitalism. It is led by the United States and involves other imperialist countries. During the Cold War, NATO was the main tool used by the United States to actively contain and counter the Soviet Union and the countries of Eastern Europe, as well as to influence and control the Western European countries. At the end of the Cold War, the Warsaw Treaty Organization was dissolved and NATO became the military organization through which the United States sought to achieve its strategic goals on a global level. A capitalist military oligopoly, involving one hegemon and several other great powers, had come into being. Former U.S. secretary of state Warren Christopher stated: “Only the United States can act as a leader.… For the United States to exercise leadership requires us to own a credible force threat as a backup for diplomacy.”38 The National Security Strategy for the New Century, published in the United States in December 1998, claimed unambiguously that the goal of the United States was to “lead the entire world” and that no challenge to its leadership, from any country or group of countries, would ever be allowed to come into being.39 On December 4, 2018, U.S. secretary of state Mike Pompeo declared in a speech to the Marshall Fund in Brussels: “The United States has not given up its global leadership. It reshaped the order after WWII based on sovereignty but not the multilateral system.… Under President Trump’s leadership, we will not give up international leadership or our allies in the international system.… Trump is recovering America’s traditional status as the world center and leadership.… The United States wants to lead the world, now and always.”40

To achieve leadership and domination over the world, the United States has made every effort to promote NATO’s eastward expansion, and has expanded its own sphere of influence to control Central and Eastern Europe and to compress Russia’s strategic space. Under the control of the United States, NATO has become an ideal military tool for U.S. global interests. In March 1999, a multinational NATO force led by the United States launched a large-scale air attack on Yugoslavia. It was the first time that NATO had launched a military strike against a sovereign country during the fifty years since its foundation. In April 1999, NATO held a summit meeting in Washington, formally adopting a strategic concept that can be summarized under two points. First, NATO was permitted to conduct collective military intervention outside its defense area in response to “crimes and conflicts involving common interests.” This effectively changed NATO from a “collective defense” military alliance into an offensive political and military organization with the so-called purpose of defending common interests and shared values. Second, NATO’s military actions did not require authorization from the UN Security Council.41

In addition to NATO, U.S. military alliances formed on the basis of bilateral treaties include pacts with Japan, South Korea, Australia, and the Philippines. There are U.S. military bases on the territory of all its military allies, and these comprise a major part of the neoimperialist military alliance. The United States and its allies make military threats and carry out provocations in many regions of the world, resulting in many “hot wars,” “warm wars,” “cool wars,” and “new cold wars,” intensifying the new arms race. The acts of “state terrorism” carried out by neoimperialism, and the double standard it applies to counter-terrorism, have caused other forms of terrorism to multiply.

Cultural Hegemony Dominated by Western “Universal Values”

In addition to its economic might and the hegemony exercised through its military alliances, neoimperialism is also characterized by cultural hegemony dominated by Western “universal values.” U.S. political scientist Joseph Nye emphasized that soft power was the ability to accomplish one’s desires through attraction rather than force or purchase. The soft power of a country is constituted mainly of three resources, namely, culture (which functions where it is attractive to the local population), political values (which function when they can actually be practiced both at home and abroad), and foreign policy (which functions when it is regarded as conforming to legality and as enhancing moral prestige).42 The Western developed countries, especially the United States, utilize their capital, technology, and market advantages to infiltrate less powerful countries and regions with their culture, and propose a series of “new interventionist” cultural theories designed to impose U.S. values. The United States subjugates the cultural markets and information spaces of other countries, especially developing countries, by exporting to them U.S. values and lifestyles, with the goal of making its culture the “mainstream culture” of the world.43

Cultural hegemony or cultural imperialism exports the “universal values” of the West and implements both peaceful evolution and “color revolutions” by controlling the field of international public opinion. The objective is to achieve Richard Nixon’s strategic goal of “victory without war.” The evolution of the Soviet Union and of the socialist countries in Eastern Europe is a typical case. As is generally known, the penetration of values is usually slow, long-term, and subtle, and its communication channels are often hidden in academic exchanges, literary works, films, and television shows. For example, Hollywood is “the megaphone of American hegemonic policy.… Hollywood films are showing off the advantages of the United States to the rest of the world and trying to achieve their cultural conquest by this means.”44 Former senior CIA official Allen Dulles argued: “If we teach young people in the Soviet Union to sing our songs and dance with them, sooner or later we will teach them to think in the way we need them to.”45 Foundations and think tanks are also important driving forces for the spread of neoliberalism. For example, the U.S.-based Ford Foundation, Rockefeller Foundation, Mont Pelerin Society, and Center for International Private Enterprise participate in the promotion of neoliberal values by funding seminars and academic organizations.

Lenin once stated: “Instead of an undivided monopoly of Great Britain, we see a few imperialist powers contending for the right to share in this monopoly, and this struggle is characteristic of the whole period of the early twentieth century.”46 Since the end of the Cold War, global capitalism has been characterized by the undivided monopoly of the United States. Other powers have no intention, and lack the strength, to compete. Some individual countries such as Japan have tried to challenge U.S. “monopoly rights” economically and technologically, but have ultimately failed. So it is with the European Union, which emerged later but eventually failed to shake U.S. hegemony. In the military field, the Gulf War and the subsequent wars in Kosovo, Afghanistan, Iraq, Libya, and Syria have further fueled U.S. unilateralism and hegemonic arrogance. With the help of its economic, military, and political alliances, and employing cultural soft power, the United States promotes its “universal values,” incites street protests and color revolutions in other countries, and forces developing countries to deregulate their financial systems by targeting them for the creation of debt and financial crises. When the global governance system dominated by the United States encounters challenges, it launches trade wars, science and technology wars, financial wars, and economic sanctions, and even goes so far as to threaten or actually launch military strikes. The U.S. dollar, military, and culture are the three pillars of U.S. imperialist hegemony, supporting “hard power,” “soft power,” “strong power” (economic sanctions), and “smart power.”47

In short, the international monopoly capitalist alliance made up of one hegemon and several great powers provides the economic foundation for the money politics, vulgar culture, and military threats that exploit and oppress through the exercise of monopoly both at home and abroad, and that amplify the power of the United States as the neoimperialist hegemon.

The Economic Essence, the General Trend, and the Four Forms of Ideological Fraud

Lenin characterized imperialism as a transitional and moribund capitalism. At the neoimperialist stage known as economic globalization, the basic contradiction of the contemporary capitalist economy is manifested in the contradiction between, on the one hand, the constant socialization and globalization of the economy with its production factors under private, collective, or state ownership, and, on the other, the disorder or anarchy of production within national economies and in the world economy.48 Neoimperialism rules out the adjustments that states and international communities need to make, instead promoting self-regulation by private monopoly capital and defending its interests. The effect, very often, is to intensify various contradictions within countries or on the world level. Economic, financial, fiscal, social, and ecological crises have all become epidemic diseases. Various of these crises are interwoven with social contradictions, or with the contradictions of capital accumulation. All of them together lend a new cast to the monopolistic and predatory, hegemonic and fraudulent, parasitic and decaying, transitional and moribund capitalism of the present epoch.

If we define neoimperialism with regard to its economic nature and general tendencies, we may conclude that its three characteristics are demonstrated in the respect that the globalized contradictions and various crises of the system frequently become intensified.

The economic essence of neoimperialism is that it is a monopolistic financial capitalism established on the basis of giant multinationals. The production monopoly and financial monopoly of the multinational corporations have their origins in the higher stage of production and capital concentration, giving rise to a phase in which monopoly is deeper and broader to such an extent that “nearly every industry is concentrated into fewer and fewer hands.”49 The automobile industry may be taken as an example. The production of the top five multinational automobile corporations accounts for almost half of global automobile production, and that of the top ten accounts for 70 percent.50 International monopolistic financial capital not only controls the world’s major industries, but also monopolizes almost all sources of raw materials, scientific and technological talent, and skilled physical labor in all fields, controlling the transportation hubs and various means of production. It dominates and controls capital, and controls various other global functions via banks and a variety of financial derivatives and shareholding systems.51 If we consider the total market value and total income and assets of corporations, the scale of the leading concentrations of economic power around the world is increasing, especially in the case of the top one hundred corporations. In 2015, the market value of the world’s top hundred companies was more than seven thousand times that of the bottom two thousand companies in a database of the world’s largest nonfinancial firms, compared to only thirty-one times in 1995.52 According to the data on the Fortune Global 500 for the year 2017, the revenues of 380 of the world’s top 500 companies (excluding Chinese firms) reached $22.83 trillion, equivalent to 29.3 percent of gross world product. Total profits reached $1.51 trillion, breaking the record, and the rate of profit increased by 18.85 percent year on year.53 The rise in the indicators of both profit share and profit rate illustrates the predatory nature of neoimperialism.

Given that economic globalization, financialization, and neoliberal policies are placing a triple squeeze on labor, profits are growing rapidly, while workers’ wages are increasing much more slowly.54 Between 1982 and 2006, the average annual growth of the real wages of production workers in nonfinancial corporations in the United States was just 1.1 percent, not only much lower than the 2.43 percent recorded from 1958 to 1966, but also lower than the 1.68 percent during the economic downturn from 1966 to 1982. The slowing of wage growth allowed the corporations’ profit share to rise by 4.6 percent during this period and accounted for 82 percent of the recovery in the rate of profit. The “labor squeeze” can be seen to have played a key role here.55 Moreover, since the U.S. economy began to recover in 2009 from the Great Financial Crisis, the average rate of profit, though lower than its peak in 1997, has still been significantly higher than its level during the late 1970s and early ’80s, when it was at a low point.56 The essence of neoimperialism is its need to control and plunder. Its drive to “predatory accumulation” is not only demonstrated by its exploitation of labor in the national setting, but also by its plunder of other countries. The forms this takes, and the methods employed, consist mainly of the following.

First, financial plunder. Neoimperialism extracts huge profits from its control over the prices of major international commodities. Employing financialization and other methods, it pressures the countries that produce raw materials, seeking to keep prices low. As part of its pressures and harassment, it may create financial bubbles and crises via large-scale inflows and outflows of capital, affecting the economic and political stability of the countries concerned. Or, it may seek to achieve a “victory without war” by imposing financial sanctions.57 Financial innovation and the lag in government regulation contributes to waves of nonproductive speculation. Financial oligarchs and multinational corporations at the top of the pyramid benefit from the price inflation of financial assets and are able to plunder huge quantities of social wealth.

Second is the privatization of public resources and state-owned assets. Since Thatcher-Reaganism came to dominate economic policy-making in numerous countries some forty years ago, the world has experienced a massive wave of large-scale privatization. The public assets of many less-developed countries have fallen into the hands of private monopoly capital and multinational corporate monopolies. The global level of inequality of wealth ownership has soared accordingly. The World Inequality Report 2018 reveals that, since the 1970s, private wealth in various countries has generally increased, while the ratio of private to national income in most “rich” countries has increased from 200–350 percent to 400–700 percent. In sharp contrast, public wealth has steadily declined. The net public wealth of the United States and the United Kingdom has fallen to a negative number in recent years, and that of Japan, Germany, and France is only slightly above zero. The limited value of public assets restricts the ability of governments to adjust the income gap.58

Third is the strengthening of the center-periphery pattern. The neoimperialist countries reinforce the center-periphery pattern through their dominant positions in trade, currency, finance, the military arena, and international organizations. Taking advantage of these positions, they continuously extort the resources and wealth of the peripheral countries to consolidate their monopoly or oligopoly status, and to ensure their own development and prosperity. The international transfer rate of surplus value has a positive effect on the general rate of profit in the hegemonic countries.59 It is only the neoimperialist countries that are able to use their economic, political, and military power to transform a portion of the surplus value created by underdeveloped countries into their own national wealth. Consequently, the accumulation of monopolistic capital by neoimperialism intensifies the polarization between rich and poor and damages people’s livelihoods in countries such as the United States and France (as proved by the international Occupy Wall Street movement, which involved eighty countries with its slogan of “we are the 99 percent”), while also reinforcing the accumulation of financial and environmental wealth in the countries of the “center” and of relative poverty and pollution in the countries of the “periphery.” In 2018, the combined GDP of the G7 “central” countries reached $317 trillion, accounting for 45.5 percent of gross world product.60 According to the Global Wealth Report 2013, prepared by Credit Suisse, the wealth of the 85 richest people in the world that year was equivalent to the total assets of the world’s poorest 3.5 billion people—that is, of half the global population.61

Economic Hegemony and Fraud

Imperialism as represented by the United States employs hegemony, bullying, and unilateralism, and adheres to double standards in diplomatic policy. At one point, Pompeo publicly admitted and expressed pride in his country’s fraudulent actions. “I was the CIA director,” he said. “We lied, we cheated, we stole. It was like we had entire training courses…it reminds you of the glory of the American experiment.”62 In the post-Cold War era, the United States dominates the world, free from any powerful checks and balances. It relies on its major advantages of military force, U.S. dollar hegemony, external propaganda, and science and technology to carry out bullying all over the world and to commit fraud both at home and abroad.63

In March 2018, the United States issued a document entitled Findings of the Investigation into China’s Acts, Policies, and Practices Related to Technology Transfer, Intellectual Property, and Innovation Under Section 301 of the Trade Act of 1974, which accuses China of “enforcing or compelling US enterprises to transfer technology” and “illegally invading US commercial computer networks to steal intellectual property rights and sensitive business information.” The purpose of this document was to create a pretext for launching a trade war; its accusations are nothing but rumors and do not correspond to the facts. What is the source of China’s technological progress? It flows from the efforts of gifted entrepreneurs who benefit from huge government investments in basic science. As former U.S. secretary of the treasury Lawrence Summers said, “it’s coming from an educational system that’s privileging excellence, concentrating on science and technology. That’s where their leadership is coming from, not from taking a stake in some U.S. company.”64 In provoking its economic and trade conflict with China, the United States has had an obvious intention: to blackmail and suppress China on an overall basis, starting with the trade war and gradually expanding into the areas of science and technology, finance, food, resources, and so on. U.S. authorities seek to weaken China’s strengths in trade, finance, industry, and technology, trying to ensure that China will not pose a challenge to the global hegemonic position of the United States.

With its slogan of “America First,” the Trump administration promoted U.S. hegemony and imposed economic sanctions on other economies. Its economic and trade policies were aimed principally at China, but were also directed at traditional allies such as the European Union, Japan, India, and South Korea. Time after time, Washington has practiced economic extortion and containment. It will never be forgotten that as early as the mid–1980s the United States forced Japan to sign the Plaza Accord and induced it to implement a low-interest monetary policy that brought large quantities of foreign capital into Japan. The result was that a surge of short-term demand for Japanese yen caused the country’s currency to appreciate sharply against the U.S. dollar. The influx of foreign capital and the monetary policy of low interest rates brought a soaring increase in Japanese asset prices. Despite the short-term prosperity, the eventual result involved big losses for Japan. The high asset prices meant that the foreign capital was soon cashed out and withdrawn, while the Japanese economy suffered huge setbacks and endured a “lost twenty years.”

Political Hegemony and Fraud

The United States has always labeled itself a representative of countries advocating democracy, freedom, and equality. Using political and diplomatic means, it spares no effort to impose its political system on other countries, especially the developing states it identifies as “dictatorships.” Former U.S. president George W. Bush identified Iran, Iraq, and North Korea as an “axis of evil.” The United States exerts pressure on the rulers of such countries, applying double standards on questions of human rights. Using its propaganda, it demonizes these states as “undemocratic” and “autocratic,” while subsidizing nongovernmental organizations and media, as well as inciting dissidents and the opposition to mount “color revolutions” aimed at overthrowing the legitimate governments.

Acting at the behest of its military circles and monopoly energy groups, the United States has been a consistently destructive force in the Middle East and Latin America. Syria was listed by Washington among six “evil” countries, and the United States branded the Syrian government led by Bashar al-Assad as illegal. U.S. senator John McCain, however, revealed the real purpose behind these moves. “The end of the Assad regime,” McCain stated, “would sever Hezbollah’s lifeline to Iran, eliminate a long-standing threat to Israel, bolster Lebanon’s sovereignty and independence, and inflict a strategic defeat on the Iranian regime. It would be a geopolitical success of the first order.”65 In Latin America, the United States has continued its blockade against Cuba despite twenty resolutions carried overwhelmingly in the UN General Assembly. Meanwhile, the United States is conducting an economic blockade against Venezuela, resulting in the country’s economic deterioration in recent years. Former U.S. vice president Mike Pence, setting aside Venezuela’s elections and popular support for the government, with no consideration of truth—even leaving out the U.S. economic siege war on Venezuela in violation of international law—pronounced: “The Maduro government’s vicious gangs have crippled the economy.… The true cost of the crimes of the Maduro regime cannot be assessed in numbers.… Two million people have fled the result of dictatorship and political repression that’s resulted in deprivation and created conditions near starvation. The United States will continue to help the Venezuelan people restore their freedom. The people will be free.”66

The United States is now applying to China the kind of Cold War policies that used to be employed against the Soviet Union. State department director of policy planning Kiron Skinner describes the fractious relations of the United States with China as “a fight with a really different civilization and a different ideology.”67 The U.S. ruling class knows very well that the socialist system is superior to the capitalist system. Once large socialist countries such as the former Soviet Union and China become rich and strong through peaceful competition, it is inevitable that they are faced with confronting the hegemonic aims of the United States, which seeks nothing less than a unipolar world. Any attempts to promote broad reforms in the outdated imperial economic and political order are seen as a threat to U.S. hegemony. Consequently, the United States has adopted the dual strategy of “contact and containment,” engagement and aggression, which it seeks to pass off as “peaceful evolution.”

In reality, the so-called democratic politics in the United States are nothing but an illusion. First, the electoral process in the United States has increasingly amounted to a political fight between the two parties of the monopoly bourgeoisie. As the candidates of different factions of the monopoly bourgeoisie have campaigned for election, they have resorted to rumors, personal attacks, and slanders against their opponents, sidelining the real issue. Second, so-called democratic politics in the United States involve no more than a pro forma and procedural democracy. The pro forma voting system has been reduced to monetary politics, family politics, and oligarchic politics—that is, to an essentially undemocratic “despotism of monopoly capital,” or democracy for the few.

Cultural Hegemony and Fraud

Former U.S. National Security Advisor Brzezinski believes that “strengthening American culture as the ‘model’ of the world’s cultures is a strategy that must be implemented by the United States to maintain hegemony.”68 U.S. cultural hegemony is manifested principally through its control of media outlets and education, and through the propaganda function, both at home and abroad, of its literature and art, its liberal arts academia, and its values. The United States exports films, music, and literature all over the world. It controls almost 75 percent of the world’s television programs, and owns powerful film and television companies such as WarnerMedia, Universal Pictures, Paramount Pictures, and Columbia Pictures, which every year produce dozens of high-budget films involving investments of hundreds of millions of dollars. Research and reporting carried out by the U.S. mainstream media effectively dominate the shaping of world public opinion. The United States also controls the authoritative journals that mold discourse in the area of liberal arts academia, and it is the United States that determines the standards of elite education. The 2020 QS World University Rankings provide an example. The top places in these rankings are all taken by U.S. universities, and this situation provides a powerful tool for spreading deceptive Western “universal values,” Western constitutional views, and neoliberal economic concepts throughout the world. The basic views of the U.S. liberal arts establishment have taken a firm hold on the elites and masses at home and abroad.69 For example, the United States extols vulgar examples of literary and artistic kitsch as distinguished works of culture, deserving of Oscars or Nobel Prizes.

Neoclassical economics (and its counterpart in the form of neoliberalism) is responsible for a string of economic crises and for increased polarization between rich and poor. Nevertheless, it is depicted as a scientific theory that promotes development, increases popular welfare, and is worthy of the Sveriges Riksbank Prize in Economic Sciences in Memory of Alfred Nobel. In the United States, works that do not conform to the literary, artistic, and liberal arts canons of monopoly capital are difficult to disseminate via authoritative media, while writers and artists of real distinction are excluded, suppressed, or defrauded. The United States also holds an absolutely dominant position in the global field of cyberspace. Of the thirteen root Domain Name System servers, nine are under the direct control of U.S. corporations, universities, or government departments, while another is directly controlled by a U.S. nonprofit organization.70 Using these root Domain Name System servers, the United States can easily steal global intelligence, carry out network monitoring, and launch cyberattacks. The surveillance program PRISM, revealed by Edward Snowden, shows that the United States has complete control over the hardware and software of networks globally, and is well able to monitor the entire world and strike any other country. Lastly, the United States controls the intelligence alliance known as the Five Eyes (the United States, United Kingdom, Canada, Australia, and New Zealand), through which it conducts large-scale monitoring activities and exercises cyber hegemony domestically and internationally.71

The cultural hegemony of the United States, its control over liberal arts academia, and the fraudulent use to which these advantages are put also appear in the stances taken by the United States on questions of ideology and values. These stances are always hostile to socialism and communism, and restrict the development of socialist countries. Previously, the United States devoted most of its efforts to smearing the Soviet Union, but the main target is now China. Early in May 1990, Nixon stated frankly: “While rebuilding the relationship with China, it is very important that we continue to pressure them to abandon socialism. Because we will use this relationship to make China’s policies milder. We must stick to this key point.”72 According to survey data from the U.S. Pew Research Center—an organization surely influenced by U.S. cultural hegemony and fraud—74 percent of Chinese college or university graduates love U.S. culture.73 It is a fact that most Chinese liberal arts scholars who have studied in the United States favor its basic institutional academic theories. To varying extents, they worship, flatter, and fear the United States. This seriously affects the confidence of Chinese citizens in Marxist culture, in socialist culture, and in China’s own rich traditional culture, and needs to be eliminated as soon as possible.

Military Hegemony and Fraud

Since the disintegration of the Soviet Union, the United States has become increasingly presumptuous and has tended to resort to military force or threats in dealing with questions of international relations. In 1999, U.S.-led NATO forces bombed the Federal Republic of Yugoslavia, invoking the formula of “human rights above sovereignty.” In 2003, despite strong opposition from other countries, the United States invaded the sovereign state of Iraq. The Iraq War was not authorized by the UN Security Council, and Washington did not have any legal basis for its military intervention. The United States falsely claimed that Iraq possessed chemical weapons of mass destruction. After occupying Iraq, however, the United States found no evidence to prove that Iraq could produce chemical weapons of mass destruction. The real purpose of the United States in fabricating this lie was to control Iraq’s oil resources by military means.

