Survey
* Your assessment is very important for improving the workof artificial intelligence, which forms the content of this project
* Your assessment is very important for improving the workof artificial intelligence, which forms the content of this project
TULANE LAW SCHOOL Rhodes, Greece Maritime Law, Law of the Sea & Ocean Management SUMMER, 2015 LGRC-4720-01 The Management of Marine Resources beyond National Jurisdiction Professor Freestone These materials are intended for classroom and study purposes only for students enrolled in Tulane’s Rhodes Summer Program and may not be reproduced. WARNING CONCERNING COPYRIGHT RESTRICTIONS The Copyright Law of 1976 (United States Code, Title 17) governs the making of photocopies or other reproductions of copyrighted material. Under certain conditions specified in the law, libraries and archives are authorized to furnish a photocopy or other reproduction. One of these specific conditions is that the photocopy or reproduction is not to be "used for any purpose other than private study, scholarship, or research." If a user makes a request for, or later uses, a photocopy or reproduction [including that made by electronic transmission of reserve material] for purposes in excess of "fair use," that user may be liable for copyright infringement. Rhodes Academy 2015 Lecture Outline and Reading The Management of Marine Resources in Areas beyond National Jurisdiction Professor David Freestone The legal regime for areas beyond national jurisdiction (ABNJ) has been described as ‘fractured.’ For the last decade an Ad Hoc Working Group established by the UN General Assembly has been studying the issue involved in the conservation of biodiversity in ABNJ (so called BBNJ Working Group) and is expected to recommend this year that negotiations begin for a third Implementing Agreement to the 1982 UN Convention on the Law of the sea (1982 Convention). This course of lectures will start by flagging why the current regime governing ANBJ is problematic. It will then examine in detail the current legal regime and the various sectoral and regional bodies that have jurisdiction over diverse activities from deep seabed exploration and mining to fishing, maritime transport and the conservation of species and biodiversity. It will then look at the arguments surrounding the development of a possible new Implementing Agreement to the 1982 Convention and it possible or probably content. It will also look at a number of initiatives – including the OSPAR Convention and the Sargasso Sea Commission – that are attempting to seek protection for unique high seas ecosystems in advance of the long negotiating process that a new agreement may entail. Lecture One Introduction: Problems of High Seas Governance Reading 1982 Law of the Sea Convention Part VII Arts 86-89; 116-120 Part XII Arts 192-206. Freestone (2011) pp. 1-23 or Freestone (2012)pp 1-15 Freestone (2009) pp 1-10 Lecture Two The Current High Seas Governance Regime- Sectoral Organizations Reading Freestone (2015) pp 1-26 1 Lecture Three The Current High Seas Governance Regime- Regional Organizations Reading Freestone (2010) pp. 1-10 Warner et al., (2014) pp 211-224. Lecture Four The Role of the Convention on Biological Diversity and the “Description” of Ecologically and Biologically Significant Areas Reading CBD (2009) Azores Scientific Criteria and Guidance https://www.cbd.int/doc/meetings/mar/ebsaws-2014-01/other/ebsaws-2014-01-azoresbrochure-en.pdf http://www.ioseaturtles.org/pom_detail.php?id=120 Lecture Five Sargasso Sea Project Reading Freestone et al., (2012) pp. 647-655 Freestone et al., (2015) pp. 21-26 Laffoley et al (2011) (review only) at http://www.sargassoalliance.org/storage/documents/Sargasso.Report.9.12.pdf Lecture Six The UNGA and a New Implementing Agreement Reading BBNJ (2015) Freestone et al. (2014) pp. 167- 175 Freestone (2015) pp. 7-9 2 Full Reading list (page numbers in bold) Law of the Sea Convention 1982 [pgs. 5-12] Part VII Arts 86-89; 116-120 Part XII Arts 192-206. BBNJ (2015) UN Doc A/69/780: Letter dated 13 February 2015 from the Co-Chairs of the Ad Hoc Open-ended Informal Working Group to the President of the General Assembly [pgs. 13-21] CBD (2009) AZORES SCIENTIFIC CRITERIA AND GUIDANCE for identifying ecologically or biologically significant marine areas and designing representative networks of marine protected areas in open ocean waters and deep sea habitats. 10 pp [pgs. 22-33] Freestone (2009) “High Seas Fisheries” in Max Planck Encyclopedia of Public International Law (Rüdiger Wolfrum, ed.) OUP, 2009, 12pp. [pgs. 34-46] Freestone (2010) “International Fisheries Commissions and Organizations” in Max Planck Encyclopedia of Public International Law (Rüdiger Wolfrum, ed.) OUP, 2010, 10pp. [pgs. 47-58] Freestone (2011) David Freestone “Problems of High Seas Governance” in The World Ocean in Globalisation: Challenges and Responses, (Davor Vidas and Peter Johan Schei, eds.) Martinus Nijhoff, 2011, pp. 99-130. [pgs. 59-90] Freestone et al., (2012) David Freestone and Kate Morrison (2012) “The Sargasso Sea Alliance: Seeking to Protect the Sargasso Sea.” (2012) 27 International Journal of Marine and Coastal Law pp. 647-655 [pgs. 91-100] Freestone (2013) David Freestone, “The Final Frontier: The Law of the Sea Convention and Areas beyond National Jurisdiction” in Proceedings of the 2012 Law of the Sea Institute Conference on Securing the Ocean for the Next Generation. Volume 1, Law of the Sea Institute Conference Papers Series, Martinus Nijhoff, 2013, pp. 1-15. [pgs. 101-115] Freestone and Morrison (2014) David Freestone and Kate Morrison (2014) “The Signing of the Hamilton Declaration on Collaboration for the Conservation of the Sargasso Sea: A new paradigm for high seas conservation?” (2014) 28 International Journal of Marine and Coastal Law pp 345-362. [pgs. 116-133] Freestone et al., (2014) David Freestone with David Johnson, Jeff Ardron, Sebastian Unger, and Kate Morrison (2014), “Can existing institutions protect biodiversity in areas beyond national jurisdiction? Experiences from two on-going processes” (2014) 42 Marine Policy pp. 167-175. [pgs. 134-142] 3 Freestone (2015) David Freestone (2015) “Governance of Areas beyond National Jurisdiction: An Unfinished Agenda of the 1982 Convention?” in Proceedings of International Conference: UNCLOS at 30, British Institute of International and Comparative Law, London, 2015, Belfast. 30pp. [pgs. 143-168] Dan Laffoley et al., (2011) The Protection and Management of the Sargasso Sea: The golden floating rainforest of the Atlantic Ocean. http://www.sargassoseacommission.org Warner et al., (2014) Robin Warner, Kristina Gjerde and David Freestone (2014) “Regional Governance for Fisheries and Biodiversity” in Governance for Fisheries and Marine Conservation: interactions and co-evolution. (S.M. Garcia, J. Rice, and A.T. Charles, eds.) WileyBlackwell, 2014, pp. 211-224. [pgs. 169-182] Key Websites http://www.un.org/depts/los/biodiversityworkinggroup/biodiversityworkinggroup.htm http://www.cbd.int/ebsa/ http://www.sargassoseacommission.org 4 57 PART VII HIGH SEAS SECTION 1. GENERAL PROVISIONS Article 86 Application of the provisions of this Part The provisions of this Part apply to all parts of the sea that are not included in the exclusive economic zone, in the territorial sea or in the internal waters of a State, or in the archipelagic waters of an archipelagic State. This article does not entail any abridgement of the freedoms enjoyed by all States in the exclusive economic zone in accordance with article 58. Article 87 Freedom of the high seas 1. The high seas are open to all States, whether coastal or land-locked. Freedom of the high seas is exercised under the conditions laid down by this Convention and by other rules of international law. It comprises, inter alia, both for coastal and land-locked States: (a) freedom of navigation; (b) freedom of overflight; (c) freedom to lay submarine cables and pipelines, subject to Part VI; (d) freedom to construct artificial islands and other installations permitted under international law, subject to Part VI; (e) freedom of fishing, subject to the conditions laid down in section 2; (f) freedom of scientific research, subject to Parts VI and XIII. 2. These freedoms shall be exercised by all States with due regard for the interests of other States in their exercise of the freedom of the high seas, and also with due regard for the rights under this Convention with respect to activities in the Area. Article 88 Reservation of the high seas for peaceful purposes The high seas shall be reserved for peaceful purposes. Article 89 Invalidity of claims of sovereignty over the high seas No State may validly purport to subject any part of the high seas to its sovereignty. Article 90 Right of navigation Every State, whether coastal or land-locked, has the right to sail ships flying its flag on the high seas. 5 65 Article 114 Breaking or injury by owners of a submarine cable or pipeline of another submarine cable or pipeline Every State shall adopt the laws and regulations necessary to provide that, if persons subject to its jurisdiction who are the owners of a submarine cable or pipeline beneath the high seas, in laying or repairing that cable or pipeline, cause a break in or injury to another cable or pipeline, they shall bear the cost of the repairs. Article 115 Indemnity for loss incurred in avoiding injury to a submarine cable or pipeline Every State shall adopt the laws and regulations necessary to ensure that the owners of ships who can prove that they have sacrificed an anchor, a net or any other fishing gear, in order to avoid injuring a submarine cable or pipeline, shall be indemnified by the owner of the cable or pipeline, provided that the owner of the ship has taken all reasonable precautionary measures beforehand. SECTION 2. CONSERVATION AND MANAGEMENT OF THE LIVING RESOURCES OF THE HIGH SEAS Article 116 Right to fish on the high seas All States have the right for their nationals to engage in fishing on the high seas subject to: (a) their treaty obligations; (b) the rights and duties as well as the interests of coastal States provided for, inter alia, in article 63, paragraph 2, and articles 64 to 67; and (c) the provisions of this section. Article 117 Duty of States to adopt with respect to their nationals measures for the conservation of the living resources of the high seas All States have the duty to take, or to cooperate with other States in taking, such measures for their respective nationals as may be necessary for the conservation of the living resources of the high seas. Article 118 Cooperation of States in the conservation and management of living resources States shall cooperate with each other in the conservation and management of living resources in the areas of the high seas. States whose nationals exploit identical living resources, or different living resources in the same area, shall enter into negotiations with a view to taking the measures necessary for the conservation of the living resources concerned. They shall, 6 66 as appropriate, cooperate to establish subregional or regional fisheries organizations to this end. Article 119 Conservation of the living resources of the high seas 1. In determining the allowable catch and establishing other conservation measures for the living resources in the high seas, States shall: (a) take measures which are designed, on the best scientific evidence available to the States concerned, to maintain or restore populations of harvested species at levels which can produce the maximum sustainable yield, as qualified by relevant environmental and economic factors, including the special requirements of developing States, and taking into account fishing patterns, the interdependence of stocks and any generally recommended international minimum standards, whether subregional, regional or global; (b) take into consideration the effects on species associated with or dependent upon harvested species with a view to maintaining or restoring populations of such associated or dependent species above levels at which their reproduction may become seriously threatened. 2. Available scientific information, catch and fishing effort statistics, and other data relevant to the conservation of fish stocks shall be contributed and exchanged on a regular basis through competent international organizations, whether subregional, regional or global, where appropriate and with participation by all States concerned. 3. States concerned shall ensure that conservation measures and their implementation do not discriminate in form or in fact against the fishermen of any State. Article 120 Marine mammals Article 65 also applies to the conservation and management of marine mammals in the high seas. PART VIII REGIME OF ISLANDS Article 121 Regime of islands 1. An island is a naturally formed area of land, surrounded by water, which is above water at high tide. 2. Except as provided for in paragraph 3, the territorial sea, the contiguous zone, the exclusive economic zone and the continental shelf of an island are determined in accordance with the provisions of this Convention applicable to other land territory. 3. Rocks which cannot sustain human habitation or economic life of their own shall have no exclusive economic zone or continental shelf. 7 100 2. If an action is brought against a State Party by a natural or juridical person sponsored by another State Party in a dispute referred to in article 187, subparagraph (c), the respondent State may request the State sponsoring that person to appear in the proceedings on behalf of that person. Failing such appearance, the respondent State may arrange to be represented by a juridical person of its nationality. Article 191 Advisory opinions The Seabed Disputes Chamber shall give advisory opinions at the request of the Assembly or the Council on legal questions arising within the scope of their activities. Such opinions shall be given as a matter of urgency. PART XII PROTECTION AND PRESERVATION OF THE MARINE ENVIRONMENT SECTION 1. GENERAL PROVISIONS Article 192 General obligation States have the obligation to protect and preserve the marine environment. Article 193 Sovereign right of States to exploit their natural resources States have the sovereign right to exploit their natural resources pursuant to their environmental policies and in accordance with their duty to protect and preserve the marine environment. Article 194 Measures to prevent, reduce and control pollution of the marine environment 1. States shall take, individually or jointly as appropriate, all measures consistent with this Convention that are necessary to prevent, reduce and control pollution of the marine environment from any source, using for this purpose the best practicable means at their disposal and in accordance with their capabilities, and they shall endeavour to harmonize their policies in this connection. 2. States shall take all measures necessary to ensure that activities under their jurisdiction or control are so conducted as not to cause damage by pollution to other States and their environment, and that pollution arising from incidents or activities under their jurisdiction or control does not spread beyond the areas where they exercise sovereign rights in accordance with this Convention. 8 101 3. The measures taken pursuant to this Part shall deal with all sources of pollution of the marine environment. These measures shall include, inter alia, those designed to minimize to the fullest possible extent: (a) the release of toxic, harmful or noxious substances, especially those which are persistent, from land-based sources, from or through the atmosphere or by dumping; (b) pollution from vessels, in particular measures for preventing accidents and dealing with emergencies, ensuring the safety of operations at sea, preventing intentional and unintentional discharges, and regulating the design, construction, equipment, operation and manning of vessels; (c) pollution from installations and devices used in exploration or exploitation of the natural resources of the seabed and subsoil, in particular measures for preventing accidents and dealing with emergencies, ensuring the safety of operations at sea, and regulating the design, construction, equipment, operation and manning of such installations or devices; (d) pollution from other installations and devices operating in the marine environment, in particular measures for preventing accidents and dealing with emergencies, ensuring the safety of operations at sea, and regulating the design, construction, equipment, operation and manning of such installations or devices. 4. In taking measures to prevent, reduce or control pollution of the marine environment, States shall refrain from unjustifiable interference with activities carried out by other States in the exercise of their rights and in pursuance of their duties in conformity with this Convention. 5. The measures taken in accordance with this Part shall include those necessary to protect and preserve rare or fragile ecosystems as well as the habitat of depleted, threatened or endangered species and other forms of marine life. Article 195 Duty not to transfer damage or hazards or transform one type of pollution into another In taking measures to prevent, reduce and control pollution of the marine environment, States shall act so as not to transfer, directly or indirectly, damage or hazards from one area to another or transform one type of pollution into another. Article 196 Use of technologies or introduction of alien or new species 1. States shall take all measures necessary to prevent, reduce and control pollution of the marine environment resulting from the use of technologies under their jurisdiction or control, or the intentional or accidental introduction of species, alien or new, to a particular part of the marine environment, which may cause significant and harmful changes thereto. 2. This article does not affect the application of this Convention regarding the prevention, reduction and control of pollution of the marine environment. 9 102 SECTION 2. GLOBAL AND REGIONAL COOPERATION Article 197 Cooperation on a global or regional basis States shall cooperate on a global basis and, as appropriate, on a regional basis, directly or through competent international organizations, in formulating and elaborating international rules, standards and recommended practices and procedures consistent with this Convention, for the protection and preservation of the marine environment, taking into account characteristic regional features. Article 198 Notification of imminent or actual damage When a State becomes aware of cases in which the marine environment is in imminent danger of being damaged or has been damaged by pollution, it shall immediately notify other States it deems likely to be affected by such damage, as well as the competent international organizations. Article 199 Contingency plans against pollution In the cases referred to in article 198, States in the area affected, in accordance with their capabilities, and the competent international organizations shall cooperate, to the extent possible, in eliminating the effects of pollution and preventing or minimizing the damage. To this end, States shall jointly develop and promote contingency plans for responding to pollution incidents in the marine environment. Article 200 Studies, research programmes and exchange of information and data States shall cooperate, directly or through competent international organizations, for the purpose of promoting studies, undertaking programmes of scientific research and encouraging the exchange of information and data acquired about pollution of the marine environment. They shall endeavour to participate actively in regional and global programmes to acquire knowledge for the assessment of the nature and extent of pollution, exposure to it, and its pathways, risks and remedies. Article 201 Scientific criteria for regulations In the light of the information and data acquired pursuant to article 200, States shall cooperate, directly or through competent international organizations, in establishing appropriate scientific criteria for the formulation and elaboration of rules, standards and recommended practices and procedures for the prevention, reduction and control of pollution of the marine environment. 10 103 SECTION 3. TECHNICAL ASSISTANCE Article 202 Scientific and technical assistance to developing States States shall, directly or through competent international organizations: (a) promote programmes of scientific, educational, technical and other assistance to developing States for the protection and preservation of the marine environment and the prevention, reduction and control of marine pollution. Such assistance shall include, inter alia: (i) training of their scientific and technical personnel; (ii) facilitating their participation in relevant international programmes; (iii) supplying them with necessary equipment and facilities; (iv) enhancing their capacity to manufacture such equipment; (v) advice on and developing facilities for research, monitoring, educational and other programmes; (b) provide appropriate assistance, especially to developing States, for the minimization of the effects of major incidents which may cause serious pollution of the marine environment; (c) provide appropriate assistance, especially to developing States, concerning the preparation of environmental assessments. Article 203 Preferential treatment for developing States Developing States shall, for the purposes of prevention, reduction and control of pollution of the marine environment or minimization of its effects, be granted preference by international organizations in: (a) the allocation of appropriate funds and technical assistance; and (b) the utilization of their specialized services. SECTION 4. MONITORING AND ENVIRONMENTAL ASSESSMENT Article 204 Monitoring of the risks or effects of pollution 1. States shall, consistent with the rights of other States, endeavour, as far as practicable, directly or through the competent international organizations, to observe, measure, evaluate and analyse, by recognized scientific methods, the risks or effects of pollution of the marine environment. 2. In particular, States shall keep under surveillance the effects of any activities which they permit or in which they engage in order to determine whether these activities are likely to pollute the marine environment. Article 205 Publication of reports States shall publish reports of the results obtained pursuant to article 204 or provide such reports at appropriate intervals to the competent international organizations, which should make them available to all States. 11 104 Article 206 Assessment of potential effects of activities When States have reasonable grounds for believing that planned activities under their jurisdiction or control may cause substantial pollution of or significant and harmful changes to the marine environment, they shall, as far as practicable, assess the potential effects of such activities on the marine environment and shall communicate reports of the results of such assessments in the manner provided in article 205. SECTION 5. INTERNATIONAL RULES AND NATIONAL LEGISLATION TO PREVENT, REDUCE AND CONTROL POLLUTION OF THE MARINE ENVIRONMENT Article 207 Pollution from land-based sources 1. States shall adopt laws and regulations to prevent, reduce and control pollution of the marine environment from land-based sources, including rivers, estuaries, pipelines and outfall structures, taking into account internationally agreed rules, standards and recommended practices and procedures. 2. States shall take other measures as may be necessary to prevent, reduce and control such pollution. 3. States shall endeavour to harmonize their policies in this connection at the appropriate regional level. 4. States, acting especially through competent international organizations or diplomatic conference, shall endeavour to establish global and regional rules, standards and recommended practices and procedures to prevent, reduce and control pollution of the marine environment from land-based sources, taking into account characteristic regional features, the economic capacity of developing States and their need for economic development. Such rules, standards and recommended practices and procedures shall be re-examined from time to time as necessary. 5. Laws, regulations, measures, rules, standards and recommended practices and procedures referred to in paragraphs 1, 2 and 4 shall include those designed to minimize, to the fullest extent possible, the release of toxic, harmful or noxious substances, especially those which are persistent, into the marine environment. Article 208 Pollution from seabed activities subject to national jurisdiction 1 Coastal States shall adopt laws and regulations to prevent, reduce and control pollution of the marine environment arising from or in connection with seabed activities subject to their jurisdiction and from artificial islands, installations and structures under their jurisdiction, pursuant to articles 60 and 80. 2. States shall take other measures as may be necessary to prevent, reduce and control such pollution. 3. Such laws, regulations and measures shall be no less effective than international rules, standards and recommended practices and procedures. 12 A/69/780* United Nations General Assembly Distr.: General 13 February 2015 Original: English Sixty-ninth session Agenda item 74 (a) Oceans and the law of the sea Letter dated 13 February 2015 from the Co-Chairs of the Ad Hoc Open-ended Informal Working Group to the President of the General Assembly Pursuant to paragraph 80 of General Assembly resolution 60/30, we were reappointed as Co-Chairs of the Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction, which was established pursuant to paragraph 73 of General Assembly resolution 59/24. In accordance with paragraphs 199 and 200 of General Assembly resolution 68/70, the Working Group met from 20 to 23 January 2015. We are pleased to inform you that the Working Group has fulfilled its mandate to provide recommendations to the General Assembly, as requested in paragraph 214 of resolution 69/245. We have the honour to submit to you the outcome of the meeting, consisting of recommendations adopted by consensus by the Working Group and a Co-Chairs’ summary of discussions at the meeting (see annex). It would be appreciated if the present letter and the annex thereto could be circulated as a document of the General Assembly, under agenda item 74 (a). (Signed) Palitha T. B. Kohona (Signed) Liesbeth Lijnzaad Co-Chairs * Reissued for technical reasons on 10 March 2015. 15-01992* (E) 120315 *1501992* 13 A/69/780 Annex Outcome of the Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction and Co-Chairs’ summary of discussions I. Recommendations 1. The Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction recommends to the General Assembly that it: (a) Reaffirm the commitment made by Heads of State and Government in paragraph 162 of the outcome document of the United Nations Conference on Sustainable Development, held in Rio de Janeiro, Brazil, from 20 to 22 June 2012, entitled “The future we want” and endorsed by the General Assembly in its resolution 66/288 of 27 July 2012, to address, on an urgent basis, building on the work of the Ad Hoc Open-ended Informal Working Group, the issue of the conservation and sustainable use of marine biological diversity of areas beyond national jurisdiction, including by taking a decision on the development of an international instrument under the United Nations Convention on the Law of the Sea, before the end of the sixty-ninth session of the Assembly; (b) Note its request to the Ad Hoc Open-ended Informal Working Group to make recommendations on the scope, parameters and feasibility of an international instrument under the Convention contained in paragraph 214 of resolution 69/245; (c) Welcome the exchange of views on the scope, parameters and feasibility of an international instrument under the Convention and the progress made within the Ad Hoc Open-ended Informal Working Group, within its mandate established by resolution 66/231 and in the light of resolution 67/78, to prepare for the decision on the development of an international instrument under the Convention to be taken at the sixty-ninth session of the General Assembly; (d) Stress the need for the comprehensive global regime to better address the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction and having considered the feasibility of developing an international instrument under the Convention; (e) Decide to develop an international legally binding instrument under the Convention on the conservation and sustainable use of marine biological diversity of areas beyond national jurisdiction and to that end: (i) Prior to holding an intergovernmental conference, decide to establish a preparatory committee, open to all States Members of the United Nations, members of specialized agencies and parties to the Convention, with others invited as observers in accordance with past practice of the United Nations, to make substantive recommendations to the General Assembly on the elements of a draft text of an international legally binding instrument under the Convention, taking into account the various reports of the Co -Chairs on the work of the Ad Hoc Open-ended Informal Working Group, the preparatory 15-01992 2/9 14 A/69/780 committee starting its work in 2016 and, by the end of 2017, reporting to the Assembly on its progress; (ii) Before the end of the seventy-second session of the General Assembly, and taking into account the aforementioned report of the preparatory committee, will decide on the convening and on the starting date of an intergovernmental conference, under the auspices of the United Nations, to consider the recommendations of the preparatory committee on the elements and to elaborate the text of an international legally binding instrument under the Convention; (f) Decide that negotiations shall address the topics identified in the package agreed in 2011, namely the conservation and sustainable use of mar ine biological diversity of areas beyond national jurisdiction, in particular, together and as a whole, marine genetic resources, including questions on the sharing of benefits, measures such as area-based management tools, including marine protected areas, environmental impact assessments and capacity-building and the transfer of marine technology; (g) Recognize that the process indicated in subparagraph (e) above should not undermine existing relevant legal instruments and frameworks and relevant global, regional and sectoral bodies; (h) Also recognize that neither participation in the negotiations nor their outcome may affect the legal status of non-parties to the Convention or any other related agreements with regard to those instruments, or the legal status of parties to the Convention or any other related agreements with regard to those instruments. II. Co-Chairs’ summary of discussions ** 2. In paragraph 198 of its resolution 68/70, the General Assembly requested the Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction, within its mandate established by resolution 66/231 and in the light of resolution 67/78, and in order to prepare for the decision to be taken at the sixty-ninth session of the Assembly, to make recommendations to the Assembly on the scope, parameters and feasibility of an international instrument under the United Nations Convention on the Law of the Sea. To that end, the Assembly decided that the Working Group should meet for three meetings of four days each, with the possibility of the Assembly deciding that additional meetings would be held, if needed, within existing resources. 3. The first and second of those meetings of the Working Group were held at United Nations Headquarters from 1 to 4 April 2014 a and from 16 to 19 June 2014, b respectively, in accordance with paragraphs 199 and 200 of resolution 68/70. The third meeting was held at United Nations Headquarters from 20 to 23 January 2015, in accordance with paragraphs 199 and 200 of resolution 68/70 and paragraph 214 of resolution 69/245. __________________ ** The summary is intended for reference purposes only. a See A/69/82. b See A/69/177. 15-01992 3/9 15 A/69/780 4. The meeting of the Working Group was presided over by two Co -Chairs, Palitha T. B. Kohona (Sri Lanka) and Liesbeth Lij nzaad (Netherlands), appointed by the President of the General Assembly in consultation with Member States. 5. The Under-Secretary-General for Legal Affairs, the Legal Counsel, Miguel de Serpa Soares, delivered opening remarks on behalf of the Secretary-General. 6. Representatives of 104 Member States, 2 non-Member States, 17 intergovernmental organizations and other bodies and 11 non-governmental organizations attended the meeting of the Working Group. 7. The Working Group adopted the agenda (A/AC.276/11) without amendment and agreed to proceed on the basis of the proposed format and annotated agenda and organization of work (A/AC.276/L.16). 8. Following informal consultations, on 23 January 2015 the plenary of the Working Group adopted the recommendations contained in section I above by consensus. The delegations of the Bolivarian Republic of Venezuela and Colombia made statements explaining their position after the adoption of the recommendations (see para. 33). 9. In accordance with the format and at the request of the Working Group, the Co-Chairs prepared the present brief summary of discussions on key issues, ideas and proposals referred to or raised during the deliberations. The general considerations made during the meeting are reflected in paragraphs 10 to 25 below. Comments of a general nature made in the context of the consideration of draft recommendations to the sixty-ninth session of the General Assembly are reflected in paragraphs 26 to 34. General considerations, including on the scope, parameters and feasibility of an international instrument under the United Nations Convention on the Law of the Sea 10. Delegations recalled the importance and urgency of addressing the conservation and sustainable use of marine biodiversity beyond areas of national jurisdiction. Several delegations observed that addressing the issue would also address sustainable development issues, in particular food security and poverty alleviation. Several delegations highlighted, in particular, that oceans were the foundation of small island developing States’ economies, environment and societies and that, in recent years, accumulating and compounding human impacts had undermined the health of the oceans, thereby gravely threatening the well -being and livelihood of those States’ populations. In that context, marine biodiversity beyond areas of national jurisdiction was considered of critical importance, owing to its shared, transboundary nature and its interconnectedness to coastal ecosystems. It was noted that national and regional efforts to conserve and sustainably use biodiversity could be jeopardized by the challenges posed by activities beyond areas of national jurisdiction. Those delegations called for strengthened cooperation and coordination among all sectors and at all levels. Several delegations expressed the view that a global universal governance structure remained the best way to promote sustainable marine biodiversity beyond areas of national jurisdiction. 11. Delegations recalled paragraph 162 of the outcome document of the United Nations Conference on Sustainable Development, entitled “The future we want” (resolution 66/288, annex), in which States committed to add ress, on an urgent 15-01992 4/9 16 A/69/780 basis, building on the work of the Ad Hoc Open-ended Informal Working Group and before the end of the sixty-ninth session of the General Assembly, the issue of the conservation and sustainable use of marine biological diversity of areas beyond national jurisdiction, including by taking a decision on the development of an international instrument under the United Nations Convention on the Law of the Sea. Many delegations welcomed the progress made at the meetings of the Working Group held in April and June 2014. 12. Many delegations reiterated that the status quo was not acceptable and considered that there was growing momentum to recommend to the General Assembly that it decide to launch negotiations to develop an international instrument under the Convention. They considered that the elaboration of such an instrument was feasible from a political, legal and technical standpoint. In their view, the instrument would have to be negotiated on the basis of, and address, the package of issues agreed upon in 2011 in resolution 66/231, namely marine genetic resources, including questions on the sharing of benefits, measures such as area based management tools, including marine protected areas, and environmental impact assessments, capacity-building and the transfer of marine technology. Many delegations supported negotiating such an instrument as a legally binding agreement under the Convention. Several delegations underlined that a third implementing agreement to the Convention would respond to the urgent need to depart from the status quo and bring added value to the present legal regime for oceans and seas by moving from sectoral and fragmented approaches to a global and more coherent approach. Such an agreement, several delegations noted, would i mplement, strengthen and elaborate on a number of obligations already embodied in the Convention without altering the existing legal order established therein. Several delegations also pointed out that an agreement would reduce existing governance gaps by providing a comprehensive legal and institutional framework for marine biodiversity beyond areas of national jurisdiction. A view was expressed that such a regime would ensure predictability and uniformity in the conduct of States. It was emphasized that the response to the challenge of the conservation and sustainable use of marine biodiversity beyond areas of national jurisdiction could not be left to unilateral action or to organizations with limited participation and that common goods could not be appropriated by or left to the exclusive administration of a few which did not represent the interests of the international community. 13. Some delegations stated that discussions had not been exhausted on the way forward to address issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction and that some questions still needed to be addressed. It was observed that the status quo was mainly due to limited political will to implement existing instru ments, which did not constitute a legal gap but one of implementation that would not be addressed by adopting a new instrument. Some delegations observed that focusing on the effective implementation and enforcement of existing legally binding instruments would better ensure the conservation and sustainable use of marine biodiversity beyond areas of national jurisdiction. In that regard, given the need to tackle issues on an urgent basis and the significant resources and efforts required to negotiate a new instrument, preference was expressed for focusing on ways to strengthen the implementation of existing instruments. 14. Some delegations expressed concern about negotiating a new legally binding agreement without a clear understanding of what it would cove r. It was noted that 15-01992 5/9 17 A/69/780 while there was some clarity on the breadth of questions involved, there was insufficient clarity on possible answers. The view was also expressed that the package agreed in 2011 was no more than a description of major topics to be addressed, which did not specify which activities would be covered by a new instrument or clarify that a new instrument would not prejudice the rights, duties and interests of States, and not diminish authorities or mandates under existing international law. 15. Several delegations highlighted the need to complement, respect and avoid duplication with existing instruments, in particular the Convention. Some delegations stressed the need to take into account ongoing activities. Several delegations suggested that the future arrangement should build on the Agreement relating to the Implementation of Part XI of the United Nations Convention on the Law of the Sea of 10 December 1982 and the Agreement for the Implementation of the Provisions of the United Nations Convention on the Law of the Sea of 10 December 1982 relating to the Conservation and Management of Straddling Fish Stocks and Highly Migratory Fish Stocks, as well as other relevant treaties, to provide a uniform regime for biodiversity beyond areas of nati onal jurisdiction. 16. The need to take into account the relevant general principles of international law and the rights and duties enshrined in international legal instruments, in particular the Convention, such as the principle of the common heritage of mankind and the freedom of the high seas, was emphasized by several delegations. Some delegations reaffirmed the importance of preserving the balance of interests, rights and obligations enshrined in the Convention and between competing uses of the oceans and conservation and sustainable use objectives. It was emphasized that, should negotiations be launched, any discussions and resulting instrument should focus on cooperation and collaboration between institutions and ensuring a functioning relationship between the different activities in areas beyond national jurisdiction, not on managing those activities. 17. Many delegations noted with concern the absence of a comprehensive global regime to address the legal gaps relating to the conservation and sustaina ble use of marine biodiversity beyond areas of national jurisdiction. Other delegations drew attention to the fact that a number of existing instruments were applicable. A view was expressed that the focus of any new agreement should therefore be on issues where there were shortcomings or gaps in the current framework. In that regard, it was noted that while legal gaps could be addressed in the context of a new agreement, such gaps had yet to be specifically identified. 18. Several delegations underlined the existence of a legal gap concerning access to, and benefit sharing from, marine genetic resources of areas beyond national jurisdiction. In the view of several delegations, those resources were the common heritage of mankind, in accordance with resolution 2749 (XXV). They noted that those resources were currently being exploited without the concomitant obligation to share the benefits derived therefrom and that a specific legal regime needed to be developed to implement the common heritage of mankind, taking into account the interests and needs of developing countries, including States non -parties to the Convention. It was highlighted that marine genetic resources beyond areas of national jurisdiction could not be subject to unilateral access and use. 19. It was suggested that the scope of a new instrument should encompass all marine resources in areas beyond national jurisdiction currently known or 15-01992 6/9 18 A/69/780 discovered at any time in the future. In that regard, while support was expressed for the inclusion of fisheries in a new instrument, taking into account the work of existing regional fisheries management organizations, other delegations observed that fisheries in the high seas were already regulated under the United Nations Fish Stocks Agreement and should therefore not be included in the scope of such an instrument. 20. The importance of not deterring scientific research was emphasized, given that research on marine genetic resources was a relatively new and quickly evolving field and that innovation could be hampered by cumbersome and excessively bureaucratic procedures. It was reaffirmed that intellectual property rights issues should be addressed within the competent forums, such as the World Intellectual Property Organization. 21. The need to enhance scientific understanding of areas beyond national jurisdiction was considered a priority, as was the need for sound science to inform decision-making. It was noted that the transfer of technology must be compatible with existing frameworks, including those under the United Nations Educational, Scientific and Cultural Organization. 22. Several delegations noted that a legally binding agreement should incorporate widely accepted principles of ocean governance, such as the precautionary principle, integrated ocean management and an ecosystem approach. A view was expressed that it would not be appropriate to use a “one size fits all” approach for every activity in all regions, as impacts vary across sectors and regions, based on particular circumstances and characteristics. It was observed, with particular reference to transboundary environmental impact assessments, that care should be exercised in applying to marine biodiversity beyond areas of national jurisdiction approaches developed in the context of planned activit ies within the jurisdiction or control of States. 23. Several delegations suggested that an agreement should establish institutional mechanisms to assist parties in implementing their obligations. They expressed the view that the mandate of the International Seabed Authority could be expanded to oversee the implementation of a future agreement under the Convention. Other delegations observed that the Authority could serve as a model for any institution developed under a new agreement. A view was expressed that new structures or institutions should be established only if considered necessary. 24. The need to take into account the views of all stakeholders was emphasized. In particular, it was suggested that civil society, international organizations and industry associations that had an interest in activities that could be affected by any future instrument should be invited to engage and contribute their views and expertise. 25. Some delegations underscored that any new agreement should be open to all States, whether parties or non-parties to the Convention. Several delegations stressed that accession to an implementing agreement on the conservation and sustainable use of marine biodiversity beyond areas of national jurisdiction under the Convention should not prejudge accession thereto of States non-parties. Some delegations indicated that acceding to such an agreement would not imply acceptance of any legal obligations arising from instruments that had not been explicitly accepted by States non-parties. In that regard, some delegations expressed 15-01992 7/9 19 A/69/780 the view that issues relating to the conservation and sustainable use of marine biodiversity beyond areas of national jurisdiction should be regulated under an international instrument other than the United Nations Conv ention on the Law of the Sea, such as the Convention on Biological Diversity, or as an addition to the Nagoya Protocol on Access to Genetic Resources and the Fair and Equitable Sharing of Benefits Arising from their Utilization to the Convention on Biologi cal Diversity. It was also suggested that the criteria and principles enshrined in various existing instruments could be adapted to the conservation and sustainable use of marine biodiversity beyond areas of national jurisdiction, bearing in mind the princ iples of responsibility, cooperation, equality and sustainability. Consideration and adoption of draft recommendations to the sixty-ninth session of the General Assembly 26. The Co-Chairs presented a non-paper dated 17 December 2014, which contained draft elements of recommendations to the sixty-ninth session of the General Assembly and had been prepared upon the request of delegations at the meeting of the Working Group held in June 2014. The Co -Chairs explained that the non-paper was a compilation of the elements submitted by delegations in response to their letter dated 8 July 2014, with a view to facilitating the development of draft recommendations. They noted that it was not envisaged that the non -paper would constitute the basis for negotiations on the draft recommendations, especially since the elements contained therein did not purport to reflect consensual elements. Delegations expressed their appreciation to the Co-Chairs for preparing the non-paper, which they considered to constitute a good basis for elaborating draft recommendations. 27. Many delegations expressed support for recommendations to launch a negotiating process for an international legally binding agreement. It was observed that, under the mandate of the Working Group, including t he mandate established by resolution 66/231, and taking into account the commitment made by States in paragraph 162 of the outcome document of the United Nations Conference on Sustainable Development, entitled “The future we want”, the option of addressing issues relating to the conservation and sustainable use of marine biodiversity beyond areas of national jurisdiction through the implementation of existing instruments was still available. 28. With regard to the possible content of an international instru ment, many delegations expressed the view that the draft recommendations should reflect consensual elements only, highlighting in particular the package agreed in 2011, without touching upon issues that were still under discussion. A view was expressed that the package was not robust enough to constitute the basis for negotiations of a new instrument. 29. Several delegations stressed that the recommendations should include a reference to the need to recognize, respect and complement the competence and mandates of existing global and regional organizations and frameworks and to foster and strengthen cooperation and coordination between existing bodies. It was proposed that the recommendations include recognition of the primary role of the Convention and its principles, such as freedom of the high seas and the common heritage of mankind. A suggestion was made that the recommendations could include such parameters as taking a practical approach, cost -effectiveness, adequate financial incentives and the use of existing frameworks to avoid unnecessary costs. 15-01992 8/9 20 A/69/780 Other delegations cautioned against engaging in de facto treaty negotiation before formal negotiations for an international instrument under the Convention had actually commenced, as many issues would need to be resolved during such negotiations. 30. With regard to the next stage of the process, many delegations called for the recommendations to include the convening of an intergovernmental conference under the auspices of the United Nations with the mandate to negotiate an implementing agreement under the Convention and to address, in particular, together and as a whole, the package of issues agreed in 2011. Several delegations suggested that the intergovernmental conference should be convened as soon as possible and should complete its work within an agreed deadline. Several delegations suggested that the resolution to be adopted by the General Assembly could set the timeline for negotiations. Highlighting the complexity of the issues, a delegation stated that it would not be appropriate to pre-set a timetable for negotiations at that stage. 31. Many delegations expressed the view that convening a preparatory process with the mandate of making recommendations to an intergovernmental conference could be useful. A view was expressed that the most important task of the preparatory committee should be to determine specifically those areas for which a new agreement was necessary and those where it would be sufficient to strengthen cooperation under existing instruments. In that regard, it was observed that the discussions in the Working Group had been very rich and that the preparatory process should draw upon and benefit from this work. The view was expressed that the recommendations of the Working Group should be specific enough to provide guidance and framing to the preparatory process, without going into the detail of what needed to be negotiated. 32. Many delegations observed that the preparatory process should be open to all States Members of the United Nations, as well as to parties to the Convention. The need to ensure that the negotiations were inclusive and transparent was also underscored. 33. Following informal consultations, which were conducted on the basis that “nothing is agreed until everything is agreed”, the Working Group adopted the recommendations included in section I above by consensus. The delegation of the Bolivarian Republic of Venezuela indicated that, because it was not a party to the Convention, the norms of the Convention, including those char acterized as customary law, were not applicable to it, except for those that it had expressly recognized. It was also stated that a lack of objection to the recommendations adopted at the meeting could not be interpreted as a change in position of the Bolivarian Republic of Venezuela with regard to the Convention and its role in the framework of a future legal regime for marine resources beyond national jurisdiction. The delegation of Colombia indicated that it had joined the consensus on the understanding that this support did not imply acceptance by Colombia of the provisions or the obligations contained in the Convention, to which it was not a party. The delegation stressed that under no circumstances could it be inferred that the Convention or any other international instrument related to the recommendations were applicable or opposable to Colombia. 34. Delegations expressed appreciation to the Co-Chairs for their leadership and guidance since 2010. They also thanked the Secretariat. 15-01992 9/9 21 AZORES SCIENTIFIC CRITERIA AND GUIDANCE for identifying ecologically or biologically significant marine areas and designing representative networks of marine protected areas in open ocean waters and deep sea habitats 22 AZORES SCIENTIFIC CRITERIA AND GUIDANCE The oceans cover 70% of our planet’s surface and represent over 95% of the living biosphere. 2 They contain a vast diversity of different habitat types and spectacular seascapes, hosting 32 of the 34 Animalia phyla of the planet, of which around 13 are exclusively or mostly marine. Knowing less about the deep sea habitats than the surface of the moon HYDROTHERMAL VENTS were the first ecosystem on Earth Most scientific studies have focused on easily accessible coastal waters and surface ocean. Only a small percentage of the deep seafloor has been subject to biological investigation. Revealing the natural beauty and ecological value of deep sea habitats With the technological advances of the past few decades, much has been added to our knowledge of deep sea habitats, and people have begun to realize the value and importance of this large and remote habitat to life on Earth. Deep seabed habitats, long perceived to be a biological desert, host a wealth of species. Current estimates for species diversity in the deep sea range between 500,000 and 10 million species. Recent scientific results highlighted that higher biodiversity can enhance the functioning and efficiency of deep sea ecosystems. Without deep sea life, life on Earth would be compromised because of the fundamental role of the deep sea in global biogeochemical cycles including nutrient regeneration and oxygen itself. As such, the sustainability of our biosphere significantly relies on the goods and services provided by deep sea ecosystems. found to be basically independent from the sun as an original source of energy, relying instead on chemosynthesis. Deep sea hydrothermal vent organisms tolerate great extremes in water temperature and survive toxic concentrations of heavy metals. They are therefore of particular interest because of their adaptation to a high pressure, high temperature, high acidity and high toxicity environment. Despite these extreme conditions, the biomass of organisms around vents is very high, and made up of endemic species. SEAMOUNTS and the water column above them serve as important habitats, feeding grounds, and reproduction sites for many open ocean and deep sea species of fish, sharks, sea turtles, marine mammals, seabirds, and benthic organisms. Seamounts thus form biological hotspots with a distinct, abundant and diverse fauna, and sometimes reveal many species new to science. COLD-WATER CORAL REEFS may be many hundred to thousands of years old. Because of their age and slow growth rates, reefs contain high-resolution records of long-term climate change and may also serve as important speciation centres in the deep sea. Recent research in paleo-climatology has discovered the enormous potential of climate records in the skeletons of cold-water corals, since they are found in all oceans and at all bathymetries, from sea level to at least 4 km below the surface. “How inappropriate to call this planet 23 Increasing threats from various human activities AZORES SCIENTIFIC CRITERIA AND GUIDANCE The open ocean and deep sea are under increasing threat from various human activities. The most pressing threats come from overfishing, destructive fishing practices, and illegal, unreported and unregulated fishing activities. Other emerging problems include marine debris, ship-based marine pollution, transfer of alien invasive species, illegal dumping and the legacy of historical dumping, seabed mineral extraction, and noise pollution. The discovery of the enormous potential value of genetic resources associated with deep seabed habitats to various sectors, particularly the health and food sectors, has highlighted the value of deep sea biodiversity but also puts it at further risk from poorly controlled research and bioprospecting with adverse impacts. Another emerging concern that calls for proper management is ocean fertilization and other activities proposed for storing or sequestering carbon dioxide in the deep sea. The combined impacts of these threats as well as the potential impacts of climate change and ocean acidification have placed thousands of species at risk of extinction, and have impaired the structure, function, productivity and resilience of marine ecosystems. World oceans are seriously under-protected At the present time, the world’s oceans are seriously underprotected, with only approximately 0.8% of the oceans and 6% of territorial seas being within protected area systems. In response to rising concerns regarding the health of open ocean and deep sea ecosystems, the 2002 World Summit on Sustainable Development, in its Plan of Implementation, called for countries to develop and facilitate the use of diverse approaches and tools, including the ecosystem approach, the elimination of destructive fishing practices, and the establishment of marine protected areas consistent with international law and based on scientific information, including representative networks by 2012. 3 Earth when it is quite clearly Ocean” 24 —Sir Arthur C. Clarke Message from Dr. Ahmed Djoghlaf, Executive Secretary of the Convention on Biological Diversity, on the occasion of World Ocean Day 2008 AZORES SCIENTIFIC CRITERIA AND GUIDANCE “All the members of the ocean biodiversity family are invited to renew their commitment to the Jakarta Mandate and share their wisdom, knowledge, expertise, experiences, and resources toward implementing the commitments made at the ninth meeting of the Conference of the Parties to the Convention. By working closely together for One Ocean, we can safeguard the sustainability of Our Future on this Blue Planet. OUR FUTURE LIES IN OUR OCEAN!” 4 Common and shared goal To maintain, protect and conserve global marine biodiversity through conservation and protection of its components in a biogeographically representative network of ecologically coherent sites. 25 AZORES SCIENTIFIC CRITERIA AND GUIDANCE Historic step taken by COP 9 Future steps The Conference of the Parties to the Convention on Biological Diversity (COP), in its ninth meeting, adopted the scientific criteria for identifying ecologically or biologically significant marine areas in need of protection (Table 1), and the scientific guidance for designing representative networks of marine protected areas (Table 2). These scientific criteria and guidance were consolidated by the Expert Workshop on Ecological Criteria and Biogeographic Classification Systems for Marine Areas in Need of Protection held in the Azores, Portugal, from 2 – 4 October 2007. The Secretariat of the Convention on Biological Diversity is convening an expert workshop on scientific and technical guidance on the use of biogeographic classification systems and identification of marine areas beyond national jurisdiction in need of protection, in Ottawa, Canada from 29 September to 2 October 2009. This workshop was called for by COP 9 (Decision IX/20, paragraph 19) to help Parties in their efforts of applying the scientific criteria (Table 1). This expert workshop will review and synthesize progress on the identification of areas beyond national jurisdiction which meet the scientific criteria and experience with the use of the biogeographic classification systems. It will also provide scientific and technical guidance on the identification of areas beyond national jurisdiction that meet the CBD scientific criteria, and guidance on the use and further development of biogeographic classification systems. The results of this workshop will be transmitted to the 14th meeting of the Subsidiary Body on Scientific, Technical and Technological Advice, scheduled for May 2010, for its consideration prior to the tenth meeting of the Conference of Parties with a view to assisting the United Nations General Assembly. Identifying ecologically or biologically significant and/or vulnerable marine areas in need of protection COP 9 urged Parties and invited other Governments and relevant organizations to apply, as appropriate, the scientific criteria (Table 1) and the scientific guidance (Table 2) to identify ecologically or biologically significant and/or vulnerable marine areas in need of protection. The application of the scientific criteria and guidance, based on the best available scientific information and applying the precautionary approach and the ecosystem approach, can enable Parties, other Governments and relevant organizations to help halt the rapid loss of marine biodiversity in open ocean waters and deep sea habitats. 