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The US Congress and United Nations peace-enforcement operations during the first Clinton administration

机译:第一次克林顿政府时期的美国国会和联合国和平执法行动

摘要

This thesis explores Congress's influence on America's post-cold war involvement in UN peace operations. It examines how while both the Bush and Clinton administrations envisaged greater participation in UN peace-enforcement operations in the early 1990s, due to congressional opposition, this new thinking (referred to throughout as `UNPE') did not develop into a lasting doctrine. The first chapter defines UNPE as a foreign policy approach and contextualises it in US history. Arguing that Congress is not deferential towards the executive branch in foreign policy issues, the second chapter illustrates statistically that the post-1989 Congress was conservative, partisan and assertive in foreign policy and use of force issues. The third chapter considers how lawmakers create collective outcomes. It discusses how the case chapters will examine claims that congressional policy is left to a handful of policy specialists and what factors influence lawmakers' voting decisions. Considering both institutional and individual behaviour, the thesis focuses analysis on the US response to three 1990s crises: Somalia, Haiti and Bosnia. That each case demonstrates that lawmakers are prepared to challenge presidential attempts to use force abroad is used to question the two presidencies interpretation of interbranch foreign policy making. The case chapters also find that most lawmakers were not especially active in dealing with the cases. Rank and file members were typically more active than their party leaders, but House and Senate foreign policy committee members were responsible for the more onerous legislative tasks relating to the cases. The evidence also suggests that representatives typically supported bills introduced by party colleagues and senators with similar ideological viewpoints tended to vote together. In explaining how collective outcomes are reached, the thesis avoids attempting to construct a theoretical perspective that exclusively aligns with a party or committee government theory. It explores what role foreign policy committees and party leaders and whips played in the cases, and concludes that Shepsle and Weingast's recommendation that selecting insights from seemingly incompatible party government and informational perspectives helps build a realistic depiction of the congressional decision making process.
机译:本文探讨了国会对冷战后美国参与联合国和平行动的影响。它研究了布什政府和克林顿政府都曾设想,由于国会的反对,在1990年代初将更多地参与联合国的维和行动,但是这种新思想(在整个过程中统称为“联合国和平组织”)并没有发展成持久的学说。第一章将UNPE定义为一种外交政策方法,并在美国历史中对其进行了背景介绍。第二章辩称国会在外交政策问题上不尊重行政部门,从统计学上讲,1989年后的国会在外交政策和使用武力问题上是保守的,党派的和有主见的。第三章考虑了立法者如何创造集体成果。它讨论了案例各章将如何审查少数政策专家留给国会政策的主张,以及影响立法者投票决定的因素。考虑到制度和个人行为,本文着重分析了美国对1990年代三个危机的应对:索马里,海地和波斯尼亚。每个案例都表明立法者准备挑战总统在国外使用武力的企图,被用来质疑分支机构间外交政策制定的两个总统解释。案件章节还发现,大多数议员在处理案件方面并不特别活跃。官僚成员通常比其党魁活跃,但众议院和参议院外交政策委员会成员负责与案件有关的更为繁重的立法任务。证据还表明,代表通常会支持具有类似意识形态观点的党同事和参议员提出的议案,往往倾向于共同投票。在解释如何达到集体结果时,本文避免尝试构建与党或委员会政府理论完全一致的理论观点。它探讨了外交政策委员会和党的领导人和鞭子在案件中扮演的角色,并得出结论,谢泼尔和温格斯特的建议是,从似乎不相容的党政府和信息视角中选择见解,有助于对国会决策过程进行现实描述。

著录项

  • 作者

    Moore Jeremy;

  • 作者单位
  • 年度 2005
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  • 原文格式 PDF
  • 正文语种 English
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