The United States has consistently emphasized that its own interests should take first place and that its military advantages are not to be challenged. Although its economic strength has declined in relative terms, the United States is still expanding its arsenal and substantially increasing its defense spending. Since the Cold War, the United States has continued to create various military threats and pressures in Europe, the Middle East, and the Asia-Pacific region. To consolidate its hegemonic status, the United States has advocated and promoted NATO’s eastward expansion, with the goal of including all the Central and Eastern European countries in NATO’s sphere of influence and thus constricting Russia’s strategic space. In the Middle East, the United States aims to subvert the legitimate regimes of countries such as Syria and Iran by military means, and to support “color revolutions” in the region. In Asia in recent times, Washington has heightened tensions on the Korean peninsula and has also implemented its “Indo-Pacific strategy” aimed at containing China. The U.S. “Indian strategy” is serving to reveal the identity of its military allies and partners. Allies of the United States include Japan, South Korea, Australia, the Philippines, and Thailand, and its claimed “partners” include Singapore, Taiwan (China), New Zealand, Mongolia; a number of South Asian countries such as India, Sri Lanka, the Maldives, and Nepal; and various Southeast Asian countries such as Vietnam, Indonesia, and Malaysia. The United States further proposes to strengthen its cooperation with Brunei, Laos, and Cambodia. In addition, it will work together with traditional allies such as Britain, France, and Canada to protect so-called Indo-Pacific freedom and openness.74

With the increase in China’s national strength, various U.S. scholars have been eager to invoke the Thucydides trap, claiming that it is difficult for Sino-U.S. relations to escape from this logic. But the truth, as China’s president Xi Jinping has pointed out, is that there is currently no Thucydides trap. Such a trap might, however, be created if the United States and its allies repeatedly make strategic miscalculations involving great powers.75 It may be asserted that it is the military hegemony and fraud of the United States that provides the root cause of the widespread instability, constant local wars, rise of war threats, and refugee crises around the world.

Neoimperialism Is a Parasitic and Decaying Late Imperialism

As Lenin stated,

Imperialism is an immense accumulation of money capital in a few countries.… Hence the extraordinary growth of a class, or rather, of a stratum of rentiers, i.e., people who live by “clipping coupons,” who take no part in any enterprise whatever, whose profession is idleness. The export of capital, one of the most essential economic bases of imperialism, still more completely isolates the rentiers from production and sets the seal of parasitism on the whole country that lives by exploiting the labour of several overseas countries and colonies.76

In the era of neoimperialism, the number of rentiers is increasing sharply, and the nature of the rentier countries is becoming more pronounced. The parasitism and decay of a small number of capitalist countries is further worsened, as can be seen specifically in the following aspects.

First, the United States employs its military, intellectual property, political, and cultural hegemony, as well as the U.S. dollar, to plunder the wealth of the world, especially that of developing countries. The United States is the world’s largest parasitic and decaying country. As evidence of this, we may take the trade between China and the United States. China sells to the United States goods produced by cheap labor, land, and environmental resources. The United States does not need to produce anything in order to buy these goods; it can simply print banknotes. With the money earned, China can then buy only virtual assets such as U.S. treasury bonds, and provide finance for U.S. consumer lending and outward expansion. The United States exports to China securities to which value cannot be added, while China exports to the United States mainly physical goods and labor services. The National Health Report released by the National Health Research Group of the Chinese Academy of Sciences shows that the United States is the country with the most hegemonic dividends in the world, due to the position of its currency, while China is the country with the largest loss of hegemonic dividends. For the year 2011, U.S. hegemonic dividends totaled $7396.09 billion, corresponding to 52.38 percent of the country’s GDP, and the average hegemonic dividends obtained per day came to $20.263 billion. Meanwhile, the sum lost by China totaled $3663.4 billion. In terms of labor time, about 60 percent of the working hours of the Chinese workforce were effectively given without recompense to serve international monopoly capital.77

Second, military spending has increased, which in turn increases the burden on working-class people. Neoimperialism leads and promotes military-related scientific and technological research, the development of advanced weapons, and the expansion of military production. As the People’s Daily observed in 2016, “the military-industrial complex supported by monopoly capital and the cultural hegemony formed on the basis of colonialism have prompted the western countries to intervene in other countries’ affairs at their will.”78 Neoimperialism has thus become the initiator of regional turmoil and instability, and the engine of war. Over the past thirty years, the United States has spent $14.2 trillion on waging thirteen wars.79 Meanwhile, lack of money hinders improvements to the living conditions of the U.S. people in areas such as medical insurance. Exorbitant military spending has become a heavy burden on the country and its people, while the parasitic monopolies in the arms industry have reaped immense profits. According to statistics of the British Institute for International Strategic Studies, official U.S. military expenditures in 2018 came to $643 billion, and in 2019 will reach $750 billion, more than the sum of the military spending of the world’s eight next largest military powers. Since the end of the first Cold War, the United States has launched or participated in six major conflicts: The Gulf War (1991), Kosovo War (1999), Afghanistan War (2001), Iraq War (2003), Libya War (2011), and Syria War (2011).80 The addiction of monopoly capitalism to war is a manifestation of its parasitic and decaying nature. This barbaric characteristic of the system runs counter to civilization and threatens the shared future of the human community. It proves that neoimperialism is the primary root of war.

Third, wealth and incomes are concentrated in the hands of a specific class of owners of financial assets, as reflected in the 1 percent versus the 99 percent formulation. At the neoimperialist stage, the socialization, informatization, and internationalization of production have reached unprecedented levels, and the ability of human beings to create wealth is many times greater than in the old imperialist period. Nevertheless, the advance of productivity that is supposed to be a common gain for humankind has mainly benefited the financial oligarchy. “The bulk of the profits go to the ‘geniuses’ of financial manipulation,” one observer notes.81 In 2001, for example, the financial wealth (excluding property rights) held by the wealthiest 1 percent of the U.S. population was four times greater than that of the poorest 80 percent. The 1 percent held assets on the stock market of $1.9 trillion, roughly equivalent to the value of the stock held by the other 99 percent.82

Fourth, monopoly hinders technological innovation, slowing its advance. The greed and parasitism of financial monopoly capital make its attitude to technological innovation ambivalent. Monopoly capital relies on technological innovation to maintain its monopoly status, but the high profits that result from this status mean that monopoly capital shows a certain inertia in promoting innovation. Even if many advanced functions of mobile phones are successfully developed in the same year, the monopoly producers of mobile phones will divide up these functions to be introduced and promoted over several years. The purpose is to ensure that consumers will continuously purchase mobile phones with new functions, allowing the corporations to obtain high monopoly profits every year.

Fifth, the tendency for monopoly capital and its agents to cause decay in the mass movement is becoming more serious. Lenin observed that “in Great Britain the tendency of imperialism to split the workers, to strengthen opportunism among them and to cause temporary decay in the working-class movement, revealed itself much earlier than the end of the nineteenth and the beginning of the twentieth centuries.”83 Neoimperialism divides the working class, striking at and weakening the labor unions using the excuse provided by the collapse of the Soviet Union and the tremendous changes in Eastern Europe. It also uses its monopoly profits to buy the support of individuals, and fosters opportunist and neoliberal forces within the workers’ movement and various other mass movements. The results of such ploys include the downturn in size and activity of labor unions and other progressive movements, the low ebb of the world socialist movement, and a more obvious and serious tendency for workers to worship the forces of neoimperialism or to be intimidated by them.

Neoimperialism Is a Transitional and Moribund Late Capitalism

Lenin’s Imperialism, the Highest Stage of Capitalism has revealed the transitional and moribund nature of monopoly capitalism for more than a century. However, except in a very small number of countries where socialism is being constructed, most capitalist societies have not perished. They have in fact achieved varying levels of development, and will continue to develop. This raises a very important question: How do we judge the transitional nature of contemporary capitalism, or its tendency to decline and perish? If we use the historical materialist method, the transitional nature of neoimperialism can be characterized on the basis of two points. First, like everything in the world, the neoimperialist system is constantly changing. It is a transient phenomenon in human history, and is not eternal. Second, there are reasons to believe that neoimperialism can eventually transition into socialism through various forms of revolutionary struggle.

In the era of neoimperialism, the developed capitalist countries have undergone many important technological and institutional reforms, which have provided the basis for a certain further development of capitalism and have delayed its demise. High and low growth rates continue to succeed each other, and the period of decay mentioned by Lenin has been greatly extended. This is because the capitalist countries have made many adjustments to their production relations and superstructure, including a degree of macroeconomic regulation, improvements to income distribution and social security, and so forth. In particular, there is no doubt that for the developed capitalist countries the advantages of economic globalization outweigh its disadvantages. Within the process of economic globalization, the powerful developed capitalist countries occupy an absolutely dominant position, through which they set out to maximize the benefits they receive. Their general drive to extend globalization in order to expand their markets does not, however, exclude the possibility of particular countries temporarily reversing the process in response to domestic crises, or as part of efforts to damage commercial competitors. “In the past two years,” a 2019 study notes, “the Trump administration has deepened its reverse globalization trend in the light of the domestic crisis. It adheres to the principle of ‘America first,’ and provokes international economic and trade disputes, trying to get rid of and pass on the domestic crisis.”84 The purpose of the United States in adopting a range of protectionist anti-globalization measures is to alleviate the domestic difficulties and crises it encounters within economic globalization, so as to advance its hegemonic interests.

Meanwhile, there is no essential conflict between the fact that neoimperialism and capitalism can look forward to existing and developing for some time to come, and the fact that a transition to a higher social formation is practically inevitable, provided that these societies do not degenerate into barbarism. The classic Marxist writers avoided setting out a specific timetable for the demise of capitalism and imperialism. Lenin’s scientific judgment is that “imperialism is a decaying but not completely decaying capitalism, a moribund but not dead capitalism.”85 He foresaw that moribund capitalism was very likely to drag out its existence for a prolonged period. Nor, on the basis of a comprehensive analysis, could it be denied that capitalism would see some kind of development even during its moribund stage. Discussing the decay of imperialism, Lenin stated: “It would be a mistake to believe that this tendency to decay precludes the rapid growth of capitalism. It does not.… On the whole, capitalism is growing far more rapidly than before; but this growth is not only becoming more and more uneven in general, its unevenness also manifests itself, in particular, in the decay of the countries which are richest in capital (England).”86

John Bellamy Foster also stressed that, “to say that capitalism is a failed system is not, of course, to suggest that its breakdown and disintegration is imminent. It does, however, mean that it has passed from being a historically necessary and creative system at its inception to being a historically unnecessary and destructive one in the present century.”87

The basic contradictions of capitalism still exist and continue to develop. Likewise, the law of capitalist accumulation still exists and continues to develop. At the point when monopoly capitalism was coming into existence in the late nineteenth and early twentieth centuries, the law of uneven economic and political development of imperialism made it possible for the revolution against capitalism to be victorious initially in one or several countries, before eventually spreading globally.

Decades after The Communist Manifesto proclaimed that capitalism would inevitably expire and Capital declared that the death knell of capitalist private ownership was about to ring, the October Revolution brought the downfall of the Tsarist Russian Empire. Then, the proletarian party led by Mao Zedong in China ended the semicolonial and semifeudal society ruled by the Kuomintang (Mao stated that China represented a feudal and comprador monopoly capitalism after the Second World War). The Soviet Communist Party led by Mikhail Gorbachev and Boris Yeltsin consciously betrayed Marxism-Leninism, resulting in the Soviet Union and the Eastern European socialist countries, with the exception of Belarus, regressing to capitalism. This demonstrates the twists, turns, and general difficulties experienced by the development of socialism and its economic system. But it cannot change the nature and general trend of the historical process.

China’s position on the main international fault lines is clear. In October 1984, Deng Xiaoping stated: “There are two major problems in the world that are very prominent. One is the issue of peace and the other is the North-South issue. There are many other issues, which are not of the same underlying importance or global and strategic significance as these two.” In March 1990, he reiterated: “As for the two major issues of peace and development, the peace issue has not been resolved, and the development issue has become more serious.”88 Deng emphasized that “peace and development” were the two major questions to be resolved.89

Based on the analysis of the character of neoimperialism, it can thus be concluded that neoimperialism represents a new phase of international monopoly into which capitalism develops after passing through the stages of free competitive capitalism, general private monopoly, and state monopoly. In addition, neoimperialism represents a new expansion of international monopoly capitalism, as well as a new system through which a minority of developed countries dominate the world and implement a new policy of economic, political, cultural, and military hegemony. If we examine the current situation on the basis of the international forces of justice and the development of the twists and turns of the international class struggle, the twenty-first century is a new era in which the world working class and the masses can carry out great revolutions and safeguard world peace; in which the socialist countries can carry out great feats of construction and promote ecological civilization; and in which progressive nations can work together to build a community with a shared future for humankind, a world in which neoimperialism and international capitalism gradually make way for global socialism.

Notes

  1. I. Lenin, Selected Works: One Volume Edition (New York: International Publishers, 1971), 232–33.

  2. I. Lenin, Collected Works, vol. 23 (Moscow: Progress Publishers, 1964), 105.

  3. John Bellamy Foster, “Late Imperialism,” Monthly Review 71, no. 3 (July–August 2019): 1–19.

  4. United Nations Conference on Trade and Development, World Investment Report 2013 (Geneva: United Nations, 2013).

  5. United Nations Conference on Trade and Development, World Investment Report 2018 (Geneva: United Nations, 2018).

  6. Richard Dobbs et al., Playing to Win: The New Global Competition for Corporate Profits (New York: McKinsey & Company, 2015).

  7. Karl Marx, Wage-Labour and Capital, in Wage-Labour and Capital/Value, Price and Profit (New York: International Publishers, 1935), 41.

  8. ETC Group, Breaking Bad: Big Ag Mega-Mergers in Play. Dow-DuPont in the Pocket? Next: Demonsanto? (Val-David, Quebec: ETC Group, 2015).

  9. Wang Shaoguang, Wang Hongchuan, and Wei Xing, “Soybean Story: How Capital Threatens Human Security” [in Chinese], Open Times 3 (2013).

  10. Karl Marx and Frederick Engels, The Communist Manifesto (New York: Monthly Review Press, 1964), 7-8.

  11. Lenin, Selected Works, 201.

  12. Lenin, Selected Works, 190.

  13. Stefania Vitali, James B. Glattfelder, and Stefano Battiston, “The Network of Global Corporate Control,” PLoS ONE 6, no. 10 (2011): e25995.

  14. Robert Brenner, The Economics of Global Turbulence (London: Verso, 2006).

  15. Ryan Isakson, “Food and Finance: The Financial Transformation of Agro-Food Supply Chains,” Journal of Peasant Studies 41, no. 5 (2014): 749–75.

  16. William Lazonick, “Profits Without Prosperity,” Harvard Business Review (September 2014).

  17. Thomas I. Palley, “Financialization: What It Is and Why It Matters” (Levy Economics Institute, Working Paper No. 525, December 2007), 19.

  18. Huang, Yiyi, “The Origin and Development of the Maximization of the Shareholder Value” [in Chinese], New Finance Economics 7 (2004).

  19. Erdogan Bakir and Al Campbell, “Neoliberalism, the Rate of Profit and the Rate of Accumulation,” Science & Society 74, no. 3 (2010): 323–42.

  20. Lenin, Selected Works, 212.

  21. John Bellamy Foster, Robert W. McChesney, and R. Jamil Jonna, “The Global Reserve Army of Labor and the New Imperialism,” Monthly Review 63, no. 6 (November 2011): 3.

  22. Imperialist rent is the result of the differential in the prices of labor power of equal productivity. Samir Amin, “The Surplus in Monopoly Capitalism and the Imperialist Rent,” Monthly Review 64, no. 3 (July–August 2012): 83.

  23. Cui Xuedong, “Is the Contemporary Capitalist Crisis a Minsky-Type Crisis or a Marxist Crisis?” [in Chinese], Studies on Marxism 9 (2018).

  24. John Bellamy Foster, R. Jamil Jonna, and Brett Clark, “The Contagion of Capital,” Monthly Review 72, no. 8 (January 2021): 9.

  25. United Nations Conference on Trade and Development, World Investment Report 2018.

  26. Cheng Enfu and Hou Weimin, “The Root of the Western Financial Crisis Lies in the Intensification of the Basic Contradiction of Capitalism” [in Chinese], Hongqi Wengao 7 (2018).

  27. Lu Baolin, “Criticism and Reflection of the Supplyism of the ‘Reagan Revolution’ and ‘Thatcher’s New Deal’: In the Perspective of the Relations between Labor and Capital of Marxist Economics” [in Chinese], Contemporary Economic Research 6 (2016).

  28. “How Powerful Is the ‘Goldman Sachs Gang’ in Influencing U.S. Politics?” [in Chinese], Global Times, January 18, 2017.

  29. Chen Jianqi, “On the Issue of the Contemporary Counter-globalization and Its Response” [in Chinese], Science of Leadership Forum 10 (2017); He Bingmeng, Liu Rongcang, and Liu Shucheng, Asian Financial Crisis: Analysis and Countermeasures [in Chinese] (Beijing: Social Sciences Academic Press, 2007), 66.

  30. Yang Yunxia, “The New Demonstrations of Capitalist Intellectual Property Monopoly and its Essence” [in Chinese], Studies on Marxism 3 (2019).

  31. Lenin, Selected Works, 223.

  32. Lenin, Selected Works, 230.

  33. Lv Youzhi and Zha Junhong, “The Evolution and Influence of the G7 Group after the Cold War” [in Chinese], Chinese Journal of European Studies 6 (2002).

  34. Zbigniew Brzezinski, The Grand Chessboard: American Primacy and Its Geostrategic Imperatives (New York: Basic Books, 1998).

  35. Li Qiqing, “Neoliberalism Against Globalization” [in Chinese], Marxism & Reality 5 (2003).

  36. Jeffry A. Frieden, Global Capitalism: Its Fall and Rise in the Twentieth Century (New York: W. W. Norton, 2007).

  37. He, Liu, and Liu, Asian Financial Crisis, 84, 91.

  38. Liu Zhenxia, “NATO’s New Strategy is the Embodiment of American Hegemony,” Social Sciences Journal of Universities in Shanxi 3 (1999).

  39. Liu, “NATO’s New Strategy is the Embodiment of American Hegemony.”

  40. Pompeo Threatened That the United States Is Establishing a New Global Order Against China and Russia,” Guancha, December 5, 2018.

  41. Liu, “NATO’s New Strategy is the Embodiment of American Hegemony.”

  42. Wang Yan, “Review of Research on the Index System of Cultural Soft Power” [in Chinese], Research on Marxist Culture 1 (2019).

  43. Hao Shucui, “Making the Socialist Culture with Chinese Characteristics Blossom in the Contemporary World Cultural Garden: An Interview with Professor Wang Weiguang, Member of the Standing Committee of CPPCC, Director of the Committee on Nationalities and Religion” [in Chinese], Research on Marxist Culture 1 (2018).

  44. Iranian Officials Slammed Hollywood Movies and Called them ‘Airfone,’” Huanqiu, February 3, 2012.

  45. Xiao Li, “Talks of the American Politicians and Strategists on the Export of Ideology and Values” [in Chinese], World Socialism Studies 2 (2016).

  46. Lenin, Selected Works, 248.

  47. Cheng Enfu and Li Linan, “Marxism and Its Localized Theories in China Are the Soul and Core of Soft Power” [in Chinese], Research on Marxist Culture 1 (2019).

  48. Cheng Enfu, “The New Era Will Accelerate the Process to Enrich People and Strengthen the Country,” Journal of the Central Institute of Socialism 1 (2018).

  49. John Bellamy Foster, Robert W. McChesney, and R. Jamil Jonna, “Monopoly and Competition in Twenty-First Century Capitalism,” Monthly Review 62, no. 11 (2011): 1.

  50. Foster, McChesney, and Jonna, “Monopoly and Competition in Twenty-First Century Capitalism,” 11.

  51. Li Shenming, “Finance, Technology, Culture, and Military Hegemony Are New Features of Today’s Capital Empire” [in Chinese], Hongqi Wengao 20 (2012).

  52. United Nations Conference on Trade and Development, Trade and Development Report 2017 (Geneva: United Nations, 2017).

  53. Global 500, 2018,” Fortune, accessed March 23, 2021.

  54. Li Chong’s research also shows that the rate of surplus value increased. According to his calculations, from 1982 to 2006 the variable capital of U.S. corporations increased from $1,505.616 billion to $6,047.461 billion, a rise of 301.66 percent. Meanwhile, surplus value increased from $674.706 billion to $3,615.262 billion, a rise of 435.83 percent. Li Chong, “Marx’s Law of the Falling Rate of Profit: Analysis and Verification” [in Chinese], Contemporary Economic Research 8 (2018).

  55. Lu Baolin, “Labor Squeeze and Profit Rate Recovery: A Discussion of the Neoliberal Accumulation System of Globalization and Financialization” [in Chinese], Teaching and Research 2 (2018).

  56. Guglielmo Carchedi and Michael Roberts, “The Long Roots of the Present Crisis: Keynesians, Austerians, and Marx’s Law,” World Review of Political Economy 4, no. 1 (2013): 86–115.

  57. Xie Chang’an, “Research on the Evolution of International Competition Patterns in the Age of Financial Capital” [in Chinese], World Socialism Study 1 (2019).

  58. Facundo Alvaredo et al., World Inequality Report 2018 (Berkeley: World Inequality Lab, 2017), 15.

  59. Wang Zhiqiang, “International Transfer of Surplus Value and the Change of the General Profit Rate: Based on the Empirical Evidence of 41 Countries” [in Chinese], Journal of World Economy 11 (2018).

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  61. Credit Suisse, Global Wealth Report 2013 (Zurich: Credit Suisse, 2013).

  62. Tom O’Connor, “China Responds to Iran Capturing ‘U.S. Spies’: Remember When Mike Pompeo Said CIA Lies, Cheats and Steals?,” Newsweek, July 23, 2019.

  63. To cheat is to deceive people by using false words and deeds to conceal the truth. Fraud, which is even worse, involves deceptive acts committed by deceitful means. It refers to behavior intended to create confusion and misunderstanding.

  64. Matthew J. Belvedere, “Larry Summers Praises China’s State Investment in Tech, Saying It Doesn’t Need to Steal from US,” CNBC, June 27, 2018.

  65. Zhu Changsheng, “The Real Purpose of the West Collectively Shaming Russia Finally Surfaces” [in Chinese], Kunlunce, April 12, 2018.

  66. Mike Pence, “Remarks by Vice President Pence to Migrant Community at the Santa Catarina Shelter,” U.S. Embassy & Consulates in Brazil, June 27, 2018.