26 5 AZORES SCIENTIFIC CRITERIA AND GUIDANCE 6 Scientific criteria for identifying ecologically of protection in open ocean waters Criteria Definition Uniqueness or rarity Area contains either (i) unique (“the only one of its kind”), rare (occurs only in few locations) or endemic species, populations or communities, and/or (ii) unique, rare or distinct, habitats or ecosystems; and/or (iii) unique or unusual geomorphological or oceanographic features Special importance for life-history stages of species Areas that are required for a population to survive and thrive Importance for threatened, endangered or declining species and/or habitats Rationale Area containing habitat for the survival and recovery of endangered, threatened, declining species or area with significant assemblages of such species 27 • Irreplaceable • Loss would mean the probable permanent disappearance of diversity or a feature, or reduction of the diversity at any level Various biotic and abiotic conditions coupled with species-specific physiological constraints and preferences tend to make some parts of marine regions more suitable to particular life-stages and functions than other parts. To ensure the restoration and recovery of such species and habitats Examples Open ocean waters • Sargasso Sea, Taylor column, persistent polynyas Deep sea habitats • endemic communities around submerged atolls; hydrothermal vents; seamounts; pseudo-abyssal depression Consideration in application • Risk of biased-view of the perceived uniqueness depending on the information availability • Scale dependency of features such that unique features at one scale may be typical at another, thus a global and regional perspective must be taken Area containing: (i) breeding grounds, spawning areas, nursery areas, juvenile habitat or other areas important for life history stages of species; or (ii) habitats of migratory species (feeding, wintering or resting areas, breeding, moulting, migratory routes) • Connectivity between life-history stages and linkages between areas: trophic interactions, physical transport, physical oceanography, life history of species Areas critical for threatened, endangered or declining species and/or habitats, containing (i) breeding grounds, spawning areas, nursery areas, juvenile habitat or other areas important for life history stages of species; or (ii) habitats of migratory species (feeding, wintering or resting areas, breeding, moulting, migratory routes) • Includes species with very large geographic ranges • Sources for information include: e.g. remote sensing, satellite tracking, historical catch and by-catch data, vessel monitoring system (VMS) data • Spatial and temporal distribution and/or aggregation of the species • In many cases recovery will require reestablishment of the species in areas of its historic range • Sources for information include: e.g. remote sensing, satellite tracking, historical catch and by-catch data, vessel monitoring system (VMS) data 28 AZORES SCIENTIFIC CRITERIA AND GUIDANCE or biologically significant marine areas in need and deep sea habitats (Annex I of CBD Decision IX/20) 7 AZORES SCIENTIFIC CRITERIA AND GUIDANCE Scientific criteria for identifying ecologically of protection in open ocean waters Criteria Definition Rationale Vulnerability, fragility, sensitivity, or slow recovery Areas that contain a relatively high proportion of sensitive habitats, biotopes or species that are functionally fragile (highly susceptible to degradation or depletion by human activity or by natural events) or with slow recovery The criteria indicate the degree of risk that will be incurred if human activities or natural events in the area or component cannot be managed effectively, or are pursued at an unsustainable rate. Biological productivity Area containing species, populations or communities with comparatively higher natural biological productivity Important role in fuelling ecosystems and increasing the growth rates of organisms and their capacity for reproduction Biological diversity Area contains comparatively higher diversity of ecosystems, habitats, communities, or species, or has higher genetic diversity Important for evolution and maintaining the resilience of marine species and ecosystems Naturalness Area with a comparatively higher degree of naturalness as a result of the lack of or low level of human-induced disturbance or degradation 8 29 • To protect areas with near natural structure, processes and functions • To maintain these areas as reference sites • To safeguard and enhance ecosystem resilience or biologically significant marine areas in need and deep sea habitats (Annex I of CBD Decision IX/20) Continued Examples Consideration in application Vulnerability of species • Inferred from the history of how species or populations in other similar areas responded to perturbations • Species of low fecundity, slow growth, long time to sexual maturity, longevity (e.g. sharks, etc) • Interactions between vulnerability to human impacts and natural events • Existing definition emphasizes site specific ideas and requires consideration for highly mobile species • Criteria can be used both in its own right and in conjunction with other criteria • Species with structures providing biogenic habitats, such as deepwater corals, sponges and bryozoans; deep-water species Vulnerability of habitats • Ocean acidification can make deep sea habitats more vulnerable to others, and increase susceptibility to human-induced changes • Frontal areas • Hydrothermal vents • Upwellings • Seamounts polynyas • Can be measured as the rate of growth of marine organisms and their populations, either through the fixation of inorganic carbon by photosynthesis, chemosynthesis, or through the ingestion of prey, dissolved organic matter or particulate organic matter • Can be inferred from remote-sensed products, e.g., ocean colour or process-based models • Time-series fisheries data can be used, but caution is required • Diversity needs to be seen in relation to the surrounding environment • Diversity indices are indifferent to species substitutions • Seamounts • Fronts and convergence zones • Cold coral communities • Deep-water sponge communities Most ecosystems and habitats have examples with varying levels of naturalness, and the intent is that the more natural examples should be selected. • Diversity indices are indifferent to which species may be contributing to the value of the index, and hence would not pick up areas important to species of special concern, such as endangered species • Can be inferred from habitat heterogeneity or diversity as a surrogate for species diversity in areas where biodiversity has not been sampled intensively • Priority should be given to areas having a low level of disturbance relative to their surroundings. • In areas where no natural areas remain, areas that have successfully recovered, including reestablishment of species, should be considered. • Criteria can be used both in their own right and in conjunction with other criteria. 30 AZORES SCIENTIFIC CRITERIA AND GUIDANCE • Ice-covered areas susceptible to ship-based pollution. 9 Scientific guidance for selecting areas to establish a representative network of marine protected areas, including in open ocean waters and deep sea habitats (Annex II of CBD Decision IX/20) Required network properties and components AZORES SCIENTIFIC CRITERIA AND GUIDANCE Ecologically and biologically significant areas Applicable site-specific considerations (inter alia) Definition Ecologically and biologically significant areas are geographically or oceanographically discrete areas that provide important services to one or more species/populations of an ecosystem or to the ecosystem as a whole, compared to other surrounding areas or areas of similar ecological characteristics, or otherwise meet the criteria as identified in annex I to decision IX/20. • Uniqueness or rarity • Special importance for life history stages of species • Importance for threatened, endangered or declining species and/or habitats • Vulnerability, fragility, sensitivity or slow recovery • Biological productivity • Biological diversity • Naturalness Representativity Representativity is captured in a network when it consists of areas representing the different biogeographical subdivisions of the global oceans and regional seas that reasonably reflect the full range of ecosystems, including the biotic and habitat diversity of those marine ecosystems. A full range of examples across a biogeographic habitat, or community classification; relative health of species and communities; relative intactness of habitat(s); naturalness Connectivity Connectivity in the design of a network allows for linkages whereby protected sites benefit from larval and/or species exchanges, and functional linkages from other network sites. In a connected network individual sites benefit one another. Currents; gyres; physical bottlenecks; migration routes; species dispersal; detritus; functional linkages. Isolated sites, such as isolated seamount communities, may also be included. Replicated ecological features Replication of ecological features means that more than one site shall contain examples of a given feature in the given biogeographic area. The term “features” means “species, habitats and ecological processes” that naturally occur in the given biogeographic area. Accounting for uncertainty, natural variation and the possibility of catastrophic events. Features that exhibit less natural variation or are precisely defined may require less replication than features that are inherently highly variable or are only very generally defined. Adequate and viable sites Adequate and viable sites indicate that all sites within a network should have size and protection sufficient to ensure the ecological viability and integrity of the feature(s) for which they were selected. Adequacy and viability will depend on size; shape; buffers; persistence of features; threats; surrounding environment (context); physical constraints; scale of features/ processes; spillover/compactness 10 31 AZORES SCIENTIFIC CRITERIA AND GUIDANCE 11 Acknowledgements The Secretariat of the Convention on Biological Diversity wishes to acknowledge with appreciation the generous funding from the Regional Government of the Azores and the Government of Portugal provided for the publication of this brochure. The Secretariat also would like to thank Ricardo Serrão Santos (Dept. Oceanography and Fisheries, University of Azores, Portugal) and Kristina Gjerde (IUCN) for their contribution of images and to the editing of the brochure. Gratitude is also expressed to all staff of the Secretariat of the Convention who contributed to the editing and production of this brochure. Photo credits FRONT: (Forskalia Forskalia edwardsi edwardsi) © Gavin Newman / Greenpeace PAGE 2 LEFT: (Hoplostethus Hoplostethus atlanticus atlanticus) © Malcolm Clark / NIWA PAGE 2 RIGHT: (Paragorgia sp. and Stylaster sp.) © Alberto Lindner / NOAA PAGE 3 TOP: UNEP / Topham (Lepidochelys olivacea) tortugamarina.org PAGE 3 BOTTOM: / PRETOMA (Deep-sea vent chimneys) © SEAHMA — POCI / FEDER FCT / Portugal (Prionace glauca) © Imen Meliane / IUCN Photo Library (Amphipod) © David Shale (Rimicaris exoculata) © SEAHMA — POCI / FEDER FCT / Portugal PAGE 8 TOP MIDDLE: (Physeter Physeter macrocephalus macrocephalus) © Jorge Fontes / ImagDOP PAGE 6 TOP LEFT: (Orcinus orca) © Joe Stanford / NSF PAGE 6-7 TOP MIDDLE: (Gnathophausia sp.) © David Shale (Bathymodiolus azoricus, Mirocaris fortunata and Segonzacia mesatlantica) © SEAHMA — POCI / FEDER FCT / Portugal PAGE 7 TOP RIGHT: (Bathysaurus Bathysaurus ferox ferox) © David Shale PAGE 8 BOTTOM LEFT: © Gavin Newman / Greenpeace PAGE 8 BOTTOM RIGHT: ( (Atola sp.) © David Shale PAGE 4 BOTTOM: (Paraliparis Paraliparis sp.) © David Shale PAGE 8 TOP LEFT: PAGE 8 TOP RIGHT: PAGE 3 BOTTOM-LONG: (Munidopsis Munidopsis sp.) © David Shale PAGE 6 TABLE RIGHT: PAGE 7 TABLE: © Mary Grady / NOAA Ocean Explorer PAGE 3 MIDDLE: PAGE 4 TOP: PAGE 6 TABLE LEFT: PAGE 9 MIDDLE LEFT: (Clione limacina) © David Shale (Iridogorgia sp.) © SEAHMA — POCI / FEDER FCT / Portugal PAGE 9 BOTTOM LEFT: PAGE 9 TOP RIGHT: PAGE 11: BACK: ((Aeginura Aeginura grimaldii grimaldii)) © David Shale (Bolinopsis Bolinopsis sp.) © David Shale (Paragorgia arborea) © 2006 MBARI / NOAA (Ophiuroid on Gorgonian coral) © David Shale 32 Secretariat of the Convention on Biological Diversity 413 Rue St. Jacques, Suite 800 Montréal, Québec, H2Y 1N9 Canada Tel. +1-514-288-2220 Fax: +1-514-288-6588 Email: [email protected] Web: www.cbd.int © CBD Secretariat 2009. All Rights Reserved. 33 Fisheries,HighSeas DavidFreestone Contenttype: EncyclopediaEntries Articlelastupdated: March2009 Product: MaxPlanck EncyclopediaofPublic InternationalLaw[MPEPIL] Subject(s): Exclusivefisheryzone—Exclusiveeconomiczone—Statehood,jurisdictionofstates,organsofstates —Exclusivefisherieszone—UNCLOS(UNConventionontheLawoftheSea) PublishedundertheauspicesoftheMaxPlanckFoundationforInternationalPeaceandtheRuleofLaw underthedirectionofRüdigerWolfrum. From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 34 A.Introduction 1In1608inhisclassicwork,MareLiberum,thefamousDutchjuristHugoGrotiusarguedthat maritimefisherieswerefreetoallmen,justastheseaisfreetoallmenand,sincetheseacannot beexhaustedbypromiscuoususe,thereisnojustificationforitsappropriation.Inthe400years sincethenourviewoftheabundanceoftheoceanshaschangedveryradically(seealsoLawof theSea,Historyof).TheFoodandAgricultureOrganizationoftheUnitedNations(FAO)initsbiannualreport‘TheStateofWorldFisheriesandAgriculture’haswarnedusthatmorethan3/4of globalfishstocksarefullyexploited,overexploited,depleted,orrecoveringfromdepletion. Mankindhascometorealizethatfisheriesresourcesareaveryfiniteresource(seealsoMarine LivingResources,InternationalProtection).Asthesignificanceofthishasdawned,particularon coastalStates,therehavebeenmajorchangestothelegalregimegoverninghighseasfisheries. NotonlyhastheareaofthehighseasitselfbeenshrunkbyincreasedclaimsofcoastalStates,but therehasalsobeenagrowthinthenumberofinternationalorganizationsregulatingthe conservationandmanagementofhighseasstocks(Fisheries,CommissionsandOrganizations). Sincethe1992UNConferenceonEnvironmentandDevelopment(‘UNCED’)therehasbeen increasingpressureontheseorganizationstotakeamoreecosystem-basedviewoftheactivities thattheyregulate,tobemoreeffectiveintheirregulatoryactivities,andforStates,andthe nationalsofvesselsflyingtheirflags,tocomplywiththeircorrespondingobligations(seealsoFlag ofShips). 2Thiscontributionwilltracetheevolutionoftheglobalregimegoverninghighseasfishstocks fromthe1958conventionstothe1982UnitedNationsConventionontheLawoftheSea(‘UN ConventionontheLawoftheSea’)assupplementedbythe1995AgreementfortheImplementation oftheProvisionsoftheUnitedNationsConventionontheLawoftheSearelatingtothe ConservationandManagementofStraddlingFishStocksandHighlyMigratoryFishStocks(‘UNFish StocksAgreement’).Itwillalsotouchbrieflyontheregionalandspeciesorganizationsresponsible forfisheriesconservationandmanagement,andassesstheeffectivenessofthisstructureinlight ofthecurrentstateofhighseasfishstocksandthenewthreatstheyface. B.UNLawoftheSeaConventions1958–82 3Thelastfiftyyearshaveseenmajorchangesinthelawofhighseasfisheries.ThefirstoftheUN ConferencesontheLawoftheSea(‘UNCLOSI’)in1958gaverisetofourconventionsandan optionalprotocolondisputesettlement.AlthoughUNCLOSIwasabletosettlethemaximumouter widthofthecontiguouszoneastwelvenauticalmiles(Art.24ConventionontheTerritorialSeaand theContiguousZone[done29April1958,enteredintoforceon10September1964]516UNTS 205),neitherUNCLOSI,norUNCLOSIIin1960,wasabletosettlethemaximumwidthofthe territorialsea.Thesignificanceofthis,forourpresentpurposes,wasthat,apartfromafewStates thatclaimedmuchwiderterritorialseas,thehighseasregimestretchedfromtheouterlimitofthe territorialsea,whichwasgenerallythree,butatthemostsometwelvenauticalmilesfromthe coastalbaselines.Inthe25yearsto1982,thischangedradicallyascustomarylawandindeedthe InternationalCourtofJustice(ICJ)intheFisheriesJurisdictionCase(UnitedKingdomofGreat BritainandNorthernIrelandvIceland)recognizedthelegitimacyofwiderclaimsbycoastalStates toexclusivejurisdictionoverfisheriesinthewatersadjacenttotheircoasts(FisheriesJurisdiction Cases[UnitedKingdomvIceland;FederalRepublicofGermanyvIceland];Fisheries,Coastal).By thetimeofUNCLOSIII(1973–82),the200-nauticalmilesexclusivefishingzone(‘EFZ’)orexclusive economiczone(‘EEZ’)hadpassedintocustomarylawandtheEEZwasspecificallyrecognizedby theresultingUNConventionontheLawoftheSea(Arts55–75).Themajorsignificanceofthisfor thelawofhighseasfisherieswasthatupto95%ofexploitablefishstocksmovedfromtheregime ofthehighseastothatofcoastaljurisdiction. 4However,thiswasnottheonlymajorchange.Article2ConventionontheHighSeaslists freedomoffishingasoneofthehighseasfreedoms.Thisisfurtherelaboratedbytheparallel1958 From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 35 ConventiononFishingandConservationoftheLivingResourcesoftheHighSeas,whichprovides inArt.1that‘[a]llStateshavetherightfortheirnationalstoengageinfishingonthehighseas subject…to…provisions…concerningconservationofthelivingresourcesofthehighseas’. 5Article2ConventiononFishingandConservationoftheLivingResourcesoftheHighSeasgoes ontodefineconservationasfollows: “conservationofthelivingresourcesofthehighseas”meanstheaggregateofthe measuresrenderingpossibletheoptimumsustainableyieldfromthoseresourcessoasto secureamaximumsupplyoffoodandothermarineproducts.Conservationprogrammes shouldbeformulatedwithaviewtosecuringinthefirstplaceasupplyoffoodforhuman consumption. 6Thishighlyanthropocentricviewofconservationinthe1958ConventiononFishingand ConservationoftheLivingResourcesoftheHighSeaswasthesubjectofthesecondmajorchange introducedbytheUNConventionontheLawoftheSea,which,forthefirsttime,introducesa strongenvironmentalconservationagendaintothefisheriesprovisions.Therelevantsectionofthe UNConventionontheLawoftheSeaisPartVIISec.2,entitled‘ConservationandManagementof theLivingResourcesoftheHighSeas’(Arts116–120UNConventionontheLawoftheSea).Article 116UNConventionontheLawoftheSearecognizesthatallStateshavetherightfortheir nationalstoengageinfishingonthehighseas.However,thearticlespecificallysubjectsthatright tothreefactorsthataredifferentfromthoseofthe1958ConventiononFishingandConservationof theLivingResourcesoftheHighSeas:a)existingtreatyobligations;b)therightsandduties,as wellasinterests,ofcoastalStates(provided,interalia,inArts63(2)and64–67UNConventionon theLawoftheSea);andc)theotherprovisionsofPartVIISec.2UNConventionontheLawofthe Sea. 7Itappears,therefore,thatthedraftersintendedtheexerciseofthefreedomofhighseasfishing tobeconditionalupontheseobligationsbeingfulfilled.Thisimportantdifferenceinapproachis reinforcedbyareadingoftheotherprovisionsofPartVIISec.2UNConventionontheLawofthe SeatowhichArt.116(c)UNConventionontheLawoftheSearefers.Article117UNConvention ontheLawoftheSeaimposesonallStatestheindividualandjointdutytotakethenecessary measuresfortheconservationofthelivingresourcesofthehighseasandArt.118UNConvention ontheLawoftheSeaimposesacorrelativedutyonStatestoco-operateintheconservationand managementofhighseaslivingresources.ThisrecognizesthatStatesfishingonthehighseas mustdothiswithintheframeworkofexistingrelevantregionalorspecies-relatedfisheries managementorganizations(‘RFMOs’;theissueofcomprehensivecoverageoftheseRFMOswillbe returnedto;seeparas25–35below).Itcanbearguedthatthepositionofthisdutyofconservation inthesection,aswellastheunequivocalwayinwhichitisexpressed,makethisaprimaryduty. Article119UNConventionontheLawoftheSea,whichisentitled‘Conservationoftheliving resourcesofthehighseas’,shouldthenbereadasprovidingthemeansandmodalitiesforStates tocomplywiththisprimaryobligation.Article119(1)(a)UNConventionontheLawoftheSea requiresthetakingofmeasuresto‘maintainorrestorepopulationsofharvestedspeciesatlevels whichcanproducethemaximumsustainableyield’,andthesemeasuresmustbebased‘onthe bestscientificevidenceavailable’andmustaccommodaterelevantenvironmentalaswellas economicfactorsincluding thespecialrequirementsofdevelopingStates,andtakingintoaccountfishingpatterns,the interdependenceofstocksandanygenerallyrecommendedinternationalminimum standards,whethersubregional,regionalorglobal. 8Commentatorshavecalledtheserequirements‘rathervague’,buttheyareclearlydesignedto linktoevolvingstandardsandtherequirementsofotherinstruments. 9Inthesamevein,indeterminingsuchmeasures,Statesarealsoobligedtotakeinto From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 36 consideration, theeffectsonspeciesassociatedwithordependentuponharvestedspecieswithaviewto maintainingorrestoringpopulationsofsuchassociatedordependentspeciesabovelevels atwhichtheirreproductionmaybecomeseriouslythreatened.(Art.119(1)(b)UN ConventionontheLawoftheSea) 10Itisnoteworthy,however,thatthereisnorequirementthattheseassociatedordependent speciesbeharvestedorevenharvestable.Indeed,theformulationinArt.119(1)(a)UN ConventionontheLawoftheSeaofmaximumsustainableyield(‘MSY’)asqualifiedby environmentalandeconomicfactors,hasbeenreadtobeadescriptionofthe‘optimumutilization’ concept.Inaddition,thewordsofArt.119(1)(a)UNConventionontheLawoftheSea‘tomaintain orrestorepopulationsofharvestedspeciesatlevelswhichcanproduce’(emphasisaddedbythe author)suchutilization,canbeseentobeenablingratherthanobligatory.Stateswhosenationals arefishingonthehighseasarenot,itseems,activelyobligedtopursuetheobjectiveofoptimum utilizationforthemselves,buttheyareobligednottohamperthepursuanceofthisobjectiveby otherStates.Indeed,incontrastwithArt.62UNConventionontheLawoftheSea,whichobliges coastalStatesto‘promotetheobjectiveofoptimumutilizationofthelivingresources’withintheir ownEEZs,thehighseasprovisionsdonotappeartorequirethathighseasfishingtakeplaceatthe MSYbutsimplyrequireStatesengagedinhighseasfishingtoensurethatstocksaremaintainedor restoredtolevelswhichcan—iewhichhavethepotentialto—producetheMSY.Theabsenceofan obligationonStatestoexploithighseasstockstoMSYseemstobeentirelyconsistentwiththe unequivocalandprimaryobligationofconservationofsuchstocksimposedonsuchStatesbyArt. 117UNConventionontheLawoftheSea. 11However,anumberofotherprovisionsoftheUNConventionontheLawoftheSearelateto specieswhicharenotonlyharvestedonthehighseas,butalsowithinnationalzones.These provisions,whichrelatetofishingforstraddlingfishstocksandhighlymigratoryfishspecies (StraddlingandHighlyMigratoryFishStocks),havebeenfamouslycalledan‘unfinishedagenda’of theUNCLOSIIInegotiations,andtheyresultedintheneedforsupplementationbythe1995UNFish StocksAgreement(seeparas19–21below).TheUNConventionontheLawoftheSeaobligations arelargelyhortatory—imposingobligationstonegotiateingoodfaithratherthantoreach agreement(seealsoGoodFaith[Bonafide]).Forexample,Art.63(2)UNConventionontheLawof theSea,whichcoverstransboundaryorstraddlingstocks,strictusenso,thatoccurwithinoneor moreEEZsorwithinanEEZandanadjacenthighseasarea,requiresthat thecoastalStateandtheStatesfishingforsuchstocksintheadjacentareashallseek, eitherdirectlyorthroughappropriatesubregionalorregionalorganizations,toagreeupon themeasuresnecessaryfortheconservationofthesestocksintheadjacentarea. (emphasisaddedbytheauthor) 12Article64UNConventionontheLawoftheSeaonhighlymigratoryspecies,suchastuna,also imposesahortatoryobligationtoco-operate.ControversyhassurroundedtheinterpretationofArt. 64UNConventionontheLawoftheSea,forsomeStates,notablytheUSA,havearguedthattuna speciescanneverbesubjecttocoastalStatejurisdiction(seealsoMaritimeJurisdiction). Nevertheless,thiscontroversyhasnotrelatedtotheoverallobjectiveofArt.64UNConventionon theLawoftheSea,whichistoco-operate‘withaviewtoensuringconservationandpromotingthe objectiveofoptimumutilizationofsuchspeciesthroughouttheregion,bothwithinandbeyondthe exclusiveeconomiczone’. 13Inthesamevein,Art.66UNConventionontheLawoftheSeadealswithfishingfor anadromousstocksiestocks,suchassalmon,thatliveintheseaandspawninfreshwater.Such fishingcannotnormallytakeplaceinthehighseas.Article66(2)UNConventionontheLawofthe SeaimposesontheStateoforigintheobligationto‘ensuretheirconservationbytheestablishment ofappropriateregulatorymeasures’andprohibitsfishingforsuchstocksoutsidetheEEZ‘exceptin From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 37 caseswherethisprovisionwouldresultineconomicdislocationforaStateotherthantheStateof origin’(Art.66(3)(a)UNConventionontheLawoftheSea).Insuchexceptionalcaseswherehigh seasfishingispermitteditmustbeprecededby(againhortatorywording)‘consultationswitha viewtoachievingagreementontermsandconditionsofsuchfishinggivingdueregardtothe conservationrequirementsandtheneedsoftheStateoforigininrespectofthesestocks’(Art.66 (3)(a)UNConventionontheLawoftheSea;emphasisaddedbytheauthor;notealsoArt.66(3) (b)UNConventionontheLawoftheSea).Similarprovisionsapplytocatadromousspecies,such aseels,whichliveinfreshwaterbutbreedinsaltwaterandwhichmaynotbeharvestedonthe highseas(Art.67UNConventionontheLawoftheSea). 14Somementionshouldalsobemadeofmarinemammals,forunderArt.120UNConventionon theLawoftheSeatheprovisionsofArt.65UNConventionontheLawoftheSeaalsoapplytothe highseas.TheregimeenvisagedbyArts65and120UNConventionontheLawoftheSeaissui generisinthatutilizationdoesnotappearinthewording.Conservationandmanagementisthe onlyobligation.Statesareobligedto cooperatewithaviewtotheconservationofmarinemammalsandinthecaseof cetaceansshallinparticularworkthroughtheappropriateinternationalorganizationsfor theirconservation,managementandstudy.(Art.65UNConventionontheLawoftheSea) 15ThefactthattheUNConventionontheLawoftheSeadidnotsettleprinciplesapplicabletothe exploitationofsuchstraddlingandhighlymigratorystocksbecameasourceofimmediateproblems foranumberofcoastalStatesconcernedthatimportantstocksthattheyharvestedwithintheir EEZsorEFZsweresubjecttounregulatedexploitationintheadjacenthighseasareas.Anumberof Statesbegantotakeaction:theUSAinstigatedthenegotiationofatreatyregulatingthepollock fisheryinthehighseas‘donuthole’intheBeringSea;theRussiansimposedaunilateralbanon fishinginthehighseas‘peanuthole’intheSeaofOkhotsk(seealsoUnilateralActsofStatesin InternationalLaw);andafewStates,includingCanada,Chile,Peru,andArgentinachangedtheir lawstoenablethemtoexercisejurisdictionbeyond200nauticalmilesinrelationtotheotherwise unregulatedexploitationofstraddlingfishstocks,orexploitationofsuchstocksbyforeignvessels inbreachofapplicableconservationmeasures. 16ThesedevelopmentsculminatedinthearrestinFebruary1995oftheSpanishregistered vessel,theEstai,byCanadianfisheriesprotectionofficersoutsidetheCanadian200nauticalmile EFZforallegedlyfishinginbreachoftheconservationandmanagementmeasuresofthe applicableRFMO—theNorthwestAtlanticFisheriesOrganization(‘NAFO’).TheresultingSpanish actionbeforetheICJwasdeclinedforlackofjurisdictionin1998intheFisheriesJurisdictionCase (SpainvCanada). 17Itwas,however,thethreatthatunilateralmeasureswouldunderminetheUNConventiononthe LawoftheSeathatpromptedagroupoffishingStatestoplacetheissueoftheproperregulationof straddlingfishstocksontheagendaoftheJune1992UNCEDinRiodeJaneiro.InMay1992the Mexicangovernmentconvenedameetingofsome49Statesrepresentingabout70%oftheworld’s fishingcapacity.TheresultingCancúnDeclarationonResponsibleFishing,calledontheFAOto beginworkondevelopinganInternationalCodeofConductforResponsibleFishingandonStates toagreetotheconveningofaninternationalconferenceonhighseasfisheries.AtUNCED,para. 17.49ofAgenda21,the600pageenvironmentalactionplanfinalizedbytheconference, mandatedtheUNtoconveneaconferenceonstraddlingfishstocksandhighlymigratoryfish stocks.Chapter17alsocalledonStatestotakeeffectiveactiontodeterreflaggingoffishingboats (paras17.52–17.53Agenda21),inresponsetowhichtheFAOconvenedanexpertgroupto developadraftconventionwhicheventuallybecamethe1993FAOAgreementtoPromote CompliancewithInternationalConservationandManagementMeasuresbyFishingVesselsonthe HighSeas(‘FAOComplianceAgreement’). From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 38 C.1993FAOAgreementtoPromoteCompliancewith InternationalConservationandManagementMeasuresbyFishing VesselsontheHighSeas 18NegotiatedquicklyintheaftermathofUNCED,theFAOComplianceAgreementsetsouta numberofmeasureswhichStatesmusttakeregardingfishingvesselsflyingtheirflag(‘flag vessels’).Theseapplytoallfishingvesselsusedforfishingonthehighseas(Art.II(1)FAO ComplianceAgreement),butaStatemay,subjecttosomeconditions,exemptvesselslessthan24 metresinlength(Art.II(2)FAOComplianceAgreement)—althoughthisdiscretionhasnowbeen removedforStatespartytothe1995UNFishStocksAgreement(Art.18UNFishStocks Agreement).Partiestotheagreementmusttakemeasurestoensurethatitsflagvesselsdonothing tounderminetheeffectivenessofinternationalconservationandmanagementmeasures(Art.III(1) FAOComplianceAgreement);theymaynotauthorizeafishingvesseltobeusedforfishingonthe highseasunlesstheycaneffectivelyexercisetheirresponsibilitiesundertheagreementinrelation tothatvessel(Art.III(3)FAOComplianceAgreement).Partiesmusttakethenecessarymeasuresto ensuretheirflagvesselsdonotengageinanyactivitythatunderminestheeffectivenessof internationalconservationandmanagementmeasures(Art.III(1)(a)FAOComplianceAgreement), theymustensurethattheirflagvesselsarenotusedforfishingonthehighseasunlessexpressly authorizedbytheappropriateauthorities(Art.III(2)FAOComplianceAgreement),theymust establishanationalrecordoftheirflagvesselsentitledtofishonthehighseas(Art.IVFAO ComplianceAgreement),co-operatewithotherstatestoensuretheeffectivenessofinternational conservationandmanagementmeasure(Art.VFAOComplianceAgreement),andmakeavailable toFAOallthedetailsregardingtheirflagvesselscollectedintheregisterestablishedunderArtIV (Art.VIFAOComplianceAgreement). D.1995AgreementfortheImplementationoftheProvisionsof theUnitedNationsConventionontheLawoftheSeaof10 December1982relatingtotheConservationandManagementof StraddlingFishStocksandHighlyMigratoryFishStocks 19This‘implementingagreement’wastheresultoffiveplenarynegotiatingsessionsbetweenJuly 1993anditsfinalizationinAugust1995.Itintroducedalargenumberofmodernfisheries managementprovisionsintotheinternationalregimeforstraddlingfishstocksandhighlymigratory fishstocks.TheUNFishStocksAgreementcommitsitspartiestothesustainableuseofsuch stocks;itendorsesanecosystemapproach(Art.5UNFishStocksAgreement)andaprecautionary approachtotheconservationofthesestocks(Art.6UNFishStocksAgreement,withaclear methodologyforitsapplicationtocapturefisheriessetoutinAnnexII;Precautionary Approach/Principle). 20PartIVUNFishStocksAgreementiscentraltothebasicconcernsoftheagreement.It addressestheso-called‘freerider’issue—theproblemofvesselswhichflytheflagofStateswhich arenotpartytoregionaltreatiesorarrangementsandyetcontinuetofishinrelevanthighseas areasandrefusetocomplywithappropriateconservationandmanagementmeasures.The agreementaffirmstheprinciplethattheflagStatesofsuchvesselsarestillrequiredtoobservethe obligationstoco-operatesetoutinArts63and64UNConventionontheLawoftheSeaaswellas theprovisionsoftheagreementitself(Art.17(1)UNFishStocksAgreement).Itdoes,however,also requirethataccesstohighseasfisheryresourcesisdependentuponmembershipofthe regulatoryorganizationwhichhasestablishedconservationandmanagementmeasuresforthat fishery(Art.8(4)UNFishStocksAgreement).Moreover,Stateswhichdonotcomplywiththe obligationstoco-operatereferredtoaboveandwhichdonottakeadvantageofthemembership opportunitiesaffordedbyArt.8(3)UNFishStocksAgreement,concerningsubregionalorregional fisheriesmanagementorganizationsorarrangements,areprohibitedfromauthorizingvessels From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 39 flyingtheirnationalflagfromengaginginfishingforstraddlingorhighlymigratoryfishstockswithin therelevantregion(Art.17(2)UNFishStocksAgreement).Asan‘implementingagreement’theUN FishStocksAgreementdoesnotformallyamendtheUNConventionontheLawoftheSea,but manyofitsprovisionsdoruninadvanceoftheconventionandsomecommentatorshave suggestedthatPartIV,inparticular,underminesthebasicconceptoffreedomoffishingonthehigh seas,andmaybeseenasadeparturefromtheletteroftheUNConventionontheLawoftheSea. Itshouldbenotedhoweverthat,asdiscussedabove,freedomoffishingasenvisagedbythe conventionisnotanunconditionalright,asitdoesinvolvethefulfilmentofreciprocalobligations (Reciprocity). 21Article18UNFishStocksAgreementrecognizestheprimaryobligationsofflagStatesto regulatethevessels,butalsoPartVIUNFishStocksAgreementprovidesthemodalitiesfor improvedcompliancewithandenforcementofconservationandmanagementmeasuresonthe highseas,includingbyinnovativemeansofinternationalandregionalco-operation(Arts20–22UN FishStocksAgreement),andintroducesthepowerforportStatestotakeenforcementmeasures (Art.23UNFishStocksAgreement;seealsoPortStateJurisdiction).Byestablishingtheparameters fortheexerciseofwhatcouldbecalleda‘conditional’freedomtofish,theUNFishStocks Agreementsupportslongtermsustainabilityofhighlymigratoryandstraddlingstocksandpromotes theiroptimumutilizationbasedonthebestscientificevidenceavailable.Itisimportanttoremember howeverthattheUNFishStocksAgreementonlybindsitspartiesandonlyappliestocertain species,nevertheless,theprincipleswhichitendorses—particularlythoseoflongterm sustainabilityusingthe‘bestscientificevidenceavailable’,theecosystem,andtheprecautionary approach—havebeenrecognizedbytheUNGeneralAssembly(‘UNGA’)asimportantgeneral principlesforallfisheriesmanagement,supportingthepredictionsofsomecommentatorsthatover timeitwillcometoberegardedascustomarylaw.In2004,UNGAResolution59/24of17November 2004(GAOR59th SessionSupp49,volI,20)requestedtheUNSecretary-Generaltoconvenea reviewconferenceasrequiredbyArt.36UNFishStocksAgreement.Thereviewconferencetook placeattheUNheadquartersinNewYorkinMay2006. E.Non-BindingInstruments 22Importantinnovationshavebeenintroducedbynon-bindinginstrumentssomeofwhichhave crystallizedintotreatylaw(seealsoNon-BindingAgreements;SoftLaw).Anotableexampleisthe UNGAResolution44/225of22December1989entitledLargeScalePelagicDriftnetFishingandIts ImpactontheLivingMarineResourcesoftheWorld’sOceansandSeas,whichrecommendsa numberofmeasurestoeliminatethepractice,includingmoratoriaonalllarge-scaledriftnetfishing onthehighseasby30June1992.Implementationhasbeenattheregionallevelincludingthe ConventionfortheProhibitionofFishingwithLongDriftnetsintheSouthPacific([signed24 November1989,enteredintoforce17May1991]29ILM1449). 23ImmediatelyafterthefinalizationofthetextoftheUNFishStocksAgreement,FAOfinalizedits CodeofConductforResponsibleFisheries—pursuanttothemandateithadbeengivenbythe1992 Cancúnmeeting.Thisnon-bindingcodeendorsedbyFAO’sCommitteeonFisheries(‘FAOCOFI’)in 1995incorporatesvirtuallythesameprinciplesendorsedbytheUNFishStocksAgreement.Since thenFAOhassoughttoaddressanumberofotherimportantthreatstosustainablefisheriesbya seriesofnon-bindinginstrumentscalledInternationalPlansofAction(‘IPOA’).ThreeIPOAwere adoptedatthe23rd FAOCOFIsessionin1999:theIPOAforReducingIncidentalCatchofSeabirds inLonglineFisheries;theIPOAfortheConservationandManagementofSharks;andtheIPOAfor theManagementofFishingCapacity.InJune2001theFAOCouncilendorsedtheIPOAStopping Illegal,UnreportedandUnregulatedFishing(‘IUUfishing’).Itcontainsanextensive‘toolkit’of actionsthatStatescantakeagainstsuchvessels. 24The2001ReykjavikDeclarationonResponsibleFisheriesintheMarineEcosystem(‘Reykjavik Declaration’)includedadeclarationbytheStatesattendingtheReykjavikmeetingthattheywould From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 40 worktoincludeecosystemconsiderationsinfisheriesmanagementactivities.The2002Planof ImplementationoftheWorldSummitonSustainableDevelopmentcalledfor,amongstotherthings, theapplicationoftheReykjavikDeclarationby2010asoneofthestepsessentialforensuringthe sustainabledevelopmentoftheoceans. F.InternationalFisheriesManagementOrganizations 25Therearefiveregionalorganizationsresponsiblefortheconservationandmanagementofhigh seasstocks,andfiveregionalorganizationsresponsiblefortunaspecies.Theseorganizationsdo not,however,providecomprehensivecoverageofallexploitablehighseasfishstocks,exposing thosestocksnotregulatedbythesetoanevengreaterriskofIUUfishingactivities. 1.RegionalFisheriesManagementBodies 26TheCommissionfortheConservationofAntarcticMarineLivingResources,establishedbythe ConventionontheConservationofAntarcticMarineLivingResources(‘CCAMLR’)cameintoforce in1982asapartoftheAntarcticTreatySystem,inpursuanceoftheprovisionsofArt.IXCCAMLR (Antarctica).Althoughnotstrictlyafisheriesagreement(FisheriesAgreements),CCAMLRdoes envisage‘rationaluse’anditisthefirstinternationalagreementtoreflectanecosystemapproach —foritregulatestheAntarcticmarinelivingresourcesoftheareasouthof60°Southlatitudeandto theAntarcticmarinelivingresourcesoftheareabetweenthatlatitudeandtheAntarctic Convergence,whichformpartoftheAntarcticmarineecosystem(Art.ICCAMLR). 27TheGeneralFisheriesCommissionfortheMediterraneanwasestablishedbytheAgreementfor theEstablishmentoftheGeneralFisheriesCouncilfortheMediterranean([done24September 1949,enteredintoforce20February1952]126UNTS237)negotiatedundertheprovisionsofArt. XIVConstitutionoftheFoodandAgriculturalOrganization([adopted16October1945,enteredinto force16October1945]145BSP910). 28TheConventiononFutureMultilateralCooperationintheNorthwestAtlanticFisheries([signed 24October1978,enteredintoforce1January1979]1135UNTS369)replacedtheInternational CommissionoftheNorthwestAtlanticFisheries. 29TheNorthEastAtlanticFisheriesCommission(‘NEAFC’)replacedthepreviousorganizationof thesamename,bytheConventiononFutureMultilateralCooperationinNorth-EastAtlantic Fisheries([signed18November1980,enteredintoforce17March1982]1285UNTS129).Atthe 24th meetingofthepartiesin2005theyapprovedaDeclarationontheInterpretationand ImplementationoftheConventionontheFutureMultilateralCooperationinNorth-EastAtlantic FisheriesagreeingtoincorporatethepostUNCEDglobalagreementsandinstrumentsintotheirown regime.In2006NEAFCwasthefirstRFMOtoundertakeaperformancereviewasrecommendedby FAOCOFIforallRFMOs. 30TheSouth-EastAtlanticFisheriesOrganisationwasestablishedbytheConventiononthe ConservationandManagementofFisheryResourcesintheSouthEastAtlanticOcean([done20 April2001,enteredintoforce13April2003]2221UNTS189)—itisthefirstgeneralfisheries conventiontohavebeennegotiatedafterthe1995UNFishStocksAgreementandtoreflectits requirements. 2.InternationalTunaCommissions 31TheInter-AmericanTropicalTunaCommission,establishedbytheConventionbetweenthe UnitedStatesofAmericaandtheRepublicofCostaRicafortheEstablishmentofanInter-American TropicalTunaCommission([signed31May1949,enteredintoforce3March1950]80UNTS3)is responsiblefortheconservationandmanagementoffisheriesfortunasandotherspeciestakenby From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 41 tuna-fishingvesselsintheeasternPacificOcean. 32TheInternationalCommissionfortheConservationofAtlanticTunasestablishedbythe InternationalConventionfortheConservationofAtlanticTunas([done14May1966,enteredinto force21March1969]673UNTS63)appliestoallwatersoftheAtlanticOceanandadjacentseas, includingtheMediterraneanSea. 33TheIndianOceanTunaCommissionismandatedtomanagetunaandtuna-likespeciesinthe IndianOceanandadjacentseas.OriginallyestablishedbytheAgreementfortheEstablishmentof theIndianOceanTunaCommission([signed25November1993,enteredintoforce27March1996] 1927UNTS329),negotiationsarecurrentlyunderwaytochangeitslegalbasis. 34TheCommissionfortheConservationofSouthernBluefinTunareplacedthepreviousvoluntary managementarrangementbetweenAustralia,Japan,andNewZealandandwasformalizedbythe threecountriesintheConventionfortheConservationofSouthernBluefinTuna([signed10May 1993,enteredintoforceon20May1994]1993WTS1);itisnowopentootherSouthernBluefin TunafishingStates.InJuly1999AustraliaandNewZealandbroughtactionsintheInternational TribunalfortheLawoftheSea(ITLOS)seekinganorderrestrainingJapanfromimplementingits experimentalfishingprogrammeonthegroundsthatitviolatedtheConventionfortheConservation ofSouthernBluefinTuna(SouthernBluefinTunaCases).Aprovisionalmeasuresorderwasgranted andthesubstantiveissuewasreferredtoanarbitraltribunalconstitutedunderAnnexVIIUN ConventionontheLawoftheSea,whichintheSouthernBluefinTunaCase(AustraliaandNew ZealandvJapan)(AwardonJurisdictionandAdmissibilityof4August1999)((2000)39ILM1359) foundthatitdidnothavejurisdiction. 35TheCommissionfortheConservationandManagementofHighlyMigratoryFishStocksinthe WesternandCentralPacificOceanwasestablishedbytheConventionontheConservationand ManagementofHighlyMigratoryFishStocksintheWesternandCentralPacificOcean([signed5 September2000,enteredintoforce19June2004](2001)40ILM278).Theconventionwasthefirst regionaltunafisheriesagreementtobeadoptedaftertheconclusionofthe1995UNFishStocks Agreement,anditreflectsitsrequirements. G.Assessment 36Theinternationallawofhighseasfisheriesisanissueofcurrentconcernandactivitywithinthe internationalcommunity.Theharvestingofhighseasfishstocksisalucrativeactivityproviding importantproteinforhumanconsumption,butthereisevidenceofseriousdepletioninthelarger pelagicspecies,suchastunasandbillfishes,resultinginfishingforsmallerspecies,lowerdown thetrophiclevels.Thisinturngivesrisetoquestionsastotheimpactofsuchfishingonthewhole marineecosystemanditslong-termsustainability. 37TheframeworkregimeestablishedbytheUNConventionontheLawoftheSeadoesaddress theimportanceofincorporatingenvironmentalconcernsintomarineconservationand managementregimes,butthatframeworkhasbeentransformedbythenewecosystem maintenanceandconservationofbiologicaldiversityconcernsintroducedbythe1992UNCED, notablythroughthe1995UNFishStocksAgreementandthelargenumberofnon-binding instrumentswhichhavefollowedit.TheConventiononBiologicalDiversity([concluded5June 1992,enteredintoforce29December1993]1760UNTS79)itselfcontainslittleonmarine biodiversityconservation,butactingunderthemandateoftheJakartaMandateonthe ConservationandSustainableUseofMarineandCoastalBiologicalDiversity(inUNGA,‘Reportof theSecondMeetingoftheConferenceofthePartiestotheConventiononBiologicalDiversity,held atJakartafrom6to17November1995’(9September1996)UNDocA/51/312AnnexII,Decision II/10)thepartieshavedevelopedimportantguidelinesfortheprotectionofbiodiversityinareas beyondnationaljurisdiction,includingthedesignationofprotectedareas. From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 42 38Ofcourse,overfishingisnottheonlythreattomarinebiodiversity,butoverfishingofhighseas fishstocks,particularlyfromIUUfishingactivities,hasbeenthesubjectofanumberofongoing internationalactivities.Theunregulatedexploitationofdeep-seafishstockssuchasorangeroughy andtoothfish,includingbybottomtrawlingoveruniqueseamountecosystems,haspromptedwide concern.In2004,UNGAResolution59/25of17November2004(GAOR59th SessionSupp49vol1, 30)calledonStatesactingindividuallyorthroughRFMOsto takeactionurgently,andconsideronacasebycasebasisandonascientificbasis, includingtheapplicationoftheprecautionaryapproach,theinterimprohibitionof destructivefishingpractices,includingbottomtrawlingthathasadverseimpactson vulnerablemarineecosystems,includingseamounts,hydrothermalventsandcoldwater coralslocatedbeyondnationaljurisdiction,untilsuchtimeasappropriateconservationand managementmeasureshavebeenadoptedinaccordancewithinternationallaw.(atpara. 66) 39However,in2006aproposaltotheUNGAtosupportatotalbanondeep-seabottomtrawling wasdefeated,buttheUNGAdid(byUNGARes61/105[8December2006]GAOR61stSessionSupp 49vol1,53)requesttheFAOtodevelopguidelinesfortheprotectionofvulnerablemarine ecosystems.Pursuanttothismandate,inMarch2007,theFAOCOFIrequestedthedevelopmentof InternationalGuidelinesfortheManagementofDeep-SeaFisheriesintheHighSeastoassistStates andregionalfisheriesmanagementorganizationsandarrangementsinsustainablymanagingdeepseafisheries.TheseguidelineswereadoptedinAugust2008. 40DespitetheleadershiproletakenbyNEAFC,thereisaconcernthatRFMOsestablished primarilyforexploitationhavenotbeenabletoadaptquicklyenoughtoamodernapproachto conservationandmanagementbasedontheecosystemconservationprinciplessetoutintheUN FishStocksAgreementandnowalsoendorsedbytheUNGA.ImprovedenforcementbyRFMOsof theirmanagementregulationsisalsoseenasavitalcomponentofinternationalactionagainstIUU fishing.InadditiontotheFAOIPOA,theOrganizationforEconomicCo-operationandDevelopment (OECD)establishedahighlevel‘Ministerially-ledTaskForceonIUUFishingontheHighSeas’that proposedanewactionplantoaddressthis‘seriousglobalproblem’includingguidelinesforthe reformofRFMOs.FAOhasalsoinitiatedthenegotiationofanewinternationaltreatytoauthorize portStatemeasurestoapprehendandpunishIUUfishing. 41In2006ontherecommendationoftheUNOpen-endedInformalConsultativeProcesson OceansandtheLawoftheSea,theUNGAestablishedanAdHocOpen-endedInformalWorking Grouptostudyissuesrelatingtotheconservationandsustainableuseofmarinebiological diversitybeyondareasofnationaljurisdiction.Twomeetingsofthisgrouphavehelpedtofocus informedopiniononthemajorissuesfacingthehighseas;however,themanyproposalsfor improvedgovernance,includingthroughanotherimplementingagreementasproposedbythe countriesoftheEuropeanUnion,havebeenovershadowedbycontroversyoverthefutureregime forexploitationofmarinegeneticresourcesbeyondnationaljurisdiction. SelectBibliography HGrotiusandRvanDemanMagoffin(tr),TheFreedomoftheSeas(OUPNewYork1916). AWKoersInternationalRegulationofMarineFisheries:AStudyofRegionalFisheries Organizations(FishingNewsWestByfleet1973). WTBurke‘HighlyMigratorySpeciesintheNewLawoftheSea’(1983)14OceanDev&IntlL 273–314. EHeyandWTBurkeTheRegulationofDriftnetFishingontheHighSeas(FAORome1991). MCorralSuárezLaconservacióndelosrecursosbiológicosdelmarenelderecho internacionalvigente(UniversidaddeValladolidValladolid1993). BKwiatkowska‘TheHighSeasFisheriesRegime:AtaPointofNoReturn?’(1993)8IJMCL From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 43 327–58. WTBurkeTheNewInternationalLawofFisheries:UNCLOS,1982andBeyond(Clarendon PressOxford1994). D Freestone ‘TheEffectiveConservationandManagementofHighSeasLivingResources: TowardsaNewRegime?’(1994)5CanterburyLawReview341–62. WVDunlap‘BeringSea:TheDonutHoleAgreement’(1995)10IJMCL114–26. MHayashi‘The1995AgreementontheConservationandManagementofStraddlingand HighlyMigratoryFishStocks:SignificancefortheLawoftheSeaConvention’(1995)29 Ocean&CoastalMgmt51–69. GMoore‘FAO:TheFoodandAgricultureOrganisationoftheUnitedNationsCompliance Agreement’(1995)10IJMCL412–16. AGOudeElferink‘FisheriesintheSeaofOkhotskHighSeasEnclave:TheRussian Federation’sAttemptsatCoastalStateControl’(1995)10IJMCL1–18. D Freestone andZMakuch‘TheNewInternationalEnvironmentalLawofFisheries:The 1995UnitedNationsStraddlingStocksAgreement’(1996)7YIntlEnvL3–51. MBadenesCasinoLacrisisdelalibertaddepescaenaltamar(McGraw-HillMadrid1997). MMGoote‘ConventiononBiologicalDiversity:TheJakartaMandateonMarineandCoastal BiologicalDiversity’(1997)12IJMCL377–95. RRChurchillandAVLoweTheLawoftheSea(3rd edManchesterUniversityPress Manchester1999). D Freestone ‘ImplementingPrecautionCautiously:ThePrecautionaryApproachinthe StraddlingandHighlyMigratoryFishStocksAgreement’,inEHey(ed),Developmentsin InternationalFisheriesLaw(KluwerLawInternationalTheHague1999)287–325. D Freestone ‘InternationalFisheriesLawSinceRio:TheContinuedRiseofthe PrecautionaryPrinciple’,inABoyleandD Freestone (eds),InternationalEnvironmental LawandSustainableDevelopment:PastAchievementsandFutureChallenges(OUPOxford 1999)135–64. FOrregoVicuñaTheChangingInternationalLawofHighSeasFisheries(CUPCambridge 1999). EHey(ed)DevelopmentsinInternationalFisheriesLaw(KluwerLawInternationalThe Hague1999). SMKayeInternationalFisheriesManagement(KluwerLawInternationalTheHague2001). AJackson‘TheConventionontheConservationandManagementofFisheryResourcesin theSouthEastAtlanticOcean,2001’(2002)17IJMCL33–77. MLeHardyQuereste-t-ildelalibertédelapêcheenhautemer?:Del’exploitation individuelleêlagestioncollective;essaisurlerégimejuridiquedel’exploitationdes ressourcesbiologiquesdelahautemer(PedoneParis2002). EMVázquezGómezLasorganizacionesinternacionalesdeordenaciónpesquera:La cooperaciónparalaconservaciónylagestióndelosrecursosvivosdealtamar(Juntade AndaluciaConsejeriadeArgiculturayPescaSevilla2002). MIglesiasBerlangaLaregulaciónjurídicadelosrecursosvivosdelaaltamar:especial referenciaalosinteresesespañoles(EditorialDilexMadrid2003). D Freestone andKMGjerde‘UnfinishedBusiness:Deep-SeaFisheriesandthe ConservationofMarineBiodiversitybeyondNationalJurisdiction’(2004)19IJMCL209–363. MWLodgeandSNNandan‘SomeSuggestionstowardsBetterImplementationoftheUnited NationsAgreementonStraddlingFishStocksandHighlyMigratoryFishStocksof1995’(2005) 20IJMCL345–79. EJMolenaar‘AddressingRegulatoryGapsinHighSeasFisheries’(2005)20IJMCL533–70. RGRayfuse‘ToOurChildren’sChildren’sChildren:FromPromotingtoAchievingCompliance inHighSeasFisheries’(2005)20IJMCL509–32. WREdeson‘AnInternationalLegalExtravaganzaintheIndianOcean:PlacingtheIndian OceanTunaCommissionOutsidetheFrameworkofFAO’(2007)22IJMCL485–515. From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 44 SelectDocuments AgreementfortheImplementationoftheProvisionsoftheUnitedNationsConventiononthe LawoftheSeaof10December1982relatingtotheConservationandManagementof StraddlingFishStocksandHighlyMigratoryFishStocks(done4August1995,enteredinto force11December2001)2167UNTS3. AgreementtoPromoteCompliancewithInternationalConservationandManagement MeasuresbyFisingVesselsontheHighSeas(signed24November1993,enteredintoforce 24April2003)33ILM968. ConservationandSustainableExploitationofSwordfishStocksintheSouth-EasternPacific Ocean(Chile/EuropeanCommunity)(Order)ITLOSCaseNo7(30November2007). ConventionontheConservationofAntarcticMarineLivingResources(concluded20May 1980,enteredintoforce7April1982)1329UNTS47. ConventionontheConservationandManagementoftheHighlyMigratoryFishStocksofthe WesternandCentralPacificOcean(signed5September2000,enteredintoforce19June 2004)2000WTS3. ConventiononFishingandConservationoftheLivingResourcesoftheHighSeas(done29 April1958,enteredintoforce20March1966)559UNTS285. ConventiononFutureMultilateralCooperationintheNorth-WestAtlanticFisheries(with Annexes)(done24October1978,enteredintoforce1January1979)1135UNTS369. ConventionontheHighSeas(done29April1958,enteredintoforce30September1962) 450UNTS11. FederalRepublicofGermanyvIcelandFisheriesJurisdictionCase(FederalRepublicof GermanyvIceland)(Merits)[1974]ICJRep175. FisheriesJurisdictionCase(SpainvCanada)(JurisdictionoftheCourt)[1998]ICJRep432. FisheriesJurisdictionCase(UnitedKingdomofGreatBritainandNorthernIrelandvIceland) (Merits)[1974]ICJRep3. FoodandAgricultureOrganizationoftheUnitedNations(ed),CodeofConductfor ResponsibleFisheries(adopted31October1995)(FAORome1995). FoodandAgricultureOrganizationoftheUnitedNations,‘InternationalGuidelinesforthe ManagementofDeep-SeaFisheriesintheHighSeas’,inFoodandAgricultureOrganizationof theUnitedNations(ed),ReportoftheTechnicalConsultationonInternationalGuidelinesfor theManagementofDeep-SeaFisheriesintheHighSeas(FAORome2009)39. FoodandAgricultureOrganizationoftheUnitedNations(ed),InternationalPlanofActionfor ReducingIncidentalCatchofSeabirdsinLonglineFisheries;InternationalPlanofActionfor theConservationandManagementofSharks;InternationalPlanofActionforthe ManagementofFishingCapacity(FAORome1999). FoodandAgricultureOrganizationoftheUnitedNations,‘ReykjavikDeclarationon ResponsibleFisheriesintheMarineEcosystem’(adopted4October2001). FoodandAgricultureOrganizationoftheUnitedNations(ed),TheStateofWorldFisheries andAgriculture2008(FAORome2009). FoodandAgricultureOrganizationoftheUnitedNations(ed),StoppingIllegal,Unreported andUnregulatedFishing(FAORome2002). InternationalConferenceonResponsibleFishing,‘CancúnDeclaration’(adopted6–8May 1992),inJFCaddyandRCGriffiths,LivingMarineResourcesandTheirSustainable Development:SomeEnvironmentalandInstitutionalPerspectives(FAORome1995)Annex V. JakartaMandateonMarineandCoastalBiologicalDiversity(adopted17November1995) (1997)12IJMCL390–5. NEAFC,‘DeclarationontheInterpretationandImplementationoftheConventionontheFuture MultilateralCooperationinNorth-EastAtlanticFisheries’(14–18November2005)(London Declaration). SouthernBluefinTunaCases(NewZealandvJapan;AustraliavJapan)(Provisional From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 45 Measures)ITLOSCasesNos3,4(27August1999). UNConferenceonEnvironmentandDevelopment,‘Agenda21’(14June1992)UNDoc A/CONF.151/26/Rev1volI,9. UNGA,‘ReportoftheUnitedNationsConferenceonEnvironmentandDevelopment’(3–14 June1992)UNDocA/CONF.151/26. UNGARes44/225(22December1989)44th SessionSupp49vol1,147. UnitedNationsConventionontheLawoftheSea(concluded10December1982,entered intoforce16November1994)1833UNTS396. UNWorldSummitonSustainableDevelopment,‘PlanofImplementationoftheWorldSummit onSustainableDevelopment’,inUN,‘ReportoftheWorldSummitonSustainable Development’(26August–4September2002)UNDocA/CONF.199/20,6. From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 46 Fisheries,Commissionsand Organizations DavidFreestone Contenttype: EncyclopediaEntries Articlelastupdated: December2010 Product: MaxPlanck EncyclopediaofPublic InternationalLaw[MPEPIL] Subject(s): Regionalorganizations—OtherUNBodies,Agencies,andCommittees—UNCLOS(UNConventionon theLawoftheSea)—Exclusiveeconomiczone—Fisheries PublishedundertheauspicesoftheMaxPlanckFoundationforInternationalPeaceandtheRuleofLaw underthedirectionofRüdigerWolfrum. From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 47 A.Introduction 1Someoftheearliestinternationalcollaborativearrangementsinrelationtotheexploitationof marineresourcesrelatetotheestablishmentoftreatyarrangementsoverseenbyjointcommissions (FisheriesAgreements).Todaytherearenearly50internationalfisheriescommissionsand organizationsworldwidesupplementedbyalmostasmanybilateraljointfisheriescommissions.This presentcontributionwilllookatthewayinwhichsuchcommissionsarereflectedinthelawofthe seaconventionregimeaswellasincustomaryinternationallaw.Spacedoesnotpermitdetailed examinationofalloftheexistingcommissionsandorganizations,butitwillhighlightsomeofthe commonfeaturesofmanyofthemaswellasthespecificregimesofsomeofthemainglobal organizations. 2AtatimewhentheFoodandAgricultureOrganizationoftheUnitedNations(FAO)reportsthat lessthan25%offishstocksaresustainablyexploited,thereisconsiderablepressureonfisheries commissionstorespondmoreobviouslytocontemporarydevelopmentsintheglobalframeworkof fisherieslaw.The1992UnitedNationsConferenceonEnvironmentandDevelopment(‘UNCED’)in RiodeJaneiroandthefollowupUnitedNationsConferenceonStraddlingFishStocksandHighly MigratoryFishStocksresultedinthefinalizationofthe1995UnitedNationsFishStocksAgreement (‘UNFSA’;StraddlingandHighlyMigratoryFishStocks)whichwasanimplementingagreementofthe 1982UNConventionontheLawoftheSea.ThenewconceptsandprinciplesthatUNCEDand UNFSAintroducedintothelanguageofinternationalenvironmentallawandresourcemanagement, particularlyfisherieslaw,havebeendescribedasa‘revolution’(Boyleand Freestone 1999).If, however,itisindeedarevolution,thenitisonethathastakenalongtimetoprovidetangible improvementsinfisheriesgovernance.InthemeantimetheUNGeneralAssemblyitself,alarmedby reportsofescalatingillegal,unreported,andunregulated(‘IUU’)fishing,ofunsustainableandhighly damagingfishingpracticesandofthefailureofflagStatestoexercisetheirproperlegal responsibilities,hastakenonaproactiveroleinreviewingtheroleofinternationalfisheries organizationsandtheimpactofthefishersthattheyregulateonissuessuchasmarinebiological diversityinareasbeyondnationaljurisdiction.Thesectionwillconcludewithareviewofthe measuresthathavebeenurgedonfisheriesorganizationstorespondtosuchconcernsfromthe internationalcommunity. 3Priortothefinalizationofthetextofthe1982UNConventionontheLawoftheSea,customary internationallawandindeedtheInternationalCourtofJustice(ICJ)inthe1973FisheriesJurisdiction Cases(UnitedKingdomvIceland;FederalRepublicofGermanyvIceland)hadrecognizedthe rightsofcoastalStatestoclaimexclusiverightsoverfisheryresourcesoveranextendedzone adjacenttotheircoasts(Fisheries,Coastal).Art.55UNConventionontheLawoftheSeaexplicitly recognizedtheconceptofanextendedexclusiveeconomiczone(‘EEZ’)of200nauticalmiles. TheresultingenclosureoflargeareaswhichhadpreviouslybeenhighseasasEEZsorexclusive fisheryzonesmeantthatmanyoftheresourceswhichhadpreviouslybeenhighseasresources becamesubjecttotheprimarycontrolofthecoastalStateundertheprovisionsofpartVoftheUN ConventionontheLawoftheSea(Fisheries,HighSeas;FisheryZonesandLimits).Consequently theregulatoryroleofinternationalmarinefisheriescommissionsandorganizationswas correspondinglyreduced.Althoughcollaborativefisheriesadvisorybodiesandtechnical assistancebodiesremained,theroleofRegionalFisheriesManagementOrganizations(‘RFMOs’) wasconsequentlyreducedtothemanagementoffishstocksintheremaininghighseasareas,or tothemanagementofstocks,suchasstraddlingandhighlymigratoryfishstocks,suchasbill fishesortunas,thattheUNConventionontheLawoftheSearecognizedwerenotunderthe exclusivecontrolofcoastalStatesinwhichtheyoccurred. B.LegalFramework 4Themajorityofinternationalfisheriescommissionsandorganizationsdealwithmarinecapture fisheries.However,thereareanumberofinternationaltreatiesdealingwithinlandfisheries.Some From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 48 establishjointcommissionswithamanagementrole,whileothersexerciseanadvisoryfunction. NotableexamplesofmanagementregimesaretheMekongRiverCommissionestablishedin1995 bytheAgreementontheCooperationfortheSustainableDevelopmentoftheMekongRiverBasin betweenCambodia,Laos,Thailand,andVietnam(MekongRiver),alsotheLakeVictoriaFisheries OrganizationamongthelittoralStatesofthatlake,Kenya,Uganda,andTanzania(LakeVictoria). AdvisorybodiesincludetheEuropeanInlandFisheriesAdvisoryCommission,theCommitteefor InlandFisheriesandAquacultureofAfricawithnearly40members,andtheCommissionforInland FisheriesofLatinAmerica.Thisdistinctionbetweenmanagementandadvisorybodiesisalsotobe foundinthemarinesphereaswell. 5Inrelationtooceanfisheries,the1958ConventiononFishingandConservationoftheLiving ResourcesoftheHighSeashasageneralrecognitionofthedutytocooperateintakingmeasures fortheconservationofthelivingresourcesofthehighseas(Art.1(2)).Althoughthereisexplicit recognitionoftheneedto‘enterintonegotiationswithaviewtoprescribingbyagreementfortheir nationalsthenecessarymeasuresfortheconservation’ofsuchresources(Art.4Conventionon FishingandConservationoftheLivingResourcesoftheHighSeas),thereisnoexpressrecognition oftheroleofinternationalfisheriesbodies.UndertheUNConventionontheLawoftheSea, however,thereisspecialrecognitionoftherolethatsuchorganizationscouldplayincrystallizing theobligationstocooperatewhicharetobefoundinArts63–67andinsection2ofpartVII(Arts 116–120UNConventionontheLawoftheSea).Art.117UNConventionontheLawoftheSea imposesonallStatestheindividualandjointdutytotakethenecessarymeasuresforthe conservationofthelivingresourcesofthehighseas,andArt.118imposesacorrelativedutyon Statestocooperateintheconservationandmanagementofhighseaslivingresources.This recognizesthatStatesfishingonthehighseasmustdothiswithintheframeworkoftherelevant species-relatedorRFMOswhichexist(theissueofcomprehensivecoverageoftheseRFMOswill bereturnedtobelow). 6However,anumberofotherprovisionsoftheUNConventionontheLawoftheSearelateto specieswhichareharvestedonthehighseas,butalsowithinnationalzones.Theseprovisions whichrelatetofishingforstraddlingfishstocksandhighlymigratoryfishspecieshavebeen famouslycalledan‘unfinishedagenda’ofthethirdUnitedNationsConferenceintheLawoftheSea (1973–82)negotiations,andtheyresultedintheneedforsupplementationbythe1995UNFish StocksAgreement.Liketheprovisionsofthe1958ConventiononFishingandConservationofthe LivingResourcesoftheHighSeas,the1982UNConventionontheLawoftheSeaobligationsare largelyhortatory—imposingobligationstonegotiateingoodfaithratherthantoreachagreement. Forexample,Art.63(2)UNConventionontheLawoftheSea,whichcoverstransboundaryor straddlingfishstocks,strictusenso,thatoccurwithinoneormoreEEZsorwithinanEEZandan adjacenthighseasarea,requiresthat‘thecoastalStateandtheStatesfishingforsuchstocksin theadjacentareashallseek,eitherdirectlyorthroughappropriatesub-regionalorregional organizations,toagreeuponthemeasuresnecessaryfortheconservationofthesestocksinthe adjacentareas’(emphasisadded).Art.64UNConventionontheLawoftheSeaonhighly migratoryspecies,suchastuna,alsoimposesanhortatoryobligationtocooperate.Controversy hassurroundedtheinterpretationofArt.64,forsomeStates,notablytheUnitedStates,have arguedthattunaspeciescanneverbesubjecttocoastalStatejurisdiction.Nevertheless,this controversyhasnotrelatedtotheoverallobjectiveofArt.64whichis‘tocooperate...withaview toensuringconservationandpromotingoptimumutilizationofsuchspeciesthroughouttheregion, bothwithinandbeyondtheexclusiveeconomiczone’. 7Similarly,Art.66UNConventionontheLawoftheSeadealswithfishingforanadromousstocks (iestocks,suchassalmon,thatliveintheseaandspawninfreshwater).Suchfishingcannot normallytakeplaceinthehighseas.Art.66(2)UNConventionontheLawoftheSeaimposeson theStateoforigintheobligationto‘ensuretheirconservationbytheestablishmentofappropriate regulatorymeasures’andprohibitsfishingforsuchstocksoutsidetheEEZ‘exceptincaseswhere thisprovisionwouldresultineconomicdislocationforaStateotherthantheStateoforigin’.Insuch From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 49 exceptionalcaseswherehighseasfishingispermitteditmustbeprecededby(againhortatory wording)‘consultationswithaviewtoachievingagreementontermsandconditionsofsuch fishinggivingdueregardtotheconservationrequirementsandtheneedsoftheStateoforiginin respectofthesestocks’(Art.66(3)(a)[emphasisadded];notealsoArt.66(3)(b)).Similar provisionsapplytocatadromousspecies,suchaseels,whichliveinfreshwater,butbreedinsalt waterandwhichmaynotbeharvestedonthehighseas(Art.67UNConventionontheLawofthe Sea). 8Thespecificlegalbasisforthemajorityoffisheriescommissionsisaninternationaltreaty.The RegionalFisheriesBodies(‘RFBs’)areestablishedbyinternationaltreaties,asarethemajorityof bilateralarrangementsbetweenneighbouringStatesrelatingtothejointmanagementofashared resource. C.BilateralFisheryCommissions 9Asindicated,mostbilateralcommissionsareestablishedbyformaltreaty.Twonotableexamples ofsuchcommissionsestablishedbyCanadaandtheUSrelatetothemanagementofhalibutand salmon.TheInternationalPacificHalibutCommissionwasfirstsetupin1923byaConvention betweenthetwocountries(ConventionbetweentheUnitedStatesandCanadaonthePreservation oftheHalibutFisheryoftheNorthernPacificOcean[signed2March1923,enteredintoforce24 October1924]32LNTS93);itsmandateistoresearchandmanagethestocksofPacifichalibut (Hippoglossusstenolepis)withintheconventionwatersofbothnations.ThePacificSalmon Commissionwasestablishedbythe1985PacificSalmonTreaty(TreatybetweentheGovernmentof CanadaandtheGovernmentoftheUnitedStatesofAmericaconcerningPacificSalmon)between thetwocountrieswithasimilarmandateforthatspecies. 