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Closing the Neoliberal Gap: Risk and Regulation in the Long War of Securitization

机译:缩小新自由主义鸿沟:长期证券化战争中的风险与监管

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When US military commanders refer today to the "long war", they could more instructively refer to the "long war of securitization", involving both practices of war and reconstruction that have always been based on a therapeutic logic of preemption and an endgame of protection from global economic risk. Since the early 1980s, the centrepiece of US foreign policy has been the securitization of the Persian Gulf region, with the newly created United States Central Command (CENTCOM) given the task of effecting a grand strategy that has subsequently been consistently based on two interrelated tactics: first, the discursive identification and positing of the Persian Gulf as a precarious yet pivotal geoeconomic space, essential to US and global economic health; and second, the enactment of a dual military-economic securitization strategy to secure, patrol and regulate designated "vital interests" in the region. With the rhetorical power of "risk management" perhaps more palpable today than ever, this paper reflects on the neoliberal discourses of "risk" and "regulation" that sustain a "long war" in which the perennial potentiality of a volatile global political economy necessitates securitization by US military force.
机译:今天,当美军指挥官提到“长期战争”时,他们可以更具启发性地提及“长期证券化战争”,其中涉及战争和重建的惯例,这些惯例始终基于先发制人的治疗逻辑和保护的最终局面来自全球经济风险。自1980年代初期以来,美国外交政策的核心一直是波斯湾地区的证券化,新成立的美国中央司令部(CENTCOM)的任务是实施一项宏伟战略,该战略随后始终基于两种相互关联的策略:首先,对波斯湾的辨认和定位是一个不稳定而又至关重要的地球经济空间,对美国和全球经济健康至关重要;第二,制定军事和经济双重资产证券化战略,以确保,巡逻和管理该地区指定的“重要利益”。今天,“风险管理”的言辞力量也许比以往任何时候都更加明显,本文反映了维持“长期战争”的“风险”和“管制”的新自由主义话语,在这种话语中,全球政治经济动荡的长期潜力必不可少。美军证券化。

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