  67. Stupid to Regard One Civilization as Exceptional,” China Daily, May 22, 2019.

  68. Zhang Yang and Yuan Yuan, “To What Extent Does American Culture Affect China?” [in Chinese], People’s Tribune 7 (2017): 131–33.

  69. Zhang and Yuan, “To What Extent Does American Culture Affect China?”

  70. Shen Yi, “The Debate on Principles of Global Cyberspace Governance and China’s Strategic Choice” [in Chinese], Foreign Affairs Review 2 (2015): 65–79.

  71. Yang Minqing, “Decoding US Cyber Hegemony: the ‘Victim of Cyber War’ Owns 100,000 Network Soldiers” [in Chinese], Global View, 2015.

  72. Liu Liandi, “Discussion by American Politicians and Newspapers of the Peaceful Evolution of China” [in Chinese], International Data Information 8 (1991).

  73. Zhang and Yuan, “To What Extent Does American Culture Affect China?”

  74. Ma Xiaowen, “The United States Is Unleashing an Indo-Pacific Strategy to Shape a New Orient” [in Chinese], China Times, June 5, 2019.

  75. Xi Jinping, “President Xi’s Speech on China-U.S. Ties,” China Daily, September 22, 2015.

  76. Lenin, Selected Works, 241.

  77. Yang Duogui and Zhou Zhitian, National Health Report I [in Chinese] (Beijing: Science Press, 2013), 217.

  78. Han Zhen “The Institutional Roots of Social Chaos in the West” [in Chinese]. People’s Daily, October 23, 2016.

  79. Ma Yun, “Globalization Was Controlled by 6,500 Transnational Corporations in the Past,” Tencent Financial News, January 19, 2017.

  80. Zhu Tonggen, “An Analysis of the Legitimacy of the Major Wars Launched by the United States after the Cold War: Taking the Gulf War, the Afghanistan War, and the Iraq War as Examples” [in Chinese], Global Review 5 (2018).

  81. Lenin, Selected Works, 185.

  82. John Bellamy Foster, “The Financialization of Capitalism,” Monthly Review 58, no. 11 (April 2007): 7–8.

  83. Lenin, Selected Works, 246–47.

  84. Liu Mingguo, and Yang Junjun, “Beware of the New Round and More Serious Financial Crisis: An Analysis of the Economic Situation of the US in the Post-crisis Era” [in Chinese], Economics Study of Shanghai School 1 (2019).

  85. Lenin, Collected Works, vol. 23, 105.

  86. Lenin, Selected Works, 260.

  87. John Bellamy Foster, “Capitalism Has Failed—What Next?,” Monthly Review 70, no. 9 (February 2019): 1–24.

  88. Deng Xiaoping, Collected Works of Deng Xiaoping, vol. 3 [in Chinese] (Beijing: People’s Publishing House, 1993), 96, 353.

  89. Li Shenming, “An Analysis of the Age and Its Theme” [in Chinese], Hongqi

Revisiting the Paris Commune of 1871: “Glorious Harbinger of a New society”

By Sandra Bloodworth

Republished from Marxist Left Review.

Eleanor Marx wrote of the Paris Commune:

It is time people understood the true meaning of this Revolution; and this can be summed up in a few words… It was the first attempt of the proletariat to govern itself. The workers of Paris expressed this when in their first manifesto they declared they “understood it was their imperious duty and their absolute right to render themselves masters of their own destinies by seizing upon the governmental power”.1

Karl, her father, had addressed the International Workingmen’s Association (known as the First International) on 30 May 1871. He began with: “On the dawn of March 18, Paris arose to the thunder-burst of ‘Vive la Commune!’ What is the Commune, that sphinx so tantalising to the bourgeois mind?”2

Marx went on to describe why he was so inspired. The Paris Commune

was the first revolution in which the working class was openly acknowledged as the only class capable of social initiative, even by the great bulk of the Paris middle class – shopkeepers, tradesmen, merchants – the wealthy capitalist alone excepted.3

Many of the lessons Marx drew from this momentous event have in the last half century been largely lost to workers struggling to get control over their lives. But if we listen to the voices of the women and men of the Commune, if we examine the barbarous response of the National Government headed by the reactionary Adolph Thiers, we find that the lessons are just as relevant to our struggle many years later. As Walter Benjamin argued so poetically:

The class struggle, which always remains in view for a historian schooled in Marx, is a struggle for the rough and material things, without which there is nothing fine and spiritual… [The latter] are present as confidence, as courage, as humour, as cunning, as steadfastness in this struggle, and they reach far back into the mists of time. They will, ever and anon, call every victory which has ever been won by the rulers into question. Just as flowers turn their heads towards the sun, so too does that which has been turned, by virtue of a secret kind of heliotropism, towards the sun which is dawning in the sky of history. To this most inconspicuous of all transformations the historical materialist must pay heed.4

In paying heed I will attempt to capture the incredible atmosphere of joy, experimentation and creativity which flourished. But we cannot flinch from the horror of that terrible last week, known as la semaine sanglante, where at least 30,000 people were slaughtered by a government determined to crush not just the physical presence of this social revolution, but also its spirit. The preparedness of the ruling class to inflict such violence should be burned into the consciousness of every anti-capitalist activist. Any movement with a vision of a new society must confront the vexed question of how to win in the face of such barbarism.

The Commune established a more thoroughly democratic society than capitalism has ever seen before or since. The reforms introduced were far in advance of anything the capitalists had ever sanctioned, some of which still have not been won in many countries. The 150th anniversary of this marvellous event is a good time to revisit the inspiring first steps of the revolutionary workers’ movement, and draw the lessons that can be learnt from its successes and ultimate defeat.

The uprising

It all began as the sun rose over the radical working-class arrondissements5 of Montmartre and Belleville on 18 March 1871. Soldiers began seizing nearly 250 cannon deliberately placed in these working-class areas by the National Guard, a popular Parisian militia. The soldiers had been sent there by the head of the new republican government, Adolphe Thiers. Among other things, Thiers was widely despised for his role in the brutal suppression of workers’ rebellions in 1848.

But contrary to Thiers’ expectation of a swift exercise, the affair spun out of control. The incompetent army had forgotten to bring horses to drag the cannon, which gave the Guardsmen time to fraternise with soldiers. Expecting a treasonous crowd, the soldiers began turning their rifles up as the streets rang with declarations of Vive la République!

The London Times correspondent describes the scene as women came out to buy bread and prepare for the day: “Small savage groups of blouses [were] making cynical remarks upon everybody’s cowardice… ‘If they had only left them to us to guard they would not have been captured so easily’.” This militancy and self-assurance of the working women of Paris, convinced that they could fight better than the men, will reverberate through the whole revolution. Our witness, moving along to the suburb of Belleville, recorded soldiers and Guardsmen finding they had much in common. Let’s pause to witness a typical scene:

There was something intensely exciting in the scene. The uncertainty for a moment whether the men were meeting as friends or enemies, the wild enthusiasm of the shouts of fraternization, the waving of the upturned musket, the bold reckless women laughing and exciting the men against their officers, all combined to produce a sensation of perplexity not unmingled with alarm at the strange and unexpected turn things were taking.6

Fraternisation, courageous defiance by the masses of Paris and mutiny were the hallmark of the day. When troops blocked the entrance to the church of Saint-Pierre to stop anyone ringing the tocsin in order to alert the National Guard and citizens to the danger, workers got into other churches, climbing into the steeples. The tolling of the tocsins brought increasing numbers crowding into the streets.7

The correspondent described these areas as “rugged open spaces where the lawless crowds of these parts love to hold their meetings and park their cannon”. Belleville, side by side with Montmartre on the right bank, is described as “[t]he most solidly working-class district in all of Paris, and the most revolutionary”.8 These cannon were regarded as their cannon, financed by workers’ subscriptions to the National Guard since the revolution of 1848. And they were the only means of defence against the Prussian army shelling the city since Thiers had moved his troops to Versailles. When the Times correspondent queried a National Guardsman about possible fighting, he was rebuked: “Sacrebleu, do you suppose we are going to allow these Canaille to take our cannon without firing a shot?”9 After all, the National Guard had deliberately positioned their cannon to defend these key suburbs.

Hostile crowds quickly gathered to block the soldiers trying to move the cannon. Eyewitness accounts all draw our attention to the large numbers of women and children. Louise Michel, one of the most flamboyant and radical figures of the Commune, later recalled the events at Montmartre:

Montmartre was waking up; the drum was beating. I went with others to launch what amounted to an assault on the hilltop. The sun was rising and we heard the alarm bell. Our ascent was at the speed of a charge, and we knew that at the top was an army poised for battle. We expected to die for liberty.

It was as if we were risen from the dead. Yes, Paris was rising from the dead. Crowds like this are sometimes the vanguard of the ocean of humanity… But it was not death that awaited us… No, it was the surprise of a popular victory.

Between us and the army were women who threw themselves on the cannons and on the machine guns while the soldiers stood immobile.10

General Lecomte three times ordered the soldiers to fire on the crowd. “A woman challenged the soldiers: ‘Are you going to fire on us? On our brothers? On our husbands? On our children?’” Lecomte threatened to shoot any soldier who refused to do just that. As they hesitated, he demanded to know if they “were going to surrender to that scum”. Michel recalled:

[A] non-commissioned officer came out from the ranks and…called out in a voice louder than Lecomte’s. “Turn your guns around and put your rifle butts up in the air!” The soldiers obeyed. It was Verdaguerre who, for this action, was shot by Versailles some months later. But the revolution was made.11

Later, Lecomte and another General, Clément Thomas, were taken prisoner before being shot. This incident would become the centre of controversy for years to come, trotted out by enemies of the Communards to demonstrate their barbarism. Of course, the two men’s role in perpetrating mass violence to crush the revolution of 1848 and Lecomte’s repeated orders to kill women and children are rarely mentioned.

Hostile witnesses viewed events through the jaundiced eyes of those accustomed to wielding unchallenged authority, but the narrative is the same. A Versailles army officer recorded that where he was in charge they were

stopped by a crowd of several hundred local inhabitants, principally children and women. The infantry detachment which was there to escort the cannon completely forgot their duty and dispersed into the crowd, succumbing to its perfidious seductions, and ending by turning up their rifle butts.12

A proclamation by Thiers was posted around the city: the taking of the cannon was “indispensable to the maintenance of order”, the intention of the government was to rid the city of the “insurrectionary committee” propagating “communist” doctrines, threatening Paris with pillage. This slur that the rebels wanted to destroy Paris, issued by the reactionary who had abandoned Paris to be shelled and occupied by the Prussians, was the source of even more determined resistance.

Once the horses arrived, some soldiers succeeded in beginning to move some of the cannon in Belleville. Guardsmen and residents responded by building barricades to physically prevent their removal. The crowd swelled, transforming itself from a mass of spectators to increasingly angry and active participants. One observer wrote that they saw

women and children swarming up the hillside in a compact mass; the artillery tried in vain to fight their way through the crowd, but the waves of people engulfed everything, surging over the cannon-mounts, over the ammunition wagons, under the wheels, under the horses’ feet, paralysing the advance of the riders who spurred on their mounts in vain. The horses reared and lunged forward, their sudden movement clearing the crowd, but the space was filled at once by a back-wash created by the surging multitude.

In response to a call by a National Guardsman, women cut through the horses’ harnesses. The soldiers began dismounting, accepting the offers of food and wine from the women. As they broke ranks they became “the object of frenetic ovations”.13

Some time later the Times correspondent returned to Montmartre and visited the barricade, the first stone of which he had seen laid. It had now

grown to considerable dimensions by reason of the rule which is enforced that every passer must place a stone, a pile of which is placed for the purpose on each side of the street… New barricades were springing up in every direction… It was now midday, and the whole affair wore a most strange and incomprehensible aspect to one not brought up to making barricades… Instead of a government blocking every street as was the case in the morning, a hostile cannon was now looking down every street.14

The barricades would develop their own centres of activity, drama and tragedy which would become a focus for historians. Eric Hazan, in his book The Invention of Paris, a History in Footsteps, includes a history of barricades and their “theatrical role” with reference to the Commune’s use of them.15

Cordons of soldiers had been replaced by National Guards supervising barricade-building. The streets, so quiet first thing in the morning, were now “swarming with [Guardsmen], drums were beating, bugles blowing, and all the din of victory”.16

By midday, General Vinoy, assigned to capture the cannon, was fleeing Paris. A Commune sympathiser wrote in his diary:

Legally we had no more government; no police force or policemen; no magistrate or trials; no top officials or prefects; the landlords had run away in a panic abandoning their buildings to the tenants, no soldiers or generals; no letters or telegrams; no customs officials, tax collectors or teachers. No more Academy or Institute: the great professors, doctors and surgeons had left… Paris, immense Paris was abandoned to the “orgies of the vile multitude”.17

How to explain this seemingly spontaneous mass mobilisation over a few hundred cannon? Paris had been under siege by the Prussians since 19 September 1870 and shelled relentlessly since 5 January. Anger with Thiers was intense. He had gone to war with Germany the previous July for the glory of the French empire. Confronted with defeat by Bismarck’s army, he baulked at the idea of arming the population of Paris. And the bourgeoisie refused to support any defence of Paris while the National Guard, with its working-class membership, remained in control of armaments. It was clear that to win the war with Bismarck, all cities, especially Paris, needed to be mobilised under arms. But the history of France since the revolution of 1789 had been one of recurring social upheavals which terrified the bourgeoisie. An army general later summed up the problem: “the diplomacy of the government and almost all of the defence revolved around one thing: the fear of revolt”.18 So Thiers had conspired with Prussia’s Bismarck to crush radical Paris as a condition of a treaty to end the war. Removing the cannon was part of that process.

“Paris armed is the revolution armed”, remarks Marx. And so Thiers, “by surrendering to Prussia not only Paris, but all France…initiated the civil war they were now to wage, with the assistance of Prussia, against the republic and Paris”.19

Attempting to seize the cannon was in reality simply the trigger which unleashed a well of bitterness fed by poverty and squalor in the overcrowded working-class districts. The restructuring of Paris by Georges-Eugène Haussmann,20 appointed by Louis Napoléon Bonaparte, who ruled from his coup d’état in 1852 until September 1870, had been devastating. New, wide boulevards cut swathes through workers’ districts, destroying 100,000 apartments in 20,000 buildings. This displaced thousands from central Paris, with the poor crowding into Montmartre and Belleville. In the midst of a booming economy, it is estimated that a majority of the working class required government assistance.21 Alongside growing misery, the wealthy enjoyed glitzy arcades packed with elegant stores and cafés within walking distance of their magnificent private residences. As Merriman says, “the bourgeoisie’s day had truly arrived”.22 The rebuilding of Paris, which was meant to stave off social unrest, had instead stoked it for decades.

The victorious movement of March 1871 had brought to life what became known as the Paris Commune. Its task was now to reorganise life in the city, based on principles of justice, equality and freedom from tyranny.

The Commune – a new power

As we follow events over the next 72 days we will witness truly awe-inspiring achievements. Innovative democratic institutions were established. And the experience of taking control over their society inspired mass involvement in debates about all aspects of their lives. They replaced the state with one under their control. They vigorously attempted radical reforms in the family, the conditions of women, in the workplace, and education, well ahead of the times, as they debated the role of science, religion and the arts in society.

Edmond de Goncourt – co-founder of the naturalist school of literature in France and whose will established the Goncourt Academy which annually awards the prestigious French literary prize – left this testimony to the Commune’s proletarian character:

The triumphant revolution seems to be taking possession of Paris…barricades are being put up everywhere, naughty children scramble on top of them… You are overcome with disgust to see their stupid and abject faces, which triumph and drunkenness have imbued with a kind of radiant swinishness…for the moment France and Paris are under the control of workmen… How long will it last?… The unbelievable rules…the cohorts of Belleville throng our conquered boulevard.

He is disgusted by their “mocking astonishment” at their achievement, noting that they wear their shoes without socks! He admits that the “government is leaving the hands of those who have, to go into the hands of those who have not”.23

By midday on 18 March, the population had established a situation of dual power: radical Paris in a standoff with the government in Versailles. On one side was Adolph Thiers, a reactionary through and through. His government, elected as recently as February, had already fled to the decadent safety of Versailles, accompanied by the army and a stream of bourgeois and respectable middle-class figures. Now it operated from the Grand Château of the Bourbon monarchy in Versailles, the reactionary centre of the centuries-old alliance between the Catholic church and the Bourbons. Thiers, determined to crush the Commune, would be backed by all of respectable opinion, both in France and across Europe.

On the other side of the barricades, workers created the most democratic institutions known to humanity at that time. Marx would write of their achievements: “[t]he great social measure of the Commune was its own working existence. Its special measures could but betoken the tendency of a government of the people by the people”.24 Such a state of affairs was a direct threat to the repressive rule of Thiers, the monarchy and the church.

Whenever the oppressed rise up and fight for their rights, a sense of revelry inevitably follows. This is what inspires sympathetic witnesses of revolutions to describe such moments as festivals of the oppressed. Paris in 1871 was no different. Even bitter enemies of the Commune could not but convey the joyous atmosphere in the wake of the victory of 18 March. One recorded the experience of standing in front of the Hôtel de Ville, the Paris town hall now occupied by the Communards, while the names of those elected to form a Commune Committee were read out:

I write these lines still full of emotion… One hundred thousand perhaps, where did they come from? From every corner of the city. Armed men spilled out of every nearby street, and the sharp points of the bayonets, glittering in the sun, made the place seem like a field of lightning. The music playing was the Marseillaise, a song taken up in fifty thousand resolute voices: this thunder shook all the people, and the great song, out of fashion from defeats, recovered for a moment its former energy.

…An immense sea of banners, bayonets, and caps, surging forward, drifting back, undulating, breaking against the stage. The cannons still thundered, but they were heard only in intervals between the singing. Then all the sounds merged into a single cheer, the universal voice of the countless multitude, and all these people had but one heart just as they had but one voice.25

The elected Commune Committee was entrusted with the momentous responsibility of defending the city against Versailles, organising food supplies, care for the wounded; indeed, of reorganising the entire life of the city.

The state

The old state power had been demolished, a significant move Marx emphasised:

[F]or the first time since the days of February 1848, the streets of Paris were safe, and that without any police of any kind. “We,” said a member of the Commune, “hear no longer of assassination, theft, and personal assault; it seems indeed as if the police had dragged along with it to Versailles all its Conservative friends”.

To emphasise the significance of this, Marx puts it in a broader context:

The direct antithesis to the empire was the Commune. The cry of “social republic” [the popular slogan of the mass movement]…did but express a vague aspiration after a republic that was not only to supersede the monarchical form of class rule, but class rule itself. The Commune was the positive form of that republic.

Paris, the central seat of the old governmental power, and, at the same time, the social stronghold of the French working class, had risen in arms against the attempt of Thiers…to restore and perpetuate that old governmental power bequeathed to them by the empire. Paris could resist only because, in consequence of the siege, it had got rid of the army, and replaced it by a National Guard, the bulk of which consisted of working men. This fact was now to be transformed into an institution. The first decree of the Commune, therefore, was the suppression of the standing army, and the substitution for it of the armed people.26

This revolutionary move was the basis on which the new democracy that Marx celebrates could be built.

The majority of [the Commune Committee’s] members were naturally working men, or acknowledged representatives of the working class. The Commune was to be a working, not a parliamentary body, executive and legislative at the same time. The Commune was formed of the municipal councillors, chosen by universal suffrage in the various wards of the town, responsible and revocable at short terms.

This was a key point Marx emphasised: how elected delegates and government officials can be made accountable. But not just elected delegates. “Like the rest of public servants, magistrates and judges were to be elective, responsible, and revocable.”27

Work

Marx concluded that these innovative democratic structures were “the political form at last discovered under which to work out the economical emancipation of labour” and explained:

The political rule of the producer cannot co-exist with the perpetuation of his social slavery. The Commune was therefore to serve as a lever for uprooting the economical foundation upon which rests the existence of classes, and therefore of class rule. With labour emancipated…productive labour ceases to be a class attribute.28

The Commune Committee was not just left to get on with decreeing reforms while everything went back to the old normal. Historians have documented the incredible flowering of organisation, debate and social experimentation that took place, adding a tapestry of rich detail which illuminates Marx’s theoretical generalisations. Many of the organisations and their proposals were based on demands which had been discussed by socialists and worker militants for decades. The difference now was that they were not just topics for debate and protest. Now they became the expression of the poor and oppressed as they began to take control of their lives.

The Committee set up a range of Commissions to deal with specific areas. The Jewish-Hungarian worker, Léo Frankel, a member of the International and collaborator of Marx, was appointed minister of labour to deal with workers’ rights and working conditions. Night work by bakers was abolished; employers were banned from reducing wages by levying their employees with fines under any pretext, “a process in which the employer combines in his own person the parts of legislator, judge, and executor, and filches the money to boot”.29

Some issues were complicated due to conflicting priorities. Military supplies were obviously of paramount importance. But the Commune’s purchase of the cheapest equipment did not sit easily beside workers’ demands for decent wages. The commissioner for finance, Proudhonist François Jourde, baulked at rewriting contracts with employers, hardly surprising given the Proudhonists supported private property. But as Frankel pointed out, “the revolution was made exclusively by the working class. I don’t see what the point of the Commune is if we…do nothing for that class”. In response to the workers themselves, new contracts specifying a satisfactory minimum wage were agreed. The employers were not consulted.