10Howeversomebilateralcommissionsarebasedonlessformalarrangements—suchastheJoint Commissionsetupin1990inthesouth-westAtlanticbyajointstatementbyArgentinaandthe UnitedKingdom,orbyamemorandumofunderstanding,asinthe1981arrangementforjoint supervisionandenforcementoffisheriesbetweenIndonesiaandAustraliawhichmaturedintoa treatyrelationshipin1992.Themajorityofsuchbilateraltreatiesestablishingjointcommissionsare linkedtoamaritimeboundary.Eitherthemaritimeboundaryagreementprovidesforthe establishmentofajointresourceexploitationcommission—aswiththe1993Treatybetween JamaicaandColombiaortheJointTechnicalCommissionfortheArgentina/UruguayMaritime Boundary(‘CTMFM’)—orthetreatyprovidesforthejointmanagementofsharedstocksinthe absenceofmaritimedelimitationagreement.ThebestknownexampleofthelatteristheJoint CommissionbetweenRussiaandNorwayintheBarentsSea—documentedcloselybyChurchilland Ulfstein,butthereareothers. D.FAOBodies 11AftertheestablishmentoftheFAOin1945,fisheriesresearchandmanagementwasoneofits coremandates.ArtIConstitutionoftheFAOdefinestheterm‘agriculture’anditsderivativesto includefisheriesandmarineproducts.ArtVprovidesthattheFAOCouncil—theexecutivebody— beassistedbyanumberofcommitteesincludingaCommitteeonFisheries(COFI),whichnowalso hasresponsibilityforaquaculture.AllFAOmemberscanberepresentedonthiscommittee,which originallymetannuallybutsince1977hasmeteverytwoyears.COFIhasresponsibilityforthe oversightoftheFAOfisheriesandaquacultureprogrammeaswellasglobalissuesconcerning thesesectors.InthelatterroleitistheFAOCounciland,throughit,COFIthatassumes responsibilityforfisheries-relatedmandatespassedtoFAObyotherinternationalbodiessuchas theUNGA,includingthefinalizationofinternationalinstruments.In1995,forexample,theFAO CouncilapprovedtheCodeofConductforResponsibleFisheries—developedbyCOFIundera mandatefromthe1992CancunConferenceonResponsibleFishingintherunuptotheUNCED rd From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 50 Conference.In1999,the23rd FAOCOFISessionagreedthreeInternationalPlansofAction(‘IPOAs’) addressing:ReducingIncidentalCatchofSeabirdsinLonglineFisheries;Conservationand ManagementofSharks;andtheManagementofFishingCapacity.InJune2001theFAOCouncil endorsedanIPOAdevelopedbyCOFIagainstIUUfishing.Itcontainsanextensive‘toolkit’of actionsthatStatescantakeagainstvesselsinvolvedinIUUfishing.InDecember2006byRes 61/105theUNGA,inresponsetodemandsforabanondeep-seabottomtrawling,requestedthe FAOtodevelopguidelinesfortheprotectionofvulnerablemarineecosystems.InMarch2007the FAOCouncilinturnrequestedthedevelopmentofInternationalGuidelinesfortheManagementof Deep-SeaFisheriesintheHighSeastoassistStates,RFMOs,andArrangementsinsustainably managingdeep-seafisheries.Theseguidelines,agreedatCOFI,wereadoptedinAugust2008.In November2009COFIagreedandsenttotheFAOCouncilthefinaltextofthelegallybinding instrumentonportStatemeasurestoprevent,deter,andeliminateIUUfishing. 12TheConstitutionoftheFAOalsoenvisagestheestablishmentofbodiestoassistwiththe promotionandmanagementoffisheries.Thesefallintotwomaingroups.First,bodiesestablished underArt.VIConstitutionoftheFAOdirectlybytheFAOConferenceortheFAOCouncilwhich reporttoeithertheFAOConferenceortheFAOCouncil.Thesearepurelyadvisorybodies.They areempoweredtomakeonlynon-bindingrecommendations,or,tousethelanguageofArt.VI(1) ConstitutionoftheFAOitself,to‘adviseontheformulationandimplementationofpolicyandto coordinatetheimplementationofpolicy’.Inthemarinefisheriesarea,suchbodiesare:the SouthwestIndianOceanFisheriesCommission(‘SWIOFC’),theWesternCentralAtlanticFishery Commission(‘WECAFC’),andtheFisheryCommitteefortheEasternCentralAtlantic(‘CECAF’). 13Bycontrast,thesecondgroupofbodiesestablishedbytreatyunderArt.XIVConstitutionofthe FAOmayhavefullmanagementpowers.Thesearenormallycreatedbyinternationaltreatiesthat areregisteredwiththeUN.Suchbodiesarethecreaturesofthetreatywhichestablishesthem, thoughallbodiesestablishedbythisprocesshaveaclauseinthetreatystatingthattheyarewithin theFAOframework.Becausetheyaretreatyregimes(unlikeArt.VIbodies),thepartiescancommit themselvestoagreeingtobindingconservationandmanagementmeasures,egtheIndianOcean TunaCommission(‘IOTC’),theGeneralFisheriesCommissionfortheMediterranean(‘GFCM’),the Asia-PacificFisheriesCommission(‘APFIC’),andtheRegionalCommissionforFisheries(‘RECOFI’), amongtheGulfStates.SomeofthebodiesestablishedbytreatymadeunderArt.XIVConstitutionof theFAOhaveverywidepowers,somelikeAPFICareadvisory. E.OtherRegionalFisheriesBodies 14AnumberofotherRFBsareestablishedbyinternationaltreatyentirelyoutsidetheFAO framework.TheseincludetheNorthEastAtlanticFisheriesCommission(‘NEAFC’),theNorthwest AtlanticFisheriesOrganization(‘NAFO’),theSoutheastAtlanticFisheriesOrganization(‘SEAFO’), theCommissionfortheConservationofAntarcticMarineLivingResources(‘CCAMLR’),andthe maintunacommissionssuchastheInter-AmericanTropicalTunaCommission(‘IATTC’),the InternationalCommissionforConservationofAtlanticTunas(‘ICCAT’),theCommissionforthe ConservationofSouthernBlueFin(‘CCSBT’),andtheWesternandCentralPacificFisheries Commission(‘WCPFC’).ICCATactuallyhasacooperationagreementwithFAO. F.RFMODecision-Making 15Asautonomoustreatyregimes,manyofwhichwereinitiallysetuppurelytoregulate exploitationamongtheirmembers,RFMOsdohaveendemicproblemsinreachingthehard conservationdecisionsthatmaybenecessaryforthelong-termhealthoftargetfishstocks.In short,theseareoftenseen,andsometimesseethemselves,lessasinternationalbodiescharged withtheresponsibilityoftheprudentmanagementofagloballyimportantresource,butasaforum fortheallocationofvaluableresourcesamongstmembers.Forexample,the2008effectiveness From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 51 reviewofICCATconcludedthatitsmanagementofAtlanticBluefinTunawas‘widelyregardedasan internationaldisgrace’(HurryHayashiandMaguire). 16Sometreatiesareclosedtonewmembers—othersareopen—butallsufferfromanumberof systemicdefectswhicharisefromthenatureofinternationalregulationwithinatreatylaw framework.Theseincludethefactthatdecisionsofthepartiesrequiretheapprovalofacritical numberofthemembers—usuallytwothirds—andthatpartiesthatvoteagainstspecificmeasures maylodgeobjections,whichmeansthatthedecisionsarenotbindinguponthem.Indeedunder someconventionsvotinginfavourofameasuredoesnotprecludeamember,eventhoughmany decisionsareactuallymadebyconsensus,fromsubsequentlylodginganobjection(seeArt.V(3) AgreementfortheEstablishmentoftheGeneralFisheriesCommissionfortheMediterranean;Art. VIIIInternationalConventionfortheConservationofAtlanticTunas;Art.IXAgreementforthe EstablishmentoftheIndianOceanTunaCommission).Oftensuchobjectionspromptanotherround ofobjectionssothatotherpartiesmaychoosenottobeboundafterallbyprovisionstowhich somepartieshavesuccessfullyobjected(Art.VIII(3)(b)InternationalConventionforthe ConservationofAtlanticTunas;Art.IX(5)AgreementfortheEstablishmentoftheIndianOcean TunaCommission).Thismakesthetakingoftoughconservationdecisionsdifficult.Acaseinpoint maybethedifficultyfacedbyICCATin2010inimposingappropriatecatchlimitations(maybeeven amoratorium)onAtlanticbluefintunadespiteoverwhelmingevidenceproducedbyitsown StandingCommitteeonResearchandStatistics(‘SCRS’)andalsobyanFAOexpertpanelthatthe stockspawningbiomass(‘SSB’)couldnotsustainexistinglevelsofexploitation. 17TheICCATissuehighlightsthesecondkeydefectwhichisthatwhilethemajorityofRFMOs haveprovisionsfortheestablishmentofscientificcommitteesorfortheprovisionofscientific advice,thereisnorequirementthatthisadvicebetakenintoaccountinreachingmanagement decisionssuchasthesettingoftotalallowablecatch,orancillarymeasurestolimitcatches throughgearorseasonalrestriction,orevenintheallocationofcatchesamongthemembers. Historicalcatchallocationsareoftenregardedasmoreimportantthansustainabilityoffuturecatch levels(SustainableDevelopment).Finally,thereareamongsomeRFMOsseriousproblemswith compliancewithmanagementandconservationdecisions(EnvironmentalComplianceControl). Compliancewith,andenforcementof,thedecisionsthataremadearetheprimaryresponsibilityof theMemberStatesthemselvestoenforcethroughflagStatejurisdiction.Someregimes,suchas CCAMLR,envisageanduseobserversandusemodernmonitoringandcompliancetechnology— butthispracticeisbynomeansuniversal. G.TheMainInternationalRegionalFisheriesManagement Organizations 1.GeographicalCoverage 18AsthelistoforganisationslistedinAnnex1shows,thereisaverycomprehensiverangeof regionaladvisorybodies;howeverthesituationisverydifferentwithregionalfisheries managementbodies(RFMOs).Althoughtheglobalnetworkoftunamanagementcommissionsis quitecomprehensive,thereareanumberofmajorgapsintheareascoveredbythegeneral fisheriescommissionsmanagingtheconservationofhighseasstocksofnon-tunaspecies.NEAFC andNAFOcoverthenorth-eastandnorth-westAtlantic—butthereisnomultilateralbodyregulating fisheriesintheArcticregionorintheAtlanticsouthoftheNEAFC/NAFObordersuntiltheAntarctic regimeoftheCCAMLRarea.Untiltheendof2009therewerenogeneralfisheriescommissionsin thePacificatall,tomanagenon-highlymigratoryspecies.InNovember2009,afteralongdrawn outnegotiation,thetreatyestablishingtheSouthPacificRegionalFisheriesManagement Organizationwasconcluded—ithasyettoenterintoforce(ConventionontheConservationand ManagementofHighSeasFisheryResourcesintheSouthPacificOcean).Negotiationsarealso ongoingforaNorthPacificRFMO.IntheIndianOcean,theRECOFIcoverstheGulfareaandthe From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 52 SouthernIndianOceanFisheriesAgreement(concludedinJuly2006)onlyenteredintoforceinlate 2010. 19Inadditionthereareanumberofspecies-specificcommissions.IntheAtlantic,theNorth AtlanticSalmonConservationOrganization(‘NASCO’),andinthePacifictheNorthPacific AnadromousFishCommission(‘NPAFC’),andintheBeringSeatheinnovativemanagementsystem establishedbytheConventionontheConservationandManagementofthePollockResourcesin theCentralBeringSea([1994]34ILM67;‘CCBSP’). 20However,theseorganizationsdonotprovideacomprehensivecoverageofallexploitablehigh seasfishstocks,exposingthosestocksnotregulatedtoanevengreaterriskofIUUfishing activities. 2.RegionalFisheriesManagementBodies 21TheGeneralFisheriesCommissionfortheMediterranean(‘GFCM’)wasestablishedbyan agreementnegotiatedundertheprovisionsofArt.XIVConstitutionoftheFAO,approvedbythe FAOConferencein1949,andenteredintoforcein1952. 22TheNAFOreplacedtheInternationalCouncilforNorthwestAtlanticFisheriesin1978.The NEAFCreplacedthepreviousorganizationofthesamename,byanagreementof1980which cameintoforcein1982(ConventiononFutureMultilateralCo-operationintheNorthEastAtlantic Fisheries).Atthe24th MeetingofthePartiesin2004theyapprovedaLondonDeclarationagreeing toincorporatethepost-UNCEDglobalagreementsandinstrumentsintotheirownregime(NorthEast AtlanticFisheriesCommission‘DeclarationontheInterpretationandImplementationofthe ConventionontheFutureMultilateralCooperationinNorth-EastAtlanticFisheries’).In2006NEAFC wasthefirstRFMOtoundertakeaperformancereviewasrecommendedbyFAOCOFIforallRFMOs. 23TheCCAMLRestablishedbythe1980ConventionontheConservationofAntarcticMarine LivingResourcescameintoforcein1982,aspartoftheAntarcticTreatySystem,inpursuanceof theprovisionsofArt.IXAntarcticTreaty.Althoughnotstrictlyafisheriesagreement,the ConventionontheConservationofAntarcticMarineLivingResourcesdoesenvisage‘rationaluse’ anditisthefirstinternationalagreementtoreflectanecosystemapproach—foritregulates‘the Antarcticmarinelivingresourcesoftheareasouthof60°SouthlatitudeandtotheAntarcticmarine livingresourcesoftheareabetweenthatlatitudeandtheAntarcticConvergencewhichformpart oftheAntarcticmarineecosystem’(Art.IConventionontheConservationofAntarcticMarine LivingResources). 24TheNASCOwascreatedbytheConventionfortheConservationofSalmonintheNorthAtlantic OceanthatenteredintoforceinOctober1983.Itsobjectiveistoconserve,restore,enhance,and rationallymanagewildAtlanticsalmon. 25TheNPAFCwasestablishedbythe1992ConventionfortheConservationofAnadromous StocksintheNorthPacificOcean,whichenteredintoforceinFebruary1992.Themainobjectiveof theconventionistopromotetheconservationofanadromousstocksintheconventionarea. 26TheRECOFIestablishedbytheFAOCouncilin1999replacestheGulfCommitteeoftheIndian OceanFisheryCommissionwhichwasitselfabolishedbyResolution116/1oftheFAOCouncilin June1999.Itsobjectivesaretopromotethedevelopment,conservation,rationalmanagement,and bestutilizationoflivingmarineresources,aswellasthesustainabledevelopmentofaquaculturein theareacoveredbytheCommission. 27TheSouthEastAtlanticFisheriesCommissionwasestablishedbytheconventionsignedin Windhoek,NamibiainApril2001—itisthefirstgeneralfisheriesconventiontohavebeen negotiatedafterthe1995UNFSAandtoreflectitsrequirements. From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 53 3.InternationalTunaCommissions 28TheIATTC,establishedbythe1949WashingtonConvention(ConventionbetweentheUnited StatesofAmericaandtheRepublicofCostaRicafortheEstablishmentofanInter-American TropicalTunaCommission)isresponsiblefortheconservationandmanagementoffisheriesfor tunasandotherspeciestakenbytuna-fishingvesselsintheeasternPacificOcean. 29TheICCAT,establishedbythe1966RiodeJaneiroTreaty(InternationalConventionforthe ConservationofAtlanticTunas),appliestoallwatersoftheAtlanticOceanandadjacentseas, includingtheMediterraneanSea. 30TheIOTCismandatedtomanagetunaandtuna-likespeciesintheIndianOceanandadjacent seas,originallyestablishedbytheAgreementfortheEstablishmentoftheIndianOceanTuna CommissionthatwasapprovedbytheFAOCouncilin1993;negotiationsarecurrentlyunderwayto changeitslegalbasis. 31TheConventionfortheConservationofSouthernBluefinTuna,signedbyAustralia,Japan,and NewZealandinMay1993,replacedthepreviousvoluntarymanagementarrangement.Itisnow opentootherSouthernBluefinTunafishingStates.InJuly1999AustraliaandNewZealandbrought actionsbeforetheInternationalTribunalfortheLawoftheSea(ITLOS)seekinganorderrestraining Japanfromimplementingitsexperimentalfishingprogrammeonthegroundsthatitviolatedthe ConventionfortheConservationofSouthernBluefinTuna.Aprovisionalmeasuresorderwas grantedandthesubstantiveissuewasreferredtoanArbitralTribunalunderAnnexVIIoftheUN ConventionontheLawoftheSea,whichinAugust1999foundthatitdidnothavejurisdiction (SouthernBluefinTunaCases). 32TheWesternandCentralPacificFisheriesCommissionwasestablishedbytheConventionon theConservationandManagementofHighlyMigratoryFishStocksintheWesternandCentral PacificOceanwhichwasopenedforsignatureatHonoluluinSeptember2000.Theconventionwas thefirstregionaltunafisheriesagreementtobeadoptedaftertheconclusionofthe1995UNFSA, anditreflectsitsrequirements. H.Evaluation 33ItisclearfromFAO’sbiannualpublicationStateoftheWorldFisheriesandAquaculturethat marinecapturefisherieshavealreadyreachedtheirmaximumexploitationlevels.Indeeditseems thatthesecatchlevelsareonlysustainedbyincreasedinvestmentandeffort—inanonsustainablemanner.Onlyaquarterofworldmarinefisheriesarenotover-exploited,depleted,or recovering.AlthoughIUUfishingisamajorproblem,itisRFMOsthathavebeenlargelyblamedfor thisfailuretoexploitmarinefisheryresourcesinasustainablemanner.Ofcourse,notallRFMOs areequallyatfaultonalltheseissues,butthemaincriticismsfocusonthefollowingissues.The failuretofollowscientificadviceinsettingcatchlevelsforthestockstheymanage;theinadequacy ofthemajorityofmonitoring,compliance,andenforcementmechanismstoensurethattherules theysetarecompliedwithbytheirownMemberStates;afailuretoreflectmodernocean managementprinciples(asreflectedinthe1993AgreementtoPromoteCompliancewith InternationalConservationandManagementMeasuresbyFishingVesselsontheHighSeasandthe 1995UNFSA)suchasprecautionortheeco-systemapproachintheirlegalframeworks.Astrong generalcriticismisthattheregimesarebiasedtowardsexploitationnotconservationand protection,andthathencetheRFMOsarenotwellpositionedtoactasstewardsforthehighseas resources,orfortheprotectionofbiodiversityinareasbeyondnationaljurisdiction.IntheUNGA, debateshavefocusedonthelackofregulationoftheuseofdestructivebottom-trawling technologyoverimportantdeepseaecosystemsincludingseamounts—whichresultedinthe adoptionofFAO’sInternationalGuidelinesfortheManagementofDeep-SeaFisheriesintheHigh Seasdiscussedabove.Inhis2009ReporttheUNSecretaryGeneralexpressedtheviewthat From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 54 progressinimplementingtheseguidelineshadbeenslow. 34Morefundamentally,attheUNFSAReviewConferenceinMay2006,anumberofkeypriorities wereflagged,includingimprovingthefunctioningofregionalorganizationsandaligningtheir conventionsandadoptedmeasureswiththeUNFSAstandards;modernizingRFMOs,inparticular updatingtheirconstitutiveinstrumentstohighlighttheimportanceofimplementingprecautionary andecosystem-basedapproachestofisheriesmanagement;aswellasstrengtheningmonitoring, control,andsurveillanceregimesandperformancereview.Thereviewconferencealsoproposed thedevelopmentofstandardsandbestpracticeguidelinesforRFMOs. 35NEAFCwasthefirstRFMOtoundertakesuchareviewanditsreviewprocesshasbeenheldup asamodelforothers.TheNEAFCSecretariatreportedonthisreviewtothe27th COFImeetingin 2007andothershavefollowedsincethen,includingNAFO,CCAMLR,andICCAT(its2008reviewis mentionedabove).ConcernwasexpressedatCOFIonissuessuchasovercapacity,improvement offleetstatistics,andtheissuesofcountriesthatunderminetheeffectivenessofRFMOsand vesselsfishingunderwhatittermed‘flagsofnon-compliance’.Concernwasalsoexpressedatthe failureofanumberofflagStatestoexercisetheirlegaldutiesproperlytooverseetheproper behaviouroftheirvessels.ThedevelopmentofcriteriaforproperflagStateperformanceisalso beingpursuedatFAO. 36OtherreformproposalsincludedthecallingofthefirsteverconsultationbetweentheRFMOs themselves—onlyin2000wasthefirstmeetingheldbetweentheTunaRFMOs—the‘Kobeprocess’ isnamedafterthefirstmeetingplaceinJapan.Progresshasalsobeenmadeinamendingthe constitutionstoreflectmodernprinciples.In2005NEAFCapprovedaDeclarationonthe InterpretationandImplementationoftheConventionontheFutureMultilateralCooperationinNorthEastAtlanticFisheriesagreeingtoincorporatethepostUNCEDglobalagreementsandinstruments intotheirownregime.Thiswasaneffectivewaytoavoidthecomplextreatyamendmentprocess. SelectBibliography AWKoersInternationalRegulationofMarineFisheries:AStudyofRegionalFisheries Organizations(FishingNewsWestByfleet1973). JAGulland‘SomeProblemsintheManagementofSharedFishStocks’FAOFisheries TechnicalPaper205(FAORome1980). WTBurke‘HighlyMigratorySpeciesintheNewLawoftheSea’(1983)14OceanDev&IntlL 273–85. GRMunro‘TheManagementofSharedFisheryResourcesunderExtendedJurisdiction’ (1987)3MarineResourceEconomics271–96. D Freestone ‘UK/ArgentinaCo-operationonFisheriesConservation’(1991)6IJMCL145–50. RRChurchillandGUlfsteinMarineManagementinDisputedAreas:TheCaseoftheBarents Sea(RoutledgeLondon1992). MHNordquist(ed)UnitedNationsConventionontheLawoftheSea1982:ACommentary vol2(NijhoffDordrecht1993). WTBurkeTheNewInternationalLawofFisheries(ClarendonPressOxford1994). JFCaddy,‘EstablishingaConsultativeMechanismorArrangementforManagingShared StockswithintheJurisdictionofContiguousStates’inDAHancock(ed)JointWorkshop Proceedings:TakingStock:DefiningandManagingSharedResources(AustralianSocietyfor FishBiologySydneyPyrmont1998)81–123. ABoyleandD Freestone (eds)InternationalLawandSustainableDevelopment—Past AchievementsandFutureChallenges(OUPOxford1999). RRChurchillandAVLoweTheLawoftheSea(3rd ednManchesterUniversityPress Manchester1999). EHey(ed)DevelopmentsinInternationalFisheriesLaw(KluwerTheHague1999). From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 55 JSwan‘RegionalFisheriesBodiesandGovernance:Issues,Actions,andFutureDirections’ FAOFisheriesCircularNo959(FAORome2000). RRChurchill‘ManagingStraddlingFishStocksintheNorth-EastAtlantic:AMultiplicityof InstrumentsandRegimeLinkages—butHowEffectiveaManagement?’inOSStokke(ed), GoverningHighSeasFisheries:TheInterplayofGlobalandRegionalRegimes(OUPOxford 2001)235–72. WEdesonD Freestone ,andEGudmundsdottirLegislatingforSustainableFisheries:A GuidetoImplementingthe1993FAOComplianceAgreementandthe1995FishStocks AgreementintoNationalLaw(WorldBankWashingtonDC2001). SMKayeInternationalFisheriesManagement(KluwerTheHague2001). AJackson‘TheConventionontheConservationandManagementofFisheryResourcesin theSouthEastAtlanticOcean,2001’(2002)17IJMCL33–77. EMVázquezGómezLasorganizacionesinternacionalesdeordenaciónpesquera:la cooperaciónparalaconservaciónylagestióndelosrecursosvivosdelaltamar(Juntade Andalucia,ConsejeríadeAgriculturayPescaSevilla2002). JBeer-GabelandVLestangLescommissionsdepêcheetleurdroit:laconservationetla gestiondesressourcesmarinesvivantes(BruylantBruxelles2003). DOwen‘LegalandInstitutionalAspectsofManagementArrangementsForSharedStocks WithReferencetoSmallPelagicsinNorthwestAfrica’FAOFisheriesCircularNo988(FAO Rome2003). KMGjerdeandD Freestone (eds)‘UnfinishedBusiness:DeepSeaFisheries’(2004)19 IJMCL(SpecialIssue)209–316. GMunroAVanHoutte,andRWillman‘TheConservationandManagementofSharedFish Stocks:LegalandEconomicAspects’FAOFisheriesTechnicalPaper465(FAORome2004). KMGjerde(ed)‘HighSeasFisheriesGovernance:MovingfromWordstoAction’(2005)20 IJMCL(SpecialIssue)323–630. EJMolenaar‘AddressingRegulatoryGapsinHighSeasFisheries’(2005)20IJMCL533–70. RRChurchill‘TheManagementofSharedFishStocks:TheNeglected“Other”ParagraphOf Article63oftheUNConventionOnTheLawOfTheSea’inAStratiMariaGavouneliandNikos Skourtos(eds),UnresolvedIssuesandNewChallengestotheLawoftheSea:TimeBefore andTimeAfter(NijhoffLeiden2006)27–44. WEdeson‘QuotaTradingUndertheConventionfortheConservationofSouthernBluefin Tuna’(PapercommissionedbyCCSBTSecretariatforthe2006CommissionMeeting)23. WREdeson‘AnInternationalLegalExtravaganzaintheIndianOcean:PlacingtheIndian OceanTunaCommissionOutsidetheFrameworkofFAO’(2007)22IJMCL 485–515. GDHurryMHayashi,andJJMaguire‘ReportoftheIndependentReview:International CommissionfortheConservationofAtlanticTunasICCAT’(September2008)(11November 2010). GMunro,‘TheManagementofInternationallySharedFishStocks:ALawandEconomics Approach’inAEChircopTMcDormanandSRolston(eds),TheFutureofOceanRegime Building:EssaysinTributetoDouglasMJohnston(NijhoffLeiden2009)411–35. JAPueyoLosa,‘Derechodelmarylibertaddepesca.Sobrelasorganizacionesregionales deodenaciónpesquerayelAcuerdode1995’inJAPueyoLosa(ed),Lacooperación internacionalenlaordenacióndelosmaresyocéanos(IustelMadrid2009)159–183. TTreves‘DoFisheriesOrganizationsProvideanAppropriateFrameworkforSustainable ManagementofDeepSeaFisheriesintheHighSeas?’(2009)35OceanisDocuments océanographiques71–91. RWolfrum‘TheArcticintheContextofInternationalLaw’(2009)69HJIL533–543. MAPalmaMTsamenyi,andWREdesonPromotingSustainableFisheries:TheInternational LegalandPolicyFrameworktoCombatIllegal,UnreportedandUnregulatedFishing(Nijhoff Leiden2010). From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 56 SelectDocuments Agenda21(12August1992)in‘ReportoftheUnitedNationsConferenceonEnvironment andDevelopment’(3–14June1992)UNDocA/CONF.151/26AnnexII. AgreementfortheEstablishmentofaGeneralFisheriesCouncilfortheMediterranean(done 24September1949,enteredintoforce20February1952)126UNTS237. AgreementfortheEstablishmentoftheIndianOceanTunaCommission(done25November 1993,enteredintoforce27March1996)[1996]ATSNo20. AgreementfortheImplementationoftheProvisionsoftheUnitedNationsConventiononthe LawoftheSeaof10December1982relatingtotheConservationandManagementof StraddlingFishStocksandHighlyMigratoryFishStocks(done4August1995,enteredinto force11December2001)2167UNTS3. AgreementontheCooperationfortheSustainableDevelopmentoftheMekongRiverBasin (done5April1995,enteredintoforce5April1995)(1995)34ILM864. AgreementtoPromoteCompliancewithInternationalConservationandManagement MeasuresbyFishingVesselsontheHighSeas(adopted24November1993,enteredinto force24April2003)(1994)33ILM968. AntarcticTreaty(signed1December1959,enteredintoforce23June1961)402UNTS71. ConferenceofthePartiestotheConventiononBiologicalDiversity‘ReportoftheSecond MeetingoftheConferenceofthePartiestotheConventiononBiologicalDiversity:Decision II/10ConservationandSustainableUseofMarineandCoastalBiologicalDiversity’(Jakarta MandateonMarineandCoastalBiologicalDiversity)(6–17November1995)UNDoc UNEP/CBD/COP/2/19,7. ConservationandSustainableExploitationofSwordfishStocksintheSouth-EasternPacific Ocean(Chile/EuropeanCommunity)(Order)ITLOSCaseNo7(30November2007). ConstitutionoftheFoodandAgricultureOrganisationoftheUnitedNations(signedand enteredintoforce16October1945)[1991]OJC238. ConventionbetweentheUnitedStatesofAmericaandtheRepublicofCostaRicaforthe EstablishmentofanInter-AmericanTropicalTunaCommission(done31May1949,entered intoforce3March1950)80UNTS3. ConventionfortheConservationofAnadromousStocksintheNorthPacificOcean(signed11 February1992,enteredintoforce16February1993)22UNLawoftheSea Bulletin21. ConventionfortheConservationofSalmonintheNorthAtlanticOcean(adopted2March 1982,enteredintoforce1October1983)[1982]OJL378/25. ConventionfortheConservationofSouthernBluefinTuna(signed10May1993,enteredinto forceon20May1994)1993WTS1. ConventiononBiologicalDiversity(concluded5June1992,enteredintoforce29December 1993)1760UNTS79. ConventionontheConservationofAntarcticMarineLivingResources(concluded20May 1980,enteredintoforce7April1982)1329UNTS47. ConventionontheConservationandManagementofFisheryResourcesintheSouthEast AtlanticOcean(done20April2001,enteredintoforce13April2003)2221UNTS189. ConventionontheConservationandManagementofHighlyMigratoryFishStocksinthe WesternandCentralPacificOcean(adopted5September2000,enteredintoforce19June 2004)(2001)40ILM278. ConventionontheConservationandManagementofHighSeasFisheryResourcesinthe SouthPacificOcean(adopted14November2009,notyetenteredintoforce)(10November 2010). ConventiononFishingandConservationoftheLivingResourcesoftheHighSeas(done29 April1958,enteredintoforce20March1966)559UNTS285. ConventiononFutureMultilateralCo-operationintheNorthwestAtlanticFisheries(with Annexes)(done24October1978,enteredintoforce1January1979)1135UNTS369. ConventiononFutureMultilateralCo-operationinNorthEastAtlanticFisheries(adoptedand From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 57 enteredintoforce18November1980)1285UNTS129. ConventionontheHighSeas(done29April1958,enteredintoforce30September1962) 450UNTS11. FisheriesJurisdiction(FederalRepublicofGermanyvIceland)(Merits)[1974]ICJRep175. FisheriesJurisdiction(UnitedKingdomofGreatBritainandNorthernIrelandvIceland) (Merits)[1974]ICJRep3. FoodandAgricultureOrganizationoftheUnitedNations‘CodeofConductforResponsible Fisheries’(adopted31October1995). FoodandAgricultureOrganizationoftheUnitedNations‘InternationalGuidelinesforthe ManagementofDeep-SeaFisheriesintheHighSeas’(adopted29August2008)(9November 2010). FoodandAgricultureOrganizationoftheUnitedNations‘InternationalPlanofActionforthe ConservationandManagementofSharks’(Rome1999). FoodandAgricultureOrganizationoftheUnitedNations‘InternationalPlanofActionforthe ManagementofFishingCapacity’(Rome1999). FoodandAgricultureOrganizationoftheUnitedNations‘InternationalPlanofActionfor ReducingIncidentalCatchofSeabirdsinLonglineFisheries’(Rome1999). FoodandAgricultureOrganizationoftheUnitedNations‘Norway-FAOExpertConsultationon theManagementofSharedFishStocks(7–10October2002)’FAOFisheriesReportNo695 (FAORome2003). FoodandAgricultureOrganizationoftheUnitedNations‘ReykjavíkDeclarationon ResponsibleFisheriesintheMarineEcosystem’(adoptedatthe31stSessionofthe Conference,2–13November2001). FoodandAgricultureOrganizationoftheUnitedNations(ed)TheStateofWorldFisheries andAquaculture(2008)(10November2010). GeneralFisheriesCommissionfortheMediterranean‘AgreementfortheEstablishmentofthe GeneralFisheriesCommissionfortheMediterranean’(24September1949,asamended, enteredintoforce29April2004). InternationalConventionfortheConservationofAtlanticTunas(done14May1966,entered intoforce21March1969)673UNTS63. NorthEastAtlanticFisheriesCommission‘DeclarationontheInterpretationand ImplementationoftheConventionontheFutureMultilateralCooperationinNorth-EastAtlantic Fisheries’(2004)(10November2010). SouthernBluefinTunaCases(NewZealandvJapan;AustraliavJapan)(Provisional Measures)ITLOSCasesNos3,4(27August1999). TreatybetweentheGovernmentofCanadaandtheGovernmentoftheUnitedStatesof AmericaconcerningPacificSalmon(done28January1985,enteredintoforce18March 1985)1469UNTS357. UNGARes61/105‘SustainableFisheries,includingthroughthe1995Agreementforthe ImplementationoftheProvisionsoftheUnitedNationsConventionontheLawoftheSeaof10 December1982relatingtotheConservationandManagementofStraddlingFishStocksand HighlyMigratoryFishStocks,andRelatedInstruments’(6March2007)GAOR61stSession Supp49vol53,2. From: Oxford Public International Law (http://opil.ouplaw.com). (c) Oxford University Press, 2013. All Rights Reserved. Subscriber: EPIL Contributors; date: 09 April 2015 58 6 Problems of High Seas Governance * David Freestone CURRENT ISSUES AND CHALLENGES The monumental achievement of the United Nations Convention on the Law of the Sea (LOS Convention) is well known: its 320 Articles and 9 Annexes took 9 years to conclude, making the Third UN Conference on the Law of the Sea (1973–1982) the longest negotiation in the history of the UN.1 Singapore‘s Tommy Koh, chairman of the closing session, famously called it the new ‗Constitution for the Oceans‘.2 Yet in 1994, after the Convention had languished for nearly 12 years, it required a further treaty – an Implementation Agreement that modified various key provisions relating to seabed mining – in order for it to command enough support from states to bring it into force.3 The following year, another Implementation Agreement ——— * I am most grateful to Kristina Gjerde, High Sea Policy Adviser to the IUCN; to Professor Rosemary Rayfuse of the University of New South Wales Law Faculty; and Professor Martin Tsamenyi of the University of Wollongong for their careful review of this paper, which has improved greatly as a result. I remain responsible for any errors of omission or commission that remain. 1 See generally, D. Freestone, ‗A Decade of the Law of the Sea Convention: Is It a Success?‘, George Washington University International Law Review (Special Issue on the Symposium in Remembrance of Professor Louis Sohn), Vol. 39, 2007, pp. 101–143. 2 T.T.B. Koh, ‗A Constitution for the Oceans‘, The Law of the Sea – Official Text of the United Nations Convention on the Law of the Sea, UN Pub. Sales No. E.83.V.5 (New York: United Nations, 1983); available at <www.un.org/depts/los/convention_agreements/texts/koh_english. pdf>. 3 Agreement relating to the Implementation of Part XI of the United Nations Convention on the Law of the Sea of 10 December 1982, UN doc. A/RES.48/263; text reprinted in ILM, Vol. 33, 1994, pp. 1,311ff; available at <www.un.org/Depts/los>. Agreement was opened for signature on 28 July 1994; entered into force on 28 July 1996. As of 31 January 2011, there were 140 parties. On the issue of implementation and/or modification see D. Freestone and A.G. Oude 59 2 David Freestone was necessary in order to address one of its ‗unfinished agendas‘ – the regulation of straddling fish stocks and highly migratory fish stocks.4 Now, 15 years after the Convention came into force, many – including the member states of the European Union – are calling for yet a third implementation agreement to address another ‗unfinished agenda‘ and clarify apparent lacunae in the regime for areas beyond national jurisdiction – the high seas. The high seas cover more than 50 per cent of the planet‘s surface. The past thirty years have seen unparalleled expansion of human activities and impacts on the oceans, on the high seas in particular. Scientists have discovered valuable new resources in high-seas areas: ocean hydrothermal vents with temperatures of 300 to 600°C containing gold and other valuable minerals, with accompanying hyperthermophile and extremophile life-forms – crabs, bivalves, tube worms and shrimp-like creatures as well as microbes – that process hydrogen sulphide instead of oxygen and that function in very deep ecosystems where the ambient water temperature is over 100°C. These are already proving to have important bio-technology and pharmaceutical value. Deep cold-water corals – much slower-growing than their shallow tropical water counterparts but equally colourful and very diverse – are proving far more common than initially thought, and are highly vulnerable to ocean-floor fishing equipment. Also, cold seeps and huge frozen methane deposits have been discovered, with potential for exploitation, albeit with risks of major damage to the global atmosphere. Sustained demand for fish has accelerated fishing pressures and pushed fishing efforts into more extreme environments, such as the Southern Ocean, as well as into deeper waters. Heavy exploitation of valuable deep-sea species such as Orange roughy and Patagonian toothfish (often sold as ‗Chilean sea-bass‘) has meant that some stocks are on the verge of extinction before scientists have discovered much about them. Slow-growing Orange roughy, for example, are thought to live to over 150 years and not reach sexual maturity until their thirties – spawning infrequently. Bottom-trawling for stocks that spawn on seamount ecosystems can eliminate whole year groups as well as destroy the very sea-bed ecosystems that attract them. ——— Elferink, ‗Flexibility and Innovation in the Law of the Sea: Will the LOS Convention Amendment Procedures Ever be Used?‘, in A.G. Oude Elferink (ed.), Stability and Change in the Law of the Sea: The Role of the LOS Convention (Leiden: Martinus Nijhoff, 2005), pp.169–221, especially at pp. 184–190. 4 Agreement for the Implementation of the Provisions of the United Nations Convention on the Law of the Sea of 10 December 1982 relating to the Conservation and Management of Straddling Fish Stocks and Highly Migratory Fish Stocks, UN doc. A/CONF.164/37; text in UNTS, Vol. 2167, pp. 3ff; available at <www.un.org/Depts/los>. The Agreement was opened for signature on 4 December 1995 and entered in force on 11 December 2001. As of 31 January 2011, there were 78 parties. 60 Problems of High Seas Governance 3 At the same time there is evidence of the impacts of the rising intensity of existing human activities; marine pollution due to increases in maritime transportation, particularly from land-based sources. High-seas fish stocks are a valuable source of protein for human consumption – but there is evidence of serious depletion in the larger pelagic species, such as tunas and billfishes, resulting in fishing for smaller species, lower down the trophic levels.5 This gives rise to serious questions about the impact of such fishing on the whole marine ecosystem and its long-term sustainability. Economists, as well as biologists, have begun to voice concerns for sustainability, in light of the huge amounts of money spent each year to support fisheries.6 The international science community has also, albeit somewhat late in the day, become more vocal about the role of the oceans in relation to climate change. While it is well known that the oceans are the most important global sink for CO2, recent research from inter alia the Census of Marine Life indicates that the processes that absorb carbon depend heavily on ocean species – including the tiniest life-forms. Before we have even discovered the existence of many of these microorganisms, human activities, and particularly the resultant pollution, may have reduced their biomass by perhaps up to 30 per cent.7 Warming of the oceans and rises in sea level prompted by the resulting increases in volume and fed by melting glaciers and ice-caps have already attracted public attention. In addition, the increased atmospheric carbon load – now estimated at about 380 parts per million (ppm) in the atmosphere – is already beginning to affect ocean acidity levels. Recent research suggests that, at 450 ppm, corals and shellfish, and perhaps even plankton, may have problems in creating and maintaining their carbonate structures.8 These issues, which affect waters both inside and outside national jurisdiction, pose governance issues far beyond the remit of the LOS Convention. The relevant international framework provided by the UN Framework Convention on Climate Change and its science advisory body – the Intergovernmental Panel on Climate Change – have barely started to focus on these issues, even though some entrepreneurs have already seen opportunities for generating ——— 5 See D. Pauly et al., ‗Fishing Down Marine Food Webs‘, Science, Vol. 279, 1998, pp. 860, 862–863. 6 See study by the World Bank and FAO, The Sunken Billions: The Economic Justification for Fisheries Reform (Washington, DC: The World Bank, 2009), that estimates that USD 1.05 is spent for every USD 1 of fish produced. 7 R. Danovaro et al., ‗Exponential Decline of Deep-Sea Ecosystem Functioning Linked to Benthic Biodiversity Loss‘, Current Biology, Vol. 18, 2008, pp. 1–8. 8 O Hoegh-Guldberg et al., ‗Coral Reefs under Rapid Climate Change and Ocean Acidification‘, Science, Vol. 318, 2007, pp. 1737–1742. 61 4 David Freestone lucrative ‗carbon offsets‘ by using as yet unproven ocean fertilisation techniques in an attempt to generate algal blooms that might fix more carbon in the ocean.9 THE EXISTING LEGAL AND INSTITUTIONAL REGIME Under the LOS Convention, coastal states have jurisdiction over living and non-living resources in their exclusive economic zones (EEZs) out to 200 nautical miles from their baselines and over continental shelf resources out to the legal limit of their continental shelf.10 Beyond that point, the LOS Convention envisages the International Seabed Authority having jurisdiction, but only over the non-living resources of the seabed – what it terms ‗solid, liquid or gaseous mineral resources‘.11 Hence, there is a lacuna in the Convention regime relating to management and conservation of deepsea or seabed living resources and for exploration and exploitation activities unrelated to seabed mining.12 Various sectoral activities in the high seas are governed by existing treaty regimes – such as the 1972 London Convention and its 1996 Protocol on ocean dumping, convened under the auspices of the International Maritime Organisation – and associated treaties on shipping safety, security and pollution, and by a network (albeit by no means a comprehensive network) of species-related and regional fisheries treaties and arrangements as well as by some of the regional seas conventions. Scholars have worked systematically through the various regional and sectoral regimes to highlight further ‗regulatory and governance‘ gaps.13 ——— 9 See D. Freestone and R. Rayfuse, ‗Ocean Iron Fertilization and International Law‘, Marine Ecology Progress Series, Vol. 364, 2008, pp. 227–233 (in Theme section: ‗Implications of Large-scale Iron Fertilization of the Oceans‘, available at <www.int-res.com/articles/theme/ m364ThemeSection.pdf>); R. Rayfuse, M. Lawrence and K. Gjerde, ‗Ocean Fertilisation and Climate Change: the Need to Regulate Emerging High Seas Uses‘, IJMCL, Vol. 23, 2008, pp. 297–326. 10 On the outer limit of the continental shelf, see Part V, ‗Continental Shelf beyond 200 Nautical Miles‘, in D. Vidas (ed.), Law, Technology and Science for Oceans in Globalisation (Leiden: Martinus Nijhoff, 2010), pp. 423–589. 11 Art. 133(a) of the LOS Convention. 12 Although the LOS Convention does impose unequivocal obligations to ‗protect and preserve the marine environment‘ and to ‗protect and preserve rare or fragile species and ecosystems in all parts of the marine environment, as well as the habitat of depleted, threatened or endangered species and other forms of marine life‘; see Arts. 192 and 194(5) of the LOS Convention. 13 See K. Gjerde, H. Dotinga, S. Hart, E.J. Molenaar, R. Rayfuse and R. Warner, Regulatory and Governance Gaps in the International Regime for the Conservation and Sustainable Use of Marine Biodiversity in Areas beyond National Jurisdiction (Gland: IUCN, 2008), available at <http://cmsdata.iucn.org/downloads/iucn_marine_paper_1_2.pdf >. See also Gjerde, chapter 13 62 Problems of High Seas Governance 5 Fisheries Commissions There are ten regional fisheries management organisations (RFMOs), five primarily responsible for the conservation and management of high-seas straddling stocks14 and five responsible for tuna species.15 However, these organisations do not provide comprehensive coverage of all exploitable high-seas fish stocks, exposing those stocks not so regulated to an even greater risk of what the international community now calls IUU fishing activities (illegal, unreported and unregulated fishing). For example, in November 2009, after lengthy negotiations, the treaty establishing the South Pacific Regional Fisheries Management Organisation (SPRFMO) was concluded; it has yet to enter into force.16 Negotiations are also ongoing for a North Pacific RFMO, leaving fishing in this huge area still unregulated. The agreement on deep sea fisheries in the Southern Indian Ocean (SIOFA) negotiated in 2006, is another example.17 It seems that there are as yet no plans for a South Atlantic Commission covering those areas not within the ——— in this book. For an excellent and up-to-date discussion of the legal regime see R. Warner, Protecting the Oceans beyond National Jurisdiction: Strengthening the International Law Framework (Leiden: Martinus Nijhoff, 2009). 14 The Commission for the Conservation of Antarctic Marine Living Resources (CCAMLR), General Fisheries Commission for the Mediterranean (GFCM); North Atlantic Fisheries Organisation (NAFO); North-East Atlantic Fisheries Commission (NEAFC); the South-East Atlantic Fisheries Organisation (SEAFO). Not yet in force is the 2009 Convention establishing the South Pacific Regional Fisheries Management Organisation (SPRFMO); see further footnote 16 and the accompanying text. Also relevant are the Central Bering Sea Fisheries Commission, the North Pacific Anadromous Fisheries Commission (NPAFC), and the North Atlantic Salmon Conservation Organisation (NASCO), although salmon is an anadromous species, migrating from salt water to spawn in fresh water. See D. Freestone, ‗Fisheries Commissions and Organisations‘, Max Planck Encyclopaedia of Public International Law (Oxford University Press, forthcoming 2011); also M.W. Lodge, ‗Developing a Model for Improved Governance by Regional Fisheries Management Organisations‘, in Vidas (ed.), Law, Technology and Science for Oceans in Globalisation, pp. 157–174. 15 Inter-American Tropical Tuna Commission (IATTC), International Commission for the Conservation of Atlantic Tunas (ICCAT), Indian Ocean Tuna Commission (IOTC), Commission for the Conservation of Southern Bluefin Tuna (CCSBT) and the Commission for the Conservation and Management of Highly Migratory Fish Stocks in the Western and Central Pacific Ocean (WCPFC). 16 For text see <www.southpacificrfmo.org/> and Final Act at <www.southpacificrfmo.org/ assets/Convention-and-Final-Act/2272942-v1-SPRFMOSignedFinalAct.pdf> (both accessed 21 February 2011). 17 The Agreement provides that it will come into force on ‗receipt by the Depositary of the fourth instrument of ratification, acceptance or approval, at least two of which have been deposited by coastal States bordering the Area‘. It has recently been ratified by two such coastal states: Mauritius (on 24 August 2010) and Seychelles, and approved by the EU. Although the Cook Islands ‗acceded‘ to the agreement on 15 June 2008, it seems that accession does not meet the wording cited above: hence the Agreement has not yet entered into force. 63 6 David Freestone remit of the Convention for the Conservation of Antarctic Marine Living Resources (CAMLR Convention),18 nor are there likely to be any in the near future unless the political disputes between the UK and Argentina regarding the status of the Falklands/Malvinas are resolved. The most recently established of these RFMOs – notably the Commissions set up by the 2000 Convention for the Conservation and Management of Highly Migratory Fish Stocks in the Western and Central Pacific Ocean (WCPFC),19 the 2001 South-East Atlantic Fisheries Organisation (SEAFO)20 and the 2009 South Pacific Regional Fisheries Management Organisation were concluded after the 1992 UN Conference on Environment and Development (UNCED) and the finalisation of the 1995 UN Fish Stocks Agreement. As fisheries management bodies they are expressly mandated by the LOS Convention itself to incorporate environmental concerns into their marine conservation and management regimes, but in addition they are to address the new concerns regarding ecosystem maintenance and conservation of biological diversity introduced by the UNCED, notably through the UN Fish Stocks Agreement and the large number of non-binding instruments which have followed it. In a ground-breaking decision, the parties to NEAFC incorporated these concerns retrospectively. At the 24th meeting of the NEAFC parties in 2005 they approved a Declaration on the Interpretation and Implementation of the Convention on the Future Multilateral Cooperation in North-East Atlantic Fisheries, agreeing to incorporate the postUNCED global agreements and instruments into their own regime.21 ——— 18 As to the CCAMLR and IUU fishing, see D.G.M. Miller, N. Slicer and N. Sabourenkov, ‗IUU Fishing in Antarctic Waters: CCAMLR Actions and Regulations‘, in Vidas (ed.), Law, Technology and Science for Oceans in Globalisation, pp. 175–196. 19 Convention on the Conservation and Management of the Highly Migratory Fish Stocks of the Western and Central Pacific Ocean (signed in Honolulu, 5 September 2000, entered into force 19 June 2004), text reprinted in ILM, Vol. 40, 2001, pp. 277ff. See also T. Aqorau, ‗Tuna Fisheries Management in the Western and Central Pacific Ocean: A Critical Analysis of the Convention for the Conservation and Management of the Highly Migratory Fish Stocks of the Western and Central Pacific Ocean‘, IJMCL, Vol. 16, 2001, pp. 379–431. 20 Convention on the Conservation and Management of the Fisheries Resources in the SouthEast Atlantic Ocean (done in Windhoek, 20 April 2001, entered into force 13 April 2003), text reprinted in ILM, Vol. 41, 2002, pp. 257ff. See also A. Jackson, ‗The Convention on the Conservation and Management of Fishery Resources in the South East Atlantic Ocean, 2001: An Introduction‘, IJMCL, Vol. 17, 2002, pp. 33–78. 21 In 2006 NEAFC was also the first RFMO to undertake a performance review as recommended by FAO COFI for all RFMOs, see further below. Note also that in 2007 NAFO approved an amendment to its Convention incorporating this same concerns; see <www.nafo.int/about/ frames/about.html>. The 2003 Antigua Convention supplementing the ICCAT Treaty came into force on 27 August 2010, see <www.iattc.org/IATTCdocumentationENG.htm> (accessed 8 March 2011). 64 Problems of High Seas Governance 7 Many of the tuna RFMOs are still operating under the old rules, however. Attempts to update their charters are not progressing rapidly,22 although such changes may result from the series of performance reviews undertaken by the majority of these bodies and the consultation process that they have commenced between themselves, called the ‗Kobe Process‘ after the first meeting in Japan in 2007.23 Regional Seas Conventions More than 140 countries participate in thirteen Regional Seas programmes established under the auspices of UNEP regional seas programme covering the Black Sea, Wider Caribbean, East Asian Seas, Eastern Africa, South Asian Seas, ROPME Sea Area, Mediterranean, North-East Pacific, NorthWest Pacific, Red Sea and Gulf of Aden, South-East Pacific, Pacific, and Western Africa. Six of these programmes are directly administered by UNEP.24 All Regional Seas programmes have developed Action Plans; most of them have also developed specific legal frameworks with conventions and protocols. No conventions have yet been developed for the East Asian Seas, South Asian Seas, North-West Pacific, North-East Pacific, or for the Arctic. In addition there are several ‗partner programmes‘ of regional seas treaties which are not under the UNEP umbrella. These regional treaty regimes include those for the Antarctic,25 the Baltic,26 the Caspian,27 and the North-East Atlantic.28 It is important to note that these conventions are primarily group——— 22 See for example regarding IOTC, W.R. Edeson, ‗An International Legal Extravaganza in the Indian Ocean: Placing the Indian Ocean Tuna Commission outside the Framework of FAO‘, IJMCL, Vol. 22, 2007, pp. 485–516. 23 See further discussion below and for the reports of the performance review and consultative meetings see <http://74.125.153.132/search?q=cache:JN0W--cveHwJ:www.tuna-org.org/+tuna+ RFMOs&cd=1&hl=en&ct=clnk&gl=au>. 24 See <www.unep.org/regionalseas/about/default.asp>. 25 Convention on the Conservation of Antarctic Marine Living Resources (done in Canberra, 20 May 1980); text in UNTS, Vol. 1329, pp. 48ff. CAMLR Convention entered into force on 7 April 1982. 26 Convention on the Protection of the Marine Environment of the Baltic Sea Area (Helsinki Convention), done in Helsinki, 9 April 1992, and entered into force on 17 January 2000. For the text of the Helsinki Convention, with current Annexes, see HELCOM website at <www.helcom. fi/stc/files/Convention/Conv1108.pdf>. 27 Framework Convention for the Protection of the Marine Environment of the Caspian Sea (done in Teheran, 4 November 2003, entered into force on 12 August 2006); text available at <www.caspianenvironment.org/newsite/Convention-FrameworkConventionText.htm>. 28 The Convention for the Protection of the Marine Environment of the North-East Atlantic – Oslo and Paris conventions adopted 1974, revised and combined into OSPAR Convention (done in Paris, 22 September 1992, entered into force on 25 March 1998); text available at <www. 65 8 David Freestone ings of coastal states, and their jurisdiction is generally restricted to their coastal zones. The exceptions are the following: the OSPAR Convention area, which has high-seas areas within its remit; the Mediterranean, where most coastal states have for various reasons not yet claimed EEZs; the South Pacific, which includes within its mandate the ‗donut‘ holes between the EEZs of its members; and the Antarctic Treaty System, consisting of both the Antarctic Treaty and its Protocol on Environmental Protection as well as the CAMLR Convention, which is a genuinely ecosystem-based regime that regulates the Antarctic marine living resources of the area south of 60° South latitude and the Antarctic marine living resources of the area between that latitude and the Antarctic Convergence which form part of the Antarctic marine ecosystem.29 CURRENT REFORM INITIATIVES UN General Assembly International concern has been growing at the lack of an adequate comprehensive framework for governance of the high seas. As we have seen, neither the regional seas organisations nor the regional fisheries management organisations cover all ocean regions or activities, or even all fisheries activities. Recent activities such as bioprospecting that may affect the seabed and its resources remain unregulated, and emerging activities such as ocean fertilisation and other carbon sequestration schemes are only slowly finding a home in the international regulatory regime for ocean dumping. While the international community is beginning to respond, progress has been slow. Of course, overfishing is not the only threat to marine biodiversity, but overfishing of high seas fish stocks, particularly from IUU fishing activities, has been the subject of a range of ongoing international activities. The unregulated exploitation of deep-sea fish stocks such as Orange roughy and Patagonian toothfish, including by bottom-trawling over unique seamount ecosystems, has prompted wide concern. In 2004, UN General Assembly (UNGA) Resolution 59/2530 called on states acting individually or through RFMOs to take action urgently, and consider on a case-by-case basis and on a scientific basis, including the application of the precautionary ——— ospar.org>. 29 Art. I of the CAMLR Convention. On the definition of the CAMLR Convention area, see Miller, Slicer and Sabourenkov, ‗IUU Fishing in Antarctic Waters: CCAMLR Actions and Regulations‘, at pp. 176–177, including a map illustration. 30 UNGA Resolution 59/25 of 17 November 2004 (UN doc. A/RES/59/25), GAOR 59th Session, Supp. 49, Vol. 1, para. 30. 66 Problems of High Seas Governance 9 approach, the interim prohibition of destructive fishing practices, including bottom-trawling that has adverse impacts on vulnerable marine ecosystems, including seamounts, hydrothermal vents and cold-water corals located beyond national jurisdiction, until such time as appropriate conservation and management measures have been adopted in accordance with international law.31 In 2006, the UNGA went further; its Resolution 61/10532 (paragraph 80) called upon states to take action immediately, individually and through regional fisheries management organisations and arrangements, and consistent with the precautionary approach and ecosystem approaches, to manage fish stocks sustainably and protect vulnerable marine ecosystems, including seamounts, hydrothermal vents and cold-water corals, from destructive fishing practices, recognising the immense importance and value of deep-sea ecosystems and the biodiversity they contain. Later paragraphs in the resolution described the expected action and set deadlines (of 31 December 2007 for areas where there were no RFMOs, and 31 December 2008 for areas with RFMOs). In summary, paragraphs 80–91 of Resolution 61/105 called for states and RFMOs to assess the impacts of individual bottom-fisheries activities in order to determine if such fishing activities would cause significant adverse impacts on vulnerable marine ecosystems, and to either manage the fishery so as to prevent such impacts or not authorise the fishing to proceed. The UN Secretary-General‘s report on progress with respect to implementation of Resolution 61/105, paragraphs 80–90, was released in August 2009, for review by the UNGA in September–November to determine whether and what additional measures might be necessary.33 The report concluded that, despite progress, ‗implementation of the Resolution has been uneven and further efforts are needed in this regard, including through the adoption and implementation of conservation and management measures to address the impacts of bottom fishing activities on vulnerable marine ecosystems‘. Further to the 2009 UNGA Resolution 64/72, which reaffirmed and clarified the obligations in Resolution 61/105 for prior environmental impact assessments and for progress with respect to both the prevention of biodiversity and the ——— 31 Ibid., para. 66. UNGA Resolution 61/105 of 8 December 2006 (UN doc. A/RES/61/105), GAOR 61st Session, Supp. 49, Vol. 1. 33 Reports on implementation of these obligations have been prepared, inter alia, by IUCN and the Deep Sea Conservation Coalition.: IUCN study regarding implementation of UNGA Resolution 61/105, paragraphs 83-90 with respect to deep sea bottom fishing on the high seas. Also, see M. Gianni, Review of the Implementation of the UNGA Agreement to Protect Deep-sea Ecosystems on the High Seas, Deep Sea Coalition, 2009, available at <www.savethehighseas.org>. 32 67 10 David Freestone sustainability of deep sea fisheries, the UNGA is due to review progress in September 2011. The UNGA also requested the FAO to develop guidelines for managing deep-sea fisheries on the high seas and the protection of vulnerable marine ecosystems.34 Pursuant to this mandate, in March 2007, the FAO Committee on Fisheries (COFI) requested the development of International Guidelines for the Management of Deep-Sea Fisheries in the High Seas to assist states and regional fisheries management organisations and arrangements in sustainably managing deep-sea fisheries. These guidelines were adopted in August 2008.35 To address the full realm of issues relating to biodiversity in areas beyond national jurisdiction, in 2004 on the recommendation of the UN Informal Consultative Process on the Oceans and the Law of the Sea (UNICPOLOS) the UN General Assembly agreed to establish an Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction. This Working Group held its first meeting in 2006; a second ran from 28 April to 2 May 2008, a third meeting was held in January 2010, and a fourth is scheduled for May 2011. Several important proposals have been discussed at these meetings including, as mentioned above, a European Union proposal for a new implementing agreement to develop a more specific framework to address, inter alia, conservation and sustainable use of marine biodiversity beyond national jurisdiction. It is envisaged that such an implementing agreement or agreements could supplement the 1995 UN Fish Stocks Agreement, which elaborated and modernised the 1982 LOS Convention with respect to highly migratory and straddling fish stocks. Other states have indicated that improved implementation should be the first priority, but have not provided their views on what might be done to enhance implementation with respect to biodiversity conservation in general. Discussions on high seas fisheries have proceeded largely in parallel. In the context of the UNGA discussions, various expert working groups have also suggested that it would assist in clarifying the debates over the emerging high-seas governance regime if one could set out more clearly and explicitly the basic principles that the international community has already established and agreed to, in existing legal and policy instruments, in relation to the use and exploitation of the high seas. These principles could at some ——— 34 Resolution 61/105, para. 53. ‗International Guidelines for the Management of Deep-Sea Fisheries in the High Seas‘ in FAO, Report of the Technical Consultation on International Guidelines for the Management of Deep-Sea Fisheries in the High Seas (Rome: FAO, 2009), p. 39. 35 68 Problems of High Seas Governance 11 point be more formally enumerated – whether as a free-standing declaration (perhaps by the UNGA) or as a part of a new international agreement or arrangement including an implementing agreement. The issue of these applicable modern principles was discussed and elaborated upon at a workshop held by the International Union for Conservation of Nature (IUCN) in October 200736 and further explored by other international expert groups.37 In September 2008, the IUCN Global Marine Programme decided to help clarify these existing principles, issuing a document ‗Ten Principles of High Seas Governance‘ to assist with this process.38 The final section of this chapter returns to this issue, briefly sets these out and explains their legal basis. IUU Fishing Initiatives In addition to progress on deep-sea bottom fisheries on the high seas, in recent years steps have been taken to address the pernicious problem of IUU fishing, through more thorough investigation of flag-state and RFMO performance at both the global and regional levels.39 The LOS Convention recognises that all states have the right for their nationals to engage in fishing on the high seas.40 However, it specifically subjects that right to three factors: 1) existing treaty obligations; 2) the rights and duties, as well as ——— 36 R. Rayfuse, D. Freestone, K. Gjerde and D. Vanderzwaag, Co-Chairs’ Report of Workshop on High Seas Governance for the 21st Century, New York, 17–19 October 2007, available at <http: //cmsdata.iucn.org/downloads/iucn_workshop_co_chairs_summary_new_iucn_format.pdf>. See also D. Freestone, ‗Principles Applicable to Modern Oceans Governance‘, IJMCL, Vol. 23, 2008, pp. 385–392. 37 See B. Cicin-Sain and D. Freestone, ‗Report from the Strategic Planning Workshop on Global Ocean Issues in Marine Areas Beyond National Jurisdiction in the Context of Climate Change‘ (Nice, 23–25 January 2008), available at <www.globaloceans.org/globalconferences/2008/pdf/ High-Seas-PB-April9.pdf>. Also M. Balgos, C. Snyder, B. Cicin-Sain, D. Freestone and C. Tompkins, ‗Executive Summary on the Workshop on Governance of Marine Areas Beyond National Jurisdiction: Management Issues and Policy Options‘ (Singapore, 3–5 November, 2008); available at <www.globaloceans.org/sites/udel.edu.globaloceans/files/Singapore-WorkshopExecutiveSummary.pdf>. 38 At the IUCN 4th World Conservation Congress, in Barcelona on 7 October 2008, IUCN President Valli Moosa of South Africa chaired a plenary session presenting the IUCN ‗Ten Principles of High Seas Governance‘. For a more detailed exposition of these principles and their legal basis see Freestone, ‗Principles Applicable to Modern Oceans Governance‘, pp. 385–391; and D. Freestone, ‗Modern Principles of High Seas Governance: The Legal Underpinnings‘, International Environmental Policy and Law, Vol. 39, 2009, pp. 44–49. 39 For further in-depth discussion, see T. Lobach, ‗Combating IUU Fishing: Interaction of Global and Regional Initiatives‘, in Vidas (ed.), Law, Technology and Science for Oceans in Globalisation, pp. 109–129. 40 Art. 116 of the LOS Conventon. 69 12 David Freestone interests, of coastal states;41 and 3) the other provisions of the Convention – including the duty to take necessary measures for the conservation of the living resources of the high seas and to cooperate in the conservation and management of high-seas living resources (through RFMOs).42 However, the specific provisions relating to cooperative action are largely hortatory – imposing an obligation simply to negotiate in good faith.43 The ‗unfinished agenda‘ of these provisions was highlighted by Agenda 21 of the 1992 UN Conference on Environment and Development. As a result, it was supplemented by the 1993 FAO Compliance Agreement44 and, after several negotiating sessions, by the 1995 UN Fish Stocks Agreement that introduced a large number of modern fisheries management provisions into the international regime for straddling fish stocks and highly migratory fish stocks. 45 The UN Fish Stocks Agreement commits its parties to the sustainable use of such stocks; it endorses an ecosystem approach46 and a precautionary approach to the conservation of these stocks.47 These and other provisions of the UN Fish Stocks Agreement are reflected in the Code of Conduct for Responsible Fisheries concluded by FAO in 1995 immediately after the finalisation of the UN Fish Stocks Agreement text. Appreciating that overfishing and destructive fishing practices have been identified as the main causes of loss of ocean biodiversity, FAO has sought to address other important threats to sustainable fisheries by a series of nonbinding instruments called International Plans of Action (IPOAs).48 Three ——— 41 Ibid., inter alia Arts 63(2) and 64–67. Ibid., Part VII, Section 2. Note especially that Art. 119(1)(a) of the Convention requires the taking of measures to ‗maintain or restore populations of harvested species at levels which can produce the maximum sustainable yield‘, and these measures must be based ‗on the best scientific evidence available‘ and must accommodate relevant environmental as well as economic factors including the special requirements of developing states, and taking into account fishing patterns, the interdependence of stocks and any generally recommended international minimum standards, whether subregional, regional or global. 43 Arts 63–64 of the LOS Convention. 44 Agreement to Promote Compliance with International Conservation and Management Measures by Fishing Vessels on the High Seas; text in UNTS, Vol. 2221, pp. 91ff; text reprinted in ILM, Vol. 33, 1994, pp. 968ff. The FAO Compliance Agreement was approved on 24 November 1993 by Resolution 15/93 of the Twenty-Seventh Session of the FAO Conference and entered in force on 24 April 2003. 45 See further D. Freestone and Z. Makuch, ‗The New International Environmental Law of Fisheries: The 1995 Straddling Stocks Agreement‘, Yearbook of International Environmental Law, Vol. 7, 1997, pp. 3–49. 46 Art. 5 of the UN Fish Stocks Agreement. 47 Ibid., Art. 6, with a clear methodology for its application to capture fisheries set out in Annex II. 48 For further in-depth discussion, see D. Doulman, ‗FAO Action to Combat IUU Fishing: Scope 42 70 Problems of High Seas Governance 13 IPOAs were adopted in 1999 by COFI: the IPOA for Reducing Incidental Catch of Seabirds in Longline Fisheries; the IPOA for the Conservation and Management of Sharks; and the IPOA for the Management of Fishing Capacity. In June 2001 the FAO Council endorsed the IPOA to Prevent, Deter and Eliminate Illegal, Unreported and Unregulated Fishing (IPOA-IUU). It contains an extensive ‗toolkit‘ of actions that states can take against such vessels.49 The 2001 Reykjavik Declaration on Responsible Fisheries in the Marine Ecosystem included a commitment to work to include ecosystem considerations in fisheries management activities.50 However, little progress appears to have been made with respect to guidelines for marine protected areas (MPAs) for fisheries management purposes that the UNGA requested the FAO to develop in 2006 also as part of its Resolution 61/105 (paragraph 92). Although many RFMOs have overlapping parties, there has until recently been very little formal coordination of conservation and management activities.51 And indeed, the ability of RFMOs to take effective management and conservation decisions is hampered by their own decision-making processes which have extensive ‗opt-out‘ procedures and are not necessarily obliged to reflect the best available scientific advice. In addition comes the question of the willingness of member states to police rigorously the activities of their own vessels and the activities of non-parties. Ministerially-led Task Force on IUU Fishing on the High Sea In 2006 at the initiative of a number of key governments and NGOs, a Ministerially-led Task Force on IUU Fishing on the High Seas developed an action plan designed to combat illegal, unregulated and unreported fishing on the high seas.52 The Task Force identified nine practical initiatives necessary to expose IUU fishing activities, to deter them and improve enforce——— of Initiatives and Constraints on Implementation‘, in Vidas (ed.), Law, Technology and Science for Oceans in Globalisation, pp. 131–155. 49 For a full discussion see M.A. Palma, M. Tsamenyi and W. Edeson, Promoting Sustainable Fisheries: The International Legal and Policy Framework to Combat Illegal, Unreported and Unregulated Fishing (Leiden: Martinus Nijhoff, 2010). 50 The 2002 Plan of Implementation of the World Summit on Sustainable Development called for, inter alia, the application of the Reykjavik Declaration by 2010 as one of the steps essential for ensuring the sustainable development of the oceans 51 Although see the discussion of the Kobe Process among the tuna RFMOs, below footnote 60. 52 See Closing the Net: Stopping Illegal Fishing on the High Seas, Final Report of the Ministerially-led Task Force on IUU Fishing on the High Seas, 2006; available at <www.highseas.org>. 71 14 David Freestone ment against those responsible. The report recommended the following actions: First, that new resources be committed to the existing voluntary International Monitoring, Control and Surveillance (MCS) Network to enable it to become an international network with dedicated resources, analytical capacity and the ability to provide training and support to developing countries;53 Second, the development of a global information system on high seas fishing vessels; Third, encouragement to countries to become parties to relevant instruments and to collaborate in an international effort to foster better implementation of them – in particular, recognition of the need for RFMOs to perform better both individually and collectively, as well as the need for increased cooperation between them on issues of common concern; Fourth, the report recommended guidance for RFMOs to be reflective of best practices in the implementation of international fishery instruments, with a view to encouraging self-evaluation by RFMOs and to aid internal discussions of reform by RFMOs in the near term. To this end, the report proposed an independent high-level panel to develop a model RFMO based on a more comprehensive assessment of best practices worldwide.54 It recognised the need for greater coordination, cooperation and information-sharing, and it noted that key gaps remain in high seas governance in several regions and need to be closed. Task Force members recognised that responsible flag-state and port-state behaviour is central to strong deterrence of IUU fishing; Fifth, assistance in tackling the problem of flag states that fail to live up to their international obligations; the Task Force proposed a preliminary set of guidelines on flag-state performance; Sixth, the development of a range of measures aimed at improving portstate controls over IUU. These include promoting the broad application of regional port-state controls, reviewing domestic port-state measures and suggestions for strengthening domestic legislation controlling the import of IUU products. Targets might include, for example, enterprises attempting to import IUU fish, or those that can be shown to be blatantly ——— 53 On MCS Network, see M. Kuruc, ‗Monitoring, Control and Surveillance Tools to Detect IUU Fishing and Related Activities‘, in Vidas (ed.), Law, Technology and Science for Oceans in Globalisation, pp. 101–108, at p. 107. 54 See M.W. Lodge, ‗Developing a Model for Improved Governance by Regional Fisheries Management Organisations‘, in Vidas (ed.), Law, Technology and Science for Oceans in Globalisation, pp. 157–174 72 Problems of High Seas Governance 15 jeopardising the resource management measures adopted by a third state or RFMO; Recommendations no. 7 and 8 deal with how to secure good information on IUU activity, and how to address the specific needs of developing countries in overcoming IUU fishing. Because IUU is a covert activity, much information on it is necessarily anecdotal. There is a need for mechanisms that can fill critical gaps in scientific knowledge and assessment, and monitor IUU activity and inform remedial policy. The Task Force therefore suggested some approaches for improving methods of assessing and monitoring IUU fishing activity and by-catch, and incorporating these into stock assessments; it also proposed the initiation of a process to evaluate and then support vulnerable developing countries to adopt relevant Task Force measures. Finally, the report proposed a keener focus on the role of remote vesselmonitoring systems in tackling IUU fishing including the development of internationally accepted codes of practice for its correct application, with particular concern for security, reliability and data-sharing.55 Review of Effectiveness of RFMOs As we have seen, much of the international concern that prompted the setting up of the Task Force has focused on the performance of RFMOs. In 2005 at COFI, the importance of establishing principles to review the obligations and principles set forth in relevant international instruments and the performance of RFMOs in meeting their objectives was discussed. Following that, at the UN Fish Stocks Agreement Review Conference in May 2006, several key priorities were flagged: these included improving the functioning of regional organisations and aligning their conventions and adopted measures with the UN Fish Stocks Agreement standards; modernising RFMOs, in particular updating their constitutive instruments to highlight the importance of implementing precautionary and ecosystem-based approaches to fisheries management, as well as strengthening monitoring, control and surveillance regimes and performance review. The Review Conference also proposed the development of standards and best practice guidelines for RFMOs. The North-East Atlantic Fisheries Commission led the way, and in November 2005 decided to undertake such a review. In March 2006 it became the first RFMO to undertake such a review: its review process has ——— 55 The text draws on the report Closing the Net: Stopping Illegal Fishing on the High Seas. 73 16 David Freestone been held up as a model for others.56 The NEAFC Secretariat reported on this review to the COFI meeting in 2007, where RFMOs were discussed under a stand-alone agenda item, for the first time ever.57 Concern was expressed at COFI on matters such as over-capacity, improvement of fleet statistics and the issues of countries that undermine the effectiveness of RFMOs and vessels fishing under what it termed ‗flags of non-compliance‘. One item on the COFI agenda called for all RFMOs to undertake performance reviews.58 Various actions have been taken to implement these proposals. The Royal Institute for International Affairs – Chatham House – has sponsored the development of best practices for RFMOs.59 In January 2007, the members (and cooperating non-members) of the five tuna RFMOs met in Kobe, Japan – recognising the critical need to arrest further stock decline in the case of depleted stocks, to maintain and rebuild tuna stocks to sustainable levels, and to deal effectively with overfishing, over-capacity and IUU fishing activities – jointly agreed to take urgent actions to cooperate through tuna RFMOs in accordance with their obligations under international law. The meeting also agreed on the standard criteria to be applied in future RFMO reviews. In what has now become known as the ‗Kobe Process‘, they met again in June 2009.60 Port-State Measures The LOS Convention and other instruments – such as the 1972 London Convention and its 1996 Protocol – envisage the use of measures by port states for the control of marine pollution. In relation to fisheries, Article 23 of the 1995 UN Fish Stocks Agreement specifically recognises that port states have the right, and indeed the duty, to ‗take measures, in accordance ——— 56 See report at <www.neafc.org/system/files/neafc_review_final_march07.pdf>. See FAO Report at <ftp://ftp.fao.org/docrep/fao/meeting/011/j8995e.pdf>. 58 Some have – e.g., NAFO, CCAMLR and ICCAT. Note that ICCAT‘s 2008 review commented that: ‗ICCAT CPCs‘ performance in managing fisheries on bluefin tuna particularly in the eastern Atlantic and Mediterranean Sea is widely regarded as an international disgrace‘. See Report of the Independent Performance Review of ICCAT, at <www.iccat.int/Documents/Other/ PERFORM_%20REV_TRI_LINGUAL.pdf>. 59 See Chatham House, Recommended Best Practices for Regional Fisheries Management Organizations. Text at <www.chathamhouse.org.uk/files/9616_rfmo0807sum.pdf>. See also <www.illegal-fishing.info/uploads/Chatham-House-RFMO-briefing-paper.pdf>. For further discussion of the Chatham House independent panel, see Lodge, ‗Developing a Model for Improved Governance by Regional Fisheries Management Organisations‘, pp. 168–170. 60 Link to documentation is at <www.fao.org/fishery/topic/14908/en>. For copies of the reviews of the Tuna RFOs see <www.tuna-org.org> (accessed 21 February 2011). 57 74 Problems of High Seas Governance 17 with international law, to promote the effectiveness of subregional, regional and global conservation measures‘.61 Because of the growth of IUU fishing and growing frustration at the inability or unwillingness of flag states to exercise effective control over vessels flying their flags, there has been growing acceptance that port states have an important role to play in combating what FAO terms ‗nonsustainable fisheries practices‘. Part of such an effort would be the systematisation of port-state measures through the development of an international legal instrument.62 Such measures had been part of the ‗toolkit‘ agreed by FAO members in the context of the 2001 IPOA-IUU; and in 2005 FAO had established a Model Scheme on Port State Measures to Combat Illegal, Unreported and Unregulated Fishing (Model Scheme).63 In 2006, the UN Fish Stocks Review Conference called on states to ‗co-operate to adopt Port State measures particularly those in the FAO Model Scheme‘ and also to initiate ‗as soon as possible, a process within FAO to develop, as appropriate, a legally binding instrument on minimum standards for port State measures, building on the FAO Model Scheme and the IPOA-IUU‘. In the same year the UNGA Resolution on Sustainable Fisheries (61/105) also encouraged states ‗to initiate, as soon as possible, a process within FAO to develop, as appropriate, a legally binding instrument on minimum standards for port State measures, building on the FAO Model Scheme‘. In March 2007 COFI authorised work on such an international legal instrument. The text of a draft was developed at an expert consultation held in Washington DC in September 2007; this formed the basis for the work of the Technical Consultation held in June 2008 in Rome.64 Progress on the ——— 61 Art. 23 of the 1995 UN Fish Stocks Agreement envisages port states inspecting documents, fishing gear and catch on board vessels ‗when such vessels are voluntarily in it ports or offshore terminals‘; (Art. 23(2)) and ‗adopting regulations empowering the relevant national authorities to prohibit landings and transhipments where it has been established that the catch has been taken in a manner that undermines the effectiveness of subregional, regional or global conservation and management measures on the high seas‘; (Art. 23(3)). See also E.J. Molenaar, ‗Port State Jurisdiction to Combat IUU Fishing: the Port State Measures Agreement‘, in D. Russell and D. VanderZwaag (eds), Recasting Transboundary Fisheries Management Arrangements in Light of Sustainability Principles: Canadian and International Perspectives (Leiden: Martinus Nijhoff, 2011) pp. 369–386. 62 For example, national port-state measures would typically include requirements related to prior notification of port entry, use of designated ports, restrictions on port entry and landing/ transhipment of fish, restrictions on supplies and services, documentation requirements and port inspections, as well as related measures, such as IUU vessel listing, trade-related measures and sanctions. 63 For the FAO Model Scheme see <www.fao.org/docrep/010/a0985t/a0985t00.HTM>. 64 Technical Consultation to Draft a Legally-Binding Instrument on Port State Measures To Pre75 18 David Freestone finalisation of the text of this agreement was very slow, and two further rounds of negotiations, ‗Technical Consultations‘, were held 26–30 January 2009 and 24–28 August 2009.65 Finally, the Agreement on Port State Measures to Prevent, Deter and Eliminate Illegal, Unreported and Unregulated Fishing was approved by the FAO Conference at its Thirty-sixth Session on 22 November 2009. The Agreement aims to prevent illegally caught fish from entering international markets through ports. Under the terms of the treaty, foreign vessels are to provide advance notice and request permission for port entry, countries are to conduct regular inspections in accordance with universal minimum standards, offending vessels will be denied the use of port or certain port services, and information-sharing networks will be created.66 FAO Global Record The issue of an international register or record of fishing vessels had been raised during the negotiation of the 1993 Compliance Agreement – which requires national governments to keep such records and to make these available to FAO.67 IMO has a ‗number scheme‘ to identify merchant vessels, and a similar system was thought useful for fishing vessels. However it took more than a decade for the issue to find its way to COFI. At its meeting in March 2007, COFI considered a report on an earlier proposal for the ‗Development of a Comprehensive Record of Fishing Vessels, Refrigerated Transport Vessels, Supply Vessels and Beneficial Ownership‘.68 COFI agreed to the holding of an ‗Expert Consultation‘ which took place in Rome in February 2008, to determine the feasibility of such a proposal.69 ——— vent, Deter And Eliminate Illegal, Unreported and Unregulated Fishing. For a report of the Meeting see <ftp://ftp.fao.org/FI/DOCUMENT/tc-psm/2008/prospectus_e.pdf>. See further discussion in Lobach, ‗Combating IUU Fishing: Interaction of Global and Regional Initiatives‘, pp. 113–119. 65 For Report of the Technical Consultation see <www.fao.org/docrep/012/i1122e/i1122e00. pdf> (accessed 8 March 2011). On the background of FAO Technical Consultation see also Doulman, ‗FAO Action to Combat IUU Fishing: Scope of Initiatives and Constraints on Implementation‘, pp. 136–138. 66 For text see <www.fao.org/Legal/treaties/037t-e.pdf> (accessed 8 March 2011). At time of writing it has still to enter into force. 67 Arts. IV and VI of the FAO Compliance Agreement; see further G. Lugten, ‗The FAO Global Record of Fishing Vessels, Refrigerated Vessels and Fishing Support Vessels‘, IJMCL, Vol. 23, 2008, pp. 761–767. 68 ‗Report on the Development of a Comprehensive Record of Fishing Vessels‘, doc. COFI/ 2007/Inf.12; available at <ftp://ftp.fao.org/docrep/fao/meeting/011/j8870e.pdf>. 69 ‗Report of the Expert Consultation on the Development of a Comprehensive Global Record of 76 Problems of High Seas Governance 19 The proposal has moved away from an IMO model, for as Dr Gail Lugten reports of the 2008 meeting: The consultation considered it appropriate for the Global Record to adopt a phased-in approach, commencing with larger vessels and progressively recording smaller vessels. Each vessel should have a unique vessel identifier that would not change even if the vessel changed flag, owner or name. This could be accomplished through a numbering system which combined the current LRF system for vessels over 100 GT, and a numbering system issued by FAO for vessels less than 100 GT. Close cooperation between FAO, LRF and the International Maritime Organization was encouraged to pursue further oper70 ational details on the unique vessel identifier [UVI]. A Technical Consultation was held in Rome, 8–12 November 2010. The Consultation was designed to provide recommendations to COFI on a framework for the ongoing development and implementation of the Global Record covering each of the key subject areas.71 The Consultation largely endorsed the proposals outlined above. The Global Record, which is initially to be voluntary, will be designed to include all fishing and fishing-related vessels over 10 gross tonnes, or 12 feet in length, of states and other ‗fishing entities‘ (i.e., Taiwan). It is to be phased in over an eight-year period (with a first phase evaluation in 2013) and should apply to all vessels regardless of area of operation. Such vessels will be allocated an UVI; the system will be run by ‗a competent body‘ – IHS-Fairplay was identified as having the relevant capability and experience. FAO was asked to mobilise resources to help developing countries to meet these requirements. COFI endorsed the recommendations of the Technical Consultation when it met for its 29th Meeting, 31 January to 4 February 2011.72 ——— Fishing Vessels‘, FAO Fisheries Report No. 865; available at <ftp://ftp.fao.org/docrep/fao/010/ i0149e/i0149e00.pdf>. 70 Lugten, ‗The FAO Global Record of Fishing Vessels‘. See also same author, ‗The FAO Global Record of Fishing Vessels: Issues for Pacific Island Countries and FFA‘ at <www.ancors. uow.edu.au/images/publications/Navigating%20Pacific%20Fisheries%20Ebook/Chapter_4_Nav igating_Pacific_Fisheries.pdf> (accessed 21 February 2011). 71 Those key subject areas include: the scope of the Global Record; Unique Vessel Identifier (UVI) as an essential element of the Global Record; hosting, management and funding options for the Global Record; implementation options for the Global Record; information-access protocols; the needs and opportunities of developing countries; and legal issues and whether a future binding instrument is appropriate. For the report of the Technical Consultation to COFI see <www.fao.org/cofi/24006-0b9ec0cc9bc9017585b1cf03dadc87404.pdf> (accessed 21 February 2011). 72 My thanks to Professor Martin Tsamenyi, who chaired the Consultation, for this information. 77 20 David Freestone Flag-State Performance As noted, the 2006 Ministerially-led Task Force had proposed the development of a set of guidelines on flag-state performance to help to tackle the problem of flag states that fail to live up to their international obligations; indeed it proposed a preliminary list. The following year COFI requested FAO to convene an Expert Consultation to develop criteria for assessing the performance of flag states and to identify actions that could be taken against vessels flying the flag of states not meeting those criteria.73 This call was echoed by the UNGA in 2007,74 and again in 2008,75 after the UN SecretaryGeneral‘s Report on Oceans and the Law of the Sea had noted the ‗prevailing view‘ that ‗fishing vessels on the high seas which are not effectively controlled by their flag states are liable to sanctions by other states should they happen to contravene international conservation and management measures‘.76 Despite the importance and urgency accorded to this issue by the UN General Assembly, progress has been slow. In March 2008 the Canadian government and FAO convened an Expert Workshop on Flag State Responsibilities in Vancouver.77 An FAO Expert Consultation was then held in Rome in June 200978 and a Technical Consultation (to which all FAO members are invited) is planned for early May 2011.79 ——— 73 See FAO Fisheries Reports No. 830. UN doc. A/62/177, of 28 February 2008, para. 41. 75 UN doc. A/63/112, of 24 February 2009, para. 46. 76 Report of UN Secretary-General; UN doc. A/63/63, of 10 March 2008, para. 249. 77 For report of the meeting see <www.dfo-mpo.gc.ca/overfishing-surpeche/documents/flagstate-eng.pdf>. For an excellent discussion of the issues involved see R. Rayfuse, ‗Non-Flag States Enforcement and Protection of the Marine Environment: Responding to IUU Fishing‘, in M.H. Nordquist, T.T.B. Koh and J.N. Moore (eds), Freedom of the Seas, Passage Rights and the 1982 Law of the Sea Convention (Leiden: Martinus Nijhoff, 2009), pp. 573–600; and by same author, ‗The Anthropocene, Autopiesis and the Disingenuousness of the Genuine Link: Addressing Enforcement Gaps in the Legal Regime for Areas beyond National Jurisdiction‘, in E.J. Molenaar and A.G. Oude Elferink (eds), The International Legal Regime of Areas beyond National Jurisdiction: Current and Future Developments (Leiden: Martinus Nijhoff, 2010), pp. 163–190. 78 See Report of Expert Consultation on Flag State Performance, Rome 23-26 June 2009, FAO Fisheries and Aquaculture Report No. 918 (Rome: FAO, 2009); available at <ftp://ftp.fao.org/docrep/fao/012/i1249e/i1249e00.pdf>. 79 See <www.fao.org/fishery/nems/39660/en> (accessed on 21 February 2011). 74 78 Problems of High Seas Governance 21 Convention on Biological Diversity As indicated, the LOS Convention high-seas framework was transformed by the new concerns for ecosystem maintenance and conservation of biological diversity introduced by the UNCED in 1992, but these have focused primarily on high seas fisheries, notably through the 1995 UN Fish Stocks Agreement and the large number of non-binding instruments that have followed it. The Convention on Biological Diversity80 itself contains little on marine biodiversity conservation; but, acting under the Jakarta Mandate on the Conservation and Sustainable Use of Marine and Coastal Biological Diversity,81 the parties have implemented several important initiatives designed to set in place systems to protect marine biodiversity in areas within national jurisdiction and scientific information and advice regarding marine biodiversity beyond areas of national jurisdiction. At its Conference of Parties (COP 9) in Bonn the CBD called for the compilation and synthesis of available scientific information on potential impacts of direct humaninduced ocean fertilisation on marine biodiversity, as well as available scientific information on ocean acidification and its impacts on marine biodiversity and habitats, which it identified as a potentially serious threat to coldwater corals and other marine biodiversity. It also agreed to convene an expert workshop to discuss scientific and technical aspects relevant to environmental impact assessment in areas beyond national jurisdiction.82 Most importantly perhaps, by Decision IX/20, COP 9 adopted the scientific criteria (in Annex I) for identifying ecologically or biologically significant marine areas in need of protection, and the scientific guidance (in Annex II) for designing representative networks of marine protected areas,83 and requested the Executive Secretary to transmit the information contained in Annexes I and II to the relevant General Assembly processes. It then urged its parties, and invited other governments and relevant organisations, to: ——— 80 The Convention on Biological Diversity, done 5 June 1992, entered into force 29 December 1993, text in UNTS, Vol. 1760, pp. 79ff. 81 ‗Report of the Second Meeting of the Conference of the Parties to the Convention on Biological Diversity, held at Jakarta from 6 to 17 November 1995‘, UN doc. A/51/312, of 9 September 1996, Annex II, Decision II/10. 82 Decision IX/20, Marine and Coastal Biodiversity, para 10; see <www.cbd.int/decision/cop/ ?id=11663>. 83 As recommended by the Expert Workshop on Ecological Criteria and Biogeographic Classification Systems for Marine Areas in Need of Protection, held in the Azores, Portugal, from 2 to 4 October 2007. 79 22 David Freestone apply, as appropriate, the scientific criteria in annex I, the scientific guidance in annex II, and initial steps in annex III, to identify ecologically or biologically significant and/or vulnerable marine areas in need of protection, with a view to assist the relevant processes within the General Assembly and implement conservation and management measures, includeing the establishment of representative networks of marine protected areas in accordance with international law, including the United Nations Convention on the Law of the Sea, and recognizing that these criteria may require adaptation by Parties if they choose to apply them within their national jurisdiction noting that they will do so with 84 regard to national policies and criteria. To help parties in their efforts to apply the CBD criteria and guidance, the Secretariat of the CBD was requested by the COP 9 to convene an expert workshop on scientific and technical guidance on the use of bio-geographic classification systems and identification of marine areas beyond national jurisdiction in need of protection. The expert workshop was held from 29 September to 2 October 2009 in Ottawa, Canada. Its mandate was to review and synthesise progress on the identification of areas beyond national jurisdiction which meet the scientific criteria and assess experience with the use of bio-geographic classification systems in marine conservation and management. This enabled the workshop to provide scientific and technical guidance on the identification of areas beyond national jurisdiction that meet the CBD scientific criteria, as well as guidance on the use and further development of bio-geographic classification systems to inform international cooperation and action. Progress in this regard fed into discussions within the relevant United Nations processes as well as into COP 10 in Nagoya, in October 2010.85 The development and approval by the CBD of criteria for ‗Ecologically and Biologically Significant Areas‘ (EBSAs) provides a major incentive for the protection of such areas once they have been identified – even, or perhaps especially, in areas beyond national jurisdiction. Serious questions remain to be addressed about how to stimulate international and regional cooperation to protect areas identified by the international community as meeting the CBD scientific criteria for areas in need of protection that are located beyond national jurisdiction. As noted above, some RFMOs still operate under agreements that do not reflect ecosystem-based or precautionary approaches to management of fisheries resources, not to mention the protection of ecosystems and marine biodiversity that, under the UN Fish Stocks Agreement, states parties are required to protect. Also, many oceanic regions beyond national jurisdiction do not have organisations to assist in integrated and cooperative regional management. Thus more may be ——— 84 85 Decision IX/20, para. 18. For CBD COP 10 Decisions, see <www.cbd.int/cop10/doc/> (accessed 21 February 2011). 80 Problems of High Seas Governance 23 required in terms of improving the performance of RFMOs and other sectoral organisations with respect to biodiversity conservation, and default mechanisms may be needed for regional and/or global cooperation where no regional organisation or action plan exists. Perhaps a first step would be to ensure that all organisations are committed to implementing modern principles of high seas governance and management, as detailed below. MODERN PRINCIPLES OF HIGH SEAS GOVERNANCE As discussed above, in the context of the UNGA discussions, it was also suggested that clarification of the debates over the emerging high-seas governance regime could be facilitated if one set out more clearly and explicitly the basic principles that the international community has already established and agreed to, in existing legal and policy instruments, in relation to the use and exploitation of the high seas. These principles could at some point be more formally enumerated – whether as a free-standing declaration (perhaps by the UNGA) or as a part of another international agreement or arrangement including an implementing agreement. The following section briefly sets out these principles. All have been generally accepted by the international community in a range of global and regional instruments, as well as in the decisions of many international courts and tribunals. They are already widely applied on land and to various marine sectoral activities, but have not yet been uniformly applied to the high seas. Some represent established international law; others agreed international minimum standards. All, however, require much more rigorous implementation as the first steps in the development of a robust and appropriate system of international governance for the high seas. Principle 1: Conditional Freedom of the Seas Article 87 of the LOS Convention explicitly recognises six ‗freedoms‘ of the high seas.86 These are not absolute rights, but are subject to various limitations and corresponding duties upon which their legal exercise is preconditioned. For example, as noted above, under Article 116 of the LOS Convention all states have the right for their nationals to engage in fishing on ——— 86 See Art. 87(1) of the LOS Convention; freedom of the high seas comprises, inter alia, for both coastal and land-locked states: freedom of navigation; freedom of overflight; freedom to lay submarine cables and pipelines; freedom to construct artificial islands and other installations permitted under international law; freedom of fishing; freedom of scientific research. 81 24 David Freestone the high seas, subject to three conditions: ‗(a) their treaty obligations; (b) the rights and duties as well as the interests of coastal states ...; (c) the provisions of this section‘. Thus, this is not an absolute right. It is subject to all the treaty obligations that the flag state may have contracted by its membership of global and regional treaty regimes, including regional and species-related fisheries conservation and management treaties. It is also subject to a wide range of rights and duties that it may owe to, or be due as, a coastal state. And finally, it is subject to the provisions of Articles 116 to 120 (i.e., section 2 of Part VII of the LOS Convention). These duties, briefly summarised, include obligations to take measures for their own nationals for the conservation of the living resources of the high seas; to cooperate with other states in conservation and management of those resources; and to base those measures on the best scientific evidence available, environmental and economic factors and ‗generally recommended international minimum standards‘. So, it is important to remember that the freedoms of fishing and of other high seas uses are conditional freedoms.87 Principle 2: Protection and Preservation of the Marine Environment The LOS Convention introduced, in Article 192, a major new principle – an unprecedented, unqualified and robust obligation on all states to ‗protect and preserve the marine environment‘. It also contains more specific obligations to protect and preserve rare or fragile species and ecosystems in all parts of the marine environment, as well as the habitat of depleted, threatened or endangered species and other forms of marine life.88 In fact, Article 192 is a general obligation that extends further than simply the avoidance of deliberate or obvious damage, so as to include active measures to maintain or improve the present condition of the marine environment,89 as well as to cooperate to this end.90 So, the general obligations of Article 192 and other provisions reflect both the responsibility to conserve marine ecosystems as well as to prevent marine pollution.91 ——— 87 Similar conditions condition the exercise of the other freedoms; one can, and should, therefore talk about conditional high-seas freedoms, rather than absolute rights. 88 Art. 194(5) of the LOS Convention. 89 S. Rosenne and B. Yankov (eds), United Nations Convention on the Law of the Sea 1982: A Commentary, Vol. IV (Dordrecht: Martinus Nijhoff, 1990), p. 40. 90 Art. 197 of the LOS Convention. See Principle 3 below. 91 Regional seas agreements give substance to the duty to protect and preserve the marine environment contained in Arts. 192 and 194(5). See also the 1959 Antarctic Treaty and its 1991 Protocol on Environment Protection; the 1992 OSPAR Convention for the Protection of the Marine Environment of the North-East Atlantic; and the 1976 Convention for the Protection of 82 Problems of High Seas Governance 25 Principle 3: International Cooperation In 1970 the UN General Assembly declared that: All states have the duty to cooperate with one another … in the various spheres of international relations, in order to maintain international peace and security and to promote international economic stability and progress…92 Various international instruments governing environment and natural resource conservation also include an obligation to cooperate. For example, in relation to the high seas, Article 117 of the LOS Convention provides that ‗[A]ll States have the duty to take, or to co-operate with other States in taking, such measures for their respective nationals as may be necessary for the conservation of the living resources of the high seas‘.93 Principle 4: Science-Based Approach to Management The LOS Convention specifically mandates a science-based approach to management. Article 119 requires states to base their fisheries conservation and management measures on ‗the best scientific evidence available‘ as well as environmental and economic factors and ‗generally recommended international minimum standards‘. These same obligations are reflected in the 1995 UN Fish Stocks Agreement which requires that, when adopting measures to ensure the long-term sustainability of straddling and highly migratory fish stocks, coastal states and states fishing on the high seas shall ‗ensure that such measures are based on the best scientific evidence available and designed to maintain or restore stocks at levels capable of maximum sustainable yield‘.94 ——— the Marine Environment and the Coastal Region of the Mediterranean and its 1995 protocols. On the latter, see Raftopoulos, chapter 27 in this book. 92 Declaration of Principles of International Law, UNGA Resolution 2625 (XXV), of 24 October 1970. Adopted without a vote; it is generally accepted as being declaratory of customary international law. 93 See also Principle 7 of the 1992 Rio Declaration which obliges states to ‗co-operate in a spirit of global partnership to conserve protect and restore the health and integrity of the Earth‘s ecosystem‘; and Principle 27 which requires that ‗States and people shall cooperate in good faith and in a spirit of partnership in the fulfillment of the principles embodies in this Declaration and in the further development of international law in the field of sustainable development‘. 94 Art. 5 of the UN Fish Stocks Agreement. The precautionary methodology is set out in Art. 6 and Schedule II and requires that scientific reference points are established for target species ‗derived from an agreed scientific procedure‘ to constrain harvesting within safe biological limits. Many contemporary fisheries and natural resource management agreements, e.g., the 1980 Convention for the Conservation of Antarctic Marine Living Resources (CAMLR Convention) and the NEAFC have incorporated these approaches. 83 26 David Freestone Principle 5: The Precautionary Approach95 In November 1990, the UN Secretary-General expressly recognised the ‗considerable significance‘ of the precautionary principle for future approaches to marine environmental protection and resource conservation.96 Since then it has featured in virtually all international environmental treaties and policy declarations, most notably those relating to the marine environment and resources.97 Agenda 21 mandates ‗new approaches to marine and coastal area management … that are integrated in content and precautionary and anticipatory in ambit‘.98 Principle 15 of the UNCED Rio Declaration provides that: In order to protect the environment, the precautionary approach shall be widely applied by States according to their capabilities. Where there are threats of serious of irreversible damage lack of full scientific certainty shall not be used as a reason for postponing costeffective measures to prevent environmental degradation.99 ——— 95 A particular interest of the present author; see, e.g., D. Freestone, ‗The Precautionary Principle‘, in R.R. Churchill and D. Freestone (eds), International Law and Global Climate Change (London: Graham and Trotman, 1991), pp. 21–40; D. Freestone and E. Hey, The Precautionary Principle in International Law: the Challenge of Implementation (The Hague: Kluwer Law International, 1996); D. Freestone, ‗Implementing Precaution Cautiously: The Precautionary Approach in the 1995 Straddling Stocks Agreement‘, in E. Hey (ed.), Developments in International Fisheries Law (The Hague: Kluwer Law International, 1999), pp. 287–325; D. Freestone, ‗Caution or Precaution: ―A rose by any other name...?‖‘, Yearbook of International Environmental Law, Vol. 12, 2000, pp. 25–32. 96 Report of the UN Secretary-General on the Law of the Sea, UN doc. A/45/721, of 19 November 1990, p. 20, para. 60. 97 Examples of such post-Rio documents include: the 1993 Ministerial Declaration on the Protection of the Black Sea (see Environmental Policy and Law, Vol. 23, 1993, pp. 235–236); the UN Framework Convention on Climate Change (text reprinted in ILM, Vol. 31, 1992, pp. 848ff); the Convention on Biological Diversity (see footnote 80 above); the Helsinki Convention on the Protection of the Baltic Sea Area (see footnote 26 above); the 1992 Helsinki Convention on the Protection and Use of Transboundary Watercourses and Lakes (text reprinted in ILM, Vol. 31, 1992, pp. 1312ff); the 1992 Maastricht Treaty on European Union (text reprinted in ILM, Vol. 31, 1992, pp. 247ff); the Convention on the Protection of the Marine Environment of the North-East Atlantic (see footnote 28 above); and, of course, the 1995 UN Fish Stocks Agreement (see footnote 4 above). 98 Agenda 21, para. 17.1. 99 For the documents adopted at UNCED see UN doc. A/CONF.151/26 (Vols. I–V), of 12 August 1992. See also the 1995 UN Fish Stocks Agreement, Art. 6 and Annex II of the Agreement that sets out guidelines for the application of this approach in relation to the conservation and management of relevant fish stocks. See also the 1972 London Convention; it is expressly included in its 1996 Protocol which prohibits the dumping of wastes at sea other than those specifically permitted; these are subject to detailed impact assessment requirements. This is more detailed than the definition of precaution adopted in para. 10 of the preamble to the Convention on Biological Diversity, where there is a threat of significant reduction or loss of biological 84 Problems of High Seas Governance 27 Principle 6: The Ecosystem Approach The first legal instrument in modern times to espouse explicitly an ecosystem approach is the 1980 Convention for the Conservation of Antarctic Marine Living Resources. As Kiss and Shelton point out, ‗it considers the interrelationship between all species and their particular physical environment‘ and its coverage is ‗uniquely based on a biological boundary‘, namely waters south of the Atlantic convergence.100 The ecosystem approach to natural resource management began to be reflected in legal and policy instruments after the UNGA adopted the World Charter for Nature in 1982.101 This called on states to protect representative ecosystems but also mandated that ecosystems and species exploited by mankind should be managed so as not to endanger co-existing ecosystems and species. By 1992 this approach was reflected in both Agenda 21 and the Convention on Biological Diversity. From a marine perspective it is most obviously incorporated in the UN Fish Stocks Agreement, which together with the precautionary approach (above) also requires that its parties assess the impacts of fishing, other human activities and environmental factors on target stocks and species belonging to the same ecosystem or associated with or dependent upon the target stocks. Once such assessment has taken place, member states shall ‗adopt, where necessary, conservation and management measures for species belonging to the same ecosystem or associated with or dependent upon the target stocks, with a view to maintaining or restoring populations of such species above levels at which their reproduction may become seriously threatened‘.102 Several regional and species fisheries agreements now reflect this approach.103 ——— diversity, lack of full scientific certainly should not be used as a reason for postponing measures to avoid or minimise such a threat. 100 A. Kiss and D. Shelton, International Environmental Law, 3rd edn (London: Graham and Trotman, 2004), p. 645. On the CAMLR Convention area, see Miller, Slicer and Sabourenkov, ‗IUU Fishing in Antarctic Waters: CCAMLR Actions and Regulations‘, at pp. 176–177. 101 UNGA Resolution 37/7, supported by 111 states (18 abstaining). See also W.E. Burhenne and W.A. Irwin, The World Charter for Nature: a Background Paper (Berlin: Schmidt, 1983); International Council of Environmental Law, Commentary on the World Charter for Nature (Bonn: IUCN Environmental Law Centre, 1986). 102 Art. 5 (d) and (e). 103 The South-East Atlantic Fisheries Organisation (SEAFO) was established by the convention signed in Windhoek, Namibia, 20 April 2001 (text reprinted in ILM, Vol. 41, 2002, pp. 257ff); it is the first general fisheries convention to have been negotiated after the 1995 UN Fish Stocks Agreement and to reflect its requirements. Similarly, the Commission for the Conservation and Management of Highly Migratory Fish Stocks in the Western and Central Pacific Ocean (WCPFC) was established by the Convention and opened for signature at Honolulu, 5 September 2000 (text reprinted in ILM, Vol. 40, 2001, pp. 277ff); the Convention was the first regional 85 28 David Freestone At the 2001 Reykjavik Conference on Responsible Fisheries in the Marine Ecosystem, organised by FAO and the government of Iceland, states recognised in the final declaration that sustainable fisheries management incorporating ecosystem considerations entails taking into account the impacts of fisheries on the marine ecosystem and the impacts of the marine ecosystem on fisheries. They also recognised the need to introduce immediately effective management plans with incentives that encourage responsible fisheries and sustainable use of marine ecosystems, including mechanisms for reducing excessive fishing efforts to sustainable levels, and declared that the prevention of adverse effects of non-fisheries activities on the marine ecosystems and fisheries requires action by relevant authorities and other stakeholders.104 Principle 7: Sustainable and Equitable Use Many international legal instruments now recognise the new paradigm of ‗sustainable use‘ or ‗sustainable development‘. Sustainable development, as defined by the Brundtland Commission, is ‗development that meets the needs of the present without compromising the ability of future generations to meet their own needs‘.105 It thus reinforces the equitable notion of fairness or equity in relation to the needs of present and future generations as balanced by environmental limits and goals. 106 A commitment to sustainable use can now be found in a wide range of international instruments, including those relating to ocean use such as the 1995 UN Fish Stocks Agreement, 107 ——— tuna fisheries agreement to be adopted after the conclusion of the 1995 UN Fish Stocks Agreement, and it also reflects its requirements. 104 The Conference on Responsible Fisheries in the Marine Ecosystem was held in Reykjavik, Iceland, from 1 to 4 October 2001. The Conference adopted the Reykjavik Declaration on Responsible Fisheries in the Marine Ecosystem, available at <www.fao.org/docrep/005/Y2198T/ y2198t01.htm>. 105 The World Commission on Environment and Development, Our Common Future (Oxford University Press, 1987). 106 The principle is Principle 4 of the 1992 Rio Declaration, and permeates other principles, Agenda 21 and numerous other instruments. In 1997 it was considered by the International Court of Justice in the Gabcikovo–Nagymaros Case between Hungary and Slovakia. Although the famous separate opinion of Judge Christopher Weeramantry, that sustainable development was a principle of customary international law, was not endorsed by the majority of the Court, it did however recognise the ‗need to reconcile economic development with protection of the environment … aptly expressed in the concept of sustainable development‘. ICJ Reports 1997, p. 78 at para. 140. 107 Art. 5(a). States that are party to the Agreement are for example obliged to ‗(a) Adopt conservation and management measures to ensure long-term sustainability and promote the objective of their optimum utilization‘. 86 Problems of High Seas Governance 29 the 1995 FAO Code of Conduct for Responsible Fisheries and 2001 Reykjavik Declaration on Responsible Fisheries in the Marine Ecosystem.108 Principle 8: Public Availability of Information Principle 10 of the Rio Declaration recognises that ‗[E]nvironmental issues are best handled with the participation of all concerned citizens, at the relevant level … States shall facilitate and encourage public awareness and participation by making information widely available‘. These hortatory provisions have been given important legal substance by the 1998 ECE Aarhus Convention on Access to Information, Public Participation in Decision Making in Environmental Matters.109 While the Aarhus Convention is a regional agreement concluded under the auspices of the UN Economic Commission for Europe (ECE), it is highly unusual in that it is open for accession by any other UN member state, even if not an ECE member, with the approval of the Meeting of the Parties.110 In May 2005, at their second meeting in Almaty, Kazakhstan, the parties to the Aarhus Convention adopted a decision (II/4) expressly ‗Promoting the Application of the Principles of the Aarhus Convention in International Forums‘.111 Decision II/4 elaborates the Almaty Guidelines that declare that access to information and public participation in environmental matters are ‗fundamental elements of ——— 108 In relation to fisheries the UN Fish Stocks Agreement, the FAO Code of Conduct on Responsible Fisheries, as well as the 2001 Reykjavik Declaration on Responsible Fisheries in the Marine Ecosystem, see <ftp://ftp.fao.org/fi/DOCUMENT/reykjavik/y2198t00_dec.pdf>. Sustainable use of fisheries is also included in the commitments of the world community in the 2002 Johannesburg World Summit on Sustainable Development Plan of Implementation. A wellpublicised aspect of this is the disproportionate overcapitalisation and use of state subsidies in the fisheries sector which decreases the ability of developing countries, as new entrants, to benefit from fisheries (intra-generational equity) and diminishes future options for sustainable fisheries (inter-generational equity). See World Bank/FAO, The Sunken Billions: The Economic Justification for Fisheries Reform; this study shows that the difference between the potential and actual net economic benefits from marine fisheries is in the order of USD 50 billion per year – equivalent to more than half the value of the global seafood trade. 109 Signed 25 June 1998, entered into force 30 October 2001. It has 41 state parties and the EC. The EC has already started to reflect Aarhus principles in Community law, notably through Directive 2000/60/EC, Water Framework Directive; see further discussion by Churchill, chapter 22 in this book. 110 Under the provisions of Art 19(3). While Aarhus Convention is directly relevant to national environmental decision-making, nevertheless it does represent the ‗gold standard‘ for the implementation of the aspirations of Rio Principle 21 and many of the European nations that are party to other international agreements concerning the high seas, such as the 1972 London Convention and its 1996 Protocol as well as RFMOs, are also party to the Aarhus Convention. 111 ECE/MP.PP/2005/2/Add.5, of 20 June 2005. 87 30 David Freestone good governance at all levels and essential for sustainability‘ (paragraph 11).112 Aarhus parties are mandated, inter alia, to ‗encourage international forums to develop and make available to the public a clear and transparent set of policies and procedures on access to environmental information‘ (paragraph 19). The tenets of this principle lead directly to the next one: Principle 9: Transparent and Open Decision-Making Processes Transparency and openness in the conduct of the work of international and intergovernmental processes are now becoming the norm. Treaty-based organisations such as the IMO and the meetings of the conference of the parties to multilateral conventions such as the Convention on Biological Diversity, while acknowledging that states are the primary players, do accord access to other non-state participants. Background papers and secretariat papers are commonly distributed to both state and non-state participants. Even though that the biological resources of the high seas could be regarded as a common resource, this is not the case, or has not in the past been the case, for high-seas fisheries management bodies. It is Article 12 of the UN Fish Stocks Agreement which for the first time introduces an obligation on its state parties to provide for ‗transparency in the decision-making process and other activities or subregional and regional fisheries management organisations and arrangements‘. Article 12(2), which has already been adopted by some fisheries bodies and may be regarded as minimum international practice, specifically provides that: Representatives from other international organizations and representatives from nongovernmental organizations concerned with straddling fish stocks and highly migratory fish stocks shall be afforded the opportunity to take part in meetings of subregional and regional fisheries management organizations and arrangements as observers or otherwise, as appropriate, in accordance with the procedures of the organization or arrangement concerned. Such procedures shall not be unduly restrictive in this respect. Such intergovernmental organizations and non-governmental organizations shall have timely access to the records of such organizations and arrangements, subject to the procedural rules on access to them.113 ——— 112 Note that the guidelines define ‗environmental information‘ to include the state of the elements of the environment, including ‗biological diversity and its components‘. 113 Note also the Almaty Guidelines that provide that: ‗Participation of the public concerned in the meetings of international forums... in matters related to the environment should be allowed at all relevant stages of the decision making process, unless there is a reasonable basis to exclude such participation‘ (para. 29). 88 Problems of High Seas Governance 31 Principle 10: Responsibility of States as Stewards of the Global Marine Environment Principle 21 of the 1972 Stockholm Declaration provides that: States, have, in accordance with the Charter of the United Nations and the principles of international law, the sovereign right to exploit their own resources pursuant to their own environmental policies, and the responsibility to ensure that activities within their jurisdiction or control do not cause damage to the environment of other states or of areas be114 yond the limits of national jurisdiction. A simpler statement of a principle, derived directly from these words and applicable to the high seas and which would be widely regarded as a principle of customary international law, would read as follows: ‗States … have the responsibility to ensure that activities within their jurisdiction or control do not cause damage to the environment … of areas beyond the limits of national jurisdiction‘.115 This concept of responsibility reflects a pro-active obligation that would support various proposals put forward for a form of stewardship role in protecting the resources of areas beyond national jurisdiction.116 It was that same concept of responsibility that the drafters seemed to be trying to capture in the 1995 FAO Code of Conduct for Responsible Fisheries. That, and similar provisions of the 1993 FAO Compliance Agreement and the 1995 UN Fish Stocks Agreement, require flag states to supervise properly the activities of their fishing vessels when on the high seas. And yet the continued major threats of IUU fishing demonstrate that flag states are simply not exercising this sort of control. Responsibility in this sense involves an obligation on states not merely to regulate vessels flying their flag operating on the high seas (and many states seem unable to manage that) but also their nationals, captains, crews, owners and investors – all those in the value chain of activities that do, or might, cause harm to the environment in areas beyond national jurisdiction. As noted above, the FAO has already begun to develop principles for audits of Flag-State Performance. ——— 114 These rights and obligations are repeated virtually verbatim in Rio Principle 2. This is indeed the text of Art. 3 of the 1992 Convention on Biological Diversity: ‗States have, in accordance with the Charter of the United Nations and the principles of international law, the sovereign right to exploit their own resources pursuant to their own environmental policies, and the responsibility to ensure that activities within their jurisdiction or control do not cause damage to the environment of other States or of areas beyond the limits of national jurisdiction‘. 116 P.H. Sand, ‗Sovereignty Bounded: Public Trusteeship for Common Pool Resources?‘, Global Environmental Politics, Vol. 4, 2004, pp. 47–71; R. Rayfuse and R. Warner, ‗Securing a Sustainable Future for the Oceans beyond National Jurisdiction‘, IJMCL, Vol. 23, 2008, pp. 399– 422. 115 89 32 David Freestone CONCLUSIONS The governance of areas beyond national jurisdiction is probably the most pressing marine issue facing the world community. It is paradoxical that, on the one hand, science is helping us to appreciate more fully the rich biodiversity of marine areas beyond national zones and the important role this plays in the global system, including helping to regulate its climate; while on the other hand, these high seas areas face increasing adverse impacts – both from the intensification of existing human activities and from major new risks. IUU fishing for deep-ocean species, uncontrolled bottom-trawling over seamounts, exploration of hydrothermal vents as well as proposals for geoengineering activities such as iron fertilisation – these are just some of the activities which reveal the lack of an holistic system of governance for these areas, built on established and agreed basic principles. This chapter has sought to set out the key risks that high seas areas face, the plethora of bodies with regional and sectoral jurisdiction but also the lacunae – the regulatory and governance gaps that remain. The attention of the international community has been focused on this issue for some time already. The UN General Assembly has mandated several important actions; and the meetings of the ponderously named ‗Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction‘ have helped to widen our understanding and to focus informed opinion on the major issues facing the high seas. Unfortunately the lively debates on improved governance have been overshadowed by controversy over the future regime for exploitation of marine genetic resources beyond national jurisdiction.117 Various important initiatives are underway but progress has been very slow. The case for a new instrument, perhaps based on agreed principles, that can pull together all the various themes and sectoral responsibilities discussed above and provide some overarching system of governance of the high seas is becoming very difficult to resist. ——— 117 The controversy involves the question of should these be subject to the ‗Common Heritage of Mankind‘ principle as proposed by the G77 or a continuing open access regime? For an excellent assessment of the issues and potential of bio-prospecting see, D. Leary, M. Vierros, G. Hamon, S. Arico and C. Monagle, ‗Marine Genetic Resources: A Review of the Scientific and Commercial Interest‘, Marine Policy, Vol. 33, 2009, pp. 183–194. A comprehensive analysis of various legal issues involved is found in Part IV, ‗Marine Genetic Resources and Bioprospecting‘, in D. Vidas (ed.), Law, Technology and Science for Oceans in Globalisation, pp. 309–419. 90 THE INTERNATIONAL JOURNAL OF The International Journal of Marine and Coastal Law 27 (2012) 647–655 MARINE AND COASTAL LAW brill.nl/estu Current Legal Developments The Sargasso Sea The Sargasso Sea Alliance: Seeking to Protect the Sargasso Sea The Sargasso Sea Alliance was formed in 2010 under the leadership of the Government of Bermuda. It aims to secure legal protection measures for the Sargasso Sea—which is a 2-million-square-nautical-mile ecosystem in the North Atlantic that is primarily high seas. Named for the alga that accumulates in the North Atlantic Subtropical Gyre and which forms into large mats or windrows, the Sargasso Sea is the world’s only sea without coasts; only the tiny islands of Bermuda have direct coastal frontage. The Sargasso Sea is bounded on all sides by the clockwise flow of major ocean currents: the Gulf Stream and North Atlantic Drift form the western and northern boundaries, the Canary Current forms a more diffuse eastern boundary, and the North Equatorial Current and Antilles Current form the southern boundary. Just as the currents vary, the boundaries of the Sargasso Sea also vary. The Sargassum is home to a range of endemic species and the Sargasso Sea is a major feeding and migration route for a number of threatened and endangered species, including sea turtles, humpback and sperm whales, as well as for commercially important tunas and billfish. It is the only place in the world where the catadromous American eel (Anguilla rostrata), and the endangered European eel (Anguilla anguilla) spawn.1 Bermuda, at the centre of the Sargasso Sea, is an overseas territory of the United Kingdom. It claims a 200-nautical-mile exclusive economic zone (EEZ) of some 173,891 square miles. Beyond the Bermudian EEZ, however, the remainder of the Sargasso Sea is largely an area beyond national jurisdiction (ABNJ).2 1 The European eel is protected by European Union (EU) Regulations. Council Regulation (EC) No. 1100/2007 of 18 September 2007 establishing measures for the recovery of the stock of European eel, OJ 2007 L248/17. 2 Depending on what is defined to be the geographical extent of the Sargasso Sea, it can be taken to extend into the EEZs of the United States to the east and the Northern Antillean islands to the south. The Alliance has commissioned a new map based on criteria such as ocean © Koninklijke Brill NV, Leiden, 2012 91 DOI: 10.1163/15718085-12341240 648 D. Freestone, K.K. Morrison / The International Journal of Marine and Coastal Law 27 (2012) 647–655 Marine Protected Areas in ABNJ The challenges of seeking to establish a marine protected area in ABNJ are considerable. Under international law the high seas are open to all. Article 87 of the 1982 Law of the Sea Convention (LOSC or 1982 Convention) envisages six basic high seas freedoms for all states: navigation; overflight; freedom to lay submarine cables and pipelines; to construct artificial islands and other installations; freedom of fishing and of scientific research. Although the exercise of the freedoms is subject to some important general conditions, the only specific restrictions that can be made to the exercise of these rights are by international agreement binding only on states which are party to them. The 1982 Convention does oblige all states to “protect and preserve the marine environment”,3 including “rare or fragile ecosystems as well as the habitat of depleted, threatened or endangered species and other forms of marine life.”4 It also obliges states in Article 197 to “cooperate on a global basis and, as appropriate, on a regional basis, directly or through competent international organizations, in formulating and elaborating international rules, standards and recommended practices and procedures consistent with this Convention, for the protection and preservation of the marine environment, taking into account characteristic regional features.” Existing treaties regulate a range of specific activities which take place in ABNJ, such as fishing, wildlife protection, navigation, and seabed mining, but these treaties are only binding on their parties. In addition the problem of proper governance in ABNJ is exacerbated by the patchwork of treaties that exists. A review of existing organizations with jurisdiction over activities in ABNJ shows that there are serious gaps in coverage.5 In relation to sectoral current and eddy occurrence, remote sensing of Sargassum weed, and historical mapping. It can be viewed at www.sargassoalliance.org. 3 Article 192 LOSC. 4 Article 194(5) LOSC. 5 K. Gjerde, H. Dotinga, S. Hart, E.J. Molenaar, R. Rayfuse, R. Warner, Regulatory and Governance Gaps in the International Regime for the Conservation and Sustainable Use of Marine Biodiversity in Areas beyond National Jurisdiction (IUCN, Gland, Switzerland (2008) (available at http://cmsdata.iucn.org/downloads/iucn_marine_paper_1_2.pdf ). See also, David Freestone, “Problems of High Seas Governance”, pp. 99–130 in D. Vidas and P.J. Schei (eds.) The World Ocean in Globalisation: Challenges and Responses (Martinus Nijhoff Publishers, Leiden, 2011); and in the same volume at pp. 221–232, K. Gjerde, “High Seas Fisheries Governance: Prospects and Challenges in the 21st Century.” For an excellent wider discussion of the ABNJ legal regime see Robin Warner, Protecting the Oceans beyond National Jurisdiction: Strengthening the International Law Framework (Martinus Nijhoff Publishers, Leiden, 2009). 