An additional clause decreed by the Labour Commission stated that where possible contracts be awarded “directly to the workers’ own corporations”. Workers’ corporations can be understood here to refer to co-operatives, associations and trade unions. They were strongly backed by Frankel’s Commission as a vehicle for socialism. The Commission also decreed that the enterprises of any employers who fled to Versailles were to be taken over by its workers.30

Another of Marx’s collaborators in the International played a key role in influencing the Labour Commission.31 The Russian socialist Elisabeth Dmitrieff was central to establishing the Union des Femmes, or Women’s Union. It was the women’s section of the First International. A mariage blanc32 had provided Dmitrieff with an escape route out of Russia. She had spent the last three months in London, where she met with Marx almost daily, discussing theories of revolution. Prior to that she had joined the International in Geneva, where she had met the future Communards Eugène Varlin and Benoît Malon. According to historian Kristin Ross, the Union des Femmes became the largest and most effective organisation in the Commune.33 It met daily in almost every one of the twenty arrondissements. The membership was dominated by workers in the garment trades: seamstresses, laundresses, dressmakers and so on.34

The Union des Femmes’ discussions included theoretical questions about ending private property and the issues of gender-based inequality, as well as solving the day to day struggle to provide fuel and food to families. At the same time they participated in the defence of the Commune, maintenance of barricades, tending to the sick and wounded. Ross sums up: “In some ways, the Women’s Union can be seen as the practical response to many of the questions and problems regarding women’s labour that had been the discussion topic [for years]”.35

Another historian, Donny Gluckstein, argues: “[t]he Labour Commission’s work was shaped by, and depended absolutely on, the Women’s Union and the trade unions’ workers’ corporations, which in turn were empowered by the commission.”36 Spelling out their mission, the Union des Femmes declared: “We want work, but in order to keep the product. No more exploiters, no more masters. Work and well-being for all”. At their urging, the Commune set up cooperatives to make Guardsmen’s uniforms, which provided well-paid work under the women workers’ control.37

While women suffered special oppression, their working lives were also shaped by the broader conditions facing the working class. They made remarkable moves in the direction towards workers’ control, in spite of limited time and conditions of war: “There were a dozen confiscated workshops, above all those linked to military defence… Five corporations had begun searching out the available workshops, ready for their confiscation”. And state-owned establishments such as the mint and the national print shop were put under workers’ management. Even the café workers, given these leads, began to set up a trade union.38

The radical clubs

The tradition of radical political clubs, inspired by the 1789-92 revolution and revived in 1848, had emerged from the underground in the year leading up to the Commune. They discussed a wide range of issues: political strategy, which reforms to prioritise, women’s rights, attitudes to the church and science, how to better organise defence and strengthen the barricades and more. Previously these issues were confined to radical circles, but now the clubs attracted a wider audience and enthusiastic support for their proposals. Workers were the great majority of participants, but middle-class radicals also joined in. Between 36 and 50 clubs met daily, mostly in the working-class districts. Some were huge, involving thousands, with women playing a prominent role both in their own clubs and in mixed ones with men.39 Many discussions resulted in sending resolutions to the Commune Committee, and there was an ongoing debate regarding its relationship to the clubs.

An anti-Communard gave a sense of the spirit which made the clubs such a vibrant part of the new democracy:

From Rue Druout right up to the Montmartre district the boulevards had become a permanent public meeting or club where the crowd, divided into groups, had filled not only the pavements but also the road to the point of blocking…traffic. They formed a myriad of public assemblies where war and peace were hotly debated.40

Élie Reclus, an ethnographer given responsibility for the management and preservation of the Bibliothèque Nationale, called them “schools for the people”, where constructive debate flourished and a heightened sense of community was created. Ross describes the clubs as “a quasi-Brechtian merging of pedagogy and entertainment”.41

A week after the declaration of the elected Commune Committee, on the initiative of the club in the third arrondissement that was endorsed by the Commune Committee, churches across the city were commandeered as meeting places and organising centres. These venues, unlike street meetings, created a sense of seriousness and permanence in the clubs, even of high drama. Lissagaray, member of the International and author of one of the first books published about the Commune, penned a colourful description of one such meeting:

The Revolution mounts the pulpits…almost hidden by the shadow of the vaults, hangs the figure of Christ draped in the popular oriflamme. The only luminous centre is the reading desk, facing the pulpit, hung with red. The organ and the people chant the Marseillaise. The orator, over-excited by these fantastic surroundings, launches forth into ecstatic declamations which the echo repeats like a menace. The people discuss the events of the day, the means of defence; the members of the Commune are severely censured, and vigorous resolutions are voted to be presented to the Hôtel de Ville the next day.42

It is wonderful to imagine such revolutionary proceedings taking place beneath soaring ceilings and beautiful stained glass windows. Occupying these odes to privilege and power was a constant reminder of the momentous challenge the Commune had thrown down before the bourgeoisie, the monarchy and their ally, the church.

Separating church and state

Marx noted that once the state force was dismantled, the Commune

was anxious to break the spiritual force of repression…by the disestablishment and disendowment of all churches as proprietary bodies… The whole of the educational institutions were opened to the people gratuitously, and at the same time cleared of all interference of church and state. Thus, not only was education made accessible to all, but science itself freed from the fetters which class prejudice and governmental force had imposed upon it.43

Anti-church sentiment was not just the preserve of small numbers of radicals. The Catholic church had thrown its wealth and power behind Bonaparte’s dictatorship, never concealing its bitter hostility to republicanism. So the growing opposition to Bonaparte was organically anti-clerical, among both middle-class radicals and the urban poor. In the large cities, attendance at religious ceremonies had sharply declined before the revolution, especially among workers. It’s not difficult to see why. The church taught that the poor would be rewarded for their suffering by passing from this vale of tears to the glories of heaven. But to enter that heaven you had to silently endure endless misery. As well, the church, in this time of the Enlightenment and a rapidly changing world, was seen as a bastion of ignorance, summed up by the Syllabus of Errors in 1864 which denounced modern society.44 As Merriman writes: “[t]he church’s close association with people of means had long drawn popular ire; the birth of the Commune merely unleashed it”.45

State laws were strongly influenced by the church’s teachings about the family, women’s role and morality. So the programs for reforms raised in the clubs around such issues were more often than not entwined with anti-religious bitterness.

There were no bounds to the irreverence displayed once the churches were commandeered. Mock masses, holy water replaced with a pile of tobacco, statues of the Virgin Mary dressed in the uniform of women supplying provisions to the National Guard, sometimes with a pipe in her mouth. At the same time the Communards in many cases allowed ceremonies for the devout to go ahead in the mornings before the clubs met. As such the meetings would often take place amidst flowers, crucifixes and other religious paraphernalia left behind from morning mass and other religious events.

Church properties provided much needed venues, a practical issue which just happened to intersect with the anti-church sentiment. Notre-Dame-de-Lorette became a barracks at one stage, then a jail for those arrested for refusing to fight. The Women’s Union’s cooperative was housed in Saint-Pierre in Montmartre, also used as a storage place for munitions and a school for girls. Another became a medical facility.46 In a reversal of the old order, speakers in the clubs insisted that the clergy pay rent to the Commune for use of ecclesiastical spaces for “their comedies”. Proceeds were to go to the widows and orphans of the fighting. The club of Faubourg Saint-Antoine suggested that church bells be melted to make cannon.47

The hostility to the church is a theme in many records of the time. For instance, when the archbishop, who had been arrested, called the head of police and court officials “my children”, the sharp response was: “We are not children – we are the magistrates of the people!” Merriman cites a document in which the archbishop is described as “Prisoner A who says he is a servant of somebody called God”.48

While one third of all students attended religious schools, the church exercised a virtual monopoly over the education of girls, a fact directly related to the lower rates of literacy among women.49 In general, religious education was backward and stifling. A commission headed by a range of artists, teachers and songwriters instigated closing down the church schools and removing religious symbols.50 Where necessary, crowds took direct action to shut schools taught by religious figures, who had never been required to have the qualifications demanded of regular teachers. Many of them resigned, asking for lay teachers to replace them. By May religious teaching was banned in all schools.

Education

Members of the First International were prominent in debating and proposing innovations on a number of intersecting questions around education. The official journal of the Commune records that they were active in organising public educational meetings and reorganising education “on the largest of possible bases”. Ross puts well how central was the issue:

A lived experience of “equality in action”, the Commune was primarily a set of dismantling acts directed at the state bureaucracy and performed by ordinary men and women. Many of these dismantling acts were focused, not surprisingly, on that central bureaucracy: the schools.51

Discussions about education went well beyond secularisation. A third of children had no access to education at all, and the Commune would try to implement compulsory and equal education for both boys and girls. Teachers’ wages were raised, with women and men on equal pay. A school of industrial arts was established with a woman as director. Students would receive scientific and literary instruction, then use some of the day for the application of art and drawing to industry. One of the most enthusiastic supporters of the polytechnic schools was Eugène Pottier, member of the International and a supporter of the utopian socialist Charles Fourier’s concept of “attractive work”. A son of a box-maker, Pottier was a fabric designer and a poet. Unlike today, theoretical and practical debates about education were not carried out in the rarefied circles of academia, but in the clubs around the city. Declarations reflecting those debates were printed as posters and pasted on walls in the streets. One which bore Pottier’s name read in part:

That each child of either sex, having completed the cycle of primary studies, may leave school possessing the serious elements of one or two manual professions: this is our goal…the last word in human progress is entirely summed up by the simple phrase: Work by everyone, for everyone.52

“Secular nurseries” were also set up near workplaces employing women. They were guided by principles laid down by the utopian socialist Charles Fourier: caregivers were not to wear black or dark-coloured clothing, and were rotated to avoid boredom or tiredness setting in, “it being important that children should be looked after only by cheerful and young women, whenever possible”. Religious representations were replaced with pictures and sculptures of real objects such as animals and trees, including aviaries full of birds. Boredom was thought to be “the greatest malady” of children.53 We get a glimpse of some of what those children were taught in this anecdote from a gentleman who witnessed a “band” of 200 “toddlers” marching behind a drum and a small red flag. “They sing at the top of their lungs ‘La Marseillaise’. This grotesque parade celebrated the opening of a lay school organised by the Commune.”54

Marx’s collaborator, Benoît Malon, helped set up an asylum for orphans and runaways, where they could be offered basic instruction. Paule Mincke opened one of the first schools for girls. They requisitioned a Jesuit school, because it was endowed with the most advanced equipment and laboratories. Édouard Vaillant set up a professional school of industrial art for girls, occupying the École des Beaux Arts. This school introduced a new approach to teaching. Any skilled worker over the age of 40 could apply to become a professor.55

The emphasis on science as fundamental to the advance of society was a powerful theme. A young scientist from the US, Mary Putnam Jacobi, happened to be in Paris. Her experience in that spring “led to a political awakening” and inspired her to spend the next three decades campaigning against sexist assumptions about women’s biology. She became a powerful advocate for the equal contribution of women to medicine and developed the philosophy that the advance of science and the advance of women were one and the same objective. She depathologised menstruation by disproving the then widely held notion that rest was necessary in order to prevent infertility, one of the reactionary ideas of the Proudhonists.

Women’s rights and the family

Marx mocks “the absconding men of family, religion, and, above all, of property”, and writes:

In their stead, the real women of Paris showed again at the surface – heroic, noble, and devoted, like the women of antiquity. Working, thinking, fighting, bleeding Paris – almost forgetful, in its incubation of a new society, of the Cannibals at its gates – radiant in the enthusiasm of its historic initiative!56

As already discussed, women were involved in pushing many of the Commune’s most radical proposals. This is not surprising. Women – due to the specific nature of their oppression – can be the bearers of more conservative ideas in stable times, especially when trapped in the home. But when they challenge their chains of oppression, they often become the most dynamic element of mass movements, with less to lose and more to gain from a fundamental transformation of the status quo.

The Commune immediately made farsighted and fundamental improvements to women’s lives. The remission of rents and the ban on sales of goods deposited at the pawn shops lifted a huge burden from workers’ families. A decree on 10 April granted wives – legal or defacto – of Guardsmen who were killed defending the Commune a pension of 600 francs. Each of her children, legitimate or not, could collect 365 francs until they turned 18. And orphans would receive the education necessary “to make their own way in society”.57 As Edith Thomas, in her social history of women in the Commune, remarks: “This was an implicit recognition of the structure of the working-class family, as it really existed, outside the context of religious and bourgeois laws”. Unions libres were common among workers but not recognised by the church or the state, denying women their dignity, to say nothing of economic discrimination given that unmarried women were not eligible for any widow’s allowance. And “[i]n a city where about a quarter of all couples were unmarried, the church, which normally charged 2 francs to register a birth, demanded 7.50 francs [about two days’ wages for many] for an ‘illegitimate’ child”.58

Thomas comments that the widows’ pension was “one of the most revolutionary steps of its brief reign. That this measure outraged the bourgeoisie, and that it was received with jubilation by members of the Commune are indications of its significance”. 59

But women weren’t passive recipients of reforms. It was mostly women who dragged the guillotine into Rue Voltaire and burned it on 10 April. Women were some of the most militant in both women’s and mixed clubs. They were particularly strident in their denunciation of marriage. In a club in Les Halles, a militant woman warned that marriage “is the greatest error of ancient humanity. To be married is to be a slave. In the club of Saint-Ambroise a woman declared that she would not permit her sixteen-year-old daughter to marry, that she was perfectly happy living with a man “without the blessing of the Church”.60 At least one other club also voted in favour of divorce, a policy which was implemented by the Commune Committee. These kinds of discussions in the clubs were the catalyst for the kinds of reforms we have seen. They didn’t just come from the Commune Committee on high. And marriage ceased to be a formal contract, it was simply a written agreement between couples, easily dissolved.61

Michel’s Club de la Révolution, along with others, raised the right to abortion, which was endorsed by the Committee. At the Club of the Free Thinkers Nathalie Lemel – a book binder, and member of Marx’s group in the International who worked with that other comrade of Marx, Elisabeth Dmitrieff and her Union des Femmes – along with Lodoyska Kawecka, who dressed in trousers and wore two revolvers hanging from her sash, argued for divorce and the liberation of women.62

Many of the ideas about women’s liberation, just as those about education, did not originate in the Commune. Marx’s grouping in the International, along with feminists such as André Léo, had created a tradition of support for these attitudes among the most militant workers and socialists. But the revolutionary movement opened up a whole new opportunity for their ideas to win popular support.

The role of art

The anti-capitalist, anti-elitist orientation of the International naturally attracted artists, writers and other intelligentsia whose dependence on patronage and state subsidies curtailed their artistic and political expression.

Eugène Pottier has become famous for his authorship of The Internationale, a song imbued with all the internationalism and irreverence of the Commune. Before that he also wrote the founding manifesto of the Artists’ Federation in which he penned the term “Communal luxury”, adopted by Kristin Ross as the title of her book.63 The founder and president of the Federation was Gustave Courbet, later persecuted because he was accused of ordering the demolition of the Vendôme column.64 The Federation held debates about the role of art and the artist in society, the integration of art into everyday life and how to overcome the counterposition between beauty and utility. It attracted well-known artists such as Corot, Manet and Daumier, who scorned those who fled Paris for Versailles such as Cézanne, Pissarro and Degas. Émile Zola, who associated with the reactionaries in Versailles, disgraced himself with mocking attacks on Courbet for his participation in politics, a sphere considered foreign to artists.65

The Federation refused to deal with any artistic creations which were not signed by their creator. This was a response to the previous practice of artists having to sell their works unsigned so that a dealer could pocket the profits. The personal history of Napoléon Gaillard, another member of the International, demonstrates their theories. A shoemaker, Gaillard was appointed commissioner for barricades. But how to sign a creation as immense as a barricade? An enemy of the Commune explained how Gaillard solved this problem:

[He] appeared so proud of his creation that on the morning of May 20, we saw him in full commandant’s uniform, four gold braids on the sleeve and cap, red lapels on his tunic, great riding boots, long, flowing hair, a steady gaze…and with his hand on his hip, had himself photographed.66

In harmony with the theories developed in the Federation, Gaillard would write philosophical treatises on the foot and the boot, and invent rubber galoshes. There were people who would not wear any other shoe than those he designed, years after his death. From exile he wrote “[t]he Art of the Shoe is, no matter what one says, of all the arts the most difficult, the most useful, and above all the least understood”. He insisted that he be known as both a worker and an “artist shoemaker”. His stance and writings summed up the Artists’ Federation’s arguments for overcoming the counterposition of the useful to the beautiful, calling for the public to demand shoes made for the foot as it is, rather than as it is assumed it should be.67

The attempt to overcome the separation of art from industry and life in general became a subject of much debate and experimentation, strongly influencing the British socialist novelist and fabric designer William Morris.

The Commune’s internationalism

Marx and Engels had argued in The German Ideology decades earlier that workers could only become fit to create a new society through struggle against the old. Paris in March 1871 illustrated their point dramatically. France had been at war with Prussia since July 1870, yet the Commune was determinedly internationalist in spirit: “Within sight of that Prussian army, that had annexed to Germany two French provinces, the Commune annexed to France the working people all over the world”. A Jewish-Hungarian worker was appointed to the key position of minister of labour. They “honoured the heroic sons of Poland [J Dabrowski and W Wróblewski] by placing them at the head of the defenders of Paris”. And “to broadly mark the new era of history it was conscious of initiating, under the eyes of the conquering Prussians on one side, and the Bonapartist army…on the other, the Commune pulled down that colossal symbol of martial glory, the Vendôme Column”.68

This was not just a militant, spur of the moment act. Great thought and planning went into the removal of the statue that was on top of the column. There is a photograph of a pile of rubble in the Place Vendôme, all that remains of Bonaparte’s statue, surrounded by undamaged buildings: the Communards had employed their most skilled engineers and workers to bring it down. Indeed, their original goal was to move the monument to a museum, but it proved too fragile to survive the toppling. The Place Vendôme was renamed Place Internationale.69

Like many of the reforms being proposed, the ideas of internationalism had been developing among radical workers before March 1871. Lissagaray outlines the development of a combative working class, independent of the increasingly conservative liberal bourgeoisie. In 1870, as rumours circulated about the coming war with Prussia:

[T]he revolutionary socialists crowd the boulevards crying, Vive la paix! And singing the pacific refrain – “The people are our brothers/And the tyrants are our enemies”… Unable to influence the bourgeoisie, they turn to the working men of Germany… “Brothers, we protest against the war, we who wish for peace, labour and liberty. Brothers, do not listen to the hirelings who seek to deceive you as to the real wishes of France”.70

The Commune’s embrace of foreign militants in their midst and the demolition of the symbol of imperial might demonstrated that their internationalism was more than rhetorical.

Reorganising society democratically

Contemporary observers, both hostile and sympathetic, commented that the Commune’s elected leaders were unknown. That was not as true as it might seem; many of them had already made their name in debates in the popular clubs. To respectable society, then as now, such mass leaders were invisible. The other comment which recurs throughout the observations then and through all the histories is their inexperience. And how could it be otherwise? As Marx stresses, this was the first time workers had been sufficiently formed as a class to lead a movement for change. So even experienced activists were tackling new questions.

Donny Gluckstein looks at the way the democracy worked in some detail. He correctly puts it in the context of having to defend the Commune against Versailles with its trained army against the much smaller numbers of the rag-tag forces of the National Guard. Prisoners of war were released by Bismarck to help crush Paris. They were bombarded with lies and horror stories about the intentions of the Parisians, whipped into a frenzy of hatred that would be unleashed in the last week of May. But that murderous final stanza was merely the conclusion of growing bombardments and incursions into Paris by the army. These attacks killed scores of Guardsmen, with many others arrested.

Given these conditions, the humanitarian principles the Commune sought to live by often conflicted with the need for defence. For instance, the abolition of the death penalty distanced the idea of revolution from such cruelty. But in the face of massacres and hostages disappearing into the Versailles jails, it was reinstated. Only three were ever executed, but as we subsequently saw following the October Revolution in Russia, there is an unavoidable tension between honourable long-term goals and the immediate question of survival.

Gluckstein shows how the Commune Committee – headquartered in the Hôtel de Ville – related to the network of committees in the arrondissements, the clubs, and myriad other organisations which flourished. He argues that “the main living link between the mass movement and the Communal Council was the clubs”. 71

We cannot understand how democracy functioned in the Commune without grasping the vibrant life of those clubs. They argued for the creation of a stronger leadership in the form of a Committee of Public Safety, which provoked widespread debates. The name invoked the terror of the Great Revolution, which contradicted the image of remaining lawful and pacific which the leaders at the Hôtel de Ville had insisted on. Some women formed their own vigilance committees in spite of reluctance from the Commune Committee. The club Saint-Séverin, possibly where supporters of the International had some sway, asked the Commune to “finish off the bourgeoisie in one blow [and] take over the Banque de France”, a point Marx had made on multiple occasions.

A meeting of 3,000 at Louise Michel’s Club de la Révolution on 13 May, just a week before the final bloody week, unanimously called for the abolition of magistrates, the immediate arrest of priests and the execution of a hostage every 24 hours until the release of political prisoners by Versailles.72 These are the demands of some of the most radical Communards, which shows both the level of debate and how arguments made by organised militants could get a mass audience. This was partly helped by the indecision in the Hôtel de Ville, which inflamed popular impatience.

Clubs insisted they should oversee the actions of the Commune Committee. Eleven of them formed a federation to produce a bulletin, some summoned the Council members to attend their meetings so there was more of an exchange of views. These chaotic events reflected both the dynamism which had been unleashed, but also much confusion about how to win against the increasingly threatening Versailles troops. Gluckstein concludes that it was the “sections” which included organisations such as the Union des Femmes that most effectively worked with the Hôtel de Ville, establishing a “strong and reciprocal” relationship: “In education, for example, much of the momentum came not from the Commune’s commission but from the pre-existing bodies of educators”. And we have already seen the reciprocal role of the Union des Femmes in relation to the Commission of Labour and the Commune Committee.73

This issue of how the clubs pressured the Commune Committee, took initiatives and demanded that the Committee inform them of their decisions is important in understanding the role of women in the revolutionary process. Judy Cox correctly challenges Gay Gullickson who, like most historians, downplays the advances for women because they weren’t members of the elected Commune Committee. This is doubly mistaken. Firstly, like many feminists, Gullickson assumes that men can’t represent women’s interests. But support for women’s rights is not simply a question of gender, but of politics. As Cox points out, “The Marxist wing of the First International was the only political organisation in France which supported the female franchise. At least four socialist male members of the Commune – Eugène Varlin, Benoît Malon, Édouard Vaillant and Leó Frankel – took initiatives that promoted women’s equality in their areas of responsibility”.74

But it was not simply a matter of principled men standing up against oppressionAs already indicated, women’s voices were loud and clear in the clubs, on the barricades and in every activity of the Commune. To modern supporters of women’s liberation, the fact that women weren’t granted the right to vote in the elections seems shocking. But there is no evidence that women demanded it. As Ross says:

The [Women’s] Union showed no trace of interest in parliamentary or rights-based demands. In this its members were, like Louise Michel, Paule Mincke and other women in the Commune, indifferent to the vote (a major goal in 1848) and to traditional forms of republican politics… Participation in public life, in other words, was for them in no way tied to the franchise.75

This is true, but the National Committee of the New Guard assumed, when they found themselves at the head of a successful insurrection, that they should operate legally. So the elections for which they got agreement from the mayors were held under the government’s existing law, which only allowed for male suffrage. We don’t know what the outcome would have been if prominent women had led a fight for female suffrage, but it is clear that many would have backed them.