92 D. Freestone, K.K. Morrison / The International Journal of Marine and Coastal Law 27 (2012) 647–655 649 activities these gaps are functional as well as geographic. This is not necessarily a defect in the LOSC itself—it is a defect in implementation. Governance in ABNJ has been on the agenda of the UN General Assembly for nearly a decade. In 2004, in order to address the full range of issues particularly related to the conservation of biodiversity in ABNJ, the UN General Assembly agreed on the recommendation of the UN Informal Consultative Process on Oceans and the Law of the Sea (UNICPOLOS) to establish an Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction (known as the BBNJ process).6 This Working Group held its first meeting in 2006; a second ran from 28 April to 2 May 2008, a third meeting was held in January 2010, a fourth in May 2011, and a fifth in May 2012. Several important proposals have been discussed at these meetings, including a European Union proposal for a new implementing agreement to develop a more specific framework to address conservation and sustainable use of marine biodiversity beyond national jurisdiction. Issues highlighted in the discussions have included the absence of a global instrument regulating the establishment and monitoring of Marine Protected Areas (MPAs) on the High Seas (even though MPAs have proven to be extremely effective in maintaining biodiversity in coastal contexts), the absence of comprehensive Environmental Impact Assessments for new activities in ABNJ, as well as the lack of co-ordination between those international organizations that are charged with regulating specific sectoral activities.7 Other states have indicated that improved implementation should be the first priority, but have not all provided their views on what might be done to enhance implementation with respect to biodiversity conservation in general. Unfortunately the lively debates on improved governance have been overshadowed by controversy over the future regime for exploitation of marine genetic resources beyond national jurisdiction.8 The G77 and China have 6 For details of the meetings to date see http://www.un.org/Depts/los/biodiversityworkinggroup/biodiversityworkinggroup.htm. 7 It has also been suggested that the international community should reaffirm some of the basic principles that have been agreed in a wide range of existing instruments, including the 1982 Convention, in relation to national activities in ABNJ. At the IUCN 4th World Conservation Congress, in Barcelona on 7 October 2008, IUCN President Valli Moosa of South Africa chaired a plenary session presenting the IUCN “Ten Principles of High Seas Governance.” For a more detailed exposition of these principles and their legal basis see David Freestone, “Principles Applicable to Modern Oceans Governance” (2008) 23 IJMCL 385– 391 and David Freestone, “Modern Principles of High Seas Governance: The Legal Underpinnings” (2009) 39 International Environmental Policy and Law 44–49. 8 For an excellent assessment of the issues and potential of bio-prospecting see D. Leary, M. Vierros, G. Hamon, S. Arico and C. Monagle, “Marine Genetic Resources: A Review of 93 650 D. Freestone, K.K. Morrison / The International Journal of Marine and Coastal Law 27 (2012) 647–655 argued that the “common heritage of mankind” concept that the LOSC applies to deep sea minerals9 should also apply to the living resources of the deep ocean floor, many of which may have important industrial and pharmaceutical potential. They argue that if the drafters of the 1982 Convention had been aware of these resources—rather than simply being aware of the famous “manganese nodules”—then they would doubtless have included these living resources within the deep sea bed regime. The result has been a stalemate in the discussions at the BBNJ Working Group, but at the May 2011 Meeting there was something of a breakthrough. It was agreed that the two issues should be linked and that: A process [should] be initiated, by the UNGA, with a view to ensure that the legal framework for the conservation and sustainable use of marine biodiversity in areas beyond national jurisdiction effectively addresses those issues by identifying gaps and ways forward, including through the implementation of existing instruments and the possible development of a multilateral agreement under UNCLOS [1982 Convention]; This process would address the conservation and sustainable use of marine biodiversity in areas beyond national jurisdiction, in particular, together and as a whole, marine genetic resources, including questions on the sharing of benefits, measures such as area-based management tools, including marine protected areas, and environmental impact assessments, capacitybuilding and the transfer of marine technology.10 This was discussed further at the 2012 BBNJ Working Group meeting,11 and is expected to be discussed at the UN Conference on Sustainable Development (Rio + 20) in June 2012. However, such a process, if agreed, is likely to take a considerable time and a final agreement would again only be binding on its parties. the Scientific and Commercial Interest” (2009) 33 Marine Policy 183–194. A comprehensive analysis of various legal issues involved is found in Part IV, “Marine Genetic Resources and Bio-prospecting”, in D. Vidas (ed.), Law, Technology and Science for Oceans in Globalisation, (Martinus Nijhoff, Leiden, 2010) pp. 309–419. 9 See Article 138 LOSC: “The Area and its resources are the common heritage of mankind.” Article 133 LOSC further provides that “resources” means “all solid liquid or gaseous mineral resources in situ in the Area at or beneath the seabed, including polymetallic nodules.” 10 Recommendations of the Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction and Co-Chairs’ summary of discussions. UN Doc A/66/119 (30 June 2011). Available online at http://daccess-dds-ny.un.org/doc/UNDOC/GEN/N11/397/64/ PDF/N1139764.pdf ?OpenElement. 11 New York, 7–11 May 2012. For Agenda see UN Doc A/AC.276/L.8 (3 April 2012) Online at: http://daccess-dds-ny.un.org/doc/UNDOC/LTD/N12/282/68/PDF/N1228268. pdf ?OpenElement. 94 D. Freestone, K.K. Morrison / The International Journal of Marine and Coastal Law 27 (2012) 647–655 651 Protecting the Sargasso Sea The Sargasso Sea Alliance is trying to move forward with a possible MPA in ABNJ using only the existing sectoral institutions. In other words, accepting that governance of ABNJ is fragmented, what can be achieved in terms of protection for such areas using the existing organisational structures? Some limited success in establishing ABNJ MPAs in other regions has been achieved, notably in the North-East Atlantic OSPAR region12 and in the South Orkney area of the Southern Ocean using the Convention for the Conservation of Antarctic Marine Living Resources (CCAMLR).13 Both those regions have developed regional agreements for marine conservation (including in ABNJ) which envisage the establishment of MPAs. However, despite the fact that the Sargasso Sea lies between Europe and the Americas, there is no regional marine environmental treaty covering the Sargasso Sea region. Nor is there a General Fisheries Treaty Regime applicable to the whole Sargasso Sea area for all non-tuna species.14 This again distinguishes it from the North East Atlantic which has the North East Atlantic Fisheries Commission (NEAFC),15 to correspond with OSPAR, the Southern Ocean, where CCAMLR performs both roles, and the Mediterranean, which has the General Fisheries Council for the Mediterranean.16 In this sense the Sargasso Sea Alliance, led by the Government of Bermuda, is seeking to break new ground, by seeking to establish a MPA in the high seas areas of the Sargasso Sea using the existing legal framework and any existing sectoral bodies that may be able to assist.17 The Alliance has four basic aims: 12 The 1992 Convention for the Protection of the Marine Environment of the North-East Atlantic (the “OSPAR Convention”) was formed from the merger of the Commissions of the 1972 Oslo Convention and the 1974 Bonn Convention. It entered into force in March 1998. Text at (1993) 32 ILM 1072 and at http://www.ospar.org/html_documents/ospar/html/ ospar_convention_e_updated_text_2007.pdf. 13 The 1980 Convention for the Conservation of Antarctic Marine Living Resources (entered into force 1982) is part of the Antarctic Treaty System. Text at (1980) 19 ILM 837 and at http://www.ccamlr.org/pu/e/e_pubs/bd/pt1.pdf. 14 As opposed to a regime for tuna and tuna-like species—see discussion of ICCAT below. 15 The 1980 Convention on Future Multilateral Co-Operation in North-East Atlantic Fisheries, entered into force in 1982. For text as amended see http://www.neafc.org/system/files/ london-declarlation_and_new_convention.pdf. 16 The Mediterranean Sea has an environmental protection treaty in the 1976 Barcelona Convention, as amended. 17 The secretariat of the Alliance is located in the Washington DC Office of IUCN. The Alliance has a small Executive Committee and a larger Steering Committee. It is supported by private donors and foundations. For details see www.sargassoalliance.org. 95 652 D. Freestone, K.K. Morrison / The International Journal of Marine and Coastal Law 27 (2012) 647–655 • To build an international partnership to secure global recognition of the importance and ecological significance of the Sargasso Sea, the threats that it faces, and the precautionary management it needs; • To use existing regional, sectoral and international organizations to secure a range of protective measures for the Sargasso Sea; • To establish appropriate management for the Sargasso Sea; and • To use the current process as an example of what can and cannot be delivered through existing frameworks in marine ABNJ to inform the global debate and provide a model for protection of other high seas regions. The Relevant Sectoral Organisations The northern edges of the Sargasso Sea and of the Bermudian EEZ do intrude into the geographical area of competence of the North West Atlantic Fisheries Organisation (NAFO).18 However, the majority of the high seas areas of the Sargasso Sea are neither covered by a regional environmental agreement nor by a regional fisheries management organization.19 In the Sargasso Sea, the only international bodies that have sectoral jurisdiction are the International Maritime Organization (IMO) in relation to shipping and vessel-source pollution issues,20 the International Commission for the Conservation of Atlantic Tunas (ICCAT),21 which regulates fisheries for tuna and tuna-like species in the north and south Atlantic, and the International Seabed Authority (ISA), which has jurisdiction over seabed mineral resource exploration and exploitation in the Area.22 In addition, while only 18 NAFO was founded in 1979 as a successor to ICNAF (International Commission of the Northwest Atlantic Fisheries) (1949–1978). The 1979 Convention on Future Multilateral Cooperation in the Northwest Atlantic Fisheries applies to most fishery resources of the Northwest Atlantic except salmon, tunas/marlins, whales, and sedentary species (e.g., shellfish). For text see http://www.nafo.int/about/overview/governance/convention/convention.pdf. 19 This is in distinct contrast with the ABNJ of the North-east Atlantic which are included within the area of competence of both a regional environmental agreement, in the shape of the 1992 OSPAR Convention, and a corresponding regional fisheries management body— the North East Atlantic Fisheries Commission (NEAFC). 20 In 1948 an international conference in Geneva adopted a convention formally establishing IMO (the original name was the Inter-Governmental Maritime Consultative Organization, or IMCO, but the name was changed in 1982 to IMO). It currently has 170 Member States and three Associate Members. See http://www.imo.org/About/HistoryOfIMO/Pages/Default.aspx. 21 The International Convention for the Conservation of Atlantic Tunas was signed in Rio de Janeiro, Brazil, in 1966. It entered into force in 1969 and currently has 48 parties. Further details at http://www.iccat.int/en/contracting.htm. 22 Created by Part XI, Section 4 of the 1982 LOSC, Articles 156–158. 96 D. Freestone, K.K. Morrison / The International Journal of Marine and Coastal Law 27 (2012) 647–655 653 advisory in nature, the FAO body, the Western Central Atlantic Fishery Commission (WECAFC), which includes the Sargasso Sea by geography, has recently shown potential for conservation-minded recommendations in their February 2012 meeting, which included a resolution on strengthening the implementation of international fisheries instruments. WECAFC noted the “need to preserve biodiversity, minimize the risks of long-term or irreversible effects of fishing operations, avoid adverse impacts on the marine environment, maintain the integrity of marine ecosystems including deep-sea vulnerable marine ecosystems and effectively apply the precautionary and ecosystem approaches to fisheries management.” Furthermore, they “agree(d) to take actions and measures to strengthen implementation of existing international fisheries instruments and those that may be developed in the future . . .”23 A number of other international conventions are also of potential relevance. At the tenth session of the Conference of Parties to the Convention on Biological Diversity (CBD) in Nagoya, Japan, the parties decided to initiate a science-driven process to describe ecologically and biologically significant areas (EBSAs).24 To that end a series of workshops have been organised by the CBD Secretariat in association with other organisations to identify such areas.25 At a workshop in Brazil in March 2012, the Government of Bermuda put forward a proposal for the “Description” of the Sargasso Sea as an EBSA, which was approved by the 16th Meeting of the CBD Subsidiary Body on Scientific, Technical and Technological Advice (SBSTTA) in April/May 2012 and will now be considered by the 11th CBD COP in Hyderabad in October 2012. “Description” as an EBSA has no legal significance, but it is intended that the CBD process will be taken into account by other international 23 Resolution on Strengthening the Implementation of International Fisheries InstrumentsWECAFC 14 Session, Panama City, 6–9 February 2012 (WECAFC/XIV/2012/7. Available at: http://www.fao.org/docrep/meeting/024/am121e.pdf. 24 “[The] primary objective of this process is to facilitate the description of ecologically or biologically significant marine areas through application of scientific criteria in annex I of decision IX/20 as well as other relevant compatible and complementary nationally and inter governmentally agreed scientific criteria, as well as the scientific guidance on the identification of marine areas beyond national jurisdiction, which meet the scientific criteria in annex I to CBD Decision IX/20.” CBD Decision X/29, Paragraph 36. 25 The Workshops held to date include : Joint CBD/NEAFC/OSPAR Scientific Workshop on the Identification of Ecologically or Biologically Significant Marine Areas, EBSAs in the North-East Atlantic, Hyères, France, 8–9 September 2011; Western South Pacific Regional Workshop to Facilitate the Description of Ecologically or Biologically Significant Marine Areas (22–25 November 2011, Nadi, Fiji); Wider Caribbean and Western Mid-Atlantic Regional Workshop to Facilitate the Description of Ecologically or Biologically Significant Marine Areas (28 February–2 March 2012, Recife, Brazil). For further details see http://www .cbd.int/meetings/. 97 654 D. Freestone, K.K. Morrison / The International Journal of Marine and Coastal Law 27 (2012) 647–655 processes charged with managing and conserving ocean resources. For example, while the CBD does not have competence to designate MPAs, information shared through the EBSA identification process may help strengthen the scientific basis for protective measures at other sectoral entities. The Convention on the Conservation of Migratory Species (CMS) may also be of relevance.26 A number of migratory species travel through the Sargasso Sea, some of which—like the American and European eel—are not protected in international waters. Under the CMS, States can enter into Range State Agreements and/or Memoranda of Understanding to protect species within their full habitat range and can serve as a strong example of how international collaboration can improve marine protection for a shared species across jurisdictions, and even in ABNJ. The World Heritage Convention27 envisages the recognition of sites which are “situated on the territory” of any of its Parties (Articles 3 and 4) or “in its territory” (Article 11)—which seems to exclude ABNJ Sites. As ABNJ cover nearly half the globe, it has been wittily remarked that perhaps it should be called “Half the World Heritage Convention.”28 The Secretariat is reported to be looking at ways in which high seas sites might be incorporated into the WHC regime—the Sargasso Sea would clearly be a poster child for such a venture. In addition to pursuing the adoption of protection measures in the organisations described above, the Alliance is planning to convene an intergovernmental meeting in 2013 to encourage states and international organisations to collaborate voluntarily to protect the Sargasso Sea, through the negotiation and acceptance of an agreed political declaration on collaborative action to conserve the Sargasso Sea. Such a Hamilton Declaration (Hamilton is the capital city of Bermuda) is envisaged to include key Atlantic Rim countries and states from the Caribbean and is an on-going diplomatic effort in parallel 26 The Convention on Migratory Species was concluded in Bonn on 23 June 1979, and came into force in 1983. For text see (1980) 19 ILM 15 and at http://www.cms.int/documents/ convtxt/cms_convtxt.htm. Migratory species may be listed under Appendix I and/or II. Appendix II species may be the subject of Range State AGREEMENTS (sic, per text of Article 5) between Parties. NonParties, such as the US, may participate in non-binding MOU arrangements, for example, the 2010 MOU on the Conservation of Migratory Sharks, text at http://www.cms.int/species/ sharks/sharks_bkrd.htm. 27 1972 UNESCO Convention Concerning the Protection of the World Cultural and Natural Heritage, entered into force in 1975. Text at (1972) 11 ILM 1358 and at http://whc .unesco.org/archive/convention-en.pdf. 28 Per Professor Dan Laffoley, marine vice-chair of the IUCN World Commission on Protected Areas (WCPA). 98 D. Freestone, K.K. Morrison / The International Journal of Marine and Coastal Law 27 (2012) 647–655 655 with pursuit of proposals for protective measures using existing international sectoral organisations. The Sargasso Sea Alliance was only launched in 2010, but it has already become clear that there are major challenges in seeking to use existing sectoral organizations to achieve a purpose that is greater than each of their individual mandates. Although virtually all of the organizations mentioned above may have specific powers to protect the marine environment—including in ABNJ—in various ways, it is also clear that despite the injunction of cooperation contained in Article 197 of the 1982 Convention cited above, there is virtually no co-ordination between these organizations. The culture, processes and epistemic communities of each of these institutions are entirely different. Conservation arguments raised in one institution carry little, if any, weight in the others. Because IMO serves the shipping community, ICCAT the tuna fishing community, and the ISA is a more mainstream UN process, their respective formal meeting agendas and even schedules are, perhaps understandably, put together without regard to the activities of other sectoral bodies.29 It is hoped that the EBSA process initiated by the CBD will provide a unifying conceptual framework for the description or identification of areas in ABNJ that are worthy of conservation; history has shown, however, that each organisation is most strongly wedded to its own frameworks. David Freestone Executive Director Kate Killerlain Morrison Programme Officer Sargasso Sea Alliance, Washington, DC, USA 29 For example, the second week of July 2011 saw a meeting of the IMO Marine Environment Protection Committee, the ISA Legal and Technical Commission and Kobe 3—the third meeting of the various Tuna Commissions. 99 100 LOSI Conference Papers, 2012 “Securing the Ocean for the Next Generation” Papers from the Law of the Sea Institute, UC Berkeley–Korea Institute of Ocean Science and Technology Conference, held in Seoul, Korea, May 2012 Proceedings edited by Prof. Harry N. Scheiber, LOSI and Director Moon Sang Kwon, KIOST Assistant Editor: Emily A. Gardner The Final Frontier: The Law of the Sea Convention and Areas beyond National Jurisdiction David Freestone Executive Director of the Sargasso Sea Alliance Professorial Lecturer and Visiting Fellow, George Washington University Law School, USA; Editor, International Journal of Marine and Coastal Law All rights reserved by the author. This paper was presented at the tenth in a series of annual international conferences organized and sponsored or co-sponsored by the Law of the Sea Institute, School of Law, University of California, Berkeley, USA. The May 2012 conference was jointly sponsored and co-organized in collaboration with the Korea Institute of Ocean Science and Technology (KIOST, formerly KORDI), and hosted by KIOST on May 21-24, 2012 in Seoul, Korea. This was the third LOSI-KIOST collaboration in conferences and publications. 101 Proceedings from the 2012 LOSI-KIOST Conference on Securing the Ocean for the Next Generation The Final Frontier: The Law of the Sea Convention and Areas beyond National Jurisdiction David Freestone* In the thirty years since the conclusion of the 1982 UN Law of the Sea Convention it has become clear that the regime for Areas beyond National Jurisdiction (ABNJ) upon which the 1982 Convention seems to be premised has not materialised. There are still serious lacunae in the governance regime for ANBJ. Despite the growth in intensity of human impacts on ABNJ through pollution, shipping, fishing and threats from new human impacts such as ocean energy projects and geoengineering, the governance regime of ABNJ is by no means comprehensive, and has serious deficiencies in effectiveness as well as coverage. This paper looks at the limitations of the current ocean governance regime, identifies important issues that need to be addressed more specifically in ABNJ – such as basic principles of ocean governance, environmental impact assessment for new activities, and the establishment of marine protected areas. It looks at the evolution of the debates within the UN in the run up to the Rio +20 United Nations Conference on Sustainable Development (UNCSD) in June 2012, and, then in detail at the Sargasso Sea project – which is designed to see what protection measures can be put in place for a unique ecosystem in ABNJ using existing international institutions, without waiting for the UN to take more comprehensive action. Introduction On December 10, 2012 it was thirty years since the finalization of the 1982 Law of the Sea Convention (LOSC) in Montego Bay Jamaica after some nine years of negotiations – the longest in the history of the UN.1 The Convention * Executive Director of the Sargasso Sea Alliance; Professorial Lecturer and Visiting Fellow, George Washington University Law School, USA; Editor, International Journal of Marine and Coastal Law. 1 See generally David Freestone (ed.), The Law of the Sea Convention at 30: Successes, Challenges and New Agendas (Martinus Nijhoff, Leiden and Boston, 2013); also published as 2 102 Proceedings from the 2012 LOSI-KIOST Conference on Securing the Ocean for the Next Generation is an unprecedented achievement – both for its size (320 Articles and IX Annexes) and also for the comprehensiveness of the regime that it establishes. Ambassador Tommy Koh of Singapore, chair of the final session, described it metaphorically as a “Constitution for the Oceans,” and so it is in many ways, in its sheer breadth and coverage. However, it took another 12 years before it entered into force and then only after the negotiation of an innovative Implementation Agreement for Part XI, which many say amended some of the basic provisions of that section relating to deep seabed mining.2 A year later, after six negotiation sessions a second implementing agreement was concluded – the 1995 UN Fish Stocks Agreement – which addressed what has been described as an unfinished agenda of the Convention – the regime for straddling fish stocks and highly migratory fish stocks – and which introduced some of the new concepts of fisheries management including the precautionary principle and the ecosystem approach, which had emerged since the finalization of the 1982 text, and, which were consolidated in the legal instruments developed for the 1992 UN Conference on Environment and Development – the Rio de Janiero Earth Summit.3 Now, thirty years on, many are highlighting another lacuna or unfinished agenda in the convention – the regime covering areas beyond national jurisdiction – in the UN argot – ABNJ. This paper examines some of the reasons why governance of ABNJ is being called a lacuna in the Convention – or at least an implementation gap. It looks at the issues which have prompted concern about the regime of ABNJ, the debates on this issue within the UN General Assembly, and then at the work of the Ad Hoc Working Group that it established to study particular issues of this regime. It then looks at a unique experiment in addressing one facet of this issue - the ability of the international community to establish marine protected areas in ABNJ. The Sargasso Sea project – led by the Government of Bermuda - seeks to use existing international organizations with established sectoral competence to put protection measures in place for the unique open ocean ecosystem of the Sargasso Sea. Nearly 50% of the earth surface is covered by marine areas beyond national jurisdiction. That is, areas that are beyond the limits of the Exclusive Economic Zones recognized by the 1982 LOSC, and of the continental shelf which the Convention recognized may extend beyond 200 nautical miles to its a Special Issue in (2012) 27 International Journal of Marine and Coastal Law [IJMCL] pp. 675-881. 2 See Dolliver Nelson, “The New Deep Sea-Bed Mining Regime” (1995) 10 IJMCL 189, who says at 193 “the Agreement can therefore be considered a Protocol of Amendment. 3 See David Freestone, “The Road from Rio: International Environmental Law after the Earth Summit" (1994) 6 Journal of Environmental Law, pp. 193-218. And on the incorporation of new principles in the 1995 UN Fish Stocks Agreement see David Freestone and Zen Makuch, “The New International Environmental Law of Fisheries: The 1995 Straddling Stocks Agreement,” Yearbook of International Environmental Law, Volume 7, Oxford University Press, 1997, pp. 3-49. 3 103 Proceedings from the 2012 LOSI-KIOST Conference on Securing the Ocean for the Next Generation outer geomorphological limits.4 Since the finalization of the 1982 Convention, human activities in the ocean and in ABNJ have burgeoned, as have their impacts.5 These impacts are not necessarily the result of new activities but of the unprecedented increase of existing activities such as maritime transport, the laying of submarine cables (for internet connections) and, of course, fishing – where effort has consistently increased to compensate for falling catch levels and has pushed into deeper, more distant and more inhospitable waters. This increased effort is also paralleled with the continued incidence of “illegal, unregulated and unreported” (IUU) fishing. Each of these three practices is of course a distinct and separate problem. Taken as whole, the significance of IUU fishing is perhaps as much as one third of all the fish caught globally. This means they are caught without regard to the fisheries management systems, however flawed they may be, that we have in place. 6 At the same time there are proposals for more potentially harmful activities, such as ocean fertilisation to combat climate change.7 This increase in actual activities and impacts has not been matched by an increase in governance activity. IUU fishing persists – rendering effective fisheries management virtually impossible. The continued use of flags of convenience even for fishing vessels - has undermined attempts to exercise effective flag state controls. Despite development in international law rules on jurisdiction – including the extension of port state jurisdiction8 – effective policing of ABNJ is still problematic. The ABNJ Regime envisaged by Part XII of the 1982 Convention The 1982 Convention does not itself leave the legal regime for the high seas as an unfinished agenda. Although Article 87 of the 1982 LOSC talks about “freedom of the high seas,” it also makes the point reiterated in detail in other provisions that this freedom may only be exercised “under the conditions laid 4 Art. 76, LOSC B. Halpern et al., “A Global Map of Human Impact on Marine Ecosystems.” (2008) Vol. 319, no. 5865, Science, pp. 948-952 (15 February 2008). E. Ramirez-Llodra et al, “Man and the Last Great Wilderness: Human Impacts on the Deep Sea” (2011) 6(7) PLoS one e22588. 6 see M.A. Palma, M. Tsamenyi and W.R. Edeson, Promoting Sustainable Fisheries: The International Legal and Policy Framework to Combat Illegal, Unreported and Unregulated Fishing (Martinus Nijhoff, 2010). 7 See e.g., P. Verlaan, ‘Geo-engineering, the Law of the Sea, and Climate Change’ (2009) Carbon and Climate Law Review 446–458. See also R. Rayfuse, M. Lawrence, K. Gjerde, ‘Ocean Fertilization and Climate Change: The Need to Regulate Emerging High Seas Uses’ (2008) 23(2) IJMCL 297–326; D. Freestone, R. Rayfuse, “Ocean Iron Fertilization and International Law” (2008) 364 Marine Ecology Progress Series 227–233. Also P. Verlaan, “Current Legal Developments: London Convention and London Protocol” (2011) 26 IJMCL 185–194, and the same author, “Marine Scientific Research: its potential contribution to achieving responsible high seas governance” (2012) 27 IJMCL pp. 805-812. 8 2009, Agreement on Port State Measures to Prevent, Deter and Eliminate Illegal, Unreported and Unregulated Fishing. (Not yet in force). For text see: http://www.fao.org/docrep/013/i1644t/i1644t00.pdf 5 4 104 Proceedings from the 2012 LOSI-KIOST Conference on Securing the Ocean for the Next Generation down by this Convention and by other rules of international law.” In order words the six basic high seas freedoms are all set about by important conditions.9 Although the exercise of the freedoms are generally subject to these important general conditions, the only specific additional restrictions that can be made to the exercise of these rights are by international agreement binding only on states which are party to them. Of course, the 1982 Convention does oblige all states to "protect and preserve the marine environment”10 including “rare or fragile ecosystems as well as the habitat of depleted, threatened or endangered species and other forms of marine life.”11 It also obliges states by Article 197 to “cooperate on a global basis and, as appropriate, on a regional basis, directly or through competent international organizations, in formulating and elaborating international rules, standards and recommended practices and procedures consistent with this Convention, for the protection and preservation of the marine environment, taking into account characteristic regional features.” The LOSC itself establishes an international regime for exploration and exploitation of seabed minerals, in “the Area,” overseen by the International Seabed Authority (ISA), but a range of other global and regional treaties regulate a range of specific activities which take place in ABNJ, such as fishing, wildlife protection and navigation. But of course these detailed sectoral treaties are only binding on their parties. So, the problem of proper governance in ABNJ is exacerbated by the patchwork of treaties that exists. A review of existing organizations with jurisdiction over activities in ABNJ shows that there are serious gaps in coverage.12 In relation to sectoral activities these gaps are both functional as well as geographic. This is not necessarily a defect in the LOSC itself – it is a defect in implementation. In fact the lacunae in implementation are vividly shown by the provisions relating to the monitoring and reporting of potentially polluting activities. Their provisions, which are quite rigorous, are based entirely on good faith implementation by state parties, and provide as follows: 9 Navigation; overflight; freedom to lay submarine cables and pipelines; to construct artificial islands and other installations; freedom of fishing and of scientific research. 10 Article 192 LOSC. 11 Article 194(5) LOSC. 12 K. Gjerde, H. Dotinga, S. Hart, E.J. Molenaar, R. Rayfuse, R. Warner, Regulatory and Governance Gaps in the International Regime for the Conservation and Sustainable Use of Marine Biodiversity in Areas beyond National Jurisdiction (IUCN, Gland, Switzerland, (2008)(available at http://cmsdata.iucn.org/downloads/iucn_marine_paper_1_2.pdf). See also, David Freestone, “Problems of High Seas Governance,” pp 99-130 in D. Vidas and P.J. Schei (eds.) The World Ocean in Globalisation: Challenges and Responses (Martinus Nijhoff Publishers, Leiden, 2011), and in the same volume pp. 221–232, K. Gjerde, “High Seas Fisheries Governance: Prospects and Challenges in the 21st Century.” For an excellent wider discussion of the ABNJ legal regime see Robin Warner Protecting the Oceans beyond National Jurisdiction: Strengthening the International Law Framework (Martinus Nijhoff Publishers, 2009). 5 105 Proceedings from the 2012 LOSI-KIOST Conference on Securing the Ocean for the Next Generation Art. 204. States shall keep under surveillance the effects of any activities which they permit or in which they engage in order to determine whether these activities are likely to pollute the marine environment. Art. 205. States shall publish reports …or provide such reports to the competent international organizations, [to be] available to all States. Art. 206. When States have reasonable grounds for believing that planned activities under their jurisdiction or control may cause substantial pollution of or significant and harmful changes to the marine environment, they shall, as far as practicable, assess the potential effects of such activities on the marine environment and shall communicate reports of the results of such assessments... Although international permitting of activities does take place on the basis of prior environmental impact assessment (EIAs) in some areas of the ocean – such as the Southern Ocean under the Madrid Protocol, this is very much the exception rather than the rule. 13 Similarly, where regional conventional regimes do envisage the establishment of marine protected areas in high seas areas there has been some progress – as in the OSPAR region,14 and the Mediterranean.15 In the overwhelming majority of ocean areas however there is no such framework. This has led to discussions of this issue within the UN General Assembly, where proposals for a process to develop a new legal framework for high seas have been discussed over the last decade or so. We will consider this development before addressing the question of whether it is possible to protect Areas in ABNJ within the current system. Governance in ABNJ: the Debate with the UN General Assembly 13 See Robin Warner and Simon Marsden, Transboundary Environmental Governance: Inland, Coastal and Marine Perspectives (Ashgate, 2012). 14 The 1992 Convention for the Protection of the Marine Environment of the North-East Atlantic (the "OSPAR Convention") was formed from the merger of the Commissions of the 1972 Oslo Convention and the 1974 Bonn Convention. It entered in force in March 1998. Text at (1993) 32 ILM 1072 and at http://www.ospar.org/html_documents/ospar/html/ospar_convention_e_updated_text_2007.pd f 15 Convention for the Protection of the Mediterranean Sea against Pollution, 16 February 1976, 1102 United Nations Treaty Series 27, amended in 1995 and renamed the Convention for the Protection of the Marine Environment and Coastal Region of the Mediterranean (hereinafter Barcelona Convention); Protocol concerning Mediterranean Specially Protected Areas and Biodiversity, 10 June 1995, 2102 United Nations Treaty Series 203, 161. 6 106 Proceedings from the 2012 LOSI-KIOST Conference on Securing the Ocean for the Next Generation Governance in ABNJ has been on the agenda of the UN General Assembly for nearly a decade. In 2004, in order to address the full range of issues particularly related to the conservation of biodiversity in areas beyond national jurisdiction, the UN General Assembly agreed on the recommendation of the UN Informal Consultative Process on the Oceans and the Law of the Sea (UNICPOLOS) to establish an Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction (known as the BBNJ process).16 This Working Group held its first meeting in 2006; a second ran from 28 April to 2 May 2008, a third meeting was held in January 2010, a fourth in May 2011, and a fifth in May 2012. Several important proposals have been discussed at these meetings including a European Union proposal for a new implementing agreement to develop a more specific framework to address conservation and sustainable use of marine biodiversity beyond national jurisdiction. Issues highlighted in the discussions have included the absence of a global instrument regulating the establishment and monitoring of Marine Protected Areas (MPAs) on the High Seas (even though MPAs have proven to be extremely effective in maintaining biodiversity in coastal contexts), the absence of comprehensive EIAs for new activities in ABNJ, as well as the lack of co-ordination between those international organizations that are charged with regulating specific sectoral activities. 17 Other states have indicated that improved implementation should be the first priority, but have not all provided their views on what might be done to enhance implementation with respect to biodiversity conservation in general. Unfortunately the lively debates on improved governance have been overshadowed by controversy over the future regime for exploitation of marine genetic resources beyond national jurisdiction.18 The G77 and China have argued that the “common heritage of mankind” concept that the LOSC 16 For details of the meeting to date see http://www.un.org/Depts/los/biodiversityworkinggroup/biodiversityworkinggroup.htm 17 It has also been suggested that the international community should reaffirm some of the basic principles that have been agreed in a wide range of existing instruments, including the 1982 Convention, in relation to national activities in ABNJ At the IUCN 4th World Conservation Congress, in Barcelona on 7 October 2008, IUCN President Valli Moosa of South Africa chaired a plenary session presenting the IUCN “Ten Principles of High Seas Governance.” For a more detailed exposition of these principles and their legal basis see David Freestone, “Principles Applicable to Modern Oceans Governance,” (2008) 23 IJMCL 385-391 and David Freestone, “Modern Principles of High Seas Governance: The Legal Underpinnings,” (2009) 39 International Environmental Policy and Law, 44–49. 18 For an excellent assessment of the issues and potential of bio-prospecting see, D. Leary, M. Vierros, G. Hamon, S. Arico and C. Monagle, “Marine Genetic Resources: A Review of the Scientific and Commercial Interest” (2009) 33 Marine Policy, 183–194. A comprehensive analysis of various legal issues involved is found in Part IV, “Marine Genetic Resources and Bio-prospecting,” in D. Vidas (ed.), Law, Technology and Science for Oceans in Globalisation, pp. 309–419. 7 107 Proceedings from the 2012 LOSI-KIOST Conference on Securing the Ocean for the Next Generation applies to deep seabed minerals,19 should also apply to the living resources of the deep ocean floor, many of which may have important industrial and pharmaceutical potential. They argue that if the drafters of the 1982 Convention had been aware of these resources – rather than simply being aware of the famous “manganese nodules” – then they would doubtlessly have included these living resources within the deep sea bed regime. The result has been something of a stalemate in the discussions at the BBNJ Working Group, but at the May 2011 Meeting there was something of a breakthrough. It was agreed that the issues of protection of biodiversity through marine spatial planning measures in ABNJ (e.g., EIAs and establishment of MPAs) should be linked with issues relating to access and benefit sharing of marine genetic resources, and that: A process be initiated, by the UNGA, with a view to ensure that the legal framework for the conservation and sustainable use of marine biodiversity in areas beyond national jurisdiction effectively addresses those issues by identifying gaps and ways forward, including through the implementation of existing instruments and the possible development of a multilateral agreement under UNCLOS; This process would address the conservation and sustainable use of marine biodiversity in areas beyond national jurisdiction, in particular, together and as a whole, marine genetic resources, including questions on the sharing of benefits, measures such as area-based management tools, including marine protected areas, and environmental impact assessments, capacity-building and the transfer of marine technology. 20 This was discussed further at the 2012 BBNJ Working Group meeting,21 and, as expected was also discussed at the UN Conference on Sustainable Development (Rio plus 20)) in June 2012. The Outcome Document of the Rio 19 See Article 138 LOSC: “The Area and its resources are the common heritage of mankind.” Article 133 LOSC further provides that “resources” means “all solid liquid or gaseous mineral resources in situ in the Area at or beneath the seabed, including polymetallic nodules.” 20 Recommendations of the Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction and Co-Chairs’ summary of discussions UN Doc A/66/119 (30 June 2011). Available on line at http://daccess-ddsny.un.org/doc/UNDOC/GEN/N11/397/64/PDF/N1139764.pdf?OpenElement 21 New York, 7-11 May 2012. For Agenda see UN Doc A/AC.276/L.8. (3 April 2012). On line at: http://daccess-ddsny.un.org/doc/UNDOC/LTD/N12/282/68/PDF/N1228268.pdf?OpenElement 8 108 Proceedings from the 2012 LOSI-KIOST Conference on Securing the Ocean for the Next Generation Conference, entitled “The Future We Want,”22 contained the following commitment: 162. We recognize the importance of the conservation and sustainable use of marine biodiversity beyond areas of national jurisdiction. We note the ongoing work under the General Assembly of an ad hoc open-ended informal working group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction. Building on the work of the ad hoc working group and before the end of the sixty-ninth session of the General Assembly we commit to address, on an urgent basis, the issue of the conservation and sustainable use of marine biological diversity of areas beyond national jurisdiction, including by taking a decision on the development of an international instrument under the United Nations Convention on the Law of the Sea. The Sargasso Sea Project These processes, even if successful, are likely to take a number of years. In order to secure more rapid protection, and to provide an example of what can be achieved through working within the existing system, the Sargasso Sea project is designed to attempt to use existing treaty regimes and processes in order to seek protection for a unique ecosystem which is primarily located in areas beyond national jurisdiction. The Sargasso Sea is a 2 million square nautical mile ecosystem in the North Atlantic. Named for the algae that accumulates in the North Atlantic Subtropical Gyre and which forms into large mats or windrows, the Sargasso Sea is the world’s only sea without coasts; only the tiny islands of Bermuda have direct coastal frontage. The Sargasso Sea is bounded on all sides by the clockwise flow of major ocean currents: The Gulf Stream and North Atlantic Drift form the western and northern boundaries, the Canary Current forms a more diffuse eastern boundary, and the North Equatorial Current and Antilles Current form the southern boundary. Just as the currents vary, the boundaries of the Sargasso Sea also vary. The Sargassum is home to a range of endemic species, and, the Sargasso Sea is a major feeding and migration route for a number of threatened and endangered species including sea turtles, humpback and sperm whales, as well as for commercially important tunas and billfish. It is the only place in the world where the catadromous American eel (Anguilla 22 UN Doc A/RES/66/288 9 109 Proceedings from the 2012 LOSI-KIOST Conference on Securing the Ocean for the Next Generation rostrata), and European eel (Anguilla anguilla) spawn.23 Bermuda, at the centre of the Sargasso Sea, is an overseas territory of the United Kingdom. It claims a 200-nautical-mile EEZ of some 173,891 square miles. Beyond the Bermudian EEZ, however, the remainder of the Sargasso Sea is largely an Area beyond National Jurisdiction (ABNJ).24 The Sargasso Sea Alliance was formed in 2010 under the leadership of the Government of Bermuda. Its general strategy is to identify the most important environmental threats and then to address them on an activity or organisation-specific basis. The major threats to the Sargasso Sea and the relevant organisations for their management include: navigation and vessel source pollution threats through the International Maritime Organisation (IMO); fishing threats through International Convention for the Conservation of Atlantic Tunas (ICCAT) and perhaps the Northwest Atlantic Fisheries Management Organization (NAFO); and, seabed mining threats through the International Seabed Authority (ISA). The importance of developing a high quality peer reviewed science case is therefore crucial to being able to make strong arguments for a range of different protection measures in these various forums. Protecting the Sargasso Sea The Sargasso Sea Alliance is trying to move forward with a possible MPA in ABNJ using the existing sectoral institutions.25 In other words, accepting that governance of ABNJ is fragmented, what can be achieved in terms of protection for such areas using the existing organisational structures? Some limited success in establishing ABNJ MPAs in other regions has been achieved, notably in the North-East Atlantic OSPAR region,26 and, in the South Orkney area on the Southern Ocean using the Convention for the 23 The European eel is protected by EC Regulations. Council Regulation (EC) No. 1100/2007 of 18 September 2007 establishes measures for the recovery of the stock of European eel. OJ 2007 L248/17. 24 Depending on what is defined to be the geographical extent of the Sargasso Sea, it can be taken to extend into the EEZs of the United States to the East and the Northern Antillean islands to the south. The Alliance commissioned a new map based on criteria such as ocean current and eddy occurrence, remote sensing of Sargassum weed, and historical mapping, which excludes national EEZs. It calls this area the Sargasso Sea Alliance Study Area. The map can be viewed at http://www.sargassoalliance.org/where-is-the-sargasso-sea. 25 See further David Freestone and Kate Killerlain Morrison, “The Sargasso Sea Alliance: Seeking to Protect the Sargasso Sea.” (2012) 27 IJMCL pp. 647-655. The following section draws on that paper. 26 The 1992 Convention for the Protection of the Marine Environment of the North-East Atlantic (the "OSPAR Convention") was formed from the merger of the Commissions of the 1972 Oslo Convention and the 1974 Bonn Convention. It entered in force in March 1998 Text at (1993) 32 ILM 1072 and at http://www.ospar.org/html_documents/ospar/html/ospar_convention_e_updated_text_2007.pd f 10 110 Proceedings from the 2012 LOSI-KIOST Conference on Securing the Ocean for the Next Generation Conservation of Antarctic Marine Living Resources (CCAMLR).27 Both those regions have developed regional processes for marine conservation (including in ABNJ) which envisage the establishment of MPAs. However, despite the fact that the Sargasso Sea lies between Europe and the Americas, there is no regional marine environmental treaty expressly covering the Sargasso Sea Region. Nor is there a regional fisheries treaty regime applicable to the whole Sargasso Sea area for non “tuna and tuna-like” species.28 This again distinguishes it from the North East Atlantic which has the North-East Atlantic Fisheries Commission (NEAFC),29 to correspond with OSPAR, or the Southern Ocean, where CCAMLR performs both roles, or the Mediterranean which has the General Fisheries Council for the Mediterranean.30 The Sargasso Sea Alliance, led by the Government of Bermuda, is seeking to break new ground, by seeking to establish a marine protected area in the high seas areas of the Sargasso Sea using the existing legal framework and any existing sectoral bodies that may be able to assist.31 The Alliance has four basic aims: To build an international partnership to secure global recognition of the importance and ecological significance of the Sargasso Sea, the threats that it faces, and the precautionary management it needs; To use existing regional, sectoral and international organizations to secure a range of protective measures for the Sargasso Sea; To establish appropriate management for the Sargasso Sea; and To use the current process as an example of what can and cannot be delivered through existing frameworks in marine ABNJ to inform the global debate and provide a model for protection of other high seas regions. The relevant sectoral organisations In the Sargasso Sea, the only international bodies that have sectoral jurisdiction are the International Maritime Organisation (IMO) in relation to 27 The 1980 Convention for the Conservation of Antarctic Marine Living Resources (entered into force 1982) is part of the Antarctic Treaty System. Text at (1980) 19 ILM 837 and at http://www.ccamlr.org/pu/e/e_pubs/bd/pt1.pdf 28 As opposed to a regime for tuna and tuna-like species – see discussion of ICCAT below. 29 The 1980 Convention on Future Multilateral Co-Operation in North-East Atlantic Fisheries, entered in force in 1982. For text as amended see http://www.neafc.org/system/files/londondeclarlation_and_new_convention.pdf 30 The Mediterranean Sea has an environmental protection treaty in the 1976 Barcelona Convention, as amended, see above, note 14. 31 The secretariat of the Alliance is located in the Washington DC Office of IUCN. The Alliance has a small Executive Committee and a larger Steering Committee. It is supported by private donors and foundations. For details see www.sargassoalliance.org. 11 111 Proceedings from the 2012 LOSI-KIOST Conference on Securing the Ocean for the Next Generation shipping and marine pollution issues,32 the International Convention for the Conservation of Atlantic Tunas (ICCAT), 33 which regulates fisheries for tuna and tuna-like species in the north and south Atlantic, and the International Seabed Authority (ISA) which has jurisdiction over seabed mineral resource exploration and exploitation.34 In addition, the northern edges of the Sargasso Sea and of the Bermudian EEZ do extend north of 35°N into the geographical area of competence of the North West Atlantic Fishing Organisation (NAFO).35 However, the majority of the high seas areas of the Sargasso Sea are neither covered by a regional environmental agreement nor by a regional fisheries management organization. 36 Also, the FAO Advisory Body, the Western Central Atlantic Fishery Commission (WECAFC), which includes the Sargasso Sea by geography, has recently shown potential for conservation-minded recommendations in their February 2012 meeting which included a resolution on strengthening the implementation of international fisheries instruments. WECAFC noted the “need to preserve biodiversity, minimize the risks of long-term or irreversible effects of fishing operations, avoid adverse impacts on the marine environment, maintain the integrity of marine ecosystems including deep-sea vulnerable marine ecosystems and effectively apply the precautionary and ecosystem approaches to fisheries management.” Furthermore, they “agree(d) to take actions and measures to strengthen implementation of existing international fisheries instruments and those that may be developed in the future…”37 There are also a number of other international conventions which are of potential relevance. At the tenth session of the Conference of Parties to the Convention on Biological Diversity (CBD) in Nagoya, Japan the parties 32 In 1948 an international conference in Geneva adopted a convention formally establishing IMO (the original name was the Inter-Governmental Maritime Consultative Organization, or IMCO, but the name was changed in 1982 to IMO). It currently has 170 Member States and three Associate Members. See http://www.imo.org/About/HistoryOfIMO/Pages/Default.aspx 33 The International Convention for the Conservation of Atlantic Tunas was signed in Rio de Janiero Brazil in 1966. It entered into force in 1969. Currently has 48 parties. Further details at http://www.iccat.int/en/contracting.htm 34 Created by Part XI, Section 4 of the 1982 LOSC. Articles 156-158. 35 NAFO was founded in 1979 as a successor to ICNAF (International Commission of the Northwest Atlantic Fisheries) (1949-1978). The 1979 Convention on Future Multilateral Cooperation in the Northwest Atlantic Fisheries applies to most fishery resources of the Northwest Atlantic except salmon, tunas/marlins, whales, and sedentary species (e.g. shellfish). For text see http://www.nafo.int/about/overview/governance/convention/convention.pdf 36 This is in distinct contrast with the ABNJ areas of the North-east Atlantic which are included within the area of competence of both a regional environmental agreement, in the shape of the 1992 OSPAR Convention, and a corresponding regional fisheries management body – the North East Atlantic Fisheries Commission (NEAFC). 37 Resolution on Strengthening the Implementation of International Fisheries InstrumentsWECAFC 14 Session, Panama City, 6-9 February, 2012, (WECAFC/XIV/2012/7. Available at: http://www.fao.org/docrep/meeting/024/am121e.pdf 12 112 Proceedings from the 2012 LOSI-KIOST Conference on Securing the Ocean for the Next Generation decided to initiate a science driven process to describe ecologically and biologically significant marine areas (EBSAs). 38 To that end a series of workshops have been organised by the CBD Secretariat in association with other organisations to identify such areas.39 At a workshop in Brazil in March 2012, the Government of Bermuda put forward a proposal for the “Description” of the Sargasso Sea as an EBSA, which was recommended by the Recife Workshop and then approved by the 16th Meeting of the CBD Subsidiary Body on Scientific, Technical and Technological Advice (SBSTTA) in April/May 2012 and was considered by the 11th Meeting of the CBD Conference of the Parties (COP) in Hyderabad in October 2012. Although these “described” areas were not specifically endorsed by the CBD COP, they were sent to the UN and other appropriate international organisations, and, the Sargasso Sea, along with other EBSAs, was added to the EBSA repository maintained by the CBD Secretariat.40 “Description” as an EBSA has no legal significance but it is intended that the CBD process will be taken into account by other international processes charged with managing and conserving ocean resources. For example, while the CBD does not have competence to designate MPAs, information shared through the EBSA identification process may help strengthen the scientific basis for protective measures at other sectoral entities. 38 “[The] primary objective of this process is to facilitate the description of ecologically or biologically significant marine areas through application of scientific criteria in annex I of decision IX/20 as well as other relevant compatible and complementary nationally and inter governmentally agreed scientific criteria, as well as the scientific guidance on the identification of marine areas beyond national jurisdiction, which meet the scientific criteria in annex I to CBD Decision IX/20.” CBD Decision X/29, Paragraph 36. 39 The Workshops held to date include : Joint CBD/NEAFC/OSPAR Scientific Workshop on the Identification of Ecologically or Biologically Significant Marine Areas, EBSAs in the North-East Atlantic-Hyeres, France 8-9 September 2011; Western South Pacific Regional Workshop to Facilitate the Description of Ecologically or Biologically Significant Marine Areas (22–25 November 2011, Nadi, Fiji); Wider Caribbean and Western Mid-Atlantic Regional Workshop to Facilitate the Description of Ecologically or Biologically Significant Marine Areas (28 February–2 March 2012, Recife, Brazil). Further details see http://www.cbd.int/meetings/ 40 The CBD COP Decision XI/17, welcomed the scientific and technical evaluation of information contained in the reports of the regional workshops, including the Wider Caribbean and Western Mid-Atlantic Regional Workshop, and requested the Executive Secretary to include the summary reports on the description of areas that meet the criteria for ecologically or biologically significant marine areas, prepared by the Subsidiary Body on Scientific, Technical and Technological Advice at its sixteenth meeting in the repository, as referred to in decisions X/29 and XI/17, and, for the purpose set out in decision X/29, to submit them to the United Nations General Assembly and particularly its Ad Hoc Open-ended Informal Working Group to Study Issues Relating to the Conservation and Sustainable Use of Marine Biological Diversity Beyond Areas of National Jurisdiction, as well as to submit them to Parties, other Governments and relevant international organizations. 13 113 Proceedings from the 2012 LOSI-KIOST Conference on Securing the Ocean for the Next Generation The Convention on the Conservation of Migratory Species (CMS) may also be of relevance.41 A number of migratory species travel through the Sargasso Sea – some of which – like the American and European eel are not protected in international waters. Under the CMS, States can enter into Range State Agreements and/or Memoranda of Understanding to protect species within their full habitat range and can serve as a strong example of how international collaboration can improve marine protection for a shared species across jurisdictions, and even in ABNJ. The 1972 Convention Concerning the Protection of the World Cultural and Natural Heritage envisages the inscription in the World Heritage List, sites of “outstanding universal value” that are part of the world’s “natural” and “cultural’ heritage, defined in Article 1 and 2 respectively. 42 Nothing in the texts of Article 1 and 2 suggests that they could not be in areas beyond national jurisdiction, however the procedure for nomination seems to restrict it to sites which are “situated on the territory” of any of its Parties (Articles 3 and 4) or “in its territory” (Article 11). It has consequently been remarked that a World Heritage List that excludes sites in ABNJ (which covers nearly half the globe) should perhaps be called “Half the World Heritage”43 The issue was raised in 2011 after an audit of the “Global Strategy for a credible, balanced and representative World Heritage List.” 44 Consequent to this, the Convention Secretariat began, in collaboration with IUCN, to look at a scientifically sound method through which the concept of Outstanding Universal Value of the 1972 World Heritage Convention might be applied to the high seas.45 The Sargasso Sea would clearly be a poster child for such a venture. In addition to pursuing the adoption of protection measures in the organisations described above, the Alliance is also planning to convene an intergovernmental meeting in 2013 to encourage states and international organisations to collaborate voluntarily to protect the Sargasso Sea, through the negotiation and acceptance of an agreed political declaration on 41 The Bonn Convention on Migratory Species was concluded in Bonn on 23 June 1979, and came into force 1983. For text see (1980) 19 ILM 15 and at http://www.cms.int/documents/convtxt/cms_convtxt.htm Migratory species may be listed under Appendix I and/or II. Appendix II species may be the subject of Range State AGREEMENTS (sic, per text of Article 5) between Parties. NonParties, such as the US may participate in non-binding MOU arrangements, for example, the 2010 MOU on the Conservation of Migratory Sharks, text at http://www.cms.int/species/sharks/sharks_bkrd.htm 42 1972 UNESCO Convention Concerning the Protection of the World Cultural and Natural Heritage, in force 1975. Text at (1972) 11 ILM 1358 and at http://whc.unesco.org/archive/convention-en.pdf. 43 Per Professor Dan Laffoley, marine vice-chair of the IUCN World Commission on Protected Areas (WCPA). 44 Referenced at http://whc.unesco.org/en/marine-programme 45 Note that, as an analogy, the 1973 Convention on International Trade in Endangered Species of Wild Fauna and Flora has felt able to address trade in ABNJ based on the phrase in Article 1(e)—“in the marine environment not under the jurisdiction of any State.” I am grateful to the Editor for this useful suggestion. 14 114 Proceedings from the 2012 LOSI-KIOST Conference on Securing the Ocean for the Next Generation collaborative action to conserve the Sargasso Sea. Such a Hamilton Declaration (Hamilton is the capital city of Bermuda) is envisaged to include key Atlantic Rim countries and states from the Caribbean as well as the range states of key species such as the European eel. It is an on-going diplomatic effort in parallel to the pursuit of proposals for protected measures using existing international sectoral organisations. The Sargasso Sea Alliance was only launched in 2010, but it has already become clear that there are major challenges in seeking to use existing sectoral organizations to achieve a purpose that is greater than each of their individual mandates. Although virtually all of the organizations mentioned above may have specific powers to protect the marine environment – including in ABNJ – in various ways, it is clear that despite the injunction of Article 197 of the 1982 Convention cited above - there is virtually no coordination between these organizations. The culture, processes and epistemic communities of each of these institutions are entirely different. Conservation arguments raised in one institution carry little, if any, weight in the others. Because IMO serves the shipping community, ICCAT the tuna fishing community, and the ISA is a more mainstream UN process, their respective formal meeting agendas and even schedules are, perhaps understandably, put together without regard to the activities of other sectoral bodies.46 In this sense, the overall objective of the obligations that the Law of the Sea Convention imposes on states by Article 197 to collaborate through international and regional organizations in marine environmental protection has not really been achieved. Many hope that the process initiated by the CBD to use scientific processes to identify Ecologically or Biologically Significant marine Areas (EBSAs) will provide a unifying conceptual framework for the description or identification of areas in ABNJ that are worthy of conservation. It remains still to be seen, however, whether existing institutions will be willing or indeed able to respond to this challenge in the way that Article 197 of the 1982 Convention appears to envisage. If they do not, then it is indeed an unfinished agenda. Scholars have pointed out that that there are serious gaps in the regulatory framework applicable to ABNJ as well as gaps in implementation and enforcement. It has been suggested that the elements of lawlessness are reminiscent of the 19th century frontier areas of the “wild west” in the USA; governance of ABNJ is also perhaps the last, the final, major issue still to remain unresolved under the regime of the 1982 Law of the Sea Convention. 46 For example, the second week of July 2011 saw a meeting of the IMO Marine Environment Protection Committee, the ISA Legal and Technical Commission and Kobe 3 – the third meeting of the various Tuna Commissions. 15 115 The International Journal of Marine and Coastal Law 29 (2014) 345–362 THE INTERNATIONAL JOURNAL OF MARINE AND COASTAL LAW brill.com/estu Current Legal Developments The Sargasso Sea ∵ The Signing of the Hamilton Declaration on Collaboration for the Conservation of the Sargasso Sea: A New Paradigm for High Seas Conservation? On 11 March 2014, in an historic event in Hamilton, Bermuda, the representatives from the governments of eleven countries and territories met to reaffirm their support for an initiative, led by the Government of Bermuda, to collaborate for the conservation of the Sargasso Sea ecosystem for the benefit of present and future generations. The centerpiece of the meeting was the signing of the “Hamilton Declaration on Collaboration for the Conservation of the Sargasso Sea.”1 The governments of the Azores, Bermuda, Monaco, the United Kingdom and the United States signed the Declaration. Representatives of the governments of the Bahamas, the British Virgin Islands, the Netherlands, South Africa, Sweden and the Turks and Caicos Islands spoke in support, together with observers from the Secretariats of five international organizations, the Oslo and Paris Commission (OSPAR) from the neighboring North-east Atlantic region, the International Seabed Authority, the Inter-American Convention for the Conservation of Atlantic Sea Turtles, the Convention on Migratory Species and the International Union for Conservation of Nature (IUCN). The Hamilton Declaration is the result of a two-year negotiation between interested governments that are either located in the broader Sargasso Sea area, have an interest in species within it or more generally in high seas conservation. It is historic in that it is the first non-binding instrument designed 1 Reproduced below as Appendix 1 to this contribution on pp. 354–360; also at: http://www. sargassoalliance.org/hamilton-declaration. © koninklijke brill nv, leiden, ���4 | doi 10.1163/15718085-12341320 116 346 FREESTONE AND MORRISON to provide a framework for intergovernmental collaboration to promote measures, through existing international organizations, to minimize the adverse effects of human activities in an ecosystem that is primarily in areas beyond national jurisdiction (ABNJ). It also envisages the establishment of a Sargasso Sea Commission, to “exercise a stewardship role for the Sargasso Sea and keep its health, productivity and resilience under continual review.”2 In an earlier contribution in this journal,3 the current authors explained that the Sargasso Sea Alliance (SSA) was founded in 2010 and led by the Government of Bermuda.4 The SSA aimed to build an international partnership to secure recognition of the ecological significance of the Sargasso Sea and the threats that it faces, as well as to use existing regional, sectoral and international organizations to secure a range of protective measures for all or parts of the Sargasso Sea to address those threats.5 These objectives have now been assumed de facto by the Signatories to the Hamilton Declaration. Unlike the Mediterranean, the Northeast Atlantic or the Southern Ocean, where previous efforts to protect high seas areas have been located, the Sargasso Sea lacks both a regional oceans organization to promote conservation and a regional fisheries management organization (RFMO). So the key relevant international organizations that have regulatory authority for the Sargasso Sea area beyond national jurisdiction are the International Maritime Organization (IMO)6 for maritime traffic and vessel discharges and the International Seabed Authority7 for seabed exploration and mining. In the fisheries sector the regulatory area of North-West Atlantic Fisheries Organization (NAFO) does extend as far south as 35°N into the northern-most part of the Bermuda Exclusive Economic Zone (EEZ)8 and the International Commission for the Conservation 2 Paragraph 6 and Annex II of the Declaration, op. cit. (n. 1). 3 D. Freestone and K.K. Morrison, “The Sargasso Sea Alliance: Seeking to Protect the Sargasso Sea” (2012) 27 International Journal of Marine and Coastal Law 647–655. 4The SSA Secretariat is based in the Washington DC office of the International Union for Conservation of Nature (IUCN). 5 See http://www.sargassoalliance.org/about-the-alliance. 6 In 1948, an international conference in Geneva adopted a convention formally establishing the IMO (the original name was the Inter-Governmental Maritime Consultative Organization, or IMCO, but the name was changed in 1982 to IMO). It currently has 170 Member States and three Associate Members; see http://www.imo.org/About/HistoryOfIMO/Pages/Default. aspx. 7 Established under Part XI of the 1982 UN Convention on the Law of the Sea, (1982) 21 ILM 1261. 8 1979 Convention on Future Multilateral Cooperation in the Northwest Atlantic Fisheries (NAFO), which applies to most fishery resources of the Northwest Atlantic except salmon, tunas/marlins, and sedentary species (e.g., shellfish). For text see http://www.nafo.int/about/ overview/governance/convention/convention.pdf. The International Journal of Marine and Coastal Law 29 (2014) 345–362 117 THE SARGASSO SEA 347 of Atlantic Tunas (ICCAT) has regulatory authority over the whole area, but only over fisheries of “tuna and tuna-like species.”9 Achievements of the Sargasso Sea Alliance to Date The Hamilton Meeting was the culmination of some three years’ work by the SSA, in bringing the importance of the Sargasso Sea to the attention of the international community and in working to develop specific protection measures for consideration by relevant bodies. In early 2012, after extensive research and having commissioned a number of studies,10 the SSA published The Protection and Management of the Sargasso Sea: The Golden Floating Rainforest of the Atlantic Ocean. Summary Science and Supporting Evidence Case.11 This report was the basis for a submission in March 2012 by the Government of Bermuda on behalf of the SSA at a Convention on Biological Diversity (CBD) Secretariat workshop to consider the description of Ecologically or Biologically Significant Areas (EBSAs) in the mid-Atlantic region.12 The case for the Sargasso Sea as an EBSA was discussed and adopted by the scientists at the workshop,13 then forwarded as part of the Workshop Report to the CBD’s Subsidiary Body on Scientific, Technical and Technological Advice (SBSTTA) meeting in April 2012 and ultimately the Conference of Parties (COP) in October 2012, where it was officially described as an EBSA.14 “Description” as an EBSA has no legal significance, but it is intended that the CBD process will be taken into account by other international processes charged with managing and conserving ocean resources.15 The SSA was the first to use the EBSA description in proposals to such “international processes.” 9 The International Commission for the Conservation of Atlantic Tunas (ICCAT) is discussed below; it is species-based and there is an FAO Advisory Body, WECAFC, with no management competence. 10 Twelve of these are available to download as pdfs in the Sargasso Sea Alliance Science Report Series at: http://www.sargassoalliance.org/case-for-protection/ssa-science-report-series. 11 D. Laffoley and H. Roe (eds). Available at: http://www.sargassoalliance.org/case-forprotection. 12 CBD Wider Caribbean and Western Mid-Atlantic Regional Workshop to Facilitate the Description of Ecologically or Biologically Significant Marine Areas (EBSAs), 28 February– 2 March 2012 in Recife, Brazil. 13The EBSA proposal garnered acclaim at the workshop, with several experts complimenting it for its thoroughness and scientific rigour. 14 CBD UNEP/CBD/COP/DEC/XI/17 (5 December 2012), at page 23, item 13; http://www .sargassoalliance.org/storage/documents/cop-11-dec-17-en.pdf. 15 Freestone and Morrison (n 3), at p. 654. The International Journal of Marine 118and Coastal Law 29 (2014) 345–362 348 FREESTONE AND MORRISON The first occasion was September 2012, at the NAFO Fisheries Commission, and the second was at the November 2012 Meeting of the ICCAT Commission in Agadir. At NAFO, a proposal for special conservation measures for the areas of the Sargasso Sea EBSA north of 35°N, and thus inside the NAFO Regulatory Area, was put forward by the European Union (EU)—at the suggestion of the UK—with strong US support. The NAFO Fisheries Commission requested the advice of the NAFO Scientific Council. This advice was considered at its June and September 2013 meetings, where the proposals were then sent for consideration by the new joint FC/SC Working Group on Ecosystem Approach Framework to Fisheries Management which is scheduled to meet in July 2014.16 At the 12–19 November 2012 meeting of the ICCAT Commission in Agadir, Morocco, in response to a proposal by Bermuda, the ICCAT Commission referred the question of the significance of the Sargasso Sea for tuna and tunalike species to the Standing Committee on Research and Statistics (SCRS),17 which in turn referred it to its Subcommittee on Ecosystems. Bermuda and the SSA worked with that Subcommittee, and at the ICCAT Commission Meeting in Cape Town, South Africa, in November 2013, the chair of the SCRS reported that the ecosystem group “recognized that basic biological and ecological data provided for the Sargasso Sea offers a useful foundation for adopting the region as a basis for a case study . . .”18 16 17 18 Northwest Atlantic Fisheries Organization (NAFO), NAFO/FC DOC. 12/24, Fisheries Commission’s Request for Scientific Advice on Management in 2014 and Beyond of Certain Stocks in Subareas 2, 3 and 4 and Other Matters (Sept. 2012). See also: NAFO Scientific Council June 2013 Meeting. Section xiv—Sargasso Sea management measures (Item 15, at page 48); available at: http://www.sargassoalliance.org/storage/documents/ scs13-17.pdf. See also: NAFO FC Working Paper 13/20, FC Request #15. Available at: http:// www.sargassoalliance.org/storage/documents/Scientific_Council_Advice_Sept_2013_-_ FC_WP13-20.pdf. See Resolution by ICCAT on the Sargasso Sea, Res. 12-12 (2012) in ICCAT, Report For Biennial Period 2012–13, Pt. I (2012)—Vol. 1 at p. 215, available at: http://www.iccat.es/ Documents/BienRep/REP_EN_12-13_I_1.pdf.1. The SCRS will examine the available data and information concerning the Sargasso Sea and its ecological importance to tuna and tuna-like species and ecologically associated species. 2. The SCRS will provide an update on the progress of this work in 2014 and report back to the Commission with its findings in 2015. ICCAT Report for the Biennial Period 2012–2013, Volume 2. Standing Committee on Research and Statistics. Appendix 9. Summary of the Report of the Inter-Sessional Meeting of the Sub-Committee on Ecosystems, at p. 336. Available at: http://www.iccat. es/Documents/BienRep/REP_EN_12-13_II_2.pdf. The International Journal of Marine and Coastal Law 29 (2014) 345–362 119 THE SARGASSO SEA 349 The SSA has also reached out to all the other international organizations relevant to its work in order to develop a network of collaborating organizations. These include the secretariats of regional organizations, such as OSPAR,19 with which it signed a Collaboration Arrangement in 2011,20 the Cartagena Convention,21 the Abidjan Convention,22 the Inter-American Convention for the Protection and Conservation of Atlantic Sea Turtles,23 the International Seabed Authority,24 the Convention on Migratory Species,25 UNESCO26 and the Western Central Atlantic Fishery Commission (WECAFC).27 Within the UN General Assembly in November 2012, on the basis of a proposal by the United Kingdom, the USA and South Africa, the Annual Composite Resolution on Oceans and Law of the Sea: “Noted the efforts of the Sargasso Sea Alliance—led by the Government of Bermuda—to raise awareness of the ecological significance of the Sargasso Sea.”28 19 20 21 22 23 24 25 26 27 28 The 1992 Convention for the Protection of the Marine Environment of the North-East Atlantic (the “OSPAR Convention”) was formed from the merger of the Commissions of the 1972 Oslo Convention and the 1974 Paris Convention, and entered into force in March 1998; text at (1993) 32 ILM 1072 and at: http://www.ospar.org/html_documents/ospar/ html/ospar_convention_e_updated_text_2007.pdf. Collaboration Arrangement in August 2012 to “maximize opportunities for the sharing of research, expertise and practical experience in seeking to protect and manage the marine environment of the North Atlantic, particularly in Areas beyond National Jurisdiction.” 1983 Convention for the Protection and Development of the Marine Environment of the Wider Caribbean Region. (1983) 22 ILM 221. 1981 Convention for Cooperation in the Protection and Development of the Marine and Coastal Environment of the West and Central Africa. (1981) 20 ILM 746. 1996 text at: http://www.iacseaturtle.org/eng-docs/Texto-CIT-ENG.pdf. Established under Part XI of the 1982 UN Convention on the Law of the Sea. (1982) 21 ILM 1261. 1979 Convention on the Conservation of Migratory Species of Wild Animals. (1980) ILM 15. With responsibility for the World Heritage Convention. An advisory body established under Article IV of the FAO Constitution, text at: http:// www.rlc.fao.org/en/about-fao/statutory-bodies/wecafc/. Para 199. For the 2012 Resolution, see: http://library.constantcontact.com/download/get/ file/1109154724045-37/2012+oceans+and+los+resolution+as+passed.pdf. The following year, this time on a proposal from the UK, the USA and the Bahamas, a similar text was agreed in the 2013 Resolution (see para 215). United Nations General Assembly. Sixty-eighth session. Agenda item 76 (a). Oceans and the law of the sea. A/68/L.18, page 37. Available at: http://www.sargassoalliance.org/storage/documents/A-68-L18.pdf. The International Journal of Marine 120and Coastal Law 29 (2014) 345–362 350 FREESTONE AND MORRISON The Hamilton Declaration The negotiation of the text of the Declaration was a two-year process. In December 2012, the SSA convened a two-day meeting at the Pocantico Center of the Rockefeller Brothers Fund in Tarrytown, New York. Official representatives from the governments of Bermuda, Belgium, Dominican Republic, Portugal, South Africa, Sweden, Trinidad & Tobago, the United States and the United Kingdom attended, as did a representative from the European Commission. In addition, representatives from international and regional organizations also participated as observers, including the UN Division of Ocean Affairs and Law of the Sea (DOALOS), the Regional Coordinators from the UN Environment Programmes for the Caribbean (the Cartagena Convention) and West Africa (the Abidjan Convention), the Secretariat of the Convention on Biological Diversity and the Caribbean Community (CARICOM). The Pocantico Meeting developed a negotiated text for review and consideration by the governments interested in signing it. The text was presented to the EU Council of Ministers Committee on Law of the Sea issues (COMAR) in Brussels in March 2013 and reviewed by COMAR on a number of occasions thereafter.29 A second meeting was held in Pocantico in November 2013 to finalize the text for signature. Together with a representative from the European Commission, official representatives from the following governments attended: Portugal, the Azores, the Bahamas, Belgium, Dominican Republic, the Netherlands and Monaco, the USA and the UK. The International Seabed Authority and the Canadian Senate participated as observers. The Text of the Declaration The Declaration Preamble recognises, inter alia, the Government of Bermuda for its important leadership role in bringing to international attention the global significance of the Sargasso Sea and for initiating and continuing the process leading to the convening of the Hamilton Meeting. It reinforces the point that the framework for this collaboration is the 1982 UN Convention on the Law of the Sea, recognises the important scientific work of the SSA, and recognises explicitly that the Declaration “is not legally binding and is without prejudice to the existing legal rights and obligations of the Signatories under international law or to the competences of regional and international organisations.” 29See http://archive.constantcontact.com/fs169/1109154724045/archive/1112961582336 .html. The International Journal of Marine and Coastal Law 29 (2014) 345–362 121 THE SARGASSO SEA 351 After reiterating that the guiding principle of this Declaration is to conserve the Sargasso Sea ecosystem for the benefit of present and future generations, Paragraph 3 states that the basic objective of the Declaration is for the signatory states to agree to collaborate, to the extent possible, in pursuing conservation measures for the Sargasso Sea ecosystem through existing regional and international organizations with relevant competences. Paragraph 8 further develops this concept, entrusting the Sargasso Sea Commission (discussed below) with the role of developing proposals for such measures for consideration by the Signatories to the Declaration;30 the Signatories may then decide whether to submit these or support them at relevant regional or international organisations. Institutions The Declaration establishes a “Meeting of Signatories” and endorses the establishment of a Sargasso Sea Commission with a Secretariat and supporting financial mechanism.31 The Government of Bermuda will establish the Sargasso Sea Commission, composed of “distinguished scientists and other persons of international repute committed to the conservation of high seas ecosystems”, serving in their personal capacity, to “exercise a stewardship role for the Sargasso Sea and keep its health, productivity and resilience under continual review.”32 A small permanent Secretariat will assist both bodies and a financial mechanism to receive voluntary contributions from both public and private sources is to be established, including a dedicated fund in Bermuda.33 There are no mandatory financial obligations but Signatories are invited on a voluntary basis, to support the work of the Commission.34 30 31 32 33 34 These might be proposals for measures before IMO, or the relevant RFMOs, etc. The structure is very loosely modelled on the structure of The Memorandum of Understanding on the Conservation of Migratory Sharks, an instrument developed under the auspices of the Convention on Migratory Species. Text is at: http://sharksmou.org/ sites/default/files/Migratory_Shark_MoU_English.pdf. As of February 2014, the MOU has 36 Signatories: 35 national governments and the European Union; see http://sharksmou. org/list-of-signatories. Established in the first instance under the law of Bermuda, the Government of Bermuda, in consultation with the Signatories and Collaborating Partners, will select qualified individuals to serve on the Commission. Details of the Commission’s initial mandate are set out in Declaration Annex II. Paragraph 9. Paragraph 7. The International Journal of Marine 122and Coastal Law 29 (2014) 345–362 352 FREESTONE AND MORRISON Definition of the Sargasso Sea For the purposes of this Declaration, the Sargasso Sea is defined as the “area of collaboration”, being the portion of high seas and the Area35 under that portion of the high seas (excluding the exclusive economic zone (EEZ) and territorial sea around Bermuda, and the extended continental shelves of neighbouring states) shown on the illustrative map attached to the Declaration. The outer parameters of this map were generally described by the scientific experts attending the CBD Wider Caribbean and Western Mid-Atlantic Regional Workshop to Facilitate the Description of Ecologically or Biologically Significant Marine Areas (EBSAs), 28 February–2 March 2012 in Recife, Brazil, discussed above.36 The EBSA definition included the Bermudian EEZ and waters up to the edge of the seamount on which the islands of Bermuda are situated (known as “the platform”), but for internal political reasons, arising from misinformation within Bermuda about the role of the Commission, the Bermudian authorities requested, at the last minute, that the Bermuda EEZ be excluded from the area of collaboration. Later Signatures and Collaborating Partners The Declaration remains open for signature by other interested governments.37 Five out of the eleven governments attending the Hamilton Meeting signed and the others indicated an interest in signing in the future. Similarly, it is open to regional and international organizations, as well as other bodies and entities, interested in contributing to the efforts to conserve the Sargasso Sea ecosystem in accordance with this Declaration, to participate as “Collaborating Partners.”38 Conclusions and Looking Forward In the light of the decision made at the Rio Summit in June 2012, discussions continue within the UN General Assembly—through its Ad Hoc Openended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national 35 36 37 38 The Area is the seabed and ocean floor and subsoil beyond the limits of national jurisdiction. See 1982 UN Convention on the Law of the Sea, Article 1(1)(1). See above. Paragraph 10. Paragraph 11. The International Journal of Marine and Coastal Law 29 (2014) 345–362 123 THE SARGASSO SEA 353 jurisdiction (known as BBNJ)39—regarding the possibility of negotiating a new instrument—including possibly a new implementing agreement to the LOSC.40 The Hamilton Declaration is not an attempt to undermine that process, but to highlight the importance of iconic high seas ecosystems like the Sargasso Sea and the need for international collaboration to start sooner rather than later. The work of the SSA and the signature of the Hamilton Declaration may indeed represent a possible new paradigm for high seas conservation. Regional treaty regimes, while still important, take a long time to negotiate, move slowly and cannot bind third parties.41 The Alliance was funded by a group of forwardthinking private donors; it worked with the Government of Bermuda—and ultimately the United Kingdom—in a novel form of public-private partnership. The Hamilton Declaration is not a legal instrument, but the Signatories have agreed to work together through the international legal mechanisms that already exist. The Sargasso Sea Commission will not have international legal personality, nor will it have management authority per se. But its “stewardship” role does have the potential for it to be an important voice, to provide the scientific and policy underpinnings for monitoring and management by others, and to be the conscience of the Signatories. The appointment of the first Sargasso Sea Commission, by the Government of Bermuda, after nomination by and consultations with the Signatory Governments of the Declaration, is planned for August 2014. David Freestone Executive Director Kate Killerlain Morrison Deputy Executive Director Sargasso Sea Alliance, Washington DC 39 40 41 For details of the meetings to date, see http://www.un.org/Depts/los/biodiversityworkinggroup/biodiversityworkinggroup.htm. Discussed in Freestone and Morrison (n 3), at pp. 649–650. The Future We Want, G.A. Res. 66/288, at 3, U.N. Doc. A/RES/66/288 ¶ 162 (11 September 2012), available at: http://www.un.org/ga/search/view_doc.asp?symbol=A/ RES/66/288&Lang=E. For a comparison of the OSPAR experience and the SSA, see D. Freestone, D. Johnson, J. Ardron, K. K. Morrison and S. Unger, “Can existing institutions protect biodiversity in areas beyond national jurisdiction? Experiences from two on-going processes,” (2014) 42 Marine Policy (in press); http://dx.doi.org/10.1016/j.marpol.2013.12.007. The International Journal of Marine 124and Coastal Law 29 (2014) 345–362 354 FREESTONE AND MORRISON Appendix 1 Hamilton Declaration on Collaboration for the Conservation of the Sargasso Sea Hamilton, Bermuda 11 March, 2014 WE, THE SIGNATORIES LISTED BELOW: Recognising that the islands of Bermuda are the only land territory within the Sargasso Sea and that the Government of Bermuda has taken a leadership role in marine conservation; Commending the Government of Bermuda for its important leadership role in bringing to international attention the global significance of the Sargasso Sea and for initiating and continuing a process leading to the convening of this meeting in Hamilton; Recognising the challenges in protecting areas beyond national jurisdiction including effective monitoring and development of protection measures for important marine ecosystems in such areas; Reaffirming that the 1982 United Nations Convention on the Law of the Sea sets out the legal framework within which all activities in the oceans and seas must be carried out, including the obligation to protect and preserve the marine environment; Recognizing also that there are other international instruments that articulate how States may use their jurisdiction over vessels and persons to control certain activities in areas beyond national jurisdiction including within the Sargasso Sea; Noting that the Sargasso Sea is the world’s only holopelagic seaweed ecosystem, home to a wide diversity of species including several identified for protection by a range of regional and international instruments; Recalling the findings of “The Protection and Management of the Sargasso Sea: the golden floating rainforest of the Atlantic Ocean. Summary Science and Supporting Evidence Case”, including the identification of threats to the Sargasso Sea, prepared by the Sargasso Sea Alliance on behalf of the Government of Bermuda; The International Journal of Marine and Coastal Law 29 (2014) 345–362 125 THE SARGASSO SEA 355 Recognising that the ocean is a vital global resource; and Acknowledging that this Declaration is not legally binding and is without prejudice to the existing legal rights and obligations of the Signatories under international law or to the competences of regional and international organisations. We hereby: Common Vision 1 Recognize that the Sargasso Sea is an important open ocean ecosystem, the majority of which lies beyond national jurisdiction, which deserves recognition by the international community for its high ecological and biological significance, its cultural importance and its outstanding universal value. 2 Affirm that the guiding principle of this Declaration is to conserve the Sargasso Sea ecosystem for the benefit of present and future generations. 3 Decide to collaborate, to the extent possible, in pursuing conservation measures for the Sargasso Sea ecosystem through existing regional and international organisations with relevant competences. Geographical Area of Collaboration 4 Recognize the geographical area of collaboration of the Sargasso Sea is defined in Annex I. Institutional Arrangements for Collaboration 5 Establish a Meeting of Signatories of the Hamilton Declaration composed of representatives from each Signatory that will meet either physically or virtually at regular intervals. Each Signatory will designate a focal point for communication among Signatories and with the Secretariat. The Meeting of Signatories will: • Pursue collaboration and cooperation in furtherance of the common vision of this Declaration; The International Journal of Marine 126and Coastal Law 29 (2014) 345–362 356 FREESTONE AND MORRISON • Provide advice and guidance for the Commission (referred to in paragraph 6 below) in its role of promoting the conservation of the Sargasso Sea; • Review and comment on the Commission’s proposed work programme and action plans; • Make proposals for Commission initiatives and activities; • Review and comment on proposals developed by the Commission that Signatories, individually or jointly, may elect to submit for consideration by regional or international organisations with relevant competences; • Review Commission financial reports; • Develop rules relating inter alia to the process of nomination of individuals to serve on the Commission and to their length of service; and • Develop other rules and procedures as appropriate. 6 Welcome the proposal of the Government of Bermuda to establish a Sargasso Sea Commission, to be based in Bermuda, as well as a Secretariat to assist the Commission and the Signatories. The Commission would, at the outset, be established under Bermudian law. It would be composed of distinguished scientists and other persons of international repute committed to the conservation of high seas ecosystems that would serve in their personal capacity. The Government of Bermuda, in consultation with the Signatories and Collaborating Partners (referred to in paragraph 11 below), will select qualified individuals to serve on the Commission. Details of the Commission’s initial mandate are set out in Annex II. 7 Decide to consider the means and modalities by which Signatories could, according to their mandate and their means, support the work of the Commission by the provision of assistance, subject to the availability of existing resources, either by financial contributions or by contributions in kind, including the assignment or secondment of staff, provision of equipment or services or coordination of existing activities. The International Journal of Marine and Coastal Law 29 (2014) 345–362 127 THE SARGASSO SEA 8 357 Decide that the Commission will also develop, for consideration by the Signatories, proposals that the Signatories, individually or jointly, may submit to, or support at, regional or international organisations with relevant competences. In developing such proposals, the Commission will use the best available science, and apply an ecosystem approach and the precautionary approach, as appropriate. Such proposals may include: 8.1 Measures to control, minimize, and where possible, eliminate the adverse effects of international shipping activities which may be adopted through the International Maritime Organization (IMO); 8.2 Measures to minimize, to the maximum extent possible, the adverse effects of fishing activities, including for the protection of vulnerable marine ecosystems, which may be adopted through the Food and Agriculture Organization of the United Nations (FAO) and/or regional fisheries management organisations or arrangements; and 8.3 Any other measures to maintain the health, productivity and resilience of the Sargasso Sea and to protect its components, including the habitats of threatened and endangered species, from the adverse effects of anthropogenic activities. 9 Welcome the establishment of a financial mechanism including a dedicated trust fund to support activities in furtherance of this Declaration, including the work of the Commission and the Secretariat. The financial mechanism would be available to receive voluntary contributions from both public and private sources. 10 Encourage participation by any other interested government or regional economic integration organisation in efforts to conserve the Sargasso Sea ecosystem in accordance with this Declaration including by becoming a Signatory to this Declaration. 11 Encourage relevant regional and international organisations, as well as other bodies and entities, who wish to contribute to efforts to conserve the Sargasso Sea ecosystem in accordance with this Declaration, to participate as Collaborating Partners by notifying the Secretariat of their interest in doing so. The International Journal of Marine 128and Coastal Law 29 (2014) 345–362 358 FREESTONE AND MORRISON Adopted in Hamilton, Bermuda on 11 March 2014 For the Government of Bermuda For the Government of the Azores For the Government of Monaco or the Government of the United Kingdom of Great Britain and F Northern Ireland For the Government of the United States of America The International Journal of Marine and Coastal Law 29 (2014) 345–362 129 THE SARGASSO SEA 359 Annex I Geographical Area of Collaboration For the purposes of this Declaration the Sargasso Sea is the portion of high seas and the Area1 under that portion of the high seas, (excluding the exclusive economic zone (EEZ) and territorial sea around Bermuda, and the extended continental shelves of neighbouring states) shown on the illustrative map below.2 Scientific Note The Sargasso Sea is an area of open-ocean situated within the North Atlantic subtropical gyre, and bounded on all sides by the clockwise flow of major ocean currents. The Gulf Stream and North Atlantic Drift form the western 1 The Area is the seabed and ocean floor and subsoil beyond the limits of national jurisdiction. See 1982 UN Convention on the Law of the Sea, Article 1(1)(1). 2 The Geographical Area of Collaboration was generally described by the scientific experts attending the CBD Wider Caribbean and Western Mid-Atlantic Regional Workshop to Facilitate the Description of Ecologically or Biologically Significant Marine Areas (EBSAs), 28 February-2 March 2012 in Recife, Brazil, as meeting the CBD scientific criteria for an EBSA adopted by the Conference of the Parties to the CBD, at its ninth meeting, in annex 1 to Decision IX/20. The International Journal of Marine 130and Coastal Law 29 (2014) 345–362 360 FREESTONE AND MORRISON and northern boundaries, the Canary Current forms a more diffuse eastern boundary, and the North Equatorial Current and Antilles Current form the southern boundary. As these currents vary, the precise boundaries of the Sargasso Sea also vary. To refine this general location and to ensure that the area of interest incorporates a core area containing essential oceanographic and environmental characteristics the Sargasso Sea Alliance commissioned a new map based on criteria such as ocean current and eddy occurrence, remote sensing of Sargassum weed, and seabed topography. The resultant map agrees broadly with the overlap of previous delineations and is shown above. The Sargasso Sea study area occupies ~ 4,163,499 km2 in an area extending between 22°–38°N, 76°–43°W and centred on 30°N and 60°W. Because the Canary current is more diffuse and variable than the other currents the eastern boundary is more ill-defined, so the eastern boundary of the Sargasso Sea Alliance Study Area is pragmatically considered to lie to the west of the mid-Atlantic Ridge in the western basin of the Atlantic Ocean. Again for pragmatic reasons all of these boundaries were placed outside the EEZs of all adjacent countries or territories.3 3 See Laffoley, D.d’A and Roe, H.S.J., et al., 2011. The Protection and Management of the Sargasso Sea: the golden floating rainforest of the Atlantic Ocean: Summary Science and Supporting Evidence Case, Sargasso Sea Alliance, pp. 7-8. The International Journal of Marine and Coastal Law 29 (2014) 345–362 131 THE SARGASSO SEA 361 Annex II Mandate of The Sargasso Sea Commission Pursuant to paragraph 6 above, the Sargasso Sea Commission, which has no management authority, will: a. Exercise a stewardship role for the Sargasso Sea and keep its health, productivity and resilience under continual review; b. Develop a work programme and action plans for the conservation of the Sargasso Sea ecosystem; c. Develop its rules and procedures as appropriate; d. Develop a regular budget and generate necessary financial reports; e. Serve as a focal point for the gathering and exchange of such information and data, develop a repository of information and scientific data relating to the condition of the Sargasso Sea ecosystem and make it publically accessible; f. Foster and promote outreach, public awareness and scientific research and observation, and liaise with appropriate national, regional and international organisations to this effect; g. Publish and/or publicise reports of the results of scientific research and, as appropriate, submit such reports to governments, national, regional and international organisations with relevant competences for their consideration; h. Monitor the effects, including cumulative effects, of any anthropogenic activities in order to determine whether such activities are likely to have adverse impacts on the Sargasso Sea ecosystem and to assess the appropriateness and effectiveness of any measures being adopted for the conservation of the Sargasso Sea; i. Liaise with the Signatories, as well as with other governments in the region and appropriate national, regional and international organisations with relevant competences, including those with competence in The International Journal of Marine 132and Coastal Law 29 (2014) 345–362 362 FREESTONE AND MORRISON adjacent marine areas, to obtain a better understanding of issues of common concern and interest through, where appropriate, developing exchange of data, sharing of databases and collecting data in standardised formats; j. Cooperate with governments, national, regional and international organisations with relevant competences in the development of environmental impact assessments, strategic environmental assessments and equivalent instruments; k. Encourage cooperation among governments, national regional and international organisations with relevant competences in developing and promoting contingency plans for responding to any significant pollution incidents; and l. Undertake such other tasks as may be deemed appropriate by the Meeting of the Signatories. The International Journal of Marine and Coastal Law 29 (2014) 345–362 133 Marine Policy ∎ (∎∎∎∎) ∎∎∎–∎∎∎ Contents lists available at ScienceDirect Marine Policy journal homepage: www.elsevier.com/locate/marpol Can existing institutions protect biodiversity in areas beyond national jurisdiction? Experiences from two on-going processes David Freestone a, David Johnson b, Jeff Ardron c,n, Kate Killerlain Morrison a, Sebastian Unger c,1 a Sargasso Sea Alliance, Suite 300, 1630 Connecticut Avenue, NW, Washington, DC 20009, USA Seascape Consultants Ltd., Belbins Valley, Belbins, Romsey, Hampshire SO51 0PE, United Kingdom c Institute for Advanced Sustainability Studies e.V., Berliner Strasse 130, 14467 Potsdam, Germany b art ic l e i nf o Keywords: High seas Biological diversity Areas beyond national jurisdiction ABNJ MPA Marine governance a b s t r a c t United Nations discussions on the governance of marine areas beyond national jurisdiction have questioned, but not yet reached a decision, on whether existing institutional agreements and structures are sufficient to meet global commitments to protect marine biodiversity, or if additional mechanisms may be required. This paper considers two very different efforts to protect marine biodiversity in these areas: (1) in the North-East Atlantic through the efforts of OSPAR Convention for the Protection of the Marine Environment of the North-East Atlantic; and (2) in the central Atlantic, through the efforts of the Sargasso Sea Alliance led by the Bermuda government. In each case, action has been strongly supported by non-governmental organisations and subsequent progress has hinged upon on-going dedicated efforts of “champion” governments to bring other States on board. This paper outlines the difficulties that they have faced, and consequently why they have been timeconsuming, and are not yet completed. The paper then considers 10 common recommendations that can be drawn from the experiences of these two distinct initiatives, and their relevance to on-going UN deliberations. & 2013 Elsevier Ltd. All rights reserved. 1. Introduction It has been 31 years since the adoption of the United Nations Convention on the Law of the Sea (UNCLOS) and with it, article 192 that obliges States to “protect and preserve the marine environment” [1]. Despite significant developments in marine governance since that time, progress with regard to protecting and preserving the marine environment has been very slow, particularly in areas beyond national jurisdiction (ABNJ). The 2002 World Summit on Sustainable Development (WSSD) set a target that by 2012 representative networks of Marine Protected Areas (MPA) should be established within and beyond national jurisdiction [2]. The 2012 WSSD target was also taken on board by the Parties to the Convention on Biological Diversity (CBD), which sought to attain 10% protection across regions [3]. In 2010, when it was clear that this target would not be met in most national waters and certainly not in ABNJ (where protection is still significantly less n Corresponding author. Tel.: þ 49 331 288 22394. E-mail addresses: [email protected] (D. Freestone), [email protected] (D. Johnson), [email protected] (J. Ardron), [email protected] (K.K. Morrison), [email protected] (S. Unger). 1 Tel.: +49 331 288 22394. than 0.5% [4]), the Contracting Parties to the CBD established Aichi Target 11 [5], which in effect extended the global 10% MPA target to 2020. However, as of June 2013, there has still only been modest progress in ABNJ: one MPA in the Mediterranean [6], one in the Antarctic Southern Ocean [7] and seven in the North-East Atlantic [8]. The United Nations General Assembly (UNGA), also recognising the need to better protect biodiversity in ABNJ, decided in 2004 to establish the Ad Hoc Open-ended Informal Working Group to Study Issues Relating to the Conservation and Sustainable use of Marine Biological Diversity beyond Areas of National Jurisdiction (BBNJ) [9]. BBNJ first met in 2006, and its sixth meeting was held in August 2013. At its first meeting, delegations noted that “existing mechanisms and institutions needed to apply a multi-sectoral and integrated approach to management and cooperate and coordinate to that end, thus moving away from their current sectoral approach” [10]. This need for better cooperation and integration has been repeated at every BBNJ meeting since. However, States participating in the BBNJ remain divided as to whether the improvement of existing institutions is alone sufficient to protect biodiversity in ABNJ, or if an additional instrument is also required [11]. At the 2012 United Nations Conference on Environment and Development (Rio þ20), the discussion continued; a majority opinion emerged in favour of a process to establish a new instrument under UNCLOS, but consensus was not achieved. 0308-597X/$ - see front matter & 2013 Elsevier Ltd. All rights reserved. http://dx.doi.org/10.1016/j.marpol.2013.12.007 134 Please cite this article as: Freestone D, et al. Can existing institutions protect biodiversity in areas beyond national jurisdiction? Experiences from two on-going processes. Mar. Policy (2014), http://dx.doi.org/10.1016/j.marpol.2013.12.007i D. Freestone et al. / Marine Policy ∎ (∎∎∎∎) ∎∎∎–∎∎∎ 2 Therefore, the decision was deferred back to the UNGA: “(…) before the end of the 69th session of the General Assembly [which runs from September 2014 to September 2015], [States] commit to address, on an urgent basis, the issue of the conservation and sustainable use of marine biological diversity of areas beyond national jurisdiction, including by taking a decision on the development of an international instrument under the Convention on the Law of the Sea” [12]. It may appear self-evident that if, after more than thirty years, existing institutions have not yet managed to protect biodiversity in ABNJ then clearly something more, perhaps a new international instrument, is required. Nevertheless, while progress has been slow, some MPAs have been established in ABNJ. Are these few MPAs simply exceptions that prove the rule? Or, are they proof that it can be done, and no more rules are required? This paper seeks to answer this through an examination of two initiatives: the Convention for the Protection of the marine Environment of the North-East Atlantic (the OSPAR Convention), and the Sargasso Sea Alliance. While these two examples differ in many ways, they both share the common goal of protecting biodiversity in ABNJ. This paper therefore explores their challenges and successes to date, and how these may reflect upon the efficacy of existing instruments and their institutions. Many elements that contributed to the successes of these two processes are already in the literature [13–18]. Understandably, there is a greater reluctance to discuss the obstacles and difficulties that these two pioneering initiatives have faced. However, to objectively consider the efficacy of existing instruments in protecting biodiversity in ABNJ, it is necessary to consider these difficulties as well. That said, it should be noted that both of these examples are still on-going, and hence the “jury is still out” regarding the extent that biodiversity in ABNJ will ultimately be protected. Furthermore, in the case studies below, it should be noted that OSPAR has been working on this for more than a decade longer than the Sargasso Sea Alliance; therefore, it is further progressed. 2. Two case studies 2.1. The OSPAR Convention The OSPAR Convention, the regional seas agreement for the North-East Atlantic that includes waters both within and beyond national jurisdiction, was concluded in 1992 and entered into force in 1998. At its first Ministerial Meeting in 1998, Annex V, On the Protection and Conservation of the Ecosystems and Biological Diversity of the [OSPAR] Maritime Area was adopted, which came into force in 2000. OSPAR Contracting Parties committed to establishing a network of MPAs, which was re-affirmed as part of the 2002 inter-ministerial Bergen Declaration [19]. At its Ministerial Meeting in 2010, six MPAs in ABNJ were established. They cover a total area of 287,065 km2, protecting a series of seamounts and sections of the Mid-Atlantic Ridge and host a range of vulnerable deep-sea habitats and species. A seventh pelagic High Seas MPA, CharlieGibbs North (178,094 km2), was designated in 2012 in waters superjacent to area included within an Icelandic submission to the Commission on the Limits of the Continental Shelf [8]. The establishment of these MPAs in ABNJ has been widely viewed as a positive achievement [17]. Some management provisions are contained in OSPAR Recommendations for each of these areas; however, to date no cross-sectoral management plans have been put in place. 2.2. The Sargasso Sea Alliance Named for the algae that accumulates in the North Atlantic Subtropical Gyre and which forms into large mats or windrows, the Sargasso Sea is the world0 s only sea without coasts; only the tiny islands of Bermuda have direct coastal frontage. The Sargasso Sea Alliance (SSA), formed in 2010 under the leadership of the Government of Bermuda, aims to secure legal protection measures for the Sargasso Sea —a two million square nautical mile ecosystem in the North Atlantic primarily located in ABNJ.4 The SSA Secretariat is based in the IUCN office in Washington DC. A fiveperson Executive Committee and a larger Steering Committee provide strategic guidance, while a separate Senior Science Advisory Committee and a Legal Working Group provide specific expertise on scientific and legal aspects. The Alliance has three key objectives: (1) to build an international partnership that will secure recognition of the ecological significance of the Sargasso Sea and the threats that it faces; (2) to use existing regional, sectoral and international organisations to secure a range of protective measures for all or parts of the Sargasso Sea to address key threats; (3) and to use the process as an example of what can and cannot be delivered through existing institutions in areas beyond national jurisdiction. It is this third objective that will be the focus of this paper. 2.3. Similarities and differences Table 1 summarises similarities between OSPAR and the Sargasso Sea Alliance. There are noteworthy similarities between these two initiatives. Most importantly, both have “champion” States willing to support them. For SSA, it is the Bermuda Government, with the support of the United Kingdom (UK). For OSPAR, it was initially The Netherlands, later joined by France, Germany, and Portugal [17]. While the inspiration for both initiatives originally came from non-governmental organisations (NGOs), both have seen success operating as inter-governmental organisations. For the SSA, these NGOs remain involved; within the OSPAR Maritime Area, it was the Worldwide Fund for Nature (WWF), a permanent observer organisation that originally suggested protecting certain ecologically important places in ABNJ. WWF undertook substantive collations of relevant information in support of their arguments to persuade States to take action in support of agreed commitments. A key difference between the two case studies is the presence or absence of regional organisations. In the North-East Atlantic there is both a regional seas agreement (i.e. OSPAR) as well as a regional fisheries management organisation (RFMO): the North East Atlantic Fisheries Commission (NEAFC) [20]. However, despite the fact that the Sargasso Sea lies between Europe and the Americas, there is no regional environmental treaty covering the Sargasso Sea, nor is there a regional fisheries treaty applicable to the whole area for non-tuna species.5 This is especially noteworthy when it is considered that the only two other regions where MPAs have been established in ABNJ have regional agreements that were 4 Other members of the Alliance are the International Union for Conservation of Nature (IUCN), Woods Hole Oceanographic Institution, WWF International, Marine Conservation Institute, and Mission Blue/Sylvia Earle Alliance, together with the Bermuda Underwater Exploration Institute, the Bermuda-based Atlantic Conservation Partnership and the Bermuda Institute for Ocean Sciences. 5 As opposed to a regime for tuna and tuna-like species – see discussion of ICCAT below. Note that a small area of the Sargasso Sea above 351N comes within the regulatory area of the 1979 Convention on Future Multilateral Cooperation in the Northwest Atlantic Fisheries (NAFO), which applies to most fishery resources of the Northwest Atlantic except salmon, tunas/marlins, and sedentary species (e.g. shellfish). For text see http://www.nafo.int/about/overview/governance/con vention/convention.pdf. 135 Please cite this article as: Freestone D, et al. Can existing institutions protect biodiversity in areas beyond national jurisdiction? Experiences from two on-going processes. Mar. Policy (2014), http://dx.doi.org/10.1016/j.marpol.2013.12.007i D. Freestone et al. / Marine Policy ∎ (∎∎∎∎) ∎∎∎–∎∎∎ 3 Table 1 Similarities between OSPAR and Sargasso Sea Alliance approaches, structure, and progress. Similarities Jurisdictional coverage ABNJ EEZ State and non-governmental champions as catalyst Management vision Goal to protect biodiversity in ABNJ Seabed High seas water column Active Regional Fisheries Management Organisations MoUs/Collaborative Arrangements to promote cooperation with international and regional organisations Scientific basis: expert-driven; informed by international principles; desk study of best available information including spatial data; peer-reviewed CBD EBSA description(s) Difficulties integrating science across sectors Difficulties integrating management across sectors (stovepiped, uncoordinated, long time lines) OSPAR Sargasso Sea Alliance (SSA) Yes Yes; 12 The Netherlands, later joined by France, Germany, and Portugal; inspired by nongovernmental organisations (WWF) Yes Yes – single EEZ (Bermuda/UK) Government of Bermuda, with support of United Kingdom; inspired by nongovernmental organisations Yes Yes Yes NEAFC, ICCAT Yes Yes Yes ICCAT; NAFO ; but no regional fisheries treaty applicable for non-tuna species Yes: Collaboration Arrangement with OSPAR; others in development Yes: MoUs with IMO, NEAFC, ISA, NASCO; Collaboration Agreement with SSA, draft Collective Arrangement between competent authorities on the management of selected areas Yes Yes Yes, in process Yes Yes, but efforts in hand Yes, accepted Yes Yes Table 2 Differences between OSPAR and Sargasso Sea Alliance approaches, structure, and progress. Differences OSPAR Regional Seas agreement(s) Type of organisation Yes: OSPAR itself Inter-governmental organisation Competent organisation as own entity Age/lifespan Projected end date Funding Common principles Difficulties internally reaching agreement on common principles Difficulties externally reaching agreement on common principles amongst the competent authorities Legal mandate Binding Non-binding Management measures established Addresses extended continental shelf claims High Seas MPAs Sargasso Sea Alliance (SSA) No Single government; Secretariat supported by inter-governmental organisation (IUCN). Yes; but limitations. For certain issues (fisheries, international shipping, No; works through existing sectoral bodies. seabed minerals) works through other sectoral bodies; can deal with assessment of the status of the environment, the identification of features to be protected, the establishment of MPAs and of objectives and monitoring measures. 40 years, no anticipated dissolution 3 years; to be replaced by a permanent SS Commission None 4–5 years demonstration project before establishing longer-term Sargasso Sea Commission Contracting parties contributions Private individual philanthropic and foundation contributions No Yes Yes Unknown Convention for the Protection of the marine Environment of the North- No East Atlantic (the OSPAR Convention) Decisions agreed by consensus (or 3/4 majority) Recommendations and Other Agreements (e.g. Guidelines) Future Hamilton Declaration will be based on voluntary cooperation between like-minded governments Yes/No: Recommendations agreed in 2010; but, No: in early discussions; Management Plans still under development; Collective Arrangement between authorities under development to achieve cross-sectoral management Yes No Yes: seven designated MPAs (287,065 km2) within a 13.5m km2 Maritime Area also instrumental to their establishment – the Southern Ocean (Commission for the Conservation of Antarctic Marine Living Resources) and the Mediterranean (Barcelona Convention and General Fisheries Council for the Mediterranean). No: one single large area under consideration with varying levels of management within it 4,163,500 km2 (in total) Table 2 summarises differences between OSPAR and the Sargasso Sea Alliance. Both initiatives are breaking significant new ground and setting new precedents. While the MPAs from the Mediterranean and Antarctic also set precedents, they were 136 Please cite this article as: Freestone D, et al. Can existing institutions protect biodiversity in areas beyond national jurisdiction? Experiences from two on-going processes. Mar. Policy (2014), http://dx.doi.org/10.1016/j.marpol.2013.12.007i D. Freestone et al. / Marine Policy ∎ (∎∎∎∎) ∎∎∎–∎∎∎ 4 conceived under special circumstances. The Pelagos Sanctuary for Mediterranean marine mammals covered high seas areas only because neighbouring Mediterranean nations had not declared exclusive economic zones [21]. The Southern Ocean is also special case, protected under its bespoke Antarctic Treaty System [22]. Until the designations agreed by OSPAR, no MPAs had been established in the “normal” ABNJ, comprising the vast majority of ocean beyond the 200 nautical mile limit of States. Furthermore, some of the OSPAR MPAs are the first examples of hybrids that include the high seas water column as well as seabed claimed as outer continental shelf by the coastal states [23]. Similarly, the Sargasso Sea Alliance, by seeking to establish protection measures in ABNJ where there is no Regional Seas agreement and, for the most part, no non-tuna fisheries agreement, is also setting a new precedent in seeking to use the existing legal framework and any existing sectoral bodies that may be able to assist [18]. Given that most of ABNJ is without regional seas conventions [24], the work of the Sargasso Sea Alliance is both timely and relevant. 2.4. Establishing the initiatives 2.4.1. Sargasso Sea: the Alliance The Sargasso Sea Alliance is designed as a “learning by doing” demonstration project. Although States at the UN frequently advocate the use of existing international bodies to protect high seas areas on a regional scale, no one has ever attempted to protect an ABNJ area before using solely the existing sectoral organisations, in the absence of a regional convention. Crucial to the success of the project is the strong leadership and involvement of the Government of Bermuda, a UK Overseas territory. Under a General Entrustment Agreement, Bermuda has limited rights to enter into external relations with certain countries, e.g. the United States and with Commonwealth countries, in relation to specific subject areas. However the UK Foreign and Commonwealth Office (FCO) has been extremely flexible over the Sargasso Sea initiative, provided actions are taken in consultation with them. Some 160 ships are registered in Bermuda and fly its flag but it is not an independent member of the International Maritime Organisation and sits as part of the UK delegation. UNCLOS was extended to Bermuda when the UK became a party, but the 1992 CBD has not yet been so extended. Bermuda is an Associate Member of the International Convention for the Conservation of Atlantic Tunas (ICCAT), and attends as a UK Overseas Territory, when the UK as a member of the European Union (which has exclusive fisheries competence) can no longer attend independently. These complicated legal arrangements mean that the support of the Sargasso Sea Alliance by the UK, particularly through its FCO has been crucial [25]. Having prepared a strong scientific case for the protection of the Sargasso Sea (see below) [26], which identifies key potential threats as well as the international and regional organisations with relevant competences6 the approach has been pragmatic – to utilise every opportunity to put forward the case for protection measures – but these have to be channelled through the relevant UK departments. 2.4.2. OSPAR: the legal basis Before OSPAR had designated MPAs in ABNJ, there were some questions about whether it had the legal competence to do so. 6 The only international bodies that have sectoral jurisdiction in the Sargasso Sea are the International Maritime Organisation (IMO) in relation to shipping and marine pollution issues, the International Convention for the Conservation of Atlantic Tunas (ICCAT), and the International Seabed Authority (ISA) for seabed mining. During 2008/2009, OSPAR0 s Group of Jurists and Linguists examined OSPAR0 s competence to regulate different human uses. Informed by previous evaluations [27,28], they concluded that within the OSPAR Maritime Area no other international organisation has the mandate to set in place the integrated process for the protection of an area in ABNJ, taking an ecosystem approach with regard to human activities and their cumulative impacts. Hence, activities such as the assessment of the status of the environment, the identification of features to be protected, the establishment of MPAs and of objectives and monitoring measures fell within OSPAR competence. While the management of fisheries fell outside its competence, and shipping is normally regulated through IMO, the Group of Jurists and Linguists identified a number of human uses which may be subject to OSPAR regulation including scientific research, cable laying, dumping, construction of installations and artificial islands and potential deep-sea tourism. Therefore, the conclusion was that given the existing legal competence of other international organisations, it was desirable for OSPAR to work with these organisations with a view to contributing to the production or application of a wider range of measures [29]. While the above legal analysis satisfied OSPAR Contracting Parties to proceed with the designation of MPAs in ABNJ, which has since received wide global attention, their competence to do so is still occasionally questioned by a few States that are not parties to regional agreements [30]. Hence, there is not quite yet a global consensus on how far the duties and obligations of Regional Seas Conventions can, or should, extend into ABNJ (see Rochette et al., in this issue). 