Gullickson takes the positions of the right-wing Proudhonists – against whom Marx campaigned relentlessly – as evidence of a general chauvinist male culture which sidelined women. But even the left of the Proudhonists, such as Lefrançais, supported women’s rights. And in spite of her feminism, Gullickson does not respect the voice of André Léo,76 a prominent feminist from well before the Commune and editor of the magazine La Sociale. To bolster her case Gullickson quotes an account Léo published of New Guard officers and a physician who acted disrespectfully towards women volunteers. Yet Léo concluded that very article with: “we noticed the very different attitudes present. Without exception the [middle-class] officers and surgeons showed a lack of sympathy that varied from coldness to insults; but from the National Guards came respect and fraternity”. And, because she aired the grievance against the officers, Louis Rossel, the Commune’s war delegate, asked her for advice about involving more women in the military campaign.77

Of course not everyone was immediately convinced of the most radical points described here. The point is that women were challenging backward views, agitating for the reforms they needed, and the Commune endorsed their demands. The majority of Léo’s articles in La Sociale dealt with issues not specifically about women. But when she did, she emphasised the need and the potential for solidarity between the sexes. One of her articles was titled “Toutes avec Tous” (all women and men together).78

We can add a further point. Gullickson can’t recognise the immense advances that women made, and the tradition they left for the working class to learn from because she, like other liberal feminists, focuses on elected leaders. While what happens at that level is not irrelevant, socialists should focus on the changes taking place below the surface, where workers were busy establishing democratic structures, raising new ideas and taking incredible initiatives. In the tumultuous events that characterise any revolution, the democratic character of the process cannot be fully understood simply by analysing constitutions or formal structures. It is about the dynamic of that process, and the incipient tendencies that emerge spontaneously through the struggle which can be developed further by conscious political intervention.

Much of the retrospective critiques of the Commune identify their failure to seize the wealth stored in the National Bank as a key mistake. Yet this itself was partly a product of the rigorous democracy that was the norm throughout the Commune. Raoul Rigault, a Blanquist and member of the International, was in charge of the “ex-Prefecture of police”. He was a colourful figure with a history of political agitation and organising, dubbed the “professor of barricades” by a magistrate in one of his many trials.79 He ordered some guards to seize the Bank of France to nationalise the wealth stored there. But prone to the elitism typical of the Blanquists, he did not consult with the rest of the Communal Council, and so the proposal was blocked by the Proudhonists. One of them insisted that the bank “should be respected as private property belonging to the shareholders”! By the time the Communal Council considered Rigault’s instruction, the opportunity had been missed.80

Engels maintained that “[t]he bank in the hands of the Commune – this would have been worth more than 10,000 hostages”. It is debatable whether this would have pushed Versailles to settle for peace as Engels asserted, but it is clear that the money within could have been used to deepen the Commune’s achievements. For instance, the Commune had to spend 21 million francs on defence, leaving just 1,000 francs for education, an issue dear to the heart of virtually all who participated. More to the point, such reluctance to take on a bastion of governmental power and the bourgeoisie reflected the constant desire to operate within the bounds of bourgeois legality and to avoid being cast as responsible for the civil war raging around them.81 While there are examples of a lack of accountability from some leaders, the weaknesses historians identify have to be seen in the context of the siege, the civil war, and social and economic breakdown. The significant achievement is that which Marx emphasised: the embryo of a workers’ democracy, with elected and recallable representatives, plus judges and officials at every level. This historical breakthrough warrants our main emphasis, rather than the understandable shortcomings.

A final point. The structures established by the Commune cannot be taken as a direct model for revolutionaries today. The working class in Paris was the largest group, numbering 900,000, surrounded by 400,000 petty bourgeois running 4,000 greengrocers’ shops, 1,900 butchers, 1,300 bakeries. However, Haussmann’s reconstruction of Paris had discouraged the establishment of large workplaces. Those that were established were mostly in the outer rim of Paris. The Cail plant in north-east Paris, employing 2,800 to produce steam engines and locomotives, was the exception rather than the norm. Workplaces of over 10 workers were only seven percent of the total, with 31 percent employing between two and ten. Gluckstein concludes:

The nature of production…had an influence on the organisational structure of the 1871 movement… Trade union action was difficult to mount and broad activities could not easily be built from tiny workplaces. Such units of production could not provide a collective focus for the working class. Instead that came from the National Guard and the clubs which offered a framework for collective expression and organisation.82

In the Russian revolution of 1905 workers would take another leap forward and create soviets, reflecting the huge growth of the industrial working class, brought together in workplaces massively larger than anything in Paris in 1871. This meant that the focus of organisation shifted to the workplace, even as the streets remained an important focal point for large and united protests that brought workers from across different industries together. This is profoundly important. As Rosa Luxemburg argued, “where the chains of oppression are forged, there they must be broken”. Nevertheless the principles of the Commune lived on in the soviets: all delegates and people in places of responsibility to be recallable at any time, accountable to the electors, paid workers’ wages and remaining at work where they experienced the conditions about which they made decisions. The Paris Commune is therefore best understood as a premonition, or a harbinger, of a future society. In Marx’s words:

The working class did not expect miracles from the Commune. They have no ready-made utopias to introduce par décret du peuple. They know that in order to work out their own emancipation…they will have to pass through long struggles, through a series of historic processes, transforming circumstances and men. They have no ideals to realize, but to set free the elements of the new society.83

Some aspects of the Commune have been superseded by subsequent developments, and we do not know precisely how the working-class revolution of this century might look. However the basic principles of collectivity and democracy it established remain vitally important to the modern working class.

Ruling class savagery – la semaine sanglante

Marx had argued that we make our own history, but not in circumstances of our choosing.84 The uprising which erupted on 18 March forced the Communards to reorganise society amidst a Prussian siege and a bitter civil war. These factors strongly contributed to the defeat of this heroic uprising.

On Sunday 21 May, troops from Versailles stormed Paris. New barricades went up in street after street, as the population mobilised for a final heroic attempt to maintain their Commune. An eyewitness described how one of the barricades was constructed and defended by “a women’s battalion of around a hundred and twenty. At the time that I arrived, a dark form detached itself from a carriage gate. It was a girl with a Phrygian bonnet over her ear, a musket in her hand, and a cartridge-belt at her waist. ‘Halt, citizen, you don’t pass here!’”85 We see how women have developed from pleading with soldiers not to shoot in March, to now playing a role as proud, fighting combatants in May, prepared to die with dignity and honour.

Just one week later, 30,000 or more people had been murdered by the counter-revolutionaries. The chapter headings used by Lissagaray in his book sum up the experience: “The Versailles fury”, “The balance sheet of bourgeois vengeance”. The essence of the events is captured in the title of John Merriman’s book, Massacre.86 Though there are debates about the death toll, I see no point in quibbling about the precise figures. Many casualties were never recorded, their bodies thrown into mass graves and later incinerated. Countless others disappeared into jails or colonial transportation, where who knows how many died. Others fled to seek sanctuary, and there are few records of who survived wounds inflicted in the fighting. This barbarity was at first cheered on in the respectable bourgeois papers of Europe, whose journalists had followed the army around “like jackals”. One journalist had called for “an end to this international democratic vermin” of Red Paris. But faced with “the smell of carnage”, swarms of flies on corpses, trees stripped of leaves, the streets full of dead birds, even some of these bourgeois commentators were repulsed. “Let us not kill any more”, pleaded the Paris Journal, “Enough executions, enough blood, enough victims” lamented the Nationale.87

But the upper classes who lived off the labour of those being massacred expressed no such limits to their savagery.88 Respectable women took tours of the dungeons where the arrested were incarcerated, holding their lace-edged handkerchiefs – made by the women at whom they gawked – to their noses against the stench of filth and dying Communards. In particular, they took delight in poking the women with their parasols. Many public figures, including judges and other respectable bourgeois and middle-class types, continued to bay for blood. To justify this frenzy, they invented lies which appealed to the prejudices of this scum. An anonymous Englishman described the Communards as “lashed up to a frenzy which has converted them into a set of wild beasts caught in a trap”. This, in his opinion, “render[ed] their extermination a necessity”.89 The ruling class especially hated the women Communards, whom they depicted as “vile”, “wild” and sexually depraved.

Their fury was stoked by hysterical stories of the infamous pétroleuses, supposedly prepared to burn down the whole of Paris. So the legend of the pétroleuses demands our attention. Edith Thomas titled her book on the women of the Commune Les Pétroleuses, translated as The Women Incendiaries. She examines the evidence and concludes that it’s not clear whether there were any pétroleuses in the way reactionaries used the term. At the same time, the Communards clearly did use fire as a weapon of war to destroy buildings from which the Versaillese could gun people down. Fire was also used as a form of barricade, a wall of flames to keep the soldiers back, set by the fighters who must have included women and possibly even children.90 Merriman documents orders given by the war delegate with the National Guard, Charles Delescluze, the ageing Jacobin, and others, including men in the Commune Committee, to blow up or set fire to houses. Delescluze, aware that it had become impossible to muster the kind of military response necessary to repel the soldiers, “adopted a strategy of mass popular resistance”. Generals of the National Guard specifically ordered “the burning of a number of monumental Parisian buildings, all in the fancy parts of town”, as well as official buildings. One of the Communard generals ordered the Tuileries Palace to be set ablaze. Gustave Lefrançais, the most left-wing Proudhonist, admitted that he was one of those “who had shutters of joy seeing that sinister palace go up in flames”. When a woman asked Nathalie Lemel what it was she could see burning in Montmartre, Lemel replied simply, “it’s nothing at all, only the Palais-Royal and the Tuileries, because we do not want a king anymore”.91

Marx was right to defend the burning of the city:

The working men’s Paris, in the act of its heroic self-holocaust, involved in its flames buildings and monuments. While tearing to pieces the living body of the proletariat, its rulers must no longer expect to return triumphantly into the intact architecture of their abodes. The government of Versailles cries, “Incendiarism!” and whispers this cue to all its agents…to hunt up its enemies everywhere as suspect of professional incendiarism. The bourgeoisie of the whole world, which looks complacently upon the wholesale massacre after the battle, is convulsed by horror at the desecration of brick and mortar!

…The Commune used fire strictly as a means of defence. They used it to stop up to the Versailles troops those long, straight avenues which Haussmann had expressly opened to artillery-fire; they used it to cover their retreat, in the same way as the Versaillese, in their advance, used their shells which destroyed at least as many buildings as the fire of the Commune. It is a matter of dispute, even now, which buildings were set fire to by the defence, and which by the attack. And the defence resorted to fire only then when the Versailles troops had already commenced their wholesale murdering of prisoners.92

The heroism of children, women and men as they fought to defend their “Communal luxury” would live on in the memory of the socialist movement and workers. Fighting and dying became a sign of revolutionary honour. Memoirs often recall scenes like this one from Lissagaray about the barricade of the Faubourg du Temple:

[T]he most indefatigable gunner was a child. The barricade taken, all its defenders were shot, and the child’s turn also came. He asked for three minutes’ respite; “so that he could take his mother, who lived opposite, his silver watch in order that she might at least not lose everything”. The officer, involuntarily moved, let him go. Not thinking to see him again; but three minutes after the child cried, “Here I am!” jumped onto the pavement, and nimbly leant against the wall near the corpses of his comrades.

Lissagaray concluded, “Paris will never die as long as she brings forth such people”.93 And Victor Hugo, who did not originally support the Commune, but responded in solidarity in the face of the massacre, wrote a poem about this incident. He ends with the wishful thought that the officer pardoned the child.94

Gustave Courbet recalled:

The drunkenness of carnage and destruction had taken over this people ordinarily so mild, but so fearsome when pushed to the brink… We will die if we must, shouted men, women and children, but we will not be sent to Cayenne.95

Louise Michel became famous for her confrontational stance at her trial:

Since it seems that every heart which beats for liberty has only right to a little lead, I too demand my part. If you let me live, I shall not cease to cry vengeance… If you are not cowards, kill me.96

Out of fear that she would become a martyr around which workers could mobilise, she was condemned to transportation to New Caledonia, where she met Nathalie Lemel. During the defence of Paris, Lemel had taken command of a contingent of the Union des Femmes. They marched, red flag in the lead, from a meeting in the mairie97 of the fourth arrondissement to defend Les Batignolles. There, the 120 women held back government troops for several hours. Those who were taken were shot on the spot, one of whom was the dressmaker Blanche Lefebvre, an organiser of the Union des Femmes and another member of Marx’s circle. Some held a barricade on Place Pigalle for a further three hours, but all were killed on what Lissagaray called “this legendary barricade”. Lemel cared for the wounded for hours. Her comrade Elisabeth Dmitrieff was at Montmartre with Louise Michel and Léo Frankel in the last hours.98

The mass of the poor had few options but to die bravely, which they did with pride. The more educated, if fortunate, found their way into exile. Frankel was smuggled out by a coach driver and escaped to Germany with Dmitrieff. They could be disguised as a Prussian couple because they spoke German fluently. Dmitrieff would return to Russia, only to go into exile in Siberia with a revolutionary with whom she had a genuine marriage. Because of her isolation, she never heard of the amnesty and so lived out the rest of her life in the tundra where so many revolutionaries perished. Michel kept her word and eventually returned to France under the amnesty, was arrested on a demonstration of unemployed workers in 1883 and sentenced to six years of solitary confinement, arrested again in 1890. She returned to France from England, to where she had escaped, and died of pneumonia in January 1905.99

A doctor commented on the bravery of the Communards:

I cannot desire the triumph of your cause; but I have never seen wounded men preserve more calm and sang-froid during operations. I attribute this courage to the energy of their convictions.100

And this is how the Commune’s supporters interpreted the courageous resistance. It inspired generations, illustrating why the sentiment “it is better to die fighting than to live on your knees” is the most principled response to ruling-class barbarism. If they had meekly surrendered in the name of avoiding violence, there is no evidence that lives would have been saved, and the revolution would surely not have inspired generations of working-class and socialist activists.

Political assessments

“We’ll change henceforth the old conditions” runs a line of Pottier’s Internationale. But how is it to be done? Which politics and theory related best to the needs of the Commune? When remembering workers’ struggles, assessing the political ideas tested in battle is an important part of honouring their memory. If the suffering of the masses in defeat is to be worth the blood spilled, it is the responsibility of those inspired by them to try to learn the lessons, lest their sacrifices be endlessly repeated. In the last article Rosa Luxemburg wrote before being murdered in January 1919, she made reference to the Paris Commune as a metaphor for the fate of the revolution unravelling around her. But, from the perspective of the historic mission of the working class, such defeats served a purpose:

Where would we be today without those “defeats”, from which we draw historical experience, understanding, power and idealism?… [W]e stand on the foundation of those very defeats; and we cannot do without any of them, because each one contributes to our strength and understanding.101

Again and again, in the intervening 150 years, workers have shown that if only they can take control, they would build a humane society, a socialist world. In every struggle we can celebrate the signs of this, and that inspiration unites those of many different politics on the left. Just think. One hundred and fifty years ago, when the fight for women’s rights was in its infancy, the more radical clubs in Paris demanded and got support for the right to abortion.

However, the question which has eluded workers so far is how to win control and hold it, how to defeat the powerful forces of capitalism arrayed against them. Proudhonists, Jacobins and Blanquists were the most influential political groups in the Commune Committee. Marx’s International had thousands of members, but was far from cohered around his theory and politics. None of these groups could offer the lead required.

The National Guard had elected a Central Committee only a couple of weeks before the uprising. Though inexperienced, they gathered to consider what to do in light of the spontaneous insurrection. By the end of the day the Hôtel de Ville was occupied as the headquarters of the insurgents. But they lacked the confidence to assert their authority and organise the necessary defence and reorganisation of the city. In their political confusion, they turned for leadership to the only constitutional body left in Paris, the mayors, who were appointed by the hated central government! The Central Committee of the National Guard insisted that only a newly elected body could take on all the urgent tasks the city confronted. It was eight days before negotiations with the mayors enabled the election of an authoritative body, in which valuable time was lost to the advantage of the Versailles soldiers threatening Paris. Élie Reclus asked on voting day: “What does legality mean at a time of revolution?”102

Virtually every historian who has written about it comments on the shambolic nature of the National Guard, which ensured that the Versailles government’s victory was easier than it should have been. Similarly, most make a point of discussing the Commune’s flat-footed response to the mass uprising. Few, however, draw any political conclusions or seriously explain what went wrong. Edwards sums up the reasons for the disaster: the main concern of the majority of the Committee “was to ‘legalize’ its situation by divesting itself of the power that had so unexpectedly fallen into its hands”. The Blanquists urged a march on Versailles, “a plan which might well have succeeded” following the fraternisation between the army and the Guardsmen.103 Gluckstein argues that Thiers and Co. would never be weaker than in those first hours and days after 18 March 1871. Military discipline had evaporated, and the French army was yet to be buoyed up by prisoners of war released by Bismarck. Supporting this view is the fact that Thiers rejected a request for troops to set up an anti-Commune outfit inside Paris: “Neither 5,000, nor 500, nor five; I need the few troops still available – and in whom I don’t yet have full confidence – to defend the government”. A Commune supporter reported that in Versailles the regular troops were not even trusted to patrol the streets.104

Auguste Blanqui shared with Marx the expectation that the war would create a situation ripe for revolution. But unlike Marx he did not see the working class as the agent to make that revolution, only as supporters for a coup. As a result, his supporters had not built roots in working-class organisations or communities, and he languished in jail throughout the revolution due to his involvement in an attempted insurrection just months before. “Blanqui’s own account of the debacle [of August 1870] is painfully honest”, Gluckstein explains. Blanqui wrote of the response of the workers of Belleville to these gun-toting strangers calling for them to rise up: “[t]he population appeared dumbstruck…held back by fear”. And he concluded “We can do nothing without the people!” In spite of their history of organising conspiratorial coups by tiny numbers, the Blanquists participated with great enthusiasm in the mass uprising and the institutions it threw up. Their strength was their preparedness to organise and respond with the necessary violence to defeat the murderous forces arrayed against the Commune.105 However, lacking their most authoritative leader, the Blanquists were defeated in the debate about marching on Versailles, and a critical moment was missed.

Despite their hostility to organisation, the Proudhonists took many of the leading positions in the Commune Committee. Their tradition had long cultivated a hostility to political organisation of all kinds, which manifested in a reluctance to give elected bodies of the Commune real authority. This then undermined the confidence of those bodies to act decisively, providing Versailles time to get on the offensive. The Proudhonists’ respect for private property was also responsible for the decision to leave the enormous wealth of the bourgeoisie safe in the National Bank, and informed a general reticence to take decisive measures in the field of economic and military policy.

Proudhonism today is dead as a political current; however, Proudhon’s disciple, Bakunin, still influences some activists. In a typical formulation, Bakunin wrote in his critique of the Commune: “the cause of [humanity’s] troubles does not lie in any particular form of government but in the fundamental principles and the very existence in government, whatever form it takes”.106 But this radical-sounding generality obscures the fact that the Commune’s troubles came not from an abstract category, but from the very real power of Thiers’ counter-revolutionary army. Only an equally organised power based on working-class democracy could have defended the Commune from the massacre that was to come. Bakunin’s abstract slogans – which live on in anarchist milieus today – provide absolutely no guide for what to do in the face of the threat posed by the brutal machine that is the bourgeois state. Workers could not – and still cannot – ignore politics and organisation.

But it wasn’t just the question of defence. The demand of the bakers to end night work raised a lot of debate because Commune Committee members, influenced by such ideas as Bakunin articulates, refused to issue a decree to abolish night work, even though they supported it. Bakers had been campaigning for two years, hampered by the tiny size of the bakeries which mitigated against effective organisation. The Committee’s response was ludicrous. They opposed any state action on principle, and argued that the workers should “themselves safeguard their interests in relation to the owners”. Benoît Malon represented the views of the bakers, 3,000 of whom marched to the Hôtel de Ville demanding a decree: “until now the state has intervened against the interests of workers. It is at least fair that today the state intervene for the workers”.107

Abstract shibboleths against all organisation are no guide to how the left should have related to the radical organisations such as the Union des Femmes, the Artists’ Federation, and the clubs. If you took these principles seriously you would boycott them, a completely sectarian and destructive attitude which would make you irrelevant, unable to contribute to developing people’s consciousness and winning arguments for strategies to win.

It was Marx and Engels who best generalised the lessons of the Commune. Marx had been committed to a view of working-class self-emancipation well before the Commune showed a glimpse of how it could be done. He had witnessed the radical workers’ societies and, critically, the Silesian weavers’ revolt of 1844, and had subsequently never doubted the creativity and organisational genius of the organised proletariat. His Theses on Feuerbach answered the question of how workers could be “educated” for a new society: they educate themselves through their own conscious activity. Marx and Engels developed this idea further in their German Ideology, where they argued that to build a socialist society, “the alteration of men on a mass scale is necessary, an alteration which can only take place in a practical movement, a revolution”.108

Now the Parisian masses had revealed the answer to the question of what to do about the repressive state. Marx had been grappling with this since he concluded in The Eighteenth Brumaire of Louis Bonaparte that the problem had been until then that “[a]ll revolutions perfected this machine instead of breaking it”.109 But what could take its place? Two days after la semaine sanglante, Marx gave his address to the International, emphasising the achievements of the Commune and its importance to the future of the workers’ movement. He had warned against such an uprising in the weeks previous, fearing it was premature, yet did not hesitate to leap to its defence. As with so much of his political work, his writings on the Commune emphasise its fundamental aspects. Unlike the bourgeois revolutions which primarily benefited a minority of capitalist exploiters, the potential of a workers’ revolution to liberate the whole of humanity was now shown in practice. He explains how the democratic structures, with the army and police disbanded and the population armed, were the foundation on which workers can be emancipated from the exploitation of their labour. In this way, the practice of the workers of Paris actually broke new ground; their heroism created the conditions for Marx and Engels to clarify and concretise their previous ideas regarding the self-emancipation of the working class. Overall, Marx’s writings on the Commune stand in sharp contrast to the abstract shibboleths in Bakunin’s work.

But it would be Lenin who brought all these elements together, transcending what is usually assumed to be a contradiction between spontaneous revolts and organisation.110 The counterposition between spontaneity and organisation abounds in Bakunin’s critique, and is taken for granted by many activists today. The issue is particularly fraught when women are involved. Women’s activities in rebellions like this are often portrayed as elemental, unplanned and not very political. This emphasis on spontaneity is often sexist and downplays the role of leadership, foresight and planning by the women themselves. The Commune perfectly illustrates Lenin’s arguments. To begin with, there can be no revolution without spontaneity. The radicalisation sufficient to generate the Paris Commune did not develop incrementally, it exploded and shocked the world. It’s true that the uprising that seized the cannon in Montmartre emerged in a context of rising discontent and bitterness, but the rebellion in turn radicalised and transformed the situation decisively.