2.5. Establishing the scientific basis for protection 2.5.1. OSPAR A campaign by WWF concentrated on producing a prima facie case to show the vulnerability to human activities of the CharlieGibbs Fracture Zone (CGFZ), a deep-sea trench cutting through the Mid Atlantic Ridge (MAR) which provides a critical biological corridor linking abyssal plain habitat either side of the MAR. OSPAR Rules of Procedure require any Observer organisation proposal to be sponsored by a Contracting Party. In 2007, the Netherlands co-sponsored the proposal to consider the CGFZ as a “pilot”. This gave an impetus to build the scientific case using OSPAR MPA criteria as well as conservation priorities established in other international forums, in particular the Food and Agriculture Organisation of the United Nations (FAO), and the CBD. Evidence of critical habitats and vulnerable species from Mar-Eco research cruises [31], part of the Census of Marine Life, was particularly important to this exercise and had previously informed the WWF proposal. Under the auspices of its expert group on MPAs, OSPAR brought together deep-sea scientists to advise on the application of agreed OSPAR ecological criteria (importance for threatened and/or declining species and habitats, functional ecological significance, naturalness, sensitivity to disturbance, naturalness) and practical criteria (potential for restoration, degree of acceptance, potential for success of management measures, potential damage by human activities and scientific values). In parallel, Germany, lead country for the OSPAR expert group on MPAs, commissioned a scoping report from the University of York, UK (in association with the Scottish Association of Marine Science and the PP Shirshov Institute of the Russian Federation). This report identified eight additional potential MPAs in the wider Atlantic. It did so by further reviewing scientific literature, mapping significant marine habitats (including critical feeding areas), undertaking a consultation exercise and prioritising areas currently vulnerable (mainly considering fishable depth zones). These analyses were subsequently subject to two rounds of peer review by the International Council 137 Please cite this article as: Freestone D, et al. Can existing institutions protect biodiversity in areas beyond national jurisdiction? Experiences from two on-going processes. Mar. Policy (2014), http://dx.doi.org/10.1016/j.marpol.2013.12.007i D. Freestone et al. / Marine Policy ∎ (∎∎∎∎) ∎∎∎–∎∎∎ for the Exploration of the Sea (ICES), the advisory body to OSPAR, NEAFC and the European Union (EU) on issues related to the impact of fishing activities, ecosystem conservation and the ecosystem approach to management of human activities. The production of a comprehensive background document providing the supporting scientific evidence for the identification and selection of the CGFZ MPA convinced more OSPAR Contracting Parties to support and co-sponsor the “pilot” proposal in 2008. France, one of the co-sponsors, undertook mapping of environmental pressures in the wider Atlantic, which helped visualise the pressures of impacts and promoted a wider dialogue through an EU Presidency Seminar 0 2012 Marine Targets7 [32]. 2.5.2. Sargasso sea In June 2011, as a draft Summary Science Case began to take shape, the SSA convened an expert workshop to bring together prominent scientists, colleagues from the OSPAR and the International Seabed Authority secretariats, as well as a number of UN delegations, which led to the finalisation of the science case report [25]. The significance of the emerging initiative of the CBD to hold workshops to “describe” Ecologically or Biologically Significant Areas (EBSAs) was seen as an important opportunity to utilise a sciencebased tool in its proposals. EBSAs – described by a scientific process – could provide an important unifying concept for the various sectoral organisations which will have to consider proposals for specific protection measures. The draft Summary Science case provided an ideal platform for the Sargasso Sea to be described as an EBSA. In March 2012, the CBD Secretariat organised a workshop to consider the description of EBSAs in the mid-Atlantic region. The Bermuda Department for Environmental Protection presented the case for the Sargasso Sea, which was discussed and adopted by the scientists at the workshop and then as part of the Workshop Report forwarded to the CBD0 s Subsidiary Body on Scientific, Technical and Technological Advice (SBSTTA) meeting in April 2012 and ultimately the Conference of Parties (COP) in October 2012, where it was officially described as an EBSA.8 2.6. Establishing cooperative agreements 2.6.1. OSPAR In the high seas portion of the OSPAR Maritime Area, all fishing other than for highly migratory tuna and salmon species (managed by the International Commission for the Conservation of Atlantic Tunas (ICCAT) and the North Atlantic Salmon Conservation Organization (NASCO) respectively) is managed by NEAFC. The 2006 amendments to the NEAFC 1982 Convention include a commitment to conservation (Article 4) and to take account of the impacts of fisheries on the conservation of marine biodiversity. The geographic area of the NEAFC Regulatory Area is the same as the OSPAR Maritime Area. NEAFC has adopted a series of conservation measures for the protection of cold water coral habitats and Vulnerable Marine Ecosystems (VMEs) on the MAR as well as the Hatton and Rockall Banks. In 2008, OSPAR signed a memorandum of understanding (MOU) with NEAFC [33]. In addition to fostering a closer relationship with this organisation [34], OSPAR sought to formalise working relationships with other competent authorities. In 1999, OSPAR and IMO agreed a “Cooperative Agreement” guiding joint activities with regard to issues of joint interest related to shipping. Formal MOUs with the International Seabed Authority (ISA) and North Atlantic Salmon Conservation Organisation (NASCO) were also 7 For more details on the scientific process and rationale behind the identification of the candidate sites for OSPAR MPAs in ABNJ, see O’Leary et al. [17]. 8 The EBSA proposal garnered acclaim at the workshop, with several experts complimenting it for its thoroughness and scientific rigour. 5 adopted respectively at the OSPAR Commission meetings in 2010 and 2013. These bilateral agreements are fundamental to crosssectoral cooperation and negotiations continue to secure such an arrangement with ICCAT. Initiated by the OSPAR Commission meeting in 2009, the “Madeira Process” began in 2010 as an informal stakeholder workshop with representatives of competent authorities and other stakeholders (Funchal, Madeira, 23–25 March). The Charlie-Gibbs MPA nomination document had been circulated to other competent authorities for comment and this highlighted a need to exchange information and better understand different mandates, responsibilities and working practices. The approaches of organisations charged with environmental protection can differ from those undertaking resource management. Recognising such differences between competent authorities, a key output of this workshop in a search for commonality was a draft “Collective Arrangement” that included a set of draft joint principles for selected areas and specifications with regard to the collaborative management of selected areas, including the exchange of information. Wherever possible, text was drawn from accepted definitions enshrined in the relevant conventions or agreements. The Madeira Process also attempted to scope joint management procedures, using the (then proposed) Charlie-Gibbs MPA as an example. The idea of the generic management was to agree to work together towards a better knowledge base through exchange of information (notifying, informing, updating) and where appropriate cooperating on any environmental impact assessments and strategic impact assessments (EIAs and SEAs). The OSPAR Commission endorsed the text of the “Collective Agreement” in 2011 [35]. The Secretariats of the other competent authorities were invited to present the proposed collective arrangement outcome to their annual meetings. Despite enthusiasm at the workshop and the relative simplicity of the list of applicable principles, acceptance by other competent authorities at the global level is still pending9 and it has been complicated to secure their endorsement through the formal procedures [36]. A second Madeira Process workshop took place in Paris (17–18 January, 2012). In addition to noting initiatives of mutual interest [37] and taking stock of updates to management roles and responsibilities, a principal aim of this meeting was to elaborate a collective management plan for a pilot site, using the CharlieGibbs MPA as a template. Agreed OSPAR Guidelines for the management of MPAs in the OSPAR Maritime Area provided the point of departure [38]. The workshop also considered a number of other relevant management plans [39,40] and ideas on high seas marine spatial planning [41]. The process is still on-going and it has been time- and labourintensive, particularly in the global bodies, IMO and ISA, to move such an idea forward, with organisations0 different levels of technical scrutiny and sometimes complex and mutually incompatible annual meeting cycles. As a result, bilateral exchanges between the Secretariats are still the main way of cooperation between the different organisations. However, it should be recognised that the Collective Arrangement has put forward a first example how more formal collaborative agreements between competent organisations could be achieved at the international level. 2.6.2. The Sargasso Sea Alliance At the June 2011 expert workshop (introduced above), the OSPAR Madeira Process was discussed, and a similar approach for the Sargasso Sea recommended. The SSA Secretariat, which does 9 Signing of Collective Arrangement by NEAFC was supported by its Permanent Committee on Management and Science (PECMAS), and the 32nd Annual Meeting of NEAFC (November 2013) has mandated the NEAFC President to arrive at a final decision through a postal voting procedure. 138 Please cite this article as: Freestone D, et al. Can existing institutions protect biodiversity in areas beyond national jurisdiction? Experiences from two on-going processes. Mar. Policy (2014), http://dx.doi.org/10.1016/j.marpol.2013.12.007i 6 D. Freestone et al. / Marine Policy ∎ (∎∎∎∎) ∎∎∎–∎∎∎ not have international legal personality, has pursued a similar approach at a lighter scale by developing a series of Collaborative Arrangements with the secretariats of competent authorities. The first of these was with the OSPAR Secretariat. Others with the Inter-American Turtle Convention and the Abidjan Convention10 are in train. After the CBD EBSA Workshop in March 2012, the SSA project was the first to use an EBSA description to attempt to achieve protection measures in a sectoral organisation. In September 2012, at the NAFO Fisheries Commission, on a proposal from the UK, the EU, with the strong support of the US, put forward a proposal for special conservation measures for the areas of the Sargasso Sea EBSA north of 351N, and thus inside the NAFO Regulatory Area. After a vigorous discussion, this was referred to the NAFO Scientific Council to be considered at its June 2013 meeting, and then deferred to September 2013, at which point the proposals were sent for consideration by the joint FC/SC Working Group on Ecosystem Approach Framework to Fisheries management [42]. In November 2012, Bermuda, as UK Overseas Territory, proposed a Recommendation to the ICCAT Commission Meeting in Agadir that the ICCAT Standing Committee on Research and Statistics (SCRS – the Scientific body of ICCAT) examine the data compiled on the Sargasso Sea and the impacts of fishing activity on tuna and tuna like species and on the ecosystem in the area, and that it consider the viability of establishing special conservation and management measures within the Sargasso Sea. The proposed Recommendation was strongly supported by the EU, the US, among others, but encountered opposition from States that appeared not to accept the significance of the 2012 CBD COP decision on EBSAs [43]. Nevertheless the Commission did resolve to request the SCRS to examine the available data and information concerning the Sargasso Sea and to provide an update on the progress of this work in 2014 and report back to the Commission with its findings in 2015. The main brunt of the work will be undertaken by the Subcommittee on Ecosystems, which is currently involved in a major assessment of turtle by-catch. However, the Subcommittee, in existence since 2005, has never been asked before to assess the ecological importance of a complete ecosystem. At the July 2013 meeting of the Subcommittee on Ecosystems, Bermuda presented an inventory of the ICCAT species in the Sargasso Sea highlighting the significance of the Sargasso Sea to these species [44]. The Subcommittee welcomed this work and “recognised that [it] is providing a useful foundation for adopting this region as a basis for a case study in implementing the Ecosystem Based Fisheries Management (EBFM) approach within ICCAT and this collaboration should continue to be supported” [45]. At the same time, the SSA has commissioned assessments of potential risks from shipping and possible appropriate protective measures to present to IMO in relation to the risks to the ecosystem from shipping and vessel source pollution [26]. The ecologically-related criteria for IMO Special Areas are not dissimilar from the criteria for an EBSA, but the EBSA description will not by itself be sufficient evidence for a shipping measure. Once Bermuda and the SSA have agreed with the UK what might be an appropriate area or measure, then a detailed proposal will be prepared for the IMO Marine Environment Protection Committee (MEPC). A key part of the SSA strategy is the convening of an interministerial meeting in Hamilton Bermuda – planned for March 2014 – to adopt a Declaration on Collaboration for the Conservation 10 While the Sargasso Sea does not directly abut the jurisdiction of the Abidjan Convention in west Africa, the Alliance is working to establish Collaborative Arrangements with similar regional entities which share common principles toward marine protection that are in broader proximity to the Sargasso Sea, such as the Cartagena Convention in the Caribbean and the OSPAR Convention. of the Sargasso Sea. The Government of Bermuda plans to send invitations to the governments of the Atlantic rim States, to States in Europe (primarily the North Sea States that are the Range States of endangered species, such as the European eel (Anguilla anguilla) that only spawns in the Sargasso Sea) and to key international and regional organisations. In December 2012, a preliminary technical meeting was held at the Pocantico Centre of the Rockefeller Brothers Fund in the US, which included representatives of 10 governments and six international organisations, including the European Commission, to discuss a draft Declaration text. Because the Declaration might cover fishing and shipping issues, it is a matter of mixed competence for the EU; their involvement therefore involved subsequent discussions at the EU Council Committee on Law of the Sea (COMAR) initiated by the UK Foreign and Commonwealth Office (FCO) on behalf of Bermuda. A second technical meeting was held November 23/24, 2013 which finalised the Declaration text. The anticipated outcome of the Hamilton Meeting is a non-binding political declaration which might agree to consider future protection measures for the Sargasso Sea and the establishment of a Bermuda-based Sargasso Sea Commission, whose initial role may include outreach, research and monitoring. Each of these processes has been extremely time- and labourintensive. Even though the EBSA process is ostensibly a sciencedriven process which has already been through a range of different review processes before international fora, each sectoral organisation feels the need to re-examine the issues for itself. Hence, the Sargasso Sea EBSA description and science case have been referred to the science bodies of NAFO and ICCAT. A key challenge for the whole project has been timescale and the lack of coordination between the various sectors, which highlights the stove-pipe/silo mentality of national governments as well as of international fora. Shipping meetings are not obliged to coordinate with mining or fishing meetings as they involve different personnel, hence there are often different national positions on related issues. For a small country or a small team, this is very challenging. International conventions0 meetings usually involve a cycle over a year – the IMO MEPC meets every nine months and requires papers to be submitted months in advance. Whilst giving due time for consideration, this makes the progress on many issues “glacial” and deferring issues is often used as a negotiating ploy. 3. Lessons learnt Although the size, and structure and legal status of OSPAR and SSA differ greatly, the similarity of some of their experiences suggests certain themes that would likely be repeated for subsequent regional initiatives with similar aims and objectives in ABNJ. 3.1. Time and effort Considerable time and effort have been required to juggle the relevant meetings, internal and external processes and actors, which to some extent is to be expected in multilateral planning. Despite the relatively good progress to date, experiences from the two case studies suggest that protection of ABNJ using existing instruments is not straight-forward, and requires the dedication of significant resources. OSPAR discussions on high seas MPAs began internally in 2004, leading to establishment of the first set six years later (and another one eight years later). However, regarding external coordination, they remain a work in progress. For a busy organisation such as OSPAR, it is difficult to schedule the necessary additional meetings required for this MPA initiative, while also dealing with the myriad 139 Please cite this article as: Freestone D, et al. Can existing institutions protect biodiversity in areas beyond national jurisdiction? Experiences from two on-going processes. Mar. Policy (2014), http://dx.doi.org/10.1016/j.marpol.2013.12.007i D. Freestone et al. / Marine Policy ∎ (∎∎∎∎) ∎∎∎–∎∎∎ of other business in the annual meeting cycle. After achieving the initial goal of the MPAs0 designation, keeping up the effort to complete the remaining years of behind-the-scenes work required to establish their integrated cross-sectoral management has been very challenging.11 For the younger SSA, established in 2010, its first three years have involved mostly familiarising the various relevant governments and sectoral authorities with the initiative, and later, the scientific case. The SSA relies in large part on philanthropic support, and the slow pace of progress can be unsatisfactory to funders not familiar with typical international processes. The funding cannot last indefinitely, and the bureaucratic pace of progress poses a very real threat to SSA0 s success, as the initiative was originally envisaged to be a 3–4 years effort. For smaller governments as well as initiatives like the SSA, the uncoordinated schedule of international meetings can pose considerable logistical difficulties. The SSA is designed as a demonstration project and donors are watching its progress carefully. Success might well mobilise more resources for initiatives in poorer regions of the world where the funding for a secretariat and several years0 travel to various meetings might otherwise be hard to secure. 3.2. Difficulties integrating science across sectors Both the OSPAR and SSA experiences have highlighted that sectoral bodies are reluctant to accept the results of scientific research and peer review originating outside of their respective organisations, especially data that comes from sources beyond their individual Contracting Parties. Although the Sargasso Sea is described as a CBD EBSA, this status has so far had little impact on dealings with sectoral bodies. In the case of OSPAR, the described CBD EBSAs for the North-East Atlantic, at the request of the regional fisheries body NEAFC, went through two additional reviews coordinated by ICES. Based on the ICES advice, OSPAR in June 2013 rejected five of the 10 EBSA descriptions being put forward. Four of the five “accepted” EBSA descriptions are undergoing a further boundary delimitation process, based on advice from ICES. NEAFC has discussed, but has not yet made a decision on whether to accept the EBSAs with revised boundaries. Both OSPAR and NEAFC are addressing concerns by some Contracting Parties that EBSAs should not infringe on submissions to the CLCS for extended national continental shelf claims, with which they overlap. How both OSPAR and NEAFC will manage any accepted EBSAs remains to be determined. The unfolding EBSA story in the North-East Atlantic, and elsewhere, highlights the current lack of coordinated science and review procedures, and has meant that there is no single scientific designation that is recognised by the various authorities. Hence, proposals to protect biodiversity in ABNJ must run a gauntlet of several sectorspecific review processes, each requiring time, effort, and meetings. Overall, regional initiatives have been required to respond to a high burden of proof due to the precedent setting nature of the efforts. In addition to integration challenges, overall difficulty remains in providing unequivocal evidence of causal linkages between human activities and effects on the ecosystem in the data-limited environment of the open ocean. 3.3. Difficulties agreeing to common principles As part of the Madeira Process, OSPAR put forward shared principles for agreement [32], most of them with global acceptance in international environmental law. While this seemed like a 11 OSPAR is not alone in this situation. The Pelagos MPA, established in 2003, still has no management body. http://openchannels.org/blog/disciara/pushing-forwardpelagos-sanctuary-and-conservation-marine-mammals-mediterranean-sea. 7 logical place to begin, it has caused issues. Owing to the different histories of each of the sectoral organisations, there are no commonly shared principles or shared interpretation of them. Similarly, after initial bilateral consultations, the SSA has withdrawn from the agenda of its planned inter-ministerial meeting its goal of establishing common principles. Indeed, discussion of integrated management is also proving to be challenging – see below. If the experiences of OSPAR and SSA are indicative of other regions, the process of establishing joint ocean management principles will require more in-depth discussion at the global level. 3.4. Difficulties integrating management across sectors Ultimately, all of the above-listed difficulties would be of secondary importance if the goal of integrated cross-sectoral management (and hence protection of biodiversity in ABNJ) had nonetheless been achieved. However, to date, there are no examples of integrated cross-sectoral protection of biodiversity in ABNJ. This disturbing finding does beg the question why integrated management has been too difficult to achieve? And/or, perhaps has cooperatively protecting biodiversity simply not been a priority? The two case studies examined here would suggest, in the view of the authors that both factors are at work. 4. Conclusions 4.1. Ten ingredients for success From the experiences of OSPAR and the SSA, it has been found several factors have helped lead towards success: (1) Recognition of the need to identify and protect selected areas in ABNJ as part of a global obligation is growing. In the course of their respective processes, SSA and OSPAR have found a great deal of intrinsic support and political good will for the protection of iconic ecosystems in ABNJ. (2) Agreed criteria and selection processes for MPAs based on established biodiversity considerations are advantageous. The on-going CBD EBSA process represents a global approach using globally agreed-upon scientific criteria. While it is too soon to judge whether EBSAs will be globally accepted by the competent sectoral authorities, early experiences by OSPAR and the SSA have indicated a need for greater integration of EBSAs, and consideration of their scientific rationale, within international institutions. (3) Agreement on overarching principles and their interpretation might well expedite progress. For example, even though the 1992 Rio Principles and the 1995 UN Fish Stocks Agreement, inter alia mandate precaution, there remain widely differing levels of acceptance, interpretation and application of the precautionary principle/approach. In most organisations, harm still has to be demonstrated before conservation measures will be considered. However, for most ABNJ sites available science is limited. In line with the precautionary principle, prudent use of proxy/analogue evidence should be admissible on the basis that if action is delayed key sites are despoiled. Without this leeway, science is unlikely to meet the required burden of proof for the vast majority of sites in ABNJ. The current case studies have found that at the regional level, pragmatism may be more important than time and effort required to renegotiate principles. This may be a task better suited to an international body like the UN General Assembly. (4) “Champions” are necessary – an organisation, State and/or individual(s) intent on awareness raising, knocking on the door and asking questions of decision-makers. Progress 140 Please cite this article as: Freestone D, et al. Can existing institutions protect biodiversity in areas beyond national jurisdiction? Experiences from two on-going processes. Mar. Policy (2014), http://dx.doi.org/10.1016/j.marpol.2013.12.007i D. Freestone et al. / Marine Policy ∎ (∎∎∎∎) ∎∎∎–∎∎∎ 8 (5) (6) (7) (8) (9) towards protection of biodiversity in ABNJ will not happen without someone leading the way. This is a key role, requiring State Parties to relevant agreements to step up to the challenge. Targets and deadlines help focus hearts and minds. For OSPAR Contracting Parties, the spur of a ministerial meeting, in a year when the OSPAR network would be evaluated against its own previous and global political commitments, in the International Year of Biodiversity, ahead of CBD COP 10, were all positive factors (albeit unquantifiable). Presumably, the CBD Aichi Targets [5] and also the Rio þ20 target for a decision on an negotiation process for a possible new instrument under UNCLOS [12] could likewise help progress. However, as the experiences of both OSPAR and the SSA have demonstrated, such targets are alone insufficient, without the considerable effort and high level political commitment to realise them. Long-term institutional commitment is essential. Any one or a combination of often related factors can take the momentum out of the process, such as changing priorities and resource allocation within an administration, as well as the failure of any State or organisation to maintain institutional knowledge over what is a complex and lengthy undertaking, as can occur through the redeployment of key individuals, changes of departmental organisation and changes of government (including rotating chairs of international bodies). Institutional and governmental “silos” need to be connected, as that they are counter-productive to the holistic requirements of ecosystem protection, and have to date impeded success in ABNJ. The responsibilities of UNCLOS can cut across several different State ministries and departments. As a precursor to integrated maritime planning, better coordination amongst governmental departments and across sectors has long been recognised as necessary and remains a matter of urgency [39]. Strength can be achieved through collaboration amongst competent authorities. This includes trust building, information exchange through Secretariats (e.g. early warning of emergent issues), and opportunities for States to come together to establish common positions within different Conventions. Organisations maintain independent epistemologies and there is a lack of political will to think in an ecosystem context beyond individual organisational mandates. Ultimately, protection of biodiversity in ABNJ is a political decision. Whilst legal advice and sound science are prerequisites, conservation decision-making also requires political momentum. By their very nature, many conservation decisions can constrain the activities which sectoral bodies oversee. There is a pressing need to establish precedents that reaffirm that meeting international commitments to protect biodiversity in ABNJ is a shared responsibility requiring cooperation and coordination. Clearly this will have to go beyond the current boilerplate text in the annual UNGA oceans resolution. While the efforts of OSPAR and the SSA are laudable, the considerable difficulties they have faced have prevented them from yet fully becoming such precedents; instead, remaining as “works in progress.” Global agreements should facilitate regional progress. In the absence of a global instrument to protect of biodiversity in ABNJ, it is inevitable that the mandate will be taken on in an uncoordinated way at the regional level, such as the two very different approaches taken by OSPAR and the SSA. For the foreseeable future it is unlikely (and perhaps undesirable) that biodiversity protection will be executed at the global level, and hence the role of regional bodies will remain important. Therefore, any future global agreement(s) should seek to support, facilitate, and expand the work that is already beginning at the regional level, encouraging consistency, commitments and compliance by Parties and NonParties alike. In addition, communications need to be clear so that regional efforts are seen as complementary implementation mechanisms and test-cases for working through the existing sectoral system, rather than as regional alternatives to broader global discussions about frameworks for high seas governance. (10) As a first step, a procedure by which sectoral and regional bodies report on their progress and measures concerning biodiversity protection should be established. Such a procedure would encourage such progress as well as providing the information that could lead to the cooperation and coordination in the implementation of management measures. Over time, this could lead to a mechanism(s) through which existing competent authorities would develop joint measures, as required. It is outside the scope of this paper to suggest how such a global mechanism could be established, but on-going discussions of the BBNJ indicate that States are taking this challenge seriously. 4.2. Looking ahead The OSPAR and SSA experiences so far have illustrated how protection of biodiversity in ABNJ can be incrementally approached. In the context of international relations, progress has been relatively positive, albeit some key objectives (such as integrated management) remain unmet. How this cautious rate of progress will be able to meet the increasing variability of Earth system processes and the rapid expansion of human activities in the ocean is unclear. Any alternative approach would likely have to be transformational; i.e. changing the core nature and assumptions about the way that the global ocean is managed. UN deliberations have been complemented but also complicated by a range of other initiatives on oceans such as the World Ocean Assessment and development of Sustainable Development Goals plus efforts to influence and/or accelerate protective efforts such as the Global Ocean Commission and the UN Ocean Compact. There is a need to establish leadership, integrating complementary efforts, and providing a forum that reduces divisiveness. As was championed by the EU, and supported by several others at BBNJ 2008, a two-pronged approach is likely the most sensible: to establish structures to facilitate incremental improvement of existing institutions, while at the same time proceeding down the more ambitious road of fundamental marine governance reform in the medium- to long-term [46]. The former has the advantage of dealing with the familiar, particularly in the shortterm; whereas, the latter has the advantage of potentially much greater efficiencies in how we co-exist on, and in, an increasingly crowded ocean in the future. References [1] United Nations Convention on the Law of the Sea. 1833 UNTS 396. 〈http:// www.un.org/depts/los/convention_agreements/texts/unclos/UNCLOS-TOC. htm〉; 1982 [accessed July 2013]. [2] World Summit on Sustainable Development. Plan of implementation, at para. 31(c). 〈www.un.org/esa/sustdev/documents/WSSD_POI_PD/…/POIToc.htm〉; 2002 [accessed July 2013]. [3] Convention on Biological Diversity. Framework for monitoring implementation of the achievement of the 2010 target and integration of targets into the thematic programmes of work. COP 8 Decision VIII/15, Annex II. 〈http://www. cbd.int/decision/cop/default.shtml?id=11029〉; 2006 [accessed July 2013]. [4] Spalding MD, Meliane I, Milam A, Fitzgerald C, Hale LZ. Protecting marine spaces: global targets and changing approaches. Yearbook. Ocean: Martinus Nijhoff Publishers; 2013; 27. 141 Please cite this article as: Freestone D, et al. Can existing institutions protect biodiversity in areas beyond national jurisdiction? Experiences from two on-going processes. Mar. Policy (2014), http://dx.doi.org/10.1016/j.marpol.2013.12.007i D. Freestone et al. / Marine Policy ∎ (∎∎∎∎) ∎∎∎–∎∎∎ [5] Convention on Biological Diversity (CBD). COP 10 Decision X/2. Strategic Plan for Biodiversity. 〈https://www.cbd.int/decision/cop/?id=12268〉; 2010 [accessed July 2013]. [6] Notarbartolo di Sciara G, Agardy T, Hyrenbach D, Scovazzi T, Van Klaveren P. The Pelagos sanctuary for Mediterranean marine mammals. Aquat Conserv: Mar Freshw Ecosyst 2008;18:367–91. [7] Protection of the South Orkney Islands southern shelf. CCAMLR documents, CM 91-03; 2009. Available from: 〈www.ccamlr.org〉. [8] OSPAR Annual Report 2010 and OSPAR Decision 2012/1 on the establishment of the Charlie-Gibbs North High Seas Marine Protected Area. OSPAR 12/22/1, Annex 6; 2012. [9] United Nations General Assembly (published 2005), res 59/24 §73. 〈http:// oceansbeyondpiracy.org/sites/default/files/un_general_assembly_resolu tion_59-24.pdf〉; 2004 [accessed July 2013]. [10] United Nations General Assembly. Report of the Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction. 2006; A/61/65, §9. [11] Druel E, Rochette J, Billé R, Chiarolla C. A long and winding road. International discussions on the governance of marine biodiversity in areas beyond national jurisdiction. IDDRI, studies no. 07/2013. 〈http://www.iddri.org/Publications/ A-long-and-winding-road〉; 2013 [accessed August 2013]. [12] United Nations General Assembly. The future we want. 2012; A/RES/66/288, §162. [13] David Freestone D, Morrison K. The Sargasso Sea Alliance: Seeking to protect the Sargasso Sea. Int J Mar Coast Law 2012;27:647–55. [14] Freestone D. The Final Frontier: The Law of the Sea Convention and Areas beyond National Jurisdiction. In: Proceedings of the 2012 Law of the Sea Institute Conference on Securing the Ocean for the Next Generation, Volume 1, Law of the Sea Institute Conference Papers Series; 2013. [15] Freestone D. Working to protect the “golden floating rain forest of the ocean.” The Sargasso Sea alliance: an interim report. Environmental Policy and Law; 2013 (in press). [16] Druel E, Ricard P, Rochette J, Martinez C. Governance of marine biodiversity in areas beyond national jurisdiction at the regional level: filling the gaps and strengthening the framework for action. Case studies from the North-East Atlantic, Southern Ocean, Western Indian Ocean, South West Pacific and the Sargasso Sea. IDDRI Sciences Po. and Agence des aires marine protégées: Paris, France; 2012. p. 4. [17] O’Leary BC, Brown RL, Johnson DE, von Nordheim H, Ardron J, Packeiser T. The first network of marine protected areas (MPAs) in the high seas: the process, the challenges and where next. Mar Policy 2012;36:598–605. [18] Freestone D, Morrison K. Current Legal Developments: the Sargasso Sea. Int J Mar Coast Law 2012;27:647–55. [19] Fifth International Conference on the Protection of the North Sea. Bergen declaration. Bergen, Norway. 〈http://www.ospar.org/html_documents/ospar/ html/bergen_declaration_final.pdf〉; 2002 [accessed July 2013]. [20] The 1980 Convention on Future Multilateral Co-Operation in North-East Atlantic Fisheries, entered in force in 1982. For text as amended see 〈http:// www.neafc.org/system/files/london-declarlation_and_new_convention.pdf〉. [21] Notarbartolo di Sciara G, Agardy T, Hyrenbach D, Scovazzi T, Van Klaveren P. The Pelagos sanctuary for Mediterranean marine mammals. Aquat Conserv: Mar Freshw Ecosyst 2008;18:367–91. [22] The Antarctic Treaty. Washington, DC. 〈http://www.ats.aq/e/ats.htm〉 1959 [accessed July 2013]. [23] Ribiero MC. The ‘Rainbow’: The First National Marine Protected Area proposed under the high seas. Int J Mar Coast Law 2010;25:183–208. [24] Ban NC, Bax NJ, Gjerde KM, Devillers R, Dunn DC, Dunstan PK, Hobday AJ, Maxwell SM, Kaplan DM, Pressey RL, Ardron JA, Game ET, Halpin PT. Systematic conservation planning: a better recipe for managing the high seas for biodiversity conservation and sustainable use. Conserv Lett 2013 http://dx.doi.org/10.1111/conl.12010, 〈http://onlinelibrary.wiley.com/doi/10.1111/ conl.12010/abstract〉. [25] Royal Gazette. UK supporting efforts to create marine reserve. 〈http://www. royalgazette.com/article/20120713/NEWS07/707139917〉 [accessed 13.07.13]. [26] Laffoley D, Roe H, editors. The protection and management of the Sargasso Sea: the golden floating rainforest of the Atlantic Ocean-Summary Science and Supporting Evidence Case. 〈http://www.sargassoalliance.org/storage/docu ments/Sargasso.Report.9.12.pdf〉; 2011 [accessed August 2013]. 9 [27] Czbulka D, Kersandt P. Legal Regulations, Legal Instruments and Competent Authorities with Relevance for Marine Protected Areas (MPAs) in the Exclusive Economic Zone and the High Seas of the OSPAR Maritime Area. Ger Fed Agency Nat Conserv, BfN Skripten 2000:22 (Bonn) 〈http://www.bfn.de/filead min/MDB/documents/marin1.pdf〉. [28] Owen D. The powers of the OSPAR Commission and coastal State parties to the OSPAR Convention to manage marine protected areas on the seabed beyond 200 nm from the baseline. A Report for WWF Germany: Frankfurt; 2006. [29] OSPAR Convention for the Protection of the Marine Environment of the NorthEast Atlantic. OSPAR0 s Regulatory Regime for establishing Marine Protected Areas (MPAs) in Areas Beyond National Jurisdiction (ABNJ) of the OSPAR Maritime Area. Meeting of the OSPAR Commission, Brussels (European Commission); 22–26 June 2009, Annex 6; Ref. §6.13 c. [30] United Nations General Assembly (advance unedited copy). Report of the Intersessional Workshops aimed at improving understanding of the issues and clarifying key questions as an input to the work of the Working Group in accordance with the terms of reference annexed to General Assembly resolution 67/78. Summary of proceedings prepared by the co-Chairs of the Working Group. 1012; §89. [31] Boyle P. Life in the Mid Atlantic: An exploration of marine life and environment in the middle of the North Atlantic Ocean from the sea surface to the sea bed. Bergen Museum Press; 2009. p. 28. [32] Agence des aires marines protégées. Cross-checking High Seas Issues: towards an ecosystem-based approach. Report summarizing the 2012 Marine Targets Seminar, Brest; 2008. [33] OSPAR. Memorandum of Understanding between the North East Atlantic Fisheries Commission (NEAFC) and the OSPAR Commission. Agreement 2008-04. [34] Hoydal K, Johnson D, Hoel AH. Regional governance: the case of NEAFC and OSPAR. In: Garcia SM, Rice J, Charles A, editors. Governance for fisheries and marine conservation: interaction and co-evolution (Chapter 15). WileyBlackwell; 2013 (in press). [35] OSPAR convention for the protection of the marine environment of the NorthEast Atlantic. Meeting of the OSPAR Commission: London. Summary Record; 2011, Annex 15. [36] Johnson DE. Can competent authorities cooperate for the common good: towards a collective arrangement in the North-East Atlantic. In: Berkman P, Vylegzhanin A, editors. Environmental security in the Arctic Ocean. Dordrecht, The Netherlands: Springer; 2013. p. 333–43 (Chapter 29). [37] Druel E, Bille R, Treyer S. A legal scenario analysis for marine protected areas in areas beyond national jurisdiction. Report from the Boulogne-sur-Mer seminare. IDDRI Studies; 2011 (06.11.11). [38] OSPAR. Guidelines for the management of marine protected areas in the OSPAR Maritime Area. Agreement; 2003–18. [39] Fisheries and Oceans Canada. Gilbert bay marine protected area management plan and eastport marine protected areas management plan. DFO; 2007. p. 1292. [40] Gubbay S. Towards the Conservation and Management of the Sedlo Seamount. OASIS Oceanic Seamounts: an Integrated Study. European Commission Project No. EVK3-CT-2002-00073-OASIS; 2005. [41] Ardron J, Gjerde K, Pullen S, Tilot V. Marine spatial planning in the high seas. Mar Policy 2008:832–8. [42] Northwest Atlantic Fisheries Organization (NAFO). Fisheries Commission0 s Working Paper 13/20. FC Request #15. 〈http://www.sargassoalliance.org/ management-and-enforcement/competent-authorities-and-collaborating-in stitutions/nafo〉 [Accessed November 2013]. [43] Convention on Biological Diversity. Decision IX/20, §17. 〈http://www.cbd.int/ decision/cop/default.shtml?id=11663〉; 2008 [accessed August 2013]. [44] Luckhurst BE. Inventory and ecology of fish species of interest to ICCAT in the Sargasso Sea. SCRS/2013/132. [45] International Commission for the Conservation of Atlantic Tunas. Report of the sub-committee on ecosystems, inter-sessional meeting: Madrid, Spain, §6. 〈http://www.iccat.int/Documents/Meetings/Docs/2013_SC-ECO_REPORT_ENG. pdf〉; July 1–5, 2013 [accessed August 2013]. [46] United Nations General Assembly. Report of the Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction. 2008, A/63/79, §§25, 44, 54. 142 Please cite this article as: Freestone D, et al. Can existing institutions protect biodiversity in areas beyond national jurisdiction? Experiences from two on-going processes. Mar. Policy (2014), http://dx.doi.org/10.1016/j.marpol.2013.12.007i Forthcoming in Jill Barrett and Richard Barnes (eds.), UNCLOS at 30 and Beyond. British Institute of International and Comparative Law, London, 2015. GOVERNANCE OF AREAS BEYOND NATIONAL JURISDICTION: AN UNFINISHED AGENDA OF THE 1982 CONVENTION ? David Freestone* I. INTRODUCTION Nearly 50 per cent of the Earth’s surface is covered by marine areas beyond national jurisdiction. These are the marine areas that are beyond the limits of the Exclusive Economic Zones recognized by the 1982 United Nations Law of the Sea Convention (“the Convention”) and of the continental shelf, which the Convention recognizes may extend beyond 200 nm to its outer geomorphological limits.1 Since the finalization of the Convention, human activities in the ocean, particularly in areas beyond national jurisdiction (“ABNJ”) have burgeoned, as have their impacts.2 These impacts are not only the result of new activities but also of the unprecedented increase of existing activities such as maritime transport, the laying of submarine cables (for internet connections), interest in seabed exploration and mining, and, of course, fishing. In the more than thirty years since the adoption of the Convention it has become clear that the co-operative regime for ABNJ which the Convention seems to have envisaged, has not materialised. This chapter looks at the limitations of the current ocean governance regime and identifies important issues that need to be addressed more specifically in ABNJ, such as basic principles of ocean governance, the conservation and sustainable use of marine biological diversity, environmental impact assessment for new activities and the establishment of marine protected areas (MPAs). It looks at developments within the United Nations (“UN”) system, such as the establishment of the Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction (“BBNJ Working Group”) and proposals for a new implementation agreement to the Convention which were also discussed at the UN Conference on Sustainable Development in Rio de Janeiro in June 2012. It then looks in detail at the Sargasso Sea project – which is designed to see what protection measures can be put in place to protect a unique This chapter is a revised and updated version of D Freestone, ‘Can We Protect High Seas Ecosystems under Current International Law? Lessons from the Sargasso Sea Project’ in M Ribeiro (ed), Proceedings of the International Conference 30 Years after Signature of the United Nations Convention on the Law of the Sea: the protection of environment and the future of the Law of the Sea (Coimbra Editora 2014). The author is grateful to both publishers for allowing him to publish a version of this chapter in both volumes. * The author is extremely grateful to Kate Killerlain Morrison, my Deputy Executive Director, for her help in putting this chapter together. Some parts draw heavily upon the article we wrote together: D Freestone and K Killerlain Morrison, ‘The Sargasso Sea Alliance: Seeking to Protect the Sargasso Sea’ (2012) 27 IJMCL 647. I am also grateful to Kristina Gjerde, IUCN Senior High Seas Policy Adviser, for carefully reading the manuscript and for her excellent comments. Thanks also to Olivier Yambo for assisting with references. 1 Art 76. 2 B Halpern et al, ‘A Global Map of Human Impact on Marine Ecosystems’ (2008) 319 (No 5865) Science 948; E Ramirez-Llodra et al ‘Man and the Last Great Wilderness: Human Impacts on the Deep Sea’ (2011) 6(8) PLoS ONE: e22588. 143 ecosystem in ABNJ using existing international institutions, without waiting for the UN to take more comprehensive action. II. THE REGIME ENVISAGED BY THE CONVENTION FOR AREAS BEYOND NATIONAL JURISDICTION Part VII of the Convention covers the rights and duties of States on the high seas. Article 87 of the Convention provides for “Freedom of the high seas” making it clear that the high seas are open to all States, whether coastal or landlocked. It then itemises six specific freedoms, namely: freedom of navigation; freedom of overflight; freedom to lay submarine cables and pipelines, subject to Part VI;3 freedom to construct artificial islands and other installations permitted under international law, subject to Part VI; freedom of fishing, subject to the conditions laid done in section 2;4 and freedom of scientific research, subject to Parts VI and XIII.5 Article 87(1) also makes the point reiterated in detail in other provisions that these freedoms are not unconditional. They may only be exercised “under the conditions laid down by this Convention and by other rules of international law.” Article 87(2) reinforces the point that these freedoms shall be exercised by all States with due regard for the interests of other States in their exercise of the freedom of the seas, and also with due regard for the rights under the Convention with respect to the Area. Having said that, the only specific additional restrictions that can be made to the exercise of these rights are by international agreement that would be binding only on the States which are party to them. Of course, Part XII of the Convention does impose general obligations in relation to the Protection and Preservation of the Marine Environment, which extend to the high seas and international seabed area. Article 192 obliges all States to “protect and preserve the marine environment”6 and Article 194(5) specifies that measures under Part XII are to include “those necessary to protect and preserve rare or fragile ecosystems as well as the habitat of depleted, threatened or endangered species and other forms of marine life.”7 Article 197 further obliges States to [C]o-operate on a global basis and, as appropriate, on a regional basis, directly or through competent international organizations, in formulating and elaborating international rules, standards and recommended practices and procedures consistent with this Convention, for the protection and preservation of the marine environment, taking into account characteristic regional features. In Part XI, the Convention also establishes an international regime for the exploration and exploitation of seabed mineral resources in ‘the Area’ overseen by the International Seabed Authority (“ISA”).8 It designates the Area and its mineral resources as the Common Heritage of Mankind, and mandates the ISA to administer the resources for the benefit of mankind. In On the Continental Shelf. Arts 116-120. 5 Part VI places limits on research activities on the continental shelf where it extends under the high seas. Part XIII sets out general provisions and co-operative requirements concerning the conduct of marine scientific research. 6 Art 192. 7 Art 194(5). 8 Under Art 133, “resources” means “all solid, liquid or gaseous mineral resources in situ in the Area at or beneath the seabed including polymetallic nodules”. This is important given debates about the extent to which living resources comprise part of the regime for the Area, or are subject to the freedom of the high seas. 3 4 2|Page 144 addition to provisions for the sharing of financial and other economic benefits from mining activities, it also envisages the development of detailed rules and regulations for the prevention of damage from mineral exploration and extraction activities and for the conservation of the flora and fauna of the seabed.9 However, these rules do not apply to activities such as deep-sea bottom fishing, marine scientific research, cable-laying or potential new activities such as ocean fertilization and other forms of marine geo-engineering.10 A range of other global and regional treaties do regulate specific activities which take place in ABNJ, such as fishing, dumping and navigation. But of course these detailed sectoral treaties are only binding on States Parties. So, the problem of proper (ie integrated and generally applicable) governance in ABNJ is exacerbated by the patchwork of treaties that exists. A number of experts have conducted detailed reviews of existing organizations with jurisdiction over activities in ABNJ which show that there are serious gaps in coverage.11 In relation to sectoral activities, these gaps are both functional as well as geographic. This is not necessarily a defect in the basic Convention regime itself, but it is a serious defect in its implementation. In fact, the lacunae in implementation are vividly shown by the Convention’s provisions relating to the monitoring and reporting of potentially polluting activities. These provisions, which are quite rigorous, are based entirely on good faith implementation by States Parties; there is no international process for receiving or reviewing these reports or even for publicizing them. The Convention provides as follows: Article 204(2): “… States shall keep under surveillance the effects of any activities which they permit or in which they engage in order to determine whether these activities are likely to pollute the marine environment.” Article 205: “States shall publish reports … or provide such reports at appropriate intervals to the competent international organizations, which should make them available to all States.” Article 206: “When States have reasonable grounds for believing that planned activities under their jurisdiction or control may cause substantial pollution of or significant and harmful changes to the marine environment, they shall, as far as practicable, assess the potential effects of such activities on the marine environment and shall communicate reports of the results of such assessments...”. Although there are international treaty requirements for prior environmental impact assessment for the permitting of human activities in some areas of the ocean, such as the Southern Ocean under the Madrid Protocol12 or for some activities such as ocean dumping, this is very much the Art 145. See, eg: R Rayfuse, M Lawrence and K Gjerde, ‘Ocean Fertilisation and Climate Change: The Need to Regulate Emerging High Seas Uses’ (2008) 23 IJMCL 297; K Scott, ‘Regulating Ocean Fertilization under International Law: The Risks’ (2013) 2 CCLR 108 11 K Gjerde et al, Regulatory and Governance Gaps in the International Regime for the Conservation and Sustainable Use of Marine Biodiversity in Areas beyond National Jurisdiction (IUCN 2008) <http://cmsdata.iucn.org/downloads/iucn_marine_paper_1_2.pdf>. See also: D Freestone, ‘Problems of High Seas Governance’ and K Gjerde, ‘High Seas Fisheries Governance: Prospects and Challenges in the 21st Century’ in D Vidas and PJ Schei (eds) The World Ocean in Globalisation: Challenges and Responses (Martinus Nijhoff 2011). For an excellent wider discussion of the ABNJ legal regime, see: R Warner, Protecting the Oceans beyond National Jurisdiction: Strengthening the International Law Framework (Martinus Nijhoff 2009). 12 The Protocol on Environmental Protection to the Antarctic Treaty (signed in Madrid on October 4 1991 and entered into force in 1998), (1991) 30 ILM 1455. Annex 1 is on Environmental Impact Assessment. For text see http://www.ats.aq/documents/recatt/Att008_e.pdf. 9 10 3|Page 145 exception rather than the rule.13 The recent decision of the Parties to the London Convention and Protocol,14 which establishes an assessment framework in relation to ocean fertilization, also represent an important step forward on this front.15 Verlaan reports that in 2008 the London Convention and London Protocol Parties defined and essentially prohibited Ocean Fertilization (“OF”) except for legitimate scientific research.16 She further notes that “‘Legitimate scientific research’ (LSR) is defined as ‘those [scientific research] proposals [for OF] that have been assessed and found acceptable under the Assessment Framework.’”17 The Assessment Framework, developed by the LC/LP joint Scientific Groups and adopted by the parties in 2010, is a “tool . . . to determine if the proposed [OF] activity constitutes [LSR].”18 To constitute LSR, the proposed OF activity must first demonstrate ‘proper scientific attributes’.19 In 2013, the Parties further adopted resolution LP.4(8), thereby amending the Protocol to include marine geoengineering activities. The amendments, adopted on 18 October 2013 by the Protocol Parties, add a new Article 6bis which states that: Contracting Parties shall not allow the placement of matter into the sea from vessels, aircraft, platforms or other man-made structures at sea for marine geoengineering activities listed in Annex 4, unless the listing provides that the activity or the sub-category of an activity may be authorized under a permit.20 Despite these recent efforts to fill the lacunae on potentially polluting activities, much work remains to done in relation to emerging new concerns in ABNJ. Recent research by the Census of Marine Life and other projects has highlighted the huge impact that human activities have already had on marine biodiversity and the importance which biodiversity at all trophic levels plays in maintaining ocean ecosystem health and functions.21 This research also made it clear that despite the strong and unequivocal obligations to protect the marine environment in the Convention discussed above, insufficient attention is directed at conservation of marine ecosystems outside areas of national jurisdiction. For example, experience at the national level has demonstrated beyond doubt the beneficial effects that the establishment of protected areas has on the conservation of biomass, even though these are often established in the face of See: R Warner and S Marsden, Transboundary Environmental Governance: Inland, Coastal and Marine Perspectives (Ashgate 2012). 14 Resolution LC-LP.2(2010) on the Assessment Framework for Scientific Research Involving Ocean Fertilization, adopted on 14 October 2010. Available http://www.imo.org/OurWork/Environment/LCLP/EmergingIssues/geoengineering/Documents/OFassessment Resolution.pdf. Convention on the Prevention of Marine Pollution by Dumping of Wastes and Other Matter 1972, 1046 UNTS 120; 1996 Protocol to the 1972 Convention on the Prevention of Marine Pollution by Dumping of Wastes and Other Matter, 2006 ATS 11. 15 See: P Verlaan, ‘Marine Scientific Research: its Potential Contribution to Achieving Responsible High Seas Governance’ in D Freestone (ed) The 1982 Law of the Sea Convention at 30: Successes, Challenges and New Agendas (Martinus Nijhoff 2013); P Verlaan, ‘Marine Scientific Research: its Potential Contribution to Achieving Responsible High Seas Governance’ (2012) 27 IJMCL 805. 16 Verlaan (2013) ibid, 133. Ocean fertilization is defined as “… any activity undertaken by humans with the principal intention of stimulating primary productivity in the ocean…” Resolution LC-LP.1(2008) on the Regulation of Ocean Fertilization, para 2. Available www.imo.org/blast/blastData.asp?doc_id=14101&filename=1.do 17 Ibid, citing para 7 of Resolution LC-LP.1(2008). 18 Section 1.2 of the Assessment Framework. This is annexed to Resolution LC-LP.2(2010) above n 14. 19 Ibid, section 1.3.1. Res. LC-LP.2(2010). See further Verlaan (2012) (n 15) 807-808. 20 See further http://www.imo.org/OurWork/Environment/PollutionPrevention/SpecialAreasUnderMARPOL/Pages/Default.a spx See also passim CMG Vivian, Brief Summary of Marine Geoengineering Techniques (CEFAS February 2013). 21 R Danovaro et al, ‘Exponential Decline of Deep-Sea Ecosystem Functioning Linked to Benthic Biodiversity Loss’ (2008) 18 Current Biology 1; and references at n 2. 13 4|Page 146 strident opposition from user groups, particularly fishermen.22 General international law, and indeed the Convention itself, does not provide a mechanism for the establishment of conservation or other areas on the high seas that would have objective status and would thus be binding on all States. An important result of the sectoral approach in the treaty regimes applicable to ABNJ is that although the parties to all these treaties must have regard to the sweeping obligation of Article 192 to protect and preserve the marine environment, the modalities by which this is done vary widely from regime to regime. Each sectoral regime has its own distinctive protection mechanisms and assesses differently the factors that need to be taken into account; the result is a plethora of distinct sectoral regimes designed to protect specific areas of the ocean from individual sector-specific risks. Examples abound, with a corresponding welter of acronyms: MARPOL 73/7823 envisages the establishment of ‘Special Areas’ of the ocean, in which more rigorous regimes apply for the discharge of various substances from vessels. The International Maritime Organization (“IMO”) also envisages the designation of Particularly Sensitive Sea Areas (“PSSAs”) to denote areas of particular vulnerability to shipping activities,24 although none have to date been established in the high seas.25 Regional Fisheries Management Organisations (“RFMOs”) envisage protection measures, including closing areas for fisheries management reasons. As a result of pressure from the UN General Assembly (“UNGA”), States and RFMOs were called upon to protect marine biodiversity, including ‘vulnerable marine ecosystems’ from significant adverse impacts of deep-sea bottom trawling.26 In August 2008, the FAO’s Committee on Fisheries adopted International Guidelines for the Management of Deep-Sea Fisheries in the High Seas which provide criteria for identifying ‘Vulnerable Marine Eco-systems’ and outline procedures for preventing significant adverse impacts from the impacts of bottom trawling including closure of areas and prior environmental impact assessments. 27 However, UNGA reviews recognize that despite some progress, much work remains to be done to effectively implement these procedures and RFMOs have yet to adopt similar provisions with respect to vulnerable marine species in the superjacent water column.28 22 There is wide range of literature on this. For a recent examples see SE Lester et al, ‘Biological effects within notake marine reserves: a global synthesis’ (2009) 384 Marine Ecology Progress Series 33–46; PB Fenberg et al, ‘The science of European marine reserves: Status, efficacy, and future needs’ (2012) 36 (5) Marine Policy 1012–102; K Grorud-Colvert et al, ‘Marine Protected Area Networks: Assessing Whether the Whole Is Greater than the Sum of Its Parts’ (2014) 9(8) PLoS ONE 9: e102298; GJ Edgar et al, ‘Global conservation outcomes depend on marine protected areas with five key features’ (2014) 506 Nature 216–220. 23 International Convention for the Prevention of Pollution by Ships, 1973/78 (1978) 17 ILM 546. 24 IMO Assembly Resolution A.982(24) Revised guidelines for the identification and designation of Particularly Sensitive Sea Areas (PSSAs). Further details at: http://www.imo.org/OurWork/Environment/PollutionPrevention/PSSAs/Pages/Default.aspx; also see: K Gjerde and D Freestone (eds) ‘Special Issue: Particularly Sensitive Sea Areas: an Important Environmental Concept at a Turning Point’ (1994) 9 IJMCL 431. 25 Although MARPOL Special Areas have been established in ABNJ eg in Antarctica. See also J Roberts et al, ‘Area-based Management on the High Seas: Possible Application of the IMO’s Particularly Sensitive Sea Area Concept’ (2010) 25 IJMCL 483-522. 26 UNGA Res 59/25 (17 November 2004) para 66; UNGA Res 61/105 (8 December 2006) paras 80-90. 27 FAO, International Guidelines for the Management of Deep-sea Fisheries in the High Seas (Rome 2009). 