The Commune shows how there is not some barrier between a revolutionary upsurge itself and the activities and politics that exist beforehand. For instance Eugène Varlin and Nathalie Lemel were involved in workers’ campaigns for women’s rights and equal pay in the 1860s. In the growing number of strikes before 1871, some workers had learnt from their experiences. A strike by 5,000 bronze workers in 1867 won with support from the International, which organised funds from workers in other countries. The lesson of international solidarity was not forgotten. And other workers – significantly in textiles from where women participated in Dmitrieff’s Union des Femmes – began to see the value of organisation and strikes in a number of cities. In a strike by miners in the Loire region workers’ wives had fought bravely against the gendarmes during a strike at Le Creusot in 1870. Ideas promoted by the Proudhonists, who argued that “women should stay indoors and avoid the physical and moral dangers of workshops”, were now rejected by working-class men. They declared that women should exercise their independence and “will march alongside us in the exercise of democratic and social cooperation”. Those ideas could most effectively be kept alive and popularised if taken up by organisations, rather than being left to the whimsy of individual happenstance.111

Lenin’s most significant theoretical breakthrough was to see that the task for revolutionaries is to prepare for the spontaneous outbursts before they happen. This preparation is not a purely intellectual exercise, but entails participating in every struggle, raising ideas which challenge participants to reject the ideas of capitalism. Not all workers will develop class consciousness at the same time; consciousness will always be uneven, as it was in the Commune. This means revolutionaries need to build a party which organises the most class-conscious and militant workers, the “vanguard” as Lenin called them. Such a revolutionary party needs to raise the level of class consciousness generally, by which Lenin meant the degree to which workers understand the role of their own class, and that of all other social layers, and how much they understand their class power. They need to understand that their class can and must lead other classes in a revolution if capitalism is to be overthrown. The party needs a history of participating in and leading struggles so they gain a wide understanding of the momentum of struggle, how to judge different strategies and the arguments of different political organisations. Only this offers the best chance that the arguments of those who always support compromise and moderation will be defeated.

The vanguard must have burned into their consciousness that if our side seriously challenges the ruling class and their state, there is no limit to their “undisguised savagery and lawless revenge”, in Marx’s words. Revolutions have time and again crashed against the seemingly timeless existence of the state, and the mistake of seeking to remain within the “rule of law”. Lenin’s solution was to organise the vanguard to be prepared to repeat the first acts of the Commune: to disband the police and army, and to arm the working class and poor. It must not shrink from responding to ruling-class violence in order to defend the revolution.

The Commune’s legacy

In the Paris Commune, the ruling class saw the shape of a new society. They understood that such a world of equality and justice could only be built on the ruins of capitalism. So they sought to systematically obliterate its memory.

In the Louvre today, images of the royal family overthrown in the Great Revolution are sympathetically portrayed. But a small collection from the Commune is hidden away in the basement. A collection of artefacts, documents and the like is included in the museum dedicated to the art of Paul Éluard in Saint-Denis. Ironically it is housed in an old Carmelite convent. It was originally set up by the Communist council of Saint-Denis.

In the 1870s the bourgeoisie set out to refashion Paris with monuments to the Republic. The last quarter of the nineteenth century has been referred to as “a golden age of monument building” as part of the effort at “self-definition” following the trauma of 1870-71. Restoring the Vendôme column was, of course, a huge priority. Sometimes the purpose of new monuments or buildings was made explicit. The church of Sacré-Coeur was built on Montmartre. When laying the foundation stone, architect Charles Rohault de Fleury declared that Sacré-Coeur reclaimed for the nation “the place chosen by Satan and where was accomplished the first act of that horrible Saturnalia”.112

It is easy to see the negation of the Commune in the grotesque splendour of the Sacré-Coeur. But a lot of the reconstruction was not so explicit. Much of the art which was promoted and the spaces reorganised were merely presented as celebrations of the Republic. But try as they may, the memory often reverberated in what was not said or built. One space allowed to socialists was the Mur des Fédérés (Wall of the Federals),113 located in the Père Lachaise cemetery where the blood of unknown numbers was spilled in the last days of the Commune. Presumably authorities thought this the most fitting memorial: calculated to sear our souls and to signal that attempts at anti-capitalist rebellions will always be drowned in unimaginable savagery. But they were mistaken. Visitors leave a constant sea of red roses, and leave with a renewed hatred of the bourgeoisie and a desire to fight for the promise of the Commune. In 1907, the Parisian municipal council planned to install Paul Vautier-Moreau’s Monument to the Victims of Revolutions, sculpted from the stones of the barricades, on which was engraved Victor Hugo’s clarion call to end the “vengeance”. There was such an outcry from supporters of the Commune, who preferred to keep that space simply for the Communards, that it had to be placed outside the wall of the cemetery.114

William Morris paid homage to the destruction of the Vendôme column in his novel News from Nowhere, published in 1890. The apricot orchard which replaces Trafalgar Square, dominated by the statue of Admiral Nelson is, as Ross says, a “symbolic revisioning [of] both the Place Vendôme and Trafalgar Square…their aesthetic of nationalistic and timeless monumentality become supra-national space”.115

In spite of the efforts of the descendants of the butchers who saturated Paris in blood, the memory of this first workers’ revolution cannot be completely suppressed. So a social history of Paris, published in English in 2010, revisits some of the accounts by its participants and supporters. Eric Hazan, the author, reminds us how modern day charlatans, rather than obscure the history completely, cynically attempt to co-opt the inspiration of the Commune for their own opportunistic reasons. A plaque in Paris has inscribed on it: “The last barricade of the Commune resisted in the Rue de la Fontaine-au-Roi. A hundred and twenty years later, the Socialist party and its first secretary Pierre Mauroy render homage to the people of Paris who sought to change their lives, and to the 30,000 dead of the Time of the Cherries”. Hazan, who documents the truth of those days, reminds us: “This trumpery makes short work of history, for Louis Blanc, the Mauroy of his day, maintained that ‘this insurrection is completely to be condemned, and must be condemned by any true republican’.”116 Le temps des cerises to which the inscription refers is a song written in 1866. It became popular during the Commune, with verses added as it was sung on the barricades and in the clubs. The title is a metaphor for the hope for a new life after a revolution, making the hypocritical inscription by the reformist party even more galling.

For decades workers remembered the Communards’ courageous defiance. On May Day 1901, thousands of mourners joined the funeral procession for Paule Mincke through the streets of Paris. They chanted “Vive la Commune!” and “Vive l’Internationale!” as more than 600 police, 500 soldiers and 100 cavalry guarded the streets against any possibility of a repeat of 1871.117 More than 100,000 attended Louise Michel’s funeral in Paris in 1905. Socialists and anarchists celebrated the Commune every March. The ghastly images of tortured women beamed around the world by the bourgeois press could not undercut the sense of pride and solidarity that their courage inspired. In the NSW outback mining city of Broken Hill, for at least a decade into the twentieth century, the Socialist Sunday School organised the annual anniversary commemoration of the Commune. In another piece I concluded that “[it] certainly was not portrayed as a celebration of male achievements, as is often claimed by feminist historians: ‘What greater and grander sublimity can be depicted than that of men and women who are prepared to sacrifice their lives for even a dream?’” An article in the socialist paper in the town “emphasised female bravery”, telling the story of when soldiers tried to force Communards to kneel before their guns: “one woman with a child in her arms refused to do so, shouting to her companions: ‘Show these wretches that you know how to die upright’.”118

An historian of the annual events which continued for decades writes:

They drew on the Commune as an example of international cooperation, drawing on their shared class identity. The Commune was rewritten annually, creating a palimpsest. Speakers drew on the Commune as a symbol of working-class government, or of revolution, a symbol of warning and hope, of past, present and future, something to learn from, and revere.119

In spite of so many efforts to obscure its history, the Commune is still invoked as a reference point for the idea of revolution, or challenges to authority to this very day. As I write, a post by Buzzfeed, “Stormings of History Ranked from Best to Worst”, appeared in response to the invasion of the Capitol by far-right Trump supporters. The Commune is their second-best example, second only to the October Revolution.120 Even the prestigious Lancet in the year of the one hundred and fiftieth anniversary pays homage to the Commune with an article about Mary Putnam Jacobi. The conclusion is a tribute to the power of the Commune to inspire hope for a better world: “The origins of her philosophy, a philosophy that provides the seed for an American renaissance today, lay in the blood spilt on the streets of Paris 150 years ago”.121

Conclusion

We began with the image of the “sphinx” conjured by Marx to convey how the Commune terrified the bourgeoisie and their hangers-on. We leave it as the world descends into ever more horrifying chaos which creates catastrophes one after the other. The World Bank warns governments around the globe to avoid making premature cuts to measures taken to prevent the economy from completely collapsing. This advice is not driven by humanitarian concern for those who would suffer from the cuts, but by fear of revolt. The sphinx haunts them still.

The Paris Commune reminds us of what Walter Benjamin said, that the fine and spiritual aspects of life we hunger for can only be won by the struggle for the rough, material things which make them possible. And that “they are present as confidence, as courage, as humour, as cunning, as steadfastness in this struggle”. That is why the Paris Commune still commands our attention, and is worthy of serious study. And why it still has the power to inspire our confidence in the working class to create a “Communal luxury” for humanity to this day.

References

Benjamin, Walter 1968, “Theses on the Philosophy of History” in Illuminations, Essays and Reflections, Schocken Books.

Bloodworth, Sandra 2005, “Militant spirits: the rebel women of Broken Hill”. https://sa.org.au/interventions/rebelwomen/militant.htm

Bloodworth, Sandra 2013, “Lenin vs ‘Leninism’”, Marxist Left Review, 5, Summer. https://marxistleftreview.org/articles/lenin-vs-leninism/

Buzzfeed 2021, “Stormings of History Ranked from Best to Worst”, January. https://www.buzzfeed.com/tessred/stormings-of-history-ranked-from-best-to-worst-dogxsiwtv3?utm_source=dynamic&utm_campaign=bfsharefacebook&fbclid=IwAR0Bm0V61HcfuBZsc6jth8J51i6z-enf8-N_WefnVp1pITFqvlRQoAa9_kI

Cox, Judy 2021, “Genderquake: socialist women and the Paris Commune”, International Socialism, 169, 5 January. http://isj.org.uk/genderquake-paris-commune/

Edwards, Stewart (ed.) 1973, The Communards of Paris, 1871 (Documents of Revolution series, Heinz Lubasz, general editor), Thames and Hudson.

Eschelbacher, Andrew 2009, “Environment of Memory: Paris and Post-Commune Angst”, Nineteenth Century Art World, 8 (2), Autumn. https://www.19thc-artworldwide.org/autumn09/environment-of-memory

Gluckstein, Donny 2006, The Paris Commune. A Revolution in Democracy, Bookmarks.

Hazan, Eric 2011, The Invention of Paris. A History in Footsteps, translator David Fernbach, Verso.

Horton, Richard 2021, “The Paris Commune and the birth of American medicine”, The Lancet, 397, (102070), 16 January. https://www.thelancet.com/journals/lancet/article/PIIS0140-6736(21)00086-6/fulltext

Landrigan, Aloysius Judas 2017, Remembering the Commune: Texts and Celebrations in Britain and the United States, MA thesis, University of Melbourne. https://minerva-access.unimelb.edu.au/handle/11343/198112

Lissagaray 1976 [1876], History of the Paris Commune of 1871, translator Eleanor Marx, New Park Publications.

Luxemburg, Rosa 1919, “Order Prevails in Berlin”, Die Rote Fahne, 14 January. https://www.marxists.org/archive/luxemburg/1919/01/14.htm

Marx, Karl 1845, Theses on Feuerbach. https://www.marxists.org/archive/marx/works/1845/theses/theses.htm

Marx, Karl 1852, The Eighteenth Brumaire of Louis Bonaparte. https://www.marxists.org/archive/marx/works/1852/18th-brumaire/

Marx, Karl 1871, The Civil War in France. https://www.marxists.org/archive/marx/works/1871/civil-war-france/index.htm

Marx, Karl and Friedrich Engels 1932 [1846], The German Ideology. https://www.marxists.org/archive/marx/works/1845/german-ideology/index.htm

Marx, Karl, Friedrich Engels, Mikhail Bakunin and Peter Kropotkin 2008, Writings on the Paris Commune, Red and Black Publishers.

Merriman, John 2016, Massacre. The Life and Death of the Paris Commune of 1871, Yale University Press.

Ross, Kristin 2016, Communal Luxury. The Political Imaginary of the Paris Commune, Verso.

Thomas, Edith 1966 [1963 as Les Pétroleuses], The Women Incendiaries, Secker and Warburg.

Tod, MK 2020, Poetry about the Paris Commune, blog, 10 September. https://awriterofhistory.com/tag/poetry-about-the-paris-commune/

* The phrase “glorious harbinger of a new society” is from Marx 1871. Thanks to the sharp eyes and insights of Omar Hassan and Mick Armstrong, the final result is vastly improved on the original draft.

1 Lissagaray 1976, introduction, p3.

2 This address would be published as part of the pamphlet, The Civil War in France.

3 Marx 1871.

4 Benjamin 1968, pp254-255.

5 An arrondissement is similar to a suburb in Australian cities.

6 Edwards 1973, pp58-59.

7 Merriman 2016, p41.

8 Edwards 1973, p15.

9 Edwards 1973, pp59-60.

10 Gluckstein 2006, p13.

11 Merriman 2016, p44. The government is often referred to as Versailles because it was ensconced there.

12 Gluckstein 2006, p13.

13 Merriman 2016, p43.

14 Edwards 1973, pp60-61.

15 Hazan 2010, pp236-245.

16 Edwards 1973, pp61-62.

17 Gluckstein 2006, p14.

18 Edwards 1973, p22. Italics in Edwards.

19 Marx 1871.

20 Usually known as Baron Haussmann.

21 Gluckstein 2006, pp68-69.

22 Merriman 2016, pp7-8.

23 Merriman 2014, pp46-7.

24 Marx 1871.

25 Gluckstein 2006, p53. Bold in Gluckstein.

26 Marx 1871.

27 Marx 1871.

28 Marx 1871.

29 Marx 1871.

30 All the examples and quotes about the Labour Commission from Gluckstein 2006, pp28-31.

31 The International included this grouping, but also Proudhonists, who dominated the French section, Blanquists and others.

32 Many revolutionary women escaped the stifling pressure from their families by entering a “white marriage” in which the man expected no sexual relationship.

33 Ross 2016, pp27-29.

34 Thomas 1967, pp62-63.

35 Ross 2016, p27.

36 Gluckstein 2006, p50.

37 Ross 2016, pp26-28.

38 Gluckstein 2006, p31.

39 Gluckstein 2006, pp48-49.

40 Gluckstein 2006, pp45-46.

41 Ross 2016, p17.

42 Quoted in Gluckstein 2006, p49. Lissagaray uses oriflamme for scarlet banner which, in its literary meaning, denotes a principle or ideal that serves as a rallying point in a struggle.

43 Marx 1871.

44 Merriman 2016, pp10-11.

45 Merriman 2016, p104.

46 Merriman 2016, pp107-109; Gluckstein 2006, p49.

47 Merriman 2016, p105.

48 Merriman 2016, p101.

49 Merriman 2016, p11.

50 Ross 2016, pp39-40.

51 Ross 2016, p40.

52 Ross 2016, p44.

53 Ross 2016, pp41-42.

54 Merriman 2016, p104.

55 Ross 2016, pp40-41.

56 Marx 1871.

57 Thomas 1967, p53.

58 Merriman 2016, p105.

59 Thomas 1967, p54.

60 Merriman 2016, pp105-106.

61 Gluckstein 2006, pp32-33.

62 Cox 2021.

63 Ross 2016.

64 See below for an explanation of this demolition.

65 See Ross 2016, pp42-65 for an account of the debates in the Artists’ Federation and the artists involved.

66 Ross 2016, pp55-56.

67 Ross 2016, pp55-56.

68 Marx 1871.

69 Ross 2016, p23.

70 Lissagaray 1976, pp10-12.

71 Gluckstein 2006, pp46-53.

72 Gluckstein 2006, p49.

73 Gluckstein 2006, p50.

74 Cox 2021.

75 Ross 2016, p28.

76 This was the pseudonym of Victoire Léodile Béra, under which she wrote several novels, and the name she is known by in the records of the Commune.

77 Gluckstein 2006, pp188-190.

78 Gluckstein 2006, pp185-191.

79 Merriman 2016, p16.

80 Gluckstein 2006 pp156-157. For an analysis of why Proudhonists were on the right of the Communards, see Gluckstein, pp71-76.

81 Marx et al 2008, p71.

82 Gluckstein 2006, pp69-71.

83 Marx 1871.

84 Marx 1852.

85 Hazan 2010, p238.

86 Lissagaray 1976; Merriman 2016.

87 Lissagaray 1976, pp307-11.

88 Lissagaray 1976, pp146-174; Merriman 2016, chapters 9 and 10. Their accounts give more detail than belongs in an article of this length.

89 Merriman 2016, p226.

90 Thomas 1966, pp140-159.

91 Merriman 2016, pp156-159.

92 Marx 1871.

93 Lissagaray 1976, p287.

94 Tod 2020.

95 The notorious penal colony in French Guiana. Merriman 2016, p147.

96 Lissagaray 1971, pp343-344.

97 Local town hall.

98 Thomas 1966, p132.

99 Merriman 2016, p245.

100 Lissagaray 1976, p238.

101 Luxemburg 1919.

102 Edwards 1973, p26.

103 Edwards 1973, p26.

104 Gluckstein 2006, p130.

105 Gluckstein 2006, pp76-80.

106 Bakunin, “The Paris Commune and the idea of the state”, in Marx et al 2008, p78.

107 Gluckstein 2006, pp28-29.

108 Marx and Engels 1932, p60.

109 Marx 1845.

110 For my assessment of Lenin, see Bloodworth 2013.

111 Gluckstein 2006, pp68-71 for details of strikes and the maturing of working-class activists.

112 Eschelbacher 2009.

113 As the Guardsmen were often referred to.

114 Eschelbacher 2009.

115 Ross 2016, p60.

116 Hazan 2010, p291.

117 Cox 2021.

118 Bloodworth 2005.

119 Landrigan 2017, p78.

120 Buzzfeed 2021

121 Horton 2021.

Remembering the Original Black Panther Party

By Aneesh Gogineni

In 1966, Bobby Seale and Huey Newton, two students attending Merritt Community College in Oakland, founded what would be one of the most infamous organizations in US history, The Black Panthers. In fact, the FBI director at the time, J. Edgar Hoover regarded the Black Panthers’ breakfast program, not their guns, as the greatest threat to the nation’s internal security. Separating themselves from other black liberation groups at the time, the BPP was fighting the underlying evil that shapes and supplies racism — classism.

The Black Panthers were a Marxist group based on the ideology of revolutionary intercommunalism, a theory formed by Huey Newton that recharacterized imperialism and its relation to black subjugation. The theory rejected Western and neoliberal systemic issues in favor of Leninist style resistance to the neoliberal world order through means of a vanguard party to achieve socialist dictatorship of the proletariat. The Black Panthers were one of the largest domestic left-wing groups in the US that revolted against police brutality, systemic racism, racial capitalism, and worldwide imperialist efforts by the US empire. Running on what they called the Ten-Point Program, they believed in Black freedom and liberation at the same time as the abolition of capitalist systems of oppression and exploitation. At the height of the BPP, there were 68 chapters within the US from Chicago to Oakland to Louisiana. The BPP extended farther than just the United States as it had connections with similar organizations in Algeria, India, South Vietnam, and many other countries. Comprised of predominantly young, black members, very prominent activists were originally BPP members. Fred Hampton, Angela Davis, and Assata Shakur are a few of the activists that were either a part of the BPP or influenced heavily by its core beliefs.

The Black Panthers engaged in various modes of Black resistance. This included violent and peaceful means of resistance. Some of the violent methods included community protection and surveillance in which many Black Panthers armed themselves and patrolled black communities to prevent police brutality and anti-black crime. This resulted in lots of violence between the group and the cops as the cops were very brutal towards black people within black communities. On the other end of the stick, the party also engaged in peaceful, radical action. Some of this action included educating children with non-whitewashed history rather than public school learning. They also created community food programs that had free breakfast for children in school. In fact, this program founded by the BPP is what has led to free lunch and breakfast in nationwide public schools. Through these violent and peaceful programs, they were able to establish a radical commune predicated on fulfilling material needs for everyone in the community rather than profiting off of exploitation of workers and POC within the community.

As the Black Panthers became more prominent around the world, they ascended the FBI’s list of threats to the nation’s internal security. In 1956, COINTELPRO was an FBI operation founded to disrupt the activity of socialist entities such as the Communist Party of the USA or the Socialist Workers Party. As the Black Panther Party gained power, COINTELPRO placed them at the top of the list and sent agents to begin infiltration. In December 1969, the FBI shot and killed multiple leaders around the US. They staged police raids in neighborhoods in order to assassinate leaders. This resulted in the deaths of multiple black panthers including young leader Fred Hampton. However, the Black Panthers were able to remain intact throughout the 70’s and 80’s and continue to spread radical ideas. The demise of the Black Panthers can be attributed to dissolution of leadership as leaders either moved away from the party or were killed. In 1989, Huey Newton was killed and the party came to an official end.

The Black Panthers had a very large domestic and international reach. Multiple chapters throughout the nation replicated the communist praxis of the BPP with pioneers like Fred Hampton leading it in different areas. However, the reach of it extended farther than the US borders into the international spector. By establishing ties with other black liberation movements around the world, they were able to spread revolutionary intercommunalism and influence other areas of the world. An example of how strong their influence was can be seen in the Dalit Panther Party. In India, there is a hierarchal caste system based on what family one is born into. The Dalits were the lower caste that were constantly dehumanized, killed, subjugated and legally oppressed. Thus, the Dalit Panther Party was formed as a method of resistance and rejecting the caste system. Mentioned in the BPP magazines, the Dalit Panthers were a wonderful example of the original party’s reach.

Similarly, in Dallas, the group known as Guerilla Mainframe participates in community aid programs as a method of resistance. They also engage in militant protests to police brutality within their community, which is very reminiscent of the Black Panthers. The legacy of the BPP has been carried on around the world with the Yellow Panthers in Vietnam, the Vanguard Party of the Bahamas, and many more groups that studied and copied the Black Panthers’ model of organizing resistance. Thus, we should remember The Black Panther Party not as a terrorist group but rather as an inspirational Party that was key in the fight for black liberation and abolition of class. Thus, in the name of the Black Panthers and the millions of other deaths resulting from capitalism, we must endorse alternative methods of communing.

Sources

https://viewpointmag.com/2018/06/11/intercommunalism-the-late-theorizations-of-huey-p-newton-chief-theoretician-of-the-black-panther-party/

https://www.britannica.com/topic/Black-Panther-Party/Legacy

Three Lessons From the World’s Biggest Worker Uprising

By Aayaan Singh Jamwal

The Kisan Ekta Morcha (Farmers United Front) is a mass movement of 100,000+ farmers, youth, workers and allies from India and the diaspora. For the past 27 days, Satyagrahis have occupied all but one highway leading into Delhi, the capital of India. 1.5 million union members in Canada have declared solidarity with KAM. Protestors say that people of the country and world are with them. They are determined and equipped to occupy Delhi’s border roads until the government repeals three farm bills that were made into law in September 2020. The significance of this ultimatum by the country’s working-class peasantry is twofold: first, they are mounting an uncompromising opposition which is salient in an age of police violence forcefully suppressing anti-capitalism protests worldwide. Second, the farmers are publicly renouncing their faith in an elected ruling class whose actions do not display any care for their wellbeing.

The world’s largest general strike


On November 26, 2020 Indian workers organized the world’s largest general strike.(1)  Why did 250 million workers strike? Members of national trade unions struck from work to protest a number of the central government’s policies, such as the “dismantling [of] protective labour laws, refusal to negotiate an increase in minimum wages, [and] selling off several public sector units to private entities'' (Varma 2020). This government promises “empowerment” and keeps unilaterally passing laws to make extraction and exploitation easier for wealth-hoarding billionaires. How is the Kisan Ekta Morcha peasant uprising connected to the general strike? Peasant-farmers (at the time largely from neighboring states of Punjab, Haryana and Uttar Pradesh) called for a march to Delhi to show their solidarity with striking workers. As farmers approached, the police sealed border roads to try to prevent them from entering Delhi. The farmers overturned barricades and continued to march. They were injured by cops who assaulted them with tear gas and water cannons. It’s important to note that tear gas is internationally classified as a chemical weapon that is illegal to use in war as per Geneva Protocol 1925, yet nation-states continue to use tear gas domestically to harm and deter popular revolutions.

Farmers have strong precedent to believe that laws deregulating agricultural markets will create yet another profiteering mechanism for Modi’s capitalist friends.(1)(2) Narendra Modi has been the Prime Minister of India since 2014 and his party (BJP) currently has a majority in the Parliament. Despite the fact that the BJP’s dubious leadership has been sinking India into insecurity for the last 6 years, the party’s politics still have sympathetic right-wing, “anti-communist” supporters. However, KAM has also ignited many people across the world who were previously indecisive to BJP’s regime to proactively oppose its blend of economic incompetence, fascism, nationalism, and caste supremacy politics. What began as a kisan-mazdoor ekta (farmer-worker solidarity) day march on that day is now an ongoing occupation and mass movement challenging the legitimacy of harmful governance.


Down with capitalist monopolies

Modi’s collaborative relationships with India’s richest person Mukesh Ambani and with coal mining billionaire Adani are well known. Organizing unions say  The Bharatiya Janata Party says that replacing regulatory laws with “free markets” based on “freedom” and “choice” are the “revolutionary reforms” that will make “a new India”. Certainly, the claim that capitalism is the best/only structure for growth or “development” is propagated widely, and not just by the BJP, but largely by the very capitalists funding the political campaigns of all major parties. In reality, sympathizers of capitalist governance find it hard to explain why a single corporate overlord should be free to hoard billions of dollars. The middle classes say, “It’s his wealth, he earned it”-- forgetting that no wealth in the world can be created without laboring workers, farmers, and unpaid care-workers. Protestors say that increasing private monopolies instead of improving existing local structures (1) (2) is not only the opposite of balanced governance but so unethical that they will not stand it. There is now also an international campaign to boycott all products sold by Ambani and Adani’s companies (1) (2) in India and internationally. You can go to asovereignworld.com to find a developing list of their products, businesses, and investors.

 

The ethics this revolution works on

Even as climate change is accelerating, political elites continue to use public institutions to strengthen empires of capitalists. 2020 is the time for an ethics of care, a politics of support. However, since the prime minister’s government has refused to consider repealing the laws, despite a number of experts pointing out its flawed assumptions and the farmers’ case for its potential to harm. Farmers and youth are done watching modern empires try to pass off their destructive extraction [from People and Planet] as “goodness,” “growth” or “empowerment.” The farmers’ uprising is a non-partisan issue: the farmers are frustrated with slimy political elites writ large: they have prohibited any party’s politicians from taking the stage at their protests. Since a lot has been written and propagated about the farm laws, here I want to focus on the working-class politics of unity that are at the heart of the Kisan Ekta Morcha. Here are three key lessons about the ethics behind revolutionary actions that are fueling one of modernity’s most well sustained mass uprisings. I pay special attention to present practices of care and the power of working-class led collectives in bringing revolutionary theories to life.

 

1. Our love for all beings terrifies fascist mindsets.

“Love is the weapon of the oppressed. Revolution is carried through our embrace.”

- Nisha Sethi

 

Hand in hand with an ignorance of the structural barriers that prevent the working-poor from accessing capital and ownership of land/resources, pro-government stooges also steadfastly believe that some lives are of more value than others. On the other hand, the Sikh and Punjabi organizers of this agitation can be repeatedly heard leading with chants such as, “Nanak naam chardi kala, tere bhane sarbat da bhala!” This prayer approximately translates to “Nanak, with your name we stay in high spirits, with your blessings may all beings be well!” The first Guru (divine guide) of Sikhism was Guru Nanak Dev Ji, a legendary figure loved by Indians. At the age of 14, he repudiated his caste-privileged birth and refused to be marked as a Hindu Brahmin. Instead, he created a framework that is the 4th most-followed in the world today, a faith that tells its followers to eliminate social hierarchies. While forms of hierarchy still exist within Sikh communities, like all others, they also continue to collectivize radical protest practices like serving langar and creating free, open schools. Nobody at or near the border sites is going hungry. Since the occupation began, thousands of farmers have arrived with rations and cooking utensils. Volunteers doing langar seva (service) have been serving vegetarian food to everyone. You can eat as much as you like, and payment is not part of the equation. Langar is the Sikh practice of sitting down on the floor to eat in community. What makes KAM langars even more radical is that unhoused people and working-poor children who live nearby are regularly joining langar with protestors.

On the matter of schooling and education for all, protestors Navjot Kaur and Kawaljit Kaur were the first to initiate ‘Phulwari’ (lit: flower garden) when they noticed that young children at Singhu Border were not attending school. Navjot Kaur has a Bachelor’s in Education and believes that awareness is the cornerstone of revolution, so they began teaching them with the help of volunteers. Activists have also created libraries on-site with revolutionary texts in Punjabi and Hindi, two of the languages most spoken among protestors. Everyone is welcome to take books to read, and contribute books they want others to have. The ecosystems I’ve described that people power has created resemble what anarchist Murray Bookchin described as a free municipality. A comrade told me that the Delhi Government refused to respond to their appeals for more portable toilets, so they reached out to their own networks, and a friend’s family contributed suction trucks. Their capacity to safely manage the waste on-site has now increased. Despite the chilling cold and an uncaring regime, farmers and their comrades are well-prepared to eat, debate, sleep, dance, pray, sing, and read on these streets until their demand is respected.

2. Creating communities based on care, not hierarchy, is an ancestral commitment.

 I’m a community organizer who experiences life at the intersection of systematic advantages I was accorded through no goodness of my own and multiple systemic disadvantages. So when I began actively creating an ethic of care to bring into the spaces I was helping to build, I started to notice that it is not as an individual that you unlearn patriarchal, colonial, or capitalist tendencies. The process of taking responsibility for change around you happens in community with people who’ve cared for you, and those you care for. Revolutionizing social relations requires seeing those dominating ways that have lived within your community as house guests for so long that unless you look closely, you would not be able to tell where the hierarchies end and the furniture begins. The farmers uprising has reaffirmed something for me about creating post-capitalist visions for a life where we get respect and support instead of violations and terror. It’s that capitalist mindsets can’t swallow the realities of these protestors being friends, families. Singhu and Tikri Border are places of ancestral reverence, where protestors as young as 4 and as old as 90 reify their commitment to sharing love and building futures that prioritize well-being.

Predominant portrayals of modern protests in which working people occupy the streets to demand more life-affirming material conditions most often depict able-bodied men as the orchestrators of action. When farmers first reached borders and news of their agitation began circulating, women were said to be largely absent from the ranks of protestors. Hearing this, some organizers acted with a class and gender consciousness uncritically and began centering testimonies from women. Shergill writes that “according to Mahila Kisan Adhikaar Manch (MAKAAM) [Women’s Farmers Rights Forum], 75 percent of all farm work is conducted by women yet they own only 12 percent of the land.” This land ownership statistic will prove even more harmful for women if these laws are not repealed. The only “choice” they will be left with to earn a living, will be contracting out their bodies to Ambani Agro and Adani Agri Logistics.

3. Opposing one unjust hierarchization means discarding all in/visible forms of hierarchy.

Punjab is the place of my birth and ancestry. Our communities are large-hearted, and they are also rife with caste, patriarchal, and land-based degradation. Radical love is less a theory to be explained and more the undeniable bond we form in fleeting moments, and shared connections with our comrades who persist, despite the despair of our times. Radical love can look like accompanying uncomfortable exchanges, such as when a young protestor shared an image she took of two men: a Hindu priest and a Sikh elder who were engaged in conducting a ritual together, despite being from different religious backgrounds. Her caption said, “I wonder if they know the kid watching them and taking this photo is bisexual.” People who create revolutions and uprisings from the ground up have not forgone all prejudices within themselves. But they have taken a monumental risk; the risk to arrive within a public where they may be faced with forms of difference that they cannot immediately resolve. It is by intimately and carefully accompanying the tendency to distance ourselves from our own prejudices that we begin to circulate an ethic of care, a more considerate way of relating than one’s will to harm or hurt.

 

Author’s notes:

If you’d like to track on-ground updates, I recommend the following:

  1. Trolley Times Official (IG: @trolley_times_official) - the protest’s own newspaper!

  2. Instagram: Sikh Expo

    To hear more testimonies from the agitation:

  1. Youtube: Scoopwhoop Unscripted (English subtitles available)

  2. Videos: Aljazeera English’s coverage on the basics, including Shergill’s piece.

  3. Web reportage: Newsclick.in, especially this (half-satirical but fact based) piece.

  4. Kisan Ekta Morcha: the unions’ official handle on all social media platforms.

For thoughtful analyses of the farm laws:

  1. P. Sainath, agricultural expert, for the Tribune, Newsclick, and the Wire.

  2. Dr. Sudha Narayanan for the India Forum.

Blood, Breastmilk, and Dirt: Silvia Federici and Feminist Materialism in International Law

By Miriam Bak McKenna

Republished from Legal Form: A Forum for Marxist Analysis of Law

If the politics of gender have been dragged front and centre into public discourse of late, this shift seems to have evaded international legal scholarship, or legal scholarship for that matter. Outside feminist literature, discussions of gender continue to be as welcome as a fart in a phonebox among broader academic circles. Unfortunately, Marxist and historical materialist scholarship fare little better. Despite periods in the 1960s and early 70s when their shared belief in the transformative potential of emancipatory politics flourished, Heidi Hartman had by 1979 assumed the mantle of academic marriage counselor, declaring that attempts to combine Marxist and feminist analysis had produced an “unhappy marriage”. [1] Women’s interests had been sidelined, she argued, so that “either we need a healthier marriage, or we need a divorce”. [2] Feminists pursued the latter option and the so-called “cultural turn”–a move coinciding with the move away from the “modernist” agenda of early second-wave feminism towards postmodern perspectives.

Not all feminists, however, took the cultural turn or wholeheartedly embraced postmodernism. Many continued to work within broadly materialist frameworks. Silvia Federici, known prominently for her advocacy of the 1970s Wages for Housework demand, continued the Marxist feminist momentum in her advocacy and scholarship by overseeing a revision or perhaps even reinvention of materialist feminism, especially in the United States. Federici’s work on social reproduction and gender and primitive accumulation, alongside a small but active group of materialist feminists (particularly Wally Seccombe, Maria Mies and Paddy Quick), brought a new energy to materialist feminism, making the capitalist exploitation of labour and the function of the wage in the creation of divisions within the working class (starting with the relation between women and men) a central question for anti-capitalist debate. Drawing on anti-colonial struggles and analyses to make visible the gendered and racialized dimensions of a global division of labour, Federici has sought to reveal the hierarchies and divisions engendered by a system that depends upon the devaluation of human activity and the exploitation of labour in its unpaid and low-paid dimensions in order to impose its rule.

In this post, I argue that Federici’s work offers a rich resource for redressing the conspicuous absence of a gendered perspective within academic scholarship on materialist approaches to international law. Materialist analyses of systematic inequalities within the international legal field are as relevant now as they ever were, yet the sidelining of gender and feminism within both traditional and new materialism has long been cause for concern. A gendered materialism in international law, which casts light on the logic of capitalist socialization and which affords the social reproductive sphere equal analytical status, allows us to access a clearer picture of the links between global and local exploitation at the intersections of gender, race, and nationality, and provides new conceptual tools to understand the emergence and function of international legal mechanisms as strategies of dominance, expansion, and accumulation.

A Brief Portrait of a Troubled Union

In 1903 the leading German SPD activist Clara Zetkin wrote: “[Marx’s] materialist concept of history has not supplied us with any ready-made formulas concerning the women’s question, yet it has done something much more important: It has given us the correct, unerring method to explore and comprehend that question.” [3] In many respects this statement still rings true. While Marxism supplied means for arguing that women’s subordination had a history, rather than being a permanent, natural, or inevitable feature of human relations, it was quickly criticized for marginalizing many feminist (and other intersectional) concerns. Feminist scholars in particular called attention to the failure of some forms of Marxism to address the non-economic causes of female subordination by reducing all social, political, cultural, and economic antagonisms to class, and the tendency among many traditional Marxist scholars to omit any significant discussions of race, gender, or sexuality from their work.

Marxist feminists (as well as critical race scholars and postcolonial theorists) have attempted to correct these omissions with varying degrees of success. The wave of radical feminist scholarship in the 1960s produced a number of theories of women’s domestic, sexual, reproductive, and cultural exploitation and subordination. Patriarchy (the “manifestation and institutionalization of male dominance over women and children in the family and the extension of male dominance over women in society in general” [4]) emerged as a key concept that unified broader dynamics of female subordination, while gender emerged as a technique of social control in the service of capitalist accumulation. Within this logic some proposed a “dual-system theory” wherein capitalism and patriarchy were distinct systems that coincided in the pre-industrial era to create the system of class and gender exploitation that characterizes the contemporary world. [5] Others developed a “single-system theory” in which patriarchy and capitalism “are not autonomous, nor even interconnected systems, but the same system”. [6]

During the 1970s, discussions turned in particular to the issue of women’s unpaid work within the home. The ensuing “domestic labour debate” sought to make women’s work in the home visible in Marxist terms, not as a private sphere opposed to or outside of capitalism but rather as a very specific link in the chain of production and accumulation. By exploring its strategic importance and its implications for the capitalist economy on a global scale, this analysis helped show that other forms of unpaid work, particularly by third world peasants and homeworkers, are an integral part of the international economy, central to the processes of capital accumulation. However, the Wages for Housework Campaign was criticized for failing to engage with broader social causes and effects of patriarchal oppression, as well as for essentializing and homogenizing the women it discussed. [7] These criticisms contributed to deep divisions between feminist thinkers on the left. A majority were to follow the lead of those like Hartman, arguing that Marx’s failure explicitly to examine domestic labour, coupled with the “sex-blind” analysis of most Marxist theorists, had prevented Marxism from adequately addressing women’s working conditions. Describing this period, Sue Ferguson noted that the “festering (and ultimately unresolved) issue” fueling socialist feminist thought was the place of Marxist analysis. [8] This shift, meanwhile, was overtaken by the cultural turn in social theory and the question of “how women are produced as a category” as the key to explaining their social subordination, in which materialist issues such as the debate over domestic labour were largely discarded. [9]

WWF: Wages, Witches, and Fanon

Among the Marxist feminist scholars who stayed the course during the broader scholarly shift towards structuralism, a small group of materialist feminists, including Silvia Federici, began to expand the debates over the relationship between patriarchy and capital by integrating the complexities of various forms of reproductive labour into their work. Led by such notable figures as Mariarosa Dalla Costa, Selma James, Leopoldina Fortunati, Maria Mies, Ariel Salleh, and Federici herself, their work on the sphere of social reproduction, which had largely been neglected in Marxist accounts, brought new energy to the materialist debate. In particular, responding to the above-mentioned critiques, they shifted their perspectives to develop situated accounts of the role of women in the global geopolitical economy that incorporated overlapping issues of imperialism, race, gender, class, and nationality.

The arc of Federici’s scholarship mirrors to a large extent the broader shifts within late-twentieth century Marxist feminism. Inspired to pursue a PhD in the United States after witnessing the limitations placed upon her mother, a 1950s housewife, her arrival coincided with an upswing of feminist activity in U.S. universities. Federici’s first publication, titled Wages Against Houseworkand released in 1975, situated itself within the domestic labour debate, drawing on Dalla Costa and James’ arguments that various forms of coerced labour (particularly non-capitalist forms) and generalized violence, particularly the sexual division of labour and unpaid work, play a central function in the process of capitalist accumulation. This structural dependence upon the unwaged labour of women, noted Maria Mies, meant that social reproduction is “structurally necessary super-exploitation”–exploitation to which all women are subjected, but which affects women of colour and women from the global South in particularly violent ways. [10]

In Wages Against Housework, Federici expanded these social reproduction insights into a theory of “value transfer”, focusing on the dependence of capital on invisible, devalued, and naturalized labour. Contrary to the prevailing ideology of capitalism, she argues, which largely depicts labour as waged, freely undertaken, and discrete, the reality is that–especially where women are concerned–labour is often coerced, constant, proliferating, and uncompensated. “We know that the working day for capital does not necessarily produce a paycheck and does not begin and end at the factory gates”, she explains together with Nicole Cox in “Counterplanning from the Kitchen”. [11] Capitalism infiltrates and becomes dependent upon the very realm that it constructs as separate: the private life of the individual outside of waged work.

Central to Federici’s thesis is the need to analyze capitalism from the perspective of both commodity production and social reproduction in order to expand beyond traditional spaces of labour exploitation and consider all of the spaces in which the conditions of labour are secured. As Federici argues in Caliban and the Witch, traditional Marxist categories are inadequate for understanding fully processes of primitive accumulation. [12] She notes that “the Marxian identification of capitalism with the advent of wage labor and the ‘free’ laborer…hide[s] and naturalize[s] the sphere of reproduction”, and further observes that “in order to understand the history of women’s transition from feudalism to capitalism, we must analyze the changes that capitalism has introduced in the process of social reproduction and, especially, the reproduction of labor power”. [13] Thus, “the reorganization of housework, family life, child-raising, sexuality, male-female relations, and the relation between production and reproduction” are not separate from the capitalist mode of organization, but rather central to it. [14] The conflation and blurring of the lines between the spaces of production of value (points of production) and the spaces for reproduction of labour power, between “social factory” and “private sphere”, work and non-work, which supports and maintains the means of production is illustrated through her analysis of the household. Housework, Federici declares (and I am sure many would agree here) is “the most pervasive manipulation, and the subtlest violence that capitalism has ever perpetrated against any section of the working class”. [15] Housework here is not merely domestic labour but its biological dimension (motherhood, sex, love), which is naturalized through domestic violence, rape, sexual assault, and most insidiously through “blackmail whereby our need to give and receive attention is turned against as a work duty”. [16] For Federici, the situation of “enslaved women … most explicitly reveals the truth of the logic of capitalist accumulation”. [17] “Capital”, she writes,

Has made and makes money off our cooking, smiling, fucking”. [18]

In Federici’s historical analysis of primitive accumulation and the logic of capitalist expansion, both race and gender assume a prominent position. For Federici, both social reproductive feminism and Marxist anticolonialism allow historical materialism to escape the traditional neglect of unwaged labour in the reproduction of the class relation and the structure of the commodity. As Ashley Bohrer has explored, Federici, like many other Italian Marxist feminists, has drawn explicitly on the work of post-colonial scholars, most prominently Frantz Fanon [19], in developing their theories of gendered oppression. [20] In the introduction to Revolution at Point Zero, Federici explains how she and others drew on Fanon’s heterodox economics in expanding their analyses beyond the scope of the traditional capitalist spaces:

It was through but also against the categories articulated by these [civil rights, student, and operaist/workerist] movements that our analysis of the “women’s question” turned into an analysis of housework as the crucial factor in the definition of the exploitation of women in capitalism … As best expressed in the works of Samir Amin, Andre Gunder Frank and Frantz Fanon, the anticolonial movement taught us to expand the Marxian analysis of unwaged labour beyond the confines of the factory and, therefore, to see the home and housework as the foundations of the factory system, rather than its “other”. From it we also learned to seek the protagonists of class struggle not only among the male industrial proletariat but, most importantly, among the enslaved, the colonized, the world of wageless workers marginalized by the annals of the communist tradition to whom we could now add the figure of the proletarian housewife, reconceptualized as the subject of the (re)production of the workforce. [21]

Just as Fanon recasts the colonial subject as the buttress for material expansion among European states, so Federici and others argue that women’s labour in the home creates the surplus value by which capitalism maintains its power. [22] Federici contends that this dependence, along with the accentuation of differences and hierarchies within the working classes for ensuring that reproduction of working populations continues without disruption, has been a mainstay of the development and expansion of capitalism over the last few centuries, as well as in state social policy. Colonization and patriarchy emerge in this optic as twin tools of (western, white, male) capital accumulation.

Expanding upon Fanon’s insights about the emergence of capitalism as a much more temporally and geographically extended process, Federici regards the transition as a centuries-long process encompassing not only the entirety of Europe but the New World as well, and entailing not only enclosures, land privatization, and the witch hunts, but also colonialism, the second serfdom, and slavery. In Caliban and the Witch, she presents a compelling case for the gendered nature of early primitive accumulation, by excavating the history of capital’s centuries-long attack on women and the body both within Europe and in its colonial margins. For Federici, the transition was “not simply an accumulation and concentration of exploitable workers and capital. It was also an accumulation of differences and divisions within the working class, whereby hierarchies built upon gender, as well as ‘race’ and age, became constitutive of class rule and the formation of the modern proletariat”. [23] According to Federici, the production of the female subject is the result of a historical shift of economic imperative (which was subsequently enforced by those who benefited from such economic arrangements), which set its focus on women, whose bodies were responsible for the reproduction of the working population. [24] The goal was to require a “transformation of the body into a work-machine, and the subjugation of women to the reproduction of the work-force” [25], and the means “was the destruction of the power of women which, in Europe as in America, was achieved through the extermination of the ‘witches’”. [26] The witch–commonly midwives or wise women, traditionally the depository of women’s reproductive knowledge and control [27]–were targeted precisely due to their reproductive control and other methods of resistance. The continued subjectification of women and the mechanization of their bodies, then, can be understood as an ongoing process of primitive accumulation, as it continues to adapt to changing economic and social imperatives.

While a rich and engaging tradition of feminist approaches to international law has emerged over the past few decades, it has shown a marked tendency to sideline the long and multifaceted tradition of feminist historical-materialist thought. Similarly, within both traditional and new materialist approaches to international law, there has been a conspicuous sidelining of gender and feminism, along with issues of race and ethnicity. The argument for historical materialism in the context of international legal studies is not, as some critics have claimed, that women’s oppression ought to be reduced to class. Rather, the argument is that women’s experiences only make sense in the explanatory context of the dynamics of particular modes of production. However, this requires an adequate theory of social relations, particularly of social production, reproduction, and oppression, in order to sustain a materialist analysis that “make[s] visible the various, overlapping forms of subjugation of women’s lives”. [28]

It is my contention that Federici’s social-reproductive and intersectional theory of capitalism provides a path toward a more nuanced and sustained critique of the logic and structure of capitalism within the international legal field. This approach foregrounds the social–that is, social structures, relations, and practices. But it does not reduce all social structures, relations, and practices to capitalism. Nor does it depict the social order as a seamless, monolithic entity. Moving beyond traditional class-reductionist variants of historical materialism, capitalism emerges here as one part of a complex and multifaceted system of domination in which patriarchy, racism, and imperialism are fundamental, constitutive elements, which interact in unpredictable and contradictory ways.

As Federici’s scholarship has stressed, the importance of foregrounding social reproduction as part of the dynamic of capitalist accumulation, as facilitated by states and international institutions, is essential to any materialist analysis, including one of the international legal field. This is necessary for exploring women’s specific forms of oppression under capitalism, particularly as they are facilitated by the family and the state. For example, Federici’s insights into the domain of unpaid social reproduction and care work are useful for understanding women’s subordinated incorporation into labour markets, especially in the global South and in states affected by structural adjustment. Indeed, while the state largely facilitates women’s entry into the workforce, their categorization as “secondary” workers–“naturally” suited to care work and the fulfillment of physical and emotional needs, and “naturally” dependent upon men–has continually been reproduced to the detriment of their labour situation. [29]

While Federici’s social reproduction theory begins with women’s work in the home, she demonstrates that capitalism’s structural dependence upon unwaged and reproductive labour extends to regimes of domination predicated upon social control on the global plane (from slavery through the exploitation of immigrant workers to the genocide of indigenous peoples). In her account of primitive accumulation, power relations sustained through the construction of categories of gender, race, sex, and sexuality facilitate the creation of subjects predicated upon capitalism’s systemic needs. While the heterosexual family unit is one of the more visible ways in which this domination is socially reproduced, the relationship, Federici argues, is reproduced in many settings. The transformations of the neoliberal era–particularly the global reorganization of work fueled by the drive to impose the commodity form in ways that seek to harness and exploit labour in its unpaid and low-paid dimensions–are characteristic of this dynamic. Federici has also emphasized the fact that domestic workers and service providers have consistently been devalued as workers. [30] In doing so, she highlights one of the rhetorical gaps in the contemporary feminist movement: when women enter the waged work-force, they often enter into an exploitative relationship with other women (and men) with less social power. It is the latter’s labour, bodies, and time that provide the means for access to better conditions within the labour market.

This relation of exploitation is also prevalent in neocolonial forms of exploitation–called “the new enclosures” by Federici–which ensure that the affluent North benefits from social and economic conditions prevailing in the global South (for example, through transnational corporations’ access to cheap land, mineral, and labour resources). Capitalism, Federici argues, depends not only on unwaged housework, but on a global strategy of underdevelopment in the global South, one that relies upon the stratification of and constructed division between otherwise common interests. “Wagelessness and underdevelopment”, she argues, “are essential elements of capitalist planning nationally and internationally. They are powerful means to make … us believe that our interests are different and contradictory.” [31]

Federici’s depiction of patriarchy, the state, and capitalism as interacting forces, together with her focus on relational, overlapping regimes of domination and their attendant systems of control, points the way toward a new way of understanding intertwined techniques and discourses of power in the international legal field. Capitalism’s reliance upon multiple types of exploitation, multiple forms of dispossession, and multiple kinds of subjects is visible in broader themes of international law. It is, for instance, visible in the overlapping dynamics of control that mark the history of colonial expansion, as well as the emergence in the nineteenth century of sovereign hierarchies and various legal mechanisms that ensure patterns of dominance, expansion, and accumulation in the international sphere.

An examination of the historical and contemporary role of international law in perpetuating these dynamics of oppression prompts us to address the specific processes whereby these categories are produced and reproduced in international law. Examples include norms surrounding marriage and the family, the production of the category of the temporary worker, and the illegal immigrant whose disenfranchisement is the necessary condition of their exploitation. Much the same can be said for trade, property, taxation policy, welfare and social security provision, inheritance rights, maternity benefits, and support for childcare (or the lack thereof). In the context of the gendered dynamics of globalization, we can examine the manner in which the devaluation of female labour has been facilitated by international institutions, notably the World Bank and International Monetary Fund, and through development initiatives such as micro-finance and poverty reduction strategies. Federici has also revealed the complicity of ostensibly neutral (and neutralizing) discourses such as development, especially when pursued with the stated objective of “female empowerment”, in glossing over the systemic nature of poverty and gendered oppression. These dynamics are ultimately predicated upon law’s power to create, sustain, and reproduce certain categories.

Usefully, Federici’s relational theory of subjectivity-formation also allows us to move beyond gender and race as fixed, stable categories, encouraging a new understanding that helps us detect more surreptitious gendered tropes and imaginaries in the structure of international legal practice and argumentation. One example is the set of narratives that surround humanitarian intervention. Indeed, as Konstantina Tzouvala has suggested, one of the glaring deficiencies in the socialist feminism proposed by B. S. Chimni is the absence of an explanation of how gender, race, class, and international law form an inter-related argumentative practice. [32]

Conclusion

Writing some ten years after David Schweickart lamented that analytical Marxism “remains a discourse of the brotherhood” [33], Iris Marion Young noted that,

[O]ur nascent historical research coupled with our feminist intuition tells us that the labor of women occupies a central place in any system of production, that the gender division is a basic axis of social structuration in all hitherto existing social formations, and that gender hierarchy serves as a pivotal element in most systems of social domination. If traditional Marxism has no theoretical place for such hypothesis, it is not merely an inadequate theory of women’s oppression, but also an inadequate theory of social relations, relations of production, and domination. [34]

Young’s defense of a “thoroughly feminist historical materialism” [35] is as relevant today as ever. While great in-roads have been made within materialist approaches to various disciplines, including international law, the continued tendency to marginalize issues of gender (along with issues of race and sexuality) greatly undermines the soundness of such critiques. In pointing to issues of social reproduction, racism, sexual control, servitude, imperialism, and control over women’s bodies and reproductive power in her account of primitive accumulation, Silvia Federici highlights issues that must occupy a prominent place in any materialist treatment of international law.

Miriam Bak McKenna is Postdoctoral Fellow and Lecturer in International Law at Lund University.

Notes

  1. Heidi Hartman, “The Unhappy Marriage of Marxism and Feminism” [1979], in Lynn Sargent (ed.) Women and Revolution: The Unhappy Marriage of Marxism and Feminism–A Debate on Class and Patriarchy (London: Pluto, 1981) 1.

  2. Ibid., 2.

  3. Clara Zetkin, “What the Women Owe to Karl Marx” [1903], trans. Kai Shoenhals, in Frank Meklenburg and Manfred Stassen (eds) German Essays on Socialism in the Nineteenth Century (New York: Continuum, 1990) 237, at 237.

  4. Gerda Lerner, The Creation of Patriarchy (New York: Oxford University Press, 1986), 239.

  5. Pat Armstrong and Hugh Armstrong, “Class Is a Feminist Issue”, in Althea Prince, Susan Silvia-Wayne, and Christian Vernon (eds), Feminisms and Womanisms: A Women’s Studies Reader (Toronto: Women’s Press, 1986) 317. See, for example, Hartman, “Unhappy Marriage”; and also Sylvia Walby, Gender Segregation at Work (Milton Keynes: Open University Press, 1988).

  6. See, for example, Lise Vogel, Marxism and the Oppression of Women: Toward a Unitary Theory (New Brunswick, NJ: Rutgers University Press, 1983); Iris Marion Young, “Beyond the Unhappy Marriage: A Critique of Dual Systems Theory”, in Lydia Sargent (ed.), Women and Revolution: A Discussion of the Unhappy Marriage of Marxism and Feminism (Boston: South End Press, 1981) 43.

  7. See Angela Y. Davis, Women, Race, and Class (New York: Random House, 1981).

  8. Sue Ferguson, “Building on the Strengths of the Socialist Feminist Tradition”, 25 (1999) Critical Sociology 1, at 2.

  9. See, for example, Rosalind Coward and John Ellis, Language and Materialism (London: Routledge, 1977) and Juliet Mitchell, Psychoanalysis and Feminism (Harmondsworth: Penguin, 1975).

  10. Maria Mies, Patriarchy and Accumulation on a World Scale: Women in the International Division of Labour, 1st edition (London: Zed Books, 1986).

  11. Nicole Cox and Silvia Federici, Counterplanning from the Kitchen: Wages for Housework–A Perspective on Capital and the Left (Bristol: Falling Wall Press, 1975), 4.

  12. Silvia Federici, Caliban and the Witch: Women, the Body and Primitive Accumulation (New York: Autonomedia, 2004), 8.

  13. Ibid., 8–9.

  14. Ibid., 9.

  15. Silvia Federici, Revolution at Point Zero: Housework, Reproduction, and Feminist Struggle (Oakland: PM Press, 2012), 16.

  16. Silvia Federici, Wages Against Housework (Bristol: Falling Wall Press, 1975), 20.

  17. Federici, Caliban and the Witch, 89.

  18. Federici, Wages Against Housework, 19.

  19. Frantz Fanon, The Wretched of the Earth, trans. Richard Philcox (New York: Grove, 2004 [1961]).

  20. Ashley Bohrer, “Fanon and Feminism”, 17 (2015) Interventions 378.

  21. Federici, Revolution at Point Zero, 6–7 (original emphasis).

  22. Ibid., 7.

  23. Federici, Caliban and the Witch, 64 (original emphasis).

  24. Ibid., 145.

  25. Ibid., 63.

  26. Ibid.

  27. Ibid., 183.

28. Chandra Talpade Mohanthy, Feminism Without Borders: Decolonizing Theory, Practicing Solidarity (Durham: Duke University Press, 2003), 28.

29. Daniela Tepe-Belfrage, Jill Steans, et al., “The New Materialism: Re-Claiming a Debate from a Feminist Perspective”, 40 (2016) Capital & Class 305, at 324.

30. Silvia Federici, Revolution at Point Zero: Housework, Reproduction, and Feminist Struggle (Oakland: PM Press, 2012), 65–115.

31. Ibid., 36.

32. Konstantina Tzouvala, “Reading Chimni’s International Law and World Order: The Question of Feminism”, EJIL: Talk! (28 December 2017).

33. David Schweickart, “Book Review of John Roemer, Analytical Marxism“, 97 (1987) Ethics 869, at 870

34. Iris Marion Young, “Socialist Feminism and the Limits of the Dual Systems Theory”, in Rosemary Hennessy and Chrys Ingraham (eds), Materialist Feminism: A Reader in Class, Difference and Women’s Lives (New York: Routledge, 1997) 95, at 102.

35. Ibid (original emphasis).

One Hundred Years of Indian Communism

By Prabhat Patnaik

Republished from International Development Economic Associates.

A theoretical analysis of the prevailing situation, from which the proletariat’s relationship with different segments of the bourgeoisie and the peasantry is derived, and with it the Communist Party’s tactics towards other political forces, is central to the Party’s praxis. A study of this praxis over the last one hundred years of the existence of communism in India, though highly instructive, is beyond my scope here. I shall be concerned only with some phases of this long history.

While the Sixth Congress of the Communist International (1928) analysed the colonial question, advancing valuable propositions like “Colonial exploitation produces pauperization, not proletarianization, of the peasantry”, it put forward a line of action for Communist Parties that was sectarian in character; indeed the period following the Sixth Congress, often referred to as the Third Period, is associated with sectarianism. It was at the Seventh Congress in 1935, in the midst of the fight against fascism, which had claimed Ernst Thaelman, Antonio Gramsci and many others among its victims, that this sectarianism was rectified and the need to form united fronts was emphasized. The Seventh Congress tendency was translated into the Indian context by the Dutt-Bradley thesis calling for the formation of an Anti-Imperialist People’s United Front.

The economic programme suggested for such a front included the right to strike, banning reductions of wages and dismissals of workers, an adequate minimum wage and 8-hour day, a 50 per cent reduction in rents and banning the seizure of peasant land against debt by imperialists, native princes, zamindars and money lenders.

Communists being clandestine members of the Congress (the Indian case differed from South Africa in this respect where dual membership, of the SACP and ANC, was possible), and working in cooperation with the Congress Socialist party, were the outcome of this understanding.

This phase came to an end with the German attack on the Soviet Union. The Communist Party’s understanding that the nature of the war had changed because of this attack, though striking a sympathetic chord among many leading Congressmen, was officially rejected both by the CSP and the Congress, which actually launched the Quit India movement at this very time (in which many Communists who had been members of the Congress were also jailed for long periods).

With independence, the question of the nature of the new State and the relationship with the bourgeoisie came to the fore. It caused intense inner-Party debate and ultimately divided the Party. The CPI(M)’s theoretical position, enshrined in its programme, took off from Lenin’s position in pre-revolutionary debates within the RSDLP, a position that was to underlie, one way or another, all third world revolutionary programmes in the twentieth century. Lenin’s argument had been that in countries where the bourgeoisie came late on the historical scene, it lacked the capacity to carry through the anti-feudal democratic revolution, for fear that an attack on feudal property could well rebound into an attack on bourgeois property. It therefore could not fulfil the democratic aspirations of the peasantry. Only a revolution led by the working class in alliance with the peasantry, could carry the democratic revolution to completion, by breaking up feudal property, smashing feudal privileges, and redistributing land. This, far from holding back economic development, would in fact make it more broad-based by enlarging the size of the home market through land reforms, and also more rapid, by accelerating the growth of agriculture.

The post-independence Indian State’s eschewing of radical land redistribution, and its encouraging feudal landlords instead to turn capitalist on their khudkasht land, along with an upper stratum of the peasantry that acquired ownership rights on land from large absentee landlords, was reflective of the bourgeoisie’s entering into an alliance with landlords. Since it was a bourgeois-landlord State under the leadership of the big bourgeoisie, that was pursuing capitalist development, which in the countryside entailed a mixture of landlord and peasant capitalism, the task for the proletariat was to replace this State by an alternative State formed by building an alliance with the bulk of the peasantry, and to carry the democratic revolution forward, eventually to socialism. While the bourgeoisie had ambitions of pursuing a capitalist path that was relatively autonomous of imperialism, it was, the Party noted, collaborating increasingly with foreign finance capital.

Two aspects of this characterization deserve attention. First, it recognized that while capitalist development was being pursued, it was not under the aegis of imperialism. The bourgeoisie was by no means subservient to imperialism, a fact of which the use of the public sector against metropolitan capital, economic decolonization with the help of the Soviet Union, in the sense of recapturing control over the country’s natural resources from metropolitan capital, and the pursuit of non-alignment in foreign policy, were obvious manifestations. Developing capitalism at home in other words did not mean for the post-independence State joining the camp of world capitalism.

Second, the State, while it manifested its class character in defending bourgeois and landlord property and ushering in capitalism, including junker capitalism, did not act exclusively in the interests of the bourgeoisie and the landlords. It appeared to stand above all classes, intervening even in favour of workers and peasants from time to time. Thus while it presided over a process of primitive accumulation of capital, in the sense of the landlords evicting tenants to resume land for capitalist farming, it prevented primitive accumulation in the more usual sense, of the urban big bourgeoisie encroaching on peasant agriculture or artisan production. On the contrary, it not only reserved a quantum of cloth to be produced by the handloom sector, but also intervened in agricultural markets to purchase produce at remunerative prices, an intervention of which the agricultural capitalists, whether kulaks or landlords, were by no means the sole beneficiaries. Likewise, a whole array of measures for agriculture, such as protection from world market fluctuations, subsidised inputs, subsidized institutional credit, new practices and seed varieties being disseminated through State-run extension services, though they conferred the lion’s share of benefits on the emerging capitalist class in the countryside, also benefited large numbers of peasants.

The capitalist development that was pursued was thus sui generis. It was a capitalist development from within, not necessarily with the blessings of imperialism, and, notwithstanding increasing collaboration, often even at the expense of metropolitan capital. Because of this peculiar character, it did not cause an unbridgeable hiatus within society, i.e. within the ranks of the classes that had fought imperialism together during the anti-colonial struggle. Put differently, while the bourgeoisie betrayed many of the promises of the anti-colonial struggle, such as land to the tiller, it did not as long as the dirigiste regime lasted, betray the anti-colonial struggle altogether. This is also why the Party while putting itself in opposition to the regime, supported many of its measures, such as bank nationalization, the development of the public sector and its use for recapturing control over natural resources from metropolitan capital, FERA, and others.

This sui generis character of the capitalism that was being developed has misled many into thinking that it was an “intermediate regime” that presided over it and not a bourgeois-landlord State; but this mistake itself is testimony to its sui generis character. This development could not last for at least four reasons: first, the collapse of the Soviet Union that had made such a development trajectory at all possible; second, the fiscal crisis that the post-independence State increasingly got into inter alia because of massive tax evasion by the bourgeoisie and the landlords; third, the formation of huge blocks of finance capital in the banks of the advanced capitalist countries, especially after the “oil-shocks” of the seventies, which went global after the overthrow of the Bretton-Woods system (itself partly engineered by this finance capital), and which took advantage of the fiscal crisis to push loans to countries like India; and fourth, the fact that the dirigiste regime could not garner the support of the poor, notwithstanding its many pro-poor achievements compared to the colonial period.

The neo-liberal regime under the aegis of the now globalized finance capital represents the pursuit of capitalism of the most orthodox kind, as distinct from the sui generis capitalism of the dirigiste period. The State under neo-liberalism promotes much more exclusively the interests of the ruling classes, especially the corporate-financial oligarchy that gets closely integrated with globalized finance capital, and directly also of globalized finance capital itself (owing its fear that there may be a capital flight otherwise). An unbridgeable hiatus now develops within the country, with the big bourgeoisie aligning itself much more closely with metropolitan capital, having abandoned its ambition of relative autonomy vis-à-vis imperialism.

The neo-liberal regime withdraws to a large extent the support it extended to petty production and peasant agriculture, making it much more vulnerable. A process of primitive accumulation of capital is unleashed upon peasant agriculture not from within the rural economy (through landlords evicting tenants) but from agri-business and big capital from outside; likewise the neo-liberal State facilitates an unleashing of primitive accumulation upon the petty production sector, for instance through demonetization and the shift to a GST regime. Reservation of products for this sector is abandoned. The displaced peasants and petty producers move to towns in search of employment, but employment becomes increasingly scarce because of the abandonment of all constraints on technological-cum-structural change in the economy which the system of licensing had imposed earlier. The swelling reserve army of labour worsens the lot of the organized workers. The fate of the peasants, the agricultural labourers, the petty producers and organized workers get inextricably linked, and this fate worsens greatly, leading not only to a massive widening of economic inequality but also to an accentuation of poverty.

At the same time however neo-liberalism has entailed the shift of a range of activities, especially in the service sector (IT-related services) from the metropolis to the Indian economy which inter alia has increased the growth rate of GDP in the economy. This poses a fresh challenge before the Party because of the following argument.

Marx in his Preface to A Contribution to a Critique of Political Economy had talked of a mode of production becoming historically obsolete when the relations of production characterizing it become a fetter on the development of productive forces. A conclusion is often drawn from this that as long as productive forces continue to develop, that mode of production continues to remain historically progressive. An obvious index of the development of productive forces is the rate of growth of the GDP, whence it follows that as long as this growth remains rapid, opposing a regime in the name of its inequity and exploitative character is historically unwarranted. The Communists on this argument should not oppose neo-liberal globalization, but should join other political forces in accepting it, albeit critically.

This argument however cannot stand scrutiny. Economic historians agree that Russia before the revolution was experiencing unprecedented rates of economic growth, especially industrial growth, and the advanced capitalist world as a whole had witnessed a prolonged boom; yet Lenin had no hesitation in calling capitalism of that time “moribund”. In short to take GDP growth as the marker of the historical state of a mode of production is a form of commodity fetishism; it seeks to locate in the world of “things” phenomena that belong to the world of “relations”.

While other political forces accepted neo-liberal globalization, the Party accordingly steadfastly opposed it. It, along with other Left political forces, stood by the workers and peasants who are victims of neo-liberal globalization instead accepting it as a sign of progress, as many Left formations in other countries have explicitly or implicitly done.

This has brought practical problems. Under the dirigiste regime one measure that separated Communists from others was land reforms. When a Communist government came to power, its task was clear, namely to carry out land reforms. But when land reforms have been completed to a significant extent, the next task is not clear. While industrialization is required, what form it should take and in what way it should be effected, are matters on which the state governments (where Communists are typically located) have very little say within a neo-liberal regime. Hence, Communist state governments within such a regime are often forced to mimic, to their cost, other state governments for effecting industrialization. This is an area where much more thinking and experimentation needs to be done.

Neo-liberal globalization itself however has reached a dead-end, a symptom of which is the mushrooming of authoritarian/fascist regimes in various parts of the world, for the preservation of moribund neo-liberal capitalism, through a combination of repression and of distraction of attention towards the “other” as the enemy. Overcoming this conjuncture is the new challenge before Indian Communism in its centenary year.