28 UNGA Res 64/72 (4 December 2009) para 118. Reports on implementation of these obligations have been prepared, inter alia, by IUCN and the Deep Sea Conservation Coalition, see M Gianni, Review of the Implementation of the UNGA Agreement to Protect Deep-sea Ecosystems on the High Seas (Deep Sea Coalition 2009). Available at <www.savethehighseas.org>. More recently see G Wright et al, Advancing marine biodiversity protection through regional fisheries management: a review of high seas bottom fisheries closures. Working Paper 14/14 (IDDRI Paris 2014). Available athttp://www.iddri.org/Publications/Collections/Idees-pour-ledebat/WP1414_GW%20et%20al_fisheries%20closures%20ABNJ.pdf 5|Page 147 Various protocols to the Regional Seas treaties envisage the establishment of Specially Protected Areas (“SPAs”) and in the Mediterranean, Specially Protected Areas of Mediterranean Importance (“SPAMIs”).29 The International Sea Bed Authority (“ISA”) has also recently recognised Areas of Particular Environmental Interest (“APEIs”) in relation to work in the Clarion-Clipperton Zone in the Pacific.30 In addition, over the past few years, the Parties to the Convention on Biological Diversity (“CBD”) have developed a process to describe Ecologically or Biologically Significant Areas (“EBSAs”) to inform and advise sectoral managers. This process is discussed in more detail below.31 While all these initiatives are to be welcomed, existing measures are still essentially monosectoral and designed to protect from specific sectoral threats. There is still no mechanism to designate an area of the high seas as a marine protected area, allowing management planning for the area and protection from a suite of threats or from cumulative threats, or even to preserve important marine ecosystems in a precautionary way for future generations in the way that we take for granted on land (or in coastal waters). Given that the States participating in these sectoral processes are usually the same, the “silo” or “stovepipe” approach of national governments, where different ministries often have difficulty liaising with each other, also permeates the international arena. Thus, meetings of fisheries management bodies attract a different epistemic community from that attending IMO meetings, or meetings of the ISA bodies. They each prefer their own brand of protection measures, regulating a single issue such as fishing, marine discharges or seabed prospecting, and exercising firm, but different, controls on the way that these restrictions are applied. This is not the sort of situation which Article 197 of the Convention, with its general instruction to co-operate, seems to have envisaged. Having said that, some progress has been made at a regional level towards the establishment of MPAs in ABNJ that come within the jurisdictional areas of regional environment agreements. In 2002, the Johannesburg Plan of Implementation, agreed at the World Summit on Sustainable Development (WSSD), set out the goal of establishing a network of representative MPAs by 2012.32 Furthermore, as Scott reminds us, ‘States party to the 1992 Convention on Biological Diversity (CBD) endorsed this strategy in 2004 and, furthermore, The first such Protocol was the 1982 Protocol on Specially Protected Areas to the 1976 Barcelona Convention for the Protection of the Mediterranean Sea against Pollution (see below n 36). This was revised in 1995 to reflect the 1992 Biodiversity Convention and the more cutting edge approach of the 1990 Kingston Protocol on Specially Protected Areas and Wildlife (SPAW) to the Convention for the Protection and Development of the Marine Environment in the Wider Caribbean Region (“Cartagena Convention”). For text see D Freestone, ‘Specially Protected Areas and Wildlife in the Caribbean’ (1990) 5 International Journal of Estuarine and Coastal Law 362-382, 369. East Africa and the South East Pacific are also covered by similar measures. See Protocol Concerning Protected Areas and Wild Fauna and Flora in the Eastern African Region 1985, available at http://www.unep.org/NairobiConvention/The_Convention/Protocols/Protocol_Protected_Areas.asp) and Protocol for the Conservation and Management of Protected Marine and Coastal Areas of the South-East Pacific (1989). 30 When the ISA Council approved the environmental management plan for the Clarion-Clipperton Zone, it decided that “… for a period of five years from the date of the present decision or until further review by the Legal and Technical Commission or the Council, no application for approval of a plan of work for exploration or exploitation should be granted in areas of particular environmental interest referred to in the annex”’ ( Decision of the Council relating to an environmental management plan for the Clarion-Clipperton Zone, ISBA/18/C/22 26 July 2012. Available at http://www.isa.org.jm/sites/default/files/files/documents/isba-18c-22_0.pdf 31 See also Fitzmaurice on regional protection measures for the Baltic Sea, Chapter x, page 000 below. 32 Report of the World Summit on Sustainable Development, Johannesburg, South Africa, 26 August-4 September 2002. A/CONF.199/20* Plan of Implementation (2002) at para 32(c), at http://daccess-ddsny.un.org/doc/UNDOC/GEN/N02/636/93/PDF/N0263693.pdf?OpenElement 29 6|Page 148 included the goal of protecting ten per cent of the world’s ecological regions by 2012 within their Strategic Plan.’33 In 2010, this was further elaborated in the CBD Aichi Target 11: [b]y 2020, at least 17 per cent of terrestrial and inland water areas and 10 per cent of coastal and marine areas, especially areas of particular importance for biodiversity and ecosystem services, are conserved through effectively and equitably managed, ecologically representative and well-connected systems of protected areas and other effective area-based conservation measures, and integrated into the wider landscape and seascape.34 Where regional treaty regimes do envisage the establishment of MPAs in high seas areas, there has been some progress, as in the OSPAR region,35 the Mediterranean36 and the Southern Ocean.37 In the Southern Ocean, as Scott notes, the South Orkney Islands southern shelf MPA covers just under 94,000 square kilometres of high seas within which fishing, scientific research related to fishing, and discharges and dumping from fishing vessels are regulated”.38 Within this area, steps have been taken to develop MPAs,39 although the principal concern is control of fisheries, rather than a broader spatial management of activities. In the overwhelming majority of ocean areas beyond national jurisdiction, however, there is no such regional framework. These developments have led to discussions of this issue within the UNGA, where mechanisms to improve the conservation and management of marine biodiversity in ABNJ have been studied for more than a decade. III. GOVERNANCE OF AREAS BEYOND NATIONAL JURISDICTION: DEBATE WITHIN THE UN GENERAL ASSEMBLY In 2004, in order to address the full range of issues particularly related to the conservation of biodiversity in areas beyond national jurisdiction, the UNGA agreed to the recommendation of the UN Informal Consultative Process on the Oceans and the Law of the Sea (“UNICPOLOS”) to establish an Ad Hoc Open-ended Informal Working Group to study issues relating to the CBD COP 7 Decision VII/30 Strategic Plan: future evaluation of progress, Annex II, Goal 1.1; K Scott, ‘Conservation on the High Seas: Developing the Concept of the High Seas Marine Protected Areas’ (2012) 27 IJMCL 849, 850. 34 For text see http://www.cbd.int/sp/targets/rationale/target-11/ 35 Convention for the Protection of the Marine Environment of the North-East Atlantic (adopted 22 September 1992, entered into force 25 March 1998) (1992) 32 ILM 1069 (“OSPAR Convention”). 36 Convention for the Protection of the Marine Environment and Coastal Region of the Mediterranean (adopted 16 February 1976, amended 10 June 1995, entered in force 9 July 2004) 1102 UNTS 27 (“Barcelona Convention”); Protocol concerning Mediterranean Specially Protected Areas and Biodiversity (adopted 10 June 1995, entered into force 12 Dec 1999) 2102 UNTS 203. 37 Commission for the Conservation of Antarctic Marine Living Resources (“CCAMLR”), Conservation Measure 91-03 (2009) “Protection of the South Orkney Islands southern shelf” and Conservation Measure 91-04 (2011) “General framework for the establishment of CCAMLR Marine Protected Areas”. Both texts are available on the CCAMLR website at: http://www.ccamlr.org/en/conservation-and-management/conservation-measures 38 Scott (n 33) 852 (footnotes omitted). 39 Report of the 2007 Workshop on Bioregionalisation of the Southern Ocean (Brussels, Belgium, 13 to 17 August 2007), available at http://www.ccamlr.org/en/system/files/e-sc-xxvi-a9.pdf; Report of the Workshop on Marine Protected Areas (Brest, France, 29 August to September 2011) para 2.2, available at https://www.ccamlr.org/en/system/files/e-sc-xxx-a06.pdf 33 7|Page 149 conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction.40 Several important proposals have been discussed at these meetings including a European Union proposal for a new implementing agreement to develop a more specific framework to address conservation and sustainable use of marine biodiversity beyond national jurisdiction within the Convention framework.41 Issues highlighted in the discussions have included the absence of a global instrument regulating the establishment and monitoring of MPAs in ABNJ (even though protected areas have proven to be extremely effective in maintaining biodiversity in coastal contexts), the absence of comprehensive environmental impact assessments (“EIAs”) for new activities in ABNJ, as well as the lack of co-ordination between those international organizations that are charged with regulating specific sectoral activities.42 Other States have indicated that improved implementation should be the first priority, but not all have provided their views on what might be done to enhance implementation with respect to biodiversity conservation in general. Unfortunately, the lively debates on improved governance have been overshadowed by controversy over the future regime for exploitation of marine genetic resources beyond national jurisdiction.43 The G77 and China have argued that the common heritage of mankind concept that the Convention applies to deep seabed minerals,44 should also apply to the living resources of the deep ocean floor, many of which may have important industrial and pharmaceutical potential. They argue that, rather than being subject to the open access regime of the high seas as advocated by some States, if the drafters of the Convention had been aware of these resources – rather than simply being aware of the famous ‘manganese nodules’ – they would doubtless have specifically included these living resources within the deep sea bed regime.45 These polarised positions produced stalemate in the discussions at the BBNJ Working Group. However, at the May 2011 Meeting there was something of a breakthrough. It was agreed that the issues of protection of biodiversity through conservation and management tools such as EIAs and MPAs should be linked with issues relating to access and benefit sharing of This Working Group held its first meeting in 2006, with further meetings held in 2008, 2010, 2011, 2012, 2013 and 2014. A final meeting was held in January 2015. For details of the meetings see the UN website at: http://www.un.org/Depts/los/biodiversityworkinggroup/biodiversityworkinggroup.htm 41 See reports of meetings at http://www.un.org/Depts/los/biodiversityworkinggroup/biodiversityworkinggroup.htm 42 It has also been suggested that the international community should reaffirm some of the basic principles that have been agreed in a wide range of existing instruments, including the Convention, in relation to national activities in ABNJ. At the IUCN 4th World Conservation Congress, in Barcelona on 7 October 2008, IUCN President Valli Moosa of South Africa chaired a plenary session presenting the IUCN ‘Ten Principles of High Seas Governance.’ For a more detailed exposition of these principles and their legal basis see D Freestone, ‘Principles Applicable to Modern Oceans Governance’ (2008) 23 IJMCL 385; and D Freestone, ‘Modern Principles of High Seas Governance: The Legal Underpinnings’ (2009) 39 International Environmental Policy and Law 44. 43 For an excellent assessment of the issues and potential of bio-prospecting, see: D Leary et al, ‘Marine Genetic Resources: A Review of the Scientific and Commercial Interest’ (2009) 33 Marine Policy 183. 44 See Art 138 UNCLOS: “The Area and its resources are the common heritage of mankind”. Art 133 UNCLOS further provides that resources means “all solid liquid or gaseous mineral resources in situ in the Area at or beneath the seabed, including polymetallic nodules.” 45 For records of these discussions see: http://www.un.org/depts/los/biodiversityworkinggroup/biodiversityworkinggroup.htm For a general flavor of various concerns, see particularly the Co-Chairpersons’ summary of discussion, appended to Letter dated 16 March 2010 from the Co-Chairpersons of the Ad Hoc Open-ended Informal Working Group to the President of the General Assembly, UN Doc A/65/68 (17 March 2010). Available at: http://daccess-ddsny.un.org/doc/UNDOC/GEN/N10/277/20/PDF/N1027720.pdf?OpenElement 40 8|Page 150 marine genetic resources.46 This was discussed further at the 2012 BBNJ Working Group meeting,47 and at the UN Conference on Sustainable Development (Rio + 20) in June 2012. The Outcome Document of the Rio Conference, entitled ‘The Future We Want’48 contained the following commitment: We recognize the importance of the conservation and sustainable use of marine biodiversity beyond areas of national jurisdiction. We note the ongoing work under the General Assembly of an ad hoc open-ended informal working group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction. Building on the work of the ad hoc working group and before the end of the sixty-ninth session of the General Assembly we commit to address, on an urgent basis, the issue of the conservation and sustainable use of marine biological diversity of areas beyond national jurisdiction, including by taking a decision on the development of an international instrument under the United Nations Convention on the Law of the Sea.49 Acting on this undertaking, the UNGA in Resolution 68/70 requested the Secretary-General to convene three more meetings of the BBNJ Working Group.50 These took place between 1-5 April and 16-19 June 2014 and 20-23 January 2015. At that last meeting the Working Group decided, after protracted debate, to recommend to the UNGA that it: “Decide to develop an international legally binding instrument under the Convention on the conservation and sustainable use of marine biological diversity of areas beyond national jurisdiction…”.51 The recommendations of the Working Group also envisage the establishment of a preparatory committee, to begin work in 2016 and to report to the UNGA in 2017 with recommendations on a text. The proposed negotiations will address the topics identified in the package agreed by the BBNJ Working Group in 2011, namely the conservation and sustainable use of marine biodiversity in areas beyond national jurisdiction, in particular, together and as a whole, marine genetic resources, including questions on the sharing of benefits, measures such as area-based management tools, including marine protected areas, environmental impact assessments and capacity building and the transfer of marine technology.52 As indicated above, the Working Group has been discussing this possible new multilateral instrument for more than a decade. In 2010, the Sargasso Sea project evolved out of some frustration at the slow rate of progress and a desire to see what can or cannot be done to protect an iconic high seas ecosystem using the existing international legal mechanisms. The Sargasso Sea project therefore is intended to be an important case study of both the strengths and limitations of the existing system of high seas governance. Recommendations of the Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction and Co-Chairs’ summary of discussions, UN Doc A/66/119 (30 June 2011). Available on the UN website at: http://daccess-ddsny.un.org/doc/UNDOC/GEN/N11/397/64/PDF/N1139764.pdf?OpenElement 47 Held in New York, 7-11 May 2012; see: Agenda UN Doc A/AC.276/5 (7 May 2012). http://daccess-ddsny.un.org/doc/UNDOC/GEN/N12/332/60/PDF/N1233260.pdf?OpenElement 46 Para 162 of the Annex to UNGA Res 66/288 (27 July 2012), UN Doc A/RES/66/288 (11 September 2012). Para 200 of UNGA Res 68/70 Oceans and law of the sea (9 December 2013) UN Doc A/RES/68/70 (27 February 2012). 51 Recommendations of the Ad Hoc Open-ended Informal Working Group to study issues relating to the conservation and sustainable use of marine biological diversity beyond areas of national jurisdiction. See UN Doc A/69/780* 1(3 February 2015) 52 Ibid, para 6. 49 50 9|Page 151 IV. THE SARGASSO SEA PROJECT The Sargasso Sea is a two million square nautical mile ecosystem in the North Atlantic. It is named for the two species of holopelagic algae which reproduce solely by fragmentation without contact with land (Sargassum natans and Sargassum fluitans) and accumulate in the North Atlantic Subtropical Gyre where they form into large mats or windrows. The Sargasso Sea is thus the world’s only sea without coasts; only the tiny islands of Bermuda have direct coastal frontage. The Sargasso Sea is bounded on all sides by the clockwise flow of major ocean currents: the Gulf Stream and North Atlantic Drift form the western and northern boundaries, the Canary Current forms a more diffuse eastern boundary, and the North Equatorial Current and Antilles Current form the southern boundary. Just as the currents vary, so too do the boundaries of the Sargasso Sea. The Sargasso Sea was first written about by Christopher Columbus. In September 1492 on his first voyage he recorded “much weed …in some place so thick that it actually held back the ships.”53 Nowadays mats as big as those Columbus saw are rare, possibly as a result of increased maritime traffic through the area once the change from sail to motorised propulsion of vessels overcame mariners’ fear of their vessels becoming becalmed in the gyre. Despite the increasingly rare occurrence of such large algal mats, the Sargasso Sea is still a unique ecosystem. The Sargassum is home to a range of endemic species and the Sargasso Sea is a major feeding and migration route for a number of vulnerable, threatened and endangered species, including sea turtles, and humpback and sperm whales. The Sea is also vital for commercially important species of tuna and billfish. It is the only place in the world where the catadromous anguillid eels spawn - the American eel (Anguilla rostrata) and the critically endangered European eel (Anguilla anguilla).54 Bermuda, at the centre of the Sargasso Sea, is an overseas territory of the United Kingdom. It claims a 200 nm EEZ of some 180,000 square nm.55 Beyond the Bermudian EEZ, however, the remainder of the Sargasso Sea is largely beyond national jurisdiction.56 There is no regional marine environmental treaty framework (like OSPAR), or regional fisheries agreement (like the North East Atlantic Fisheries Commission) in place for this part of the Atlantic. There are Thursday, 20 September 1492 he recorded in his log that: “Today I changed course for the first time since departing Gomera because the wind was variable and sometimes calm. I first sailed west by north and then WNW, making 21 or 24 miles… The sailors caught a little fish, and we saw much weed of the kind I have already mentioned, even more than before, stretching to the north as far as you can see. In a way this weed comforted the men, since they have concluded that it must come from some nearby land. But at the same time, it caused some of them great apprehension because in some places it was so thick that it actually held back the ships.” The following day, Friday, 21 September 1492 he reported “At sunrise we saw so much weed that the sea seemed to be a solid mat, coming from the west.” My thanks to Dr William Curry and Professor Brian Lapointe for this reference. C Columbus (trans CR Markham) Journal of Christopher Columbus (during his first voyage 1492-93): and documents relating to the voyages of John Cabot and Gaspar Corte Real (Ashgate 2010) 26-7. 54 The European eel is protected by EC Regulations. Council Regulation (EC) No. 1100/2007 of 18 September 2007 establishes measures for the recovery of the stock of European eel. OJ 2007 L248/17. 55 In June 1996, the Governor of Bermuda published a Proclamation declaring a 200 nm EEZ around Bermuda, measured from the territorial sea coastal baselines (set out in the Bermuda (Territorial Sea) Order in Council of 1988), to come into force at the same time as the 1996 Bermuda Fisheries Amendment Act (1996/10). Bermuda declared a 200 nm fishing zone in May 1977 (Proclamation No 202) and a 200 nm EEZ in June 1996 (Fisheries Amendment Act 1996:10) 56 Depending on what is defined to be the geographical extent of the Sargasso Sea, it can be taken to extend into the EEZs of the United States to the East and the Northern Antillean islands to the south. The Alliance commissioned a new map based on criteria such as ocean current and eddy occurrence, remote sensing of Sargassum weed, and historical mapping, which excludes national EEZs. It calls this area the Sargasso Sea Study Area. The map can be viewed at http://www.sargassoalliance.org/where-is-the-sargasso-sea. 53 10 | P a g e 152 however a number of wider sectoral treaty regimes governing a wide range of activities in the Sargasso Sea, which are discussed in detail below. In March 2014, Bermuda hosted an international meeting of government representatives to sign the Hamilton Declaration on Collaboration for the Conservation of the Sargasso Sea.57 The Hamilton Declaration – also discussed further below - established a regular Meeting of Signatories and envisaged the establishment of a Sargasso Sea Commission to “exercise a stewardship role for the Sargasso Sea and keep its health, productivity and resilience under continual review”.58 This is designed to be a new paradigm for high seas conservation, based on voluntary intergovernmental collaboration.59 A. The Sargasso Sea Alliance The Sargasso Sea Commission essentially replaced the Sargasso Sea Alliance (“the Alliance”) that was formed in 2010 under the leadership of the Government of Bermuda to bring together governments and non-government actors with a commitment to environmental protection in the Sargasso Sea. Other members of the Alliance were the International Union for Conservation of Nature (IUCN), Woods Hole Oceanographic Institution, the WWF International, the Marine Conservation Institute, the Mission Blue/Sylvia Earl Foundation, together with the Bermuda Underwater Exploration Institute, the Bermuda-based Atlantic Conservation Partnership and the famous Bermuda Institute for Ocean Sciences. The small secretariat, headed by an Executive Director, was established in 2010 in the IUCN office in Washington DC. The Bermuda Ministry of Environment has the Government lead on the project.60 The Alliance had three key objectives: to build a partnership to secure international recognition of the ecological significance of the Sargasso Sea and the threats that it faces; to use existing regional, sectoral and international organizations to secure a range of protective measures for all or parts of the Sargasso Sea to address key threats; and to use the process as an example of what can and cannot be delivered through existing institutions in ABNJ.61 The general strategy of the Alliance was therefore to identify the most important threats to the Sargasso Sea ecosystem and to address these by seeking appropriate protection measures within the relevant existing international or regional sectoral organization. Possible threats from shipping or vessel source pollution would be addressed through the IMO; threats from fishing through the only two relevant fishing organisations – the International Commission for the Conservation of Atlantic Tunas (“ICCAT”) and (for the small area of the Sargasso Sea above 35°N) the North-west Atlantic Fisheries Organisation (“NAFO”); Seabed mining issues through the ISA. No one appears to have attempted to do this before: to use the range of existing bodies to attempt to put complementary sectoral measures in place for an important area beyond national jurisdiction. Hence, the project has attracted a lot of international attention. The leadership of the Government of Bermuda is crucial to this project because the project involves engaging primarily with intergovernmental bodies. Bermuda is an overseas Hamilton Declaration on Collaboration for the Conservation of the Sargasso Sea, adopted 11 March 2014, reproduced in D Freestone and KK Morrison, ‘The Signing of the Hamilton Declaration on Collaboration for the Conservation of the Sargasso Sea: A new paradigm for high seas conservation?’ (2014) 28 IJMCL 345 at 354. 58 Annex II, para (a), Hamilton Declaration, ibid at 361. 59 Freestone and Morrison, (n 57) 345-6. 60 In 2010 this was the Ministry of Environment and Strategic Planning. In 2014, after a reshuffle, it was combined with Health and Seniors – currently it is the Ministry of Health, Seniors and the Environment. 61 See generally, D Freestone and KK Morrison, ‘The Sargasso Sea Alliance: Seeking to Protect the Sargasso Sea’ (2012) 27 IJMCL 647; D Freestone, ‘The Sargasso Sea Alliance: Working to Protect the “Golden Floating Rain Forest of the Ocean.”’ (2014) 44 Environmental Policy and Law 151. 57 11 | P a g e 153 territory of the United Kingdom. It is internally self-governing, but its head of state is Queen Elizabeth II, whose representative is the Governor. Under a general letter of entrustment signed by the UK Foreign Secretary, Bermuda has limited rights to negotiate and conclude bilateral and multilateral agreements in certain areas of external affairs, in relation to specific subject areas.62 International treaties to which the UK is party may, depending on their terms, be extended by the UK to Bermuda at its request.63 This can result in some interesting situations, for example, in relation to ICCAT. The UK is no longer a party to ICCAT in respect of its metropolitan territory; the EU has exclusive fishery competence for its Member States and has been a member of ICCAT since 1997.64 The UK retains membership only in relation to its overseas territories, including Bermuda, which may be allocated separate allowable catch quotas under ICCAT. The UK is a party to the Convention on Biological Diversity (CBD), but its ratification has not been extended to Bermuda. Bermuda is not a separate member of the IMO. Since 2003, Bermuda has been an Associate Member of CARICOM – the Caribbean Economic Community.65 Support from the UK was therefore crucial to Bermuda being able to make representations to international organisations with competence to regulate sectoral activities. The UK Foreign and Commonwealth Office requested a high quality peer-reviewed scientific study justifying the importance of the Sargasso Sea before lending its support. This report was published in late 2011, after review by the Bermudian Cabinet and the UK government.66 In July 2012, in response to a Parliamentary Question from Mr Zac Goldsmith MP, the UK Minister for Overseas Territories, Mr Henry Bellingham stated that the Government of Bermuda supported the proposal to provide appropriate protection for the Sargasso Sea and that the British Government, the Sargasso Sea Alliance and the Government of Bermuda are working together to this end through the appropriate forums.67 So what are those “appropriate forums”? The following section looks at the progress that has been made to date using existing international legal frameworks. B. Relevant International Organizations 1. United Nations The Alliance has hosted or co-hosted a number of side events at UN Law of the Sea meetings, including the BBNJ Working Group and UNICPOLOS, discussed above. In December 2012, the work of the Alliance was recognised in the annual UNGA Resolution on the law of the sea, which noted “the efforts of the Sargasso Sea Alliance, led by the Government of Bermuda, to Letter from Secretary of State to Governor of Bermuda, 30 September 2009. See I Hendry and S Dickson, British Overseas Territories Law (Hart 2011) 237-239. See also the text of the letter at 243-245. 63 Hendry and Dickson, ibid, 253-257. 64 Since 14 November 1997. See http://www.iccat.int/en/contracting.htm 65 Since 2 July 2003. 66 Published as D Laffoley et al, The Protection and Management of the Sargasso Sea: The Golden Floating Rainforest of the Atlantic Ocean. Summary Science and Supporting Evidence Case (Sargasso Sea Alliance 2011). Available at http://www.sargassoalliance.org/storage/documents/Sargasso.Report.9.12.pdf 67 Bermuda Royal Gazette, ‘UK supporting efforts to create marine reserve.’ 13 July 2013, http://www.royalgazette.com/article/20120713/NEWS07/707139917 See also House of Commons Environmental Audit Committee's enquiry into MPAs, especially its focus on the UK OTs. See EAC's 1st report: http://www.publications.parliament.uk/pa/cm201415/cmselect/cmenvaud/221/22102.htm; and the Government's response Sept 2014:http://www.publications.parliament.uk/pa/cm201415/cmselect/cmenvaud/651/65102.htm; and the EAC report on Sustainability in the UKOTs, Jan 2014, which has a section on MPAs: http://www.publications.parliament.uk/pa/cm201314/cmselect/cmenvaud/332/332.pdf 62 12 | P a g e 154 raise awareness of the ecological significance of the Sargasso Sea.”68 This language was the result of a joint proposal from South Africa, the UK and the USA. In 2013 the same language was included in the annual UNGA Resolution, with the support of the UK, US and Bahamas.69 In 2014 South Africa and Bahamas, with the support of the UK, US and Monaco, proposed more extensive language, but encountered opposition; however the same wording as in previous years was included in the 2014 Resolution.70 2. Convention on Biological Diversity At the tenth session of the Conference of Parties (COP 10) to the CBD in Nagoya, Japan, the parties decided to initiate a science-driven process to identify EBSAs.71 To that end a series of workshops have been organised by the CBD Secretariat in association with other organisations to identify such areas.72 At the Wider Caribbean and Western Mid-Atlantic Regional Workshop on EBSAs held in Recife, Brazil in February/March of 2012, the Government of Bermuda, on behalf of the Alliance, put forward a proposal for the ‘description’ of the Sargasso Sea as an EBSA. The case for the Sargasso Sea as an EBSA was discussed and adopted by the scientists at the workshop, then forwarded as part of the Workshop Report to the CBD’s Subsidiary Body on Scientific, Technical and Technological Advice (SBSTTA) meeting in April 2012, and, ultimately, the Eleventh Session of the Conference of Parties (COP 11) in Hyderabad in October 2012, where it was officially described as an EBSA.73 The COP decision makes it clear that application of the scientific criteria for ecologically or biologically significant marine areas is a scientific and technical exercise. It emphasizes that the selection of appropriate conservation and management measures is a matter for States and competent intergovernmental organizations, in accordance with international law.74 But it does request the Executive Secretary to include the summary reports on the description of areas that meet the criteria for ecologically or biologically significant marine areas, in the Repository maintained by the CBD Secretariat,75 and to submit them to the UNGA and particularly its BBNJ Working Group, as well as to submit them to Parties, other Governments and relevant international organizations.76 It is clear from this that a ‘description’ of an area as an EBSA has in itself no legal significance, but it is intended that the CBD process will be taken into account by other UNGA Res 67/78 (11 December 2012), UN Doc A/67/78*, para 199. UNGA Res 68/70 (9 December 2013), UN Doc A/68/70, para 215 70 UNGA Res 69/245 (1 December 2014) UN Doc A/69/245, para 231. 71 “[The] primary objective [is] to facilitate the description of ecologically or biologically significant marine areas through application of scientific criteria in annex I of decision IX/20 as well as other relevant compatible and complementary nationally and intergovernmentally agreed scientific criteria, as well as the scientific guidance on the identification of marine areas beyond national jurisdiction, which meet the scientific criteria in annex I to decision IX/20”.” CBD Decision X/29, para 36. Available at: http://www.cbd.int/decision/cop/?id=12295 72 Workshops have been held in virtually all maritime regions. For a full list see http://www.cbd.int/meetings/ 73 UNEP/CBD/COP/DEC/XI/17 (5 December 2012) 23, item 13; http://www.sargassoalliance.org/storage/documents/cop-11-dec-17-en.pdf. 74 As stated in para 26 of Decision X/29 (n 71). 75 Ibid, para 36. See the EBSA Repository at http://www.cbd.int/ebsa/ 76 This is reiterated in Decision X/17 Marine and coastal biodiversity: ecologically or biologically significant marine areas. Doc UNEP/CBD/COP/DEC/XI/17 of 5 December 2012, para 6. See http://www.cbd.int/doc/decisions/cop-11/cop-11-dec-17-en.pdf. It further requested the Executive Secretary to submit them to the Ad Hoc Working Group of the Whole on the Regular Process for Global Reporting and Assessment of the State of the Marine Environment, including Socio-economic Aspects, as well as to provide them as a source of information to United Nations specialized agencies. 68 69 13 | P a g e 155 international processes charged with managing and conserving ocean resources. For example, while the COP to the CBD does not have competence to designate MPAs, information shared through the EBSA identification process may help strengthen the scientific basis for protective measures through other regional or sectoral entities. The Alliance has therefore taken the “description” of the Sargasso Sea as an EBSA as a significant success in its aim of achieving international recognition of the ecological significance of the Sargasso Sea. It has used this EBSA description in making approaches to other international organizations – as the CBD process envisages.77 3. North West Atlantic Fisheries Organisation The first opportunity to utilise the Sargasso Sea EBSA classification arose in the context of the 34th Annual Meeting of the Fisheries Commission of the North West Atlantic Fisheries Organisation (“NAFO”), meeting in St Petersburg, Russian Federation, 17-21 September 2012. The northern edges of the Sargasso Sea classified as an EBSA and of the Bermudian EEZ extend beyond the 35°N latitude demarking the geographical scope of the NAFO Convention.78 In that small area two seamount areas are already temporarily closed to bottom trawling. On the basis of an Alliance proposal through the UK, the EU brought forward a proposal to the September NAFO Commission for a resolution on the Sargasso Sea. It resolved to take into account the available information about the Sargasso Sea, including its designation as an EBSA, and consider management measures to protect that ecosystem. However, some Contracting Parties indicated they regarded it as premature considering that the COP to the CBD was not due to consider the proposal describing the Sargasso Sea as an EBSA until its meeting in October 2012. The proposed resolution was therefore not adopted at that meeting. Nevertheless, the issue was referred to NAFO’s Scientific Council. The Fisheries Commission requested the Scientific Council to comment and advise on whether the Sargasso Sea provides forage area or habitat for living marine resources that could be impacted by different types of fishing; and on whether there is a need for any management measure including a closure to protect this ecosystem.79 The Science Council met in June 2013 in Dartmouth, Nova Scotia, Canada, but the issue was deferred to the Fisheries Commission meeting in July 2013, at which point the proposals were sent for consideration by the joint Fishery Commission/Science Council Working Group on D Freestone and KK Morrison, “Sargasso Sea Alliance: Leveraging an EBSA definition for High Seas Protection” Global Ocean Biodiversity Initiative Newsletter (October 2013) at p 5. 78 The NAFO Convention on Future Multilateral Cooperation in the Northwest Atlantic Fisheries applies to most fishery resources of the Northwest Atlantic except salmon, tunas/marlins, whales, and sedentary species (e.g. shellfish). In 2009, NAFO has 12 Members from North America, Europe, Asia and the Caribbean. Among them are four coastal members bordering the Convention Area: USA, Canada, France (in respect of St. Pierre et Miquelon), and Denmark (in respect of Faroe Islands and Greenland). 79 Northwest Atlantic Fisheries Organization (NAFO), NAFO/FC DOC. 12/24, Fisheries Commission’s Request for Scientific Advice on Management in 2014 and Beyond of Certain Stocks in Subareas 2, 3 and 4 and Other Matters (September 2012), para 15. Reproduced in NAFO Report of the Fisheries Commission 2012 NAFO/FC Doc 12/31, Annex 6, p 38. Available at: http://www.sargassoalliance.org/storage/documents/NAFO_Report_of_the_Fisheries_Commission_St_Petersbur g_Sept_2012.pdf 77 14 | P a g e 156 Ecosystem Approach Framework to Fisheries Management.80 A number of further discussions have been held within the Commission and the issue is still under consideration. 4. International Commission for the Conservation of Atlantic Tunas The International Commission for the Conservation of Atlantic Tunas (ICCAT) is responsible for the conservation of tuna and tuna-like species in the Atlantic Ocean and its adjacent seas.81 Sargassum had already been the subject of a 2005 ICCAT Resolution 05-11 on Pelagic Sargassum initiated by the US.82 The origin of this 2005 resolution appears to be a decision of the US South Atlantic Fishery Management Council, the federal body responsible for protecting ocean fish and their habitat from North Carolina to part of Florida.83 The US decision declared Sargassum as ‘essential fish habitat’ under the US Magnuson-Stevens Fishery Conservation and Management Act, that charges the Council with minimizing the ‘adverse effects on such habitat caused by fishing.’84 ICCAT Resolution (05-11) on Pelagic Sargassum requested Contracting Parties and others to provide to the Standing Committee on Research and Statistics (SCRS – the ICCAT Science body) information and data on activities that impact pelagic Sargassum in the convention area on the high seas, directly or indirectly, with particular emphasis on the Sargasso Sea. As a result, the SCRS was asked to examine available and accessible information and data on the status of pelagic Sargassum and its ecological importance to tuna and tuna-like species. The following year, in 2006, the SCRS Sub-Committee on Ecosystems noted that there was no information on this matter and therefore recommended that scientists from the Contracting Parties provide available information to the Sub-Committee, which would facilitate giving a response to the Commission.85 It appears however that no further information was forthcoming. Nevertheless building on these previous actions, Bermuda was represented at the 2011 Meeting of the ICCAT Sub-Committee on Ecosystems held in Miami, and, on behalf of the Sargasso Sea Alliance, made a presentation on the importance of the Sargasso Sea ecosystem.86 In the light of the 2005 ICCAT resolution, the 2006 recommendation from the Sub-Committee on Ecosystems, and the information provided by the Sargasso Sea Alliance, the Sub-Committee Northwest Atlantic Fisheries Organization (NAFO). Sargasso Alliance, http://www.sargassoalliance.org/management-and-enforcement/competent-authorities-and-collaboratinginstitutions/nafo (last visited Jan. 25, 2014). 81 The International Convention for the Conservation of Atlantic Tunas was signed in Rio de Janeiro, Brazil, in 1966. It entered into force in 1969 and currently has 48 parties. Further details at: http://www.iccat.int/en/contracting.htm. For geographical scope see Article 1, ICCAT Convention – text at http://www.iccat.int/Documents/Commission/BasicTexts.pdf 82 ICCAT Resolution 05-11 on Pelagic Sargassum, at https://www.iccat.int/Documents/Recs/compendiopdfe/2005-11-e.pdf 83 See South Atlantic Fisheries Management Council, Fisheries management Plan for Pelagic Sargassum Habitat of the South Atlantic Region (SAFMC 2002). Available : http://safmc.net/Library/pdf/SargFMP.pdf 84 Current version is 109th Congress Public Law 479; An Act to amend the Magnuson-Stevens Fishery Conservation and Management Act to authorize activities to promote improved monitoring and compliance for high seas fisheries, or fisheries governed by international fishery management agreements, and for other purposes. Jan. 12, 2007 - [H.R. 5946] Text at: http://www.gpo.gov/fdsys/pkg/PLAW-109publ479/html/PLAW-109publ479.htm. The US South Atlantic Fishery Management Council prepared a Fishery Management Plan that limits commercial harvest of Sargassum in US waters to 5,000 lbs per year. The long-term objective is to give Sargassum full protection and ensure that there is no net loss of this important fish habitat off US shores. 85 ICCAT Report 2006-2007, Appendix 10, item 6. 86 The presentation is summarized in Appendix 8 of the 2011 Report. Available at http://www.iccat.es/Documents/Meetings/Docs/2011_SC_ECO_REP_ENG.pdf 80 15 | P a g e 157 encouraged scientists from Contracting Parties to examine the available data to assess better the importance of pelagic Sargassum to tuna and tuna-like species.87 In 2011, the Government of Bermuda formally introduced the Alliance objectives to the full ICCAT Commission through an intervention at the Commission meeting. The following year, in November 2012, at the Annual ICCAT Commission meeting in Agadir, Bermuda proposed a recommendation that the SCRS examine the data compiled on the Sargasso Sea and the impacts of fishing activity on tuna and tuna-like species and on the area’s ecosystems, and that it consider the viability of establishing special conservation and management measures within the Sargasso Sea.88 The proposed recommendation noted that the Convention requires Parties to protect and preserve rare or fragile ecosystems, as well as the habitat of depleted, threatened or endangered species; that the UN Fish Stocks Agreement calls for the protection of biodiversity in the marine environment, and refers to the need to take ecosystem considerations into account, as well as to ensure compatibility between conservation and management measures adopted on the high seas and those adopted in areas under national jurisdiction;89 and noted also that many countries, including Contracting Parties, are moving to incorporate ecosystem considerations into their fisheries management measures. 90 The proposed recommendation was strongly supported by the EU, the US and a number of other delegations, but encountered opposition from countries that appeared not to accept the significance of the 2012 CBD COP decision on EBSAs discussed above.91 Nevertheless the Commission did resolve to request the SCRS to examine the available data and information concerning the Sargasso Sea and its ecological importance to tuna and tuna-like species and ecologically associated species;92 and to provide an update on the progress of this work in 2014 and report back to the Commission with its findings in 2015.93 The long time frame is the result of the fact that the main brunt of the work will be undertaken by the Sub-Committee on Ecosystems, which is currently involved in a major assessment of turtle by-catch but which has not to date had to assess the ecological importance of a complete ecosystem like the Sargasso Sea. At the 2013 Meeting of the Subcommittee, Bermuda and the Alliance put forward a major inventory of the ‘tuna and tuna-like species’ found within the Sargasso Sea.94 The ICCAT Ecosystem Subcommittee report states that: Above n 85. Which was narrowly defined to include those ICCAT squares outside the EEZs of coastal States (except Bermuda) and west of the mid-Atlantic and delineated by a polygon with the following co-ordinates: (-65.0 25.0,70.0 25.0,-70.0 30.0,-70.0 35.0,-65.0 35.0,-65.0 40.0,-60.0 40.0,-55 40,-50.0 40.0,-50.0 35.0,-50.0 30.0,-50.0 25.0,-55.0 25.0,-60.0 25.0,-65.0 25.0). 89 Agreement for the Implementation of the Provisions of the United Nations Convention on the Law of the Sea of 10 December 1982 Relating to the Conservation and Management of Straddling Fish Stocks and Highly Migratory Fish Stocks (adopted 4 August 1995, entered into force 11 December 2001) 2167 UNTS 88, Arts 5(d), 5(e), and 7(1). 90 The draft is not in the record of the meeting, but see further D Freestone et al, “Place-based Dynamic Management of Large Scale Ocean Places: Papahānaumokuākea and the Sargasso Sea” (2014) 33 Stanford Environmental Law Journal 191, 215. 91 See n 73, and the accompanying text. 92 Resolution by ICATT on the Sargasso Sea, Res 12-12 (2102). Reproduced in ICATT, Report for biennial period 201213 Part I, (ICAAT 2012) vol 1 at 215. Available at http://www.iccat.es/Documents/BienRep/REP_EN_1213_I_1.pdf, para 1. 93 ibid, para 2. 94 BE Luckhurst, ‘Inventory and Ecology of Fish Species of Interest to ICCAT in the Sargasso Sea’ (SCRS/2013/132). Noted in ICCAT Secretariat, Sub-Committee on Ecosystems, Report from the 2013 Inter87 88 16 | P a g e 158 The Group recommends continuing the contact with Sargasso Sea research teams and the U.K.-Bermuda scientists to develop a scientific collaborative plan to accomplish objective 2 of Res [12-12]. Additionally, the Group recognized that the above work is providing a useful foundation for adopting this region as a basis for a case study in implementing the Ecosystem Based Fisheries Management (EBFM) approach within ICCAT and this collaboration should continue to be supported.95 This conclusion was reported at the 2013 SCRS Meeting, and at the ICCAT Commission Meeting in Cape Town, South Africa in November 2013, the chair of the SCRS reported that the ecosystem group “recognized that basic biological and ecological data provided for the Sargasso Sea offers a useful foundation for adopting the region as a basis for a case study…’96 Bermuda submitted two further papers to the Subcommittee meeting in Portugal in September 2014.97 Under ICCAT Res [12-12], the SCRS is due to report to the full Commission at its meeting in Malta in November 2015. The Sargasso Sea Commission Secretariat is commissioning further research work in support of this process. 5. International Maritime Organization The IMO has sponsored a complex web of international conventions regulating international maritime shipping and vessel-source pollution issues. Its Marine Environmental Protection Committee (“MEPC”) meets every eight months or so. Its primary environmental instrument is the 1973/1978 MARPOL Convention. The IMO issues guidelines on a range of issue including the establishment of Particularly Sensitive Sea Areas (PSSAs).98 To date, however, PSSAs, which need to be linked with an Associated Protection Measure (APM), such as ship routing requirements or discharge restrictions, have not been declared in the high seas.99 In 2011, the Alliance commissioned a major study on maritime traffic through the Sargasso Sea, which demonstrates the extent of heavy traffic which passes regularly through that part of the North Atlantic.100 In 2011 and 2012, the Alliance organised a well-attended side events at the MEPC, highlighting the importance of the ecosystem and the need for some forms of protection. Bermuda has its own shipping registry with some two hundred vessels, but it is not a separate member of the IMO. Any Bermudian proposal for new shipping measures in the Sargasso Sea to be adopted by the IMO would therefore need to be presented through the UK. Discussions with the UK as to what might be appropriate protection measures are still ongoing. 6. International Seabed Authority sessional Meeting of the Sub-Committee on Ecosystems (Madrid, Spain – July 1 to 5, 2013) 2, available at http://www.iccat.int/Documents/Meetings/Docs/2013_SC-ECO_REPORT_ENG.pdf. 95 ibid. 96 Summary of the Report of the Inter-Sessional Meeting of the Sub-Committee on Ecosystems, in ICAAT, ICCAT Report for the biennial period, 2012-2013 Part II - vol 2. (ICAAT 2014) Appendix 9: 334, 336. Available at: http://www.iccat.es/Documents/BienRep/REP_EN_12-13_II_2.pdf 97 BE Luckhurst, Analysis of ICCAT reported catches of tunas and swordfish in the Sargasso Sea (1992-2011) (SCRS/2014/119), available at http://www.sargassoalliance.org/storage/documents/Luckhurst_2014__SCRS_2014_119.pdf and BE Luckhurst, A preliminary food web of the pelagic environment of the Sargasso Sea with a focus on the fish species of interest to ICCAT (SCRS/2014/120), available at http://www.sargassoalliance.org/storage/documents/Luckhurst_2014_-SCRS_2014_120.pdf 98 On the evolution of this concept see Gjerde and Freestone (n 24). 99 See Roberts (n 25). 100 J Roberts, Maritime Traffic in the Sargasso Sea: an Analysis of International Shipping Activities and their Potential Environmental Impacts. Sargasso Sea Alliance Science Report Series, No 9 (2011). Available only on line at http://www.sargassoalliance.org/storage/documents/No.9.MaritimeTraffic_LO.pdf 17 | P a g e 159 The ISA has jurisdiction over seabed mineral resource exploration and exploitation in the Area including beneath the Sargassum habitat of the Sargasso Sea.101 According to a recent study conducted by the Alliance, the geological context of the region suggests that mineral resources may be found in the Sargasso Sea Study Area.102 While some resources like aggregates or phosphates are likely not viable for exploitation, hydrocarbons, gas hydrates, manganese nodules and polymetallic sulphides might be of potential commercial interest.103 Manganese nodules and cobalt-rich manganese crusts are likely to be the most commonly occurring mineral resource in the Sargasso Sea Study Area. Despite their relatively low value, the high local abundance and grade of these resources means that in the long run they might be extracted. As yet there seems to be little interest, although in 2010, the Russian Federation requested an exploration license in the Mid-Atlantic Ridge, adjacent to the Study Area, signalling a growing interest in polymetallic sulphides as an economically viable ore deposit likely for rare earth and trace metal deposits used in computers and mobile phones. The French institution IFREMER also has an exploration license for an area north of the Russian area also on the Mid-Atlantic Ridge.104 While it seems unlikely in the near future, it is possible that deep seabed mining, particularly for polymetallic sulphides could be contemplated in the eastern part of the Sargasso Sea Study Area. However, no action has yet seemed appropriate in relation to seabed mining in the Sargasso Sea, which is currently a remote possibility. The ISA Secretariat has participated in Alliance scientific and other meetings and was represented at the Hamilton Meeting in March 2014. The Secretariats of the ISA and the new Sargasso Sea Commission are also developing a form of collaboration to promote further discussion and information sharing between the two entities. 7. Convention on the Conservation of Migratory Species of Wild Animals The 1979 Convention on the Conservation of Migratory Species (“CMS”) aims to protect migratory species throughout their ranges. Under the CMS, States can enter into Range State Agreements and/or Memoranda of Understanding to protect species (which are listed in the Appendices) within their full habitat range and can serve as a strong example of how international collaboration can improve marine protection for a species present across jurisdictions, and even in ABNJ.105 Well-known examples include the Agreement on the Conservation of Cetaceans of the Black Sea, Mediterranean Sea and Contiguous Atlantic Area (ACCOBAMS),106 and the Memorandum of Understanding on the Conservation of Migratory Sharks,107 the latter of which is open to a broader range of governments which may not be party to the CMS, such as the US. The ISA was established under UNCLOS, Arts 156–158. This is partially due to the availability of plentiful non-marine sources for phosphates. See L Parson and R Edwards, The Geology of the Sargasso Sea Alliance Study Area: Potential Non-Living Marine Resources and an Overview of the Current Territorial Claims and Coastal State Interests. Sargasso Sea Alliance Science Report Series No. 8 (2011). Available at http://www.sargassoalliance.org/storage/documents/No8_Geology_LO.pdf. 103 ibid. 104 The Russian Federation proposal is specifically on the Mid-Atlantic Ridge itself, south of 10°S. Ibid. 105 Signed 23 June 1979, entered into force 1 November 1983; text at (1980) 19 ILM 11. Migratory species may be listed under Appendix I and/or II. Appendix II species may be the subject of Range State AGREEMENTS (sic, per text of Article V) between Parties. 106 Agreement on the Conservation of Cetaceans of the Black Sea, Mediterranean Sea and Contiguous Atlantic Area 1996, (1997) 36 ILM 777. 107 Available at http://www.cms.int/sharks/sites/default/files/uploads/_Migratory_Shark_MoU_minus_CP_Eng.pdf 101 102 18 | P a g e 160 The CMS is potentially a significant tool for Sargasso Sea conservation because many animal species migrate through the Sargasso Sea, including the commercially important American and European eels, and several cetacean species. The UK has extended its ratification of the CMS to Bermuda. Early in 2014, conscious of the fact that the CMS COP was to take place in November 2014, the Alliance commissioned a draft science proposal for the listing of the European eel (Anguilla anguilla) on Appendix II of the Convention.108 Species can be listed under Appendix II if they have an “unfavourable conservation status” and if, inter alia, their conservation status “would significantly benefit from the international cooperation that could be achieved by an international agreement.”’109 Although listing a species under Appendix II does not prohibit harvesting or trade, parties to the CMS must ‘endeavour to conclude Agreements covering the conservation and management’ of listed species.110 However, Anguilla anguilla is already listed under CITES Appendix II (requiring certification of exports) and the EU has banned trade with third countries. 111 After the Hamilton meeting in March 2014, in furtherance of the agreement to collaborate contained in the Hamilton Declaration, the Government of Monaco took up the case for the listing of Anguilla anguilla and submitted a proposal to the CMS Science Council in July 2014.112 The Science Council recommended listing under Appendix II, and at the CMS COP in Quito, Ecuador in November 2014 the Parties agreed to include Anguilla anguilla in Appendix II.113 The next step will be the facilitation of a Range State workshop to discuss appropriate collaborative conservation measures. 8. Inter-American Convention for the Protection and Conservation of Sea Turtles The 1996 Inter-American Convention for the Protection and Conservation of Sea Turtles came into force in 2001 and now has 15 parties.114 The Convention promotes the protection, conservation and recovery of the populations of sea turtles and those habitats on which they depend, on the basis of the best available data and taking into consideration the environmental, socioeconomic and cultural characteristics of the Parties. 115 Several endangered or critically endangered species of turtle, including green turtles (Chelonia mydas), hawksbill turtles (Eretmochelys imbricate), loggerhead turtles (Caretta caretta), and Kemp’s Ridley turtles (Lepidochelys kempii), use Sargassum weed for cover, feeding and nursery habitat. The UK (and hence Bermuda) is not a party to the Convention. After preliminary discussion about a collaboration arrangement between the Sargasso Sea Commission and the Convention’s Secretariat, the secretariats have agreed informally to collaborate on a joint paper on the importance of Sargassum and the Sargasso Sea for Atlantic sea turtles. This paper will demonstrate the important migration links between turtles in Bermuda and many of the Central American countries. Proposal for inclusion of the European eel (Anguilla anguilla) on Appendix II of the Convention on the Conservation of Migratory Species of Wild Animals, prepared for the SSA by Dr M Gollock and Dr D Jacoby of the Zoological Society of London, June 2014. (On file with author) 109 CMS, Art IV(1). 110 CMS, Art IV(3)(c). 111 Council Regulation (EC) No. 1100/2007 of 18 September 2007 establishes measures for the recovery of the stock of European eel. OJ 2007 L248/17. 112 UNEP/CMS/ScC18/Doc.7.2.18. Proposal II/12 http://www.cms.int/sites/default/files/document/Doc_7_2_18_Prop_II_12_Anguilla_anguilla_MCO.pdf 113 UNEP/CMS/COP11/Doc.24.1.18.Rev.1. 114 For text see: http://www.iacseaturtle.org/eng-docs/Texto-CIT-ENG.pdf. Parties are: Argentina, Belize, Brazil, Chile, Costa Rica, Ecuador, Guatemala, Honduras, Panama, Mexico, Peru, the Netherlands, United States of America, Uruguay and Venezuela. Nicaragua has signed but not ratified. 115 Art II. 108 19 | P a g e 161 9. The World Heritage Convention The 1972 World Heritage Convention (“WHC”) envisages the inscription, in the World Heritage List, of sites of “outstanding universal value” that are part of the world’s “natural” and “cultural” heritage, defined in Articles 1 and 2 respectively.116 As at 10 March 2015, 1007 sites are inscribed on the World Heritage List of which about twenty per cent are “natural” sites. Of these, forty-six sites in thirty-five countries are inscribed specifically for their marine values.117 Nothing in the texts of Articles 1 and 2 of the WHC suggests that sites proposed for inscription could not be in areas beyond national jurisdiction. However, the procedures established seem to restrict nomination to sites which are “situated on the territory” of any of its Parties (Articles 3 and 4) or “in its territory” (Article 11). It has consequently been remarked that a World Heritage List that excludes sites in ABNJ (which consists of nearly half the globe) should perhaps be called “Half the World Heritage.”118 The issue was raised in 2011 after an audit of the “Global Strategy for a credible, balanced and representative World Heritage List.”119 Consequent to this, the Convention Secretariat began, in collaboration with the IUCN, to look at a scientifically sound method through which the concept of outstanding universal value in the Convention might be applied to the high seas. The Alliance, and now the Sargasso Sea Commission, is in correspondence with the Secretariat of the UNESCO World Heritage Committee, and the Sargasso Sea would clearly be a prime candidate for such a development. 10. Other conventional regimes a) Western Central Atlantic Fishery Commission Although there is no regional fisheries management regime governing the entire Sargasso Sea, there is an FAO fisheries advisory body that includes the geographic area of which the Sargasso Sea is part: the Western Central Atlantic Fishery Commission (WECAFC),120 to which the UK is a party. WECAFC practice has recently shown potential for the adoption of conservationminded approaches. The February 2012 WECAFC meeting included a resolution on strengthening the implementation of international fisheries instruments.121 WECAFC noted the Convention Concerning the Protection of the World Cultural and Natural Heritage (adopted 23 November 1972, entered into force 15 December 1975); 1037 UNTS 151. 117 For an official list of sites see: UNESCO World Heritage List. Available http://whc.unesco.org/en/list/ 118 Attributed to Professor Dan Laffoley, Marine Vice Chair of the IUCN World Commission on Protected Areas. See Freestone and Morrison (n 61) 654. 119 Available at http://whc.unesco.org/en/globalstrategy/ 120 The WECAFC was established under FAO Resolution 4/61 (1973), as amended by Resolution 3/74 (1978). IN 2006, it was revised by Resolution 1/131 (2006). Available at: ftp://ftp.fao.org/FI/DOCUMENT/wecafc/statutes.pdf. The general objective of the Commission is to promote the effective conservation, management and development of the living marine resources of the area of competence of the Commission, in accordance with the FAO Code of Conduct for Responsible Fisheries, and address common problems of fisheries management and development faced by members of the Commission. The work of the Commission is guided by the following three principles: promote the application of the provisions of the FAO Code of Conduct on Responsible Fisheries and its related instruments, including the precautionary approach and the ecosystem approach to fisheries management; ensure adequate attention to small-scale, artisanal and subsistence fisheries; and coordinate and cooperate closely with other relevant international organizations on matters of common interest. 121 Resolution on Strengthening the Implementation of International Fisheries Instruments-WECAFC 14 Session, Panama City, 6–9 February 2012 (WECAFC/XIV/2012/7. Available at: http://www.fao.org/docrep/meeting/024/am121e.pdf. 116 20 | P a g e 162 need to preserve biodiversity, minimize the risks of long-term or irreversible effects of fishing operations, avoid adverse impacts on the marine environment, maintain the integrity of marine ecosystems including deep-sea vulnerable marine ecosystems and effectively apply the precautionary and ecosystem approaches to fisheries management.122 Furthermore, WECAFC “agree(d) to take actions and measures to strengthen implementation of existing international fisheries instruments and those that may be developed in the future .…”. 123 The Alliance is in communication with the WECAFC Secretariat and representatives of the Alliance Secretariat as well as of Bermuda have participated in WECAFC meetings, including a workshop financed by the Global Environment Facility to prepare a billfish management and conservation plan for the western Central Atlantic.124 b) Related regional sea treaties Although there is no regional sea agreement covering the waters of the Sargasso Sea, there are a number of regional seas agreements which cover adjacent, if not necessarily abutting, regional sea areas. The OSPAR Convention, discussed above,125 whose geographical area of application includes the ABNJ areas of the North East Atlantic, has already developed a network of MPAs in ABNJ. In 2012 the Alliance and the OSPAR Secretariat signed a Collaboration Arrangement.126 Two UNEP Regional Seas Agreements cover areas to the east and south respectively: the Abidjan Convention for Co-operation in the Protection and Development of the Marine and Coastal Environment of the West and Central African Region,127 and the 1983 Cartagena Convention for the Protection and Development of the Marine Environment of the Wider Caribbean Region (the Cartagena Convention).128 Both Secretariats attended the Pocantico meeting discussed below and are interested in on-going collaboration. V. THE HAMILTON DECLARATION CONSERVATION OF THE SARGASSO SEA ON COLLABORATION FOR THE On 11 March 2014, the Government of Bermuda, with the support of the Alliance, convened an historic inter-governmental meeting in Hamilton, Bermuda to adopt the Hamilton Declaration on Collaboration for the Conservation of the Sargasso Sea.129 Ibid, preambular para 9. Ibid, para 2. 124 A meeting, attended by Bermuda and the Alliance, was held in Fort Lauderdale, Florida 19020 March 2013. 125 At n 35. 126 Because the Sargasso Sea Alliance does not have international legal personality, the OSPAR Linguists and Jurists Committee recommended the use of the term “Arrangement” rather than agreement. Text is at http://www.sargassoalliance.org/management-and-enforcement/competent-authorities-and-collaboratinginstitutions/ospar 127 The 1981 Convention for the Co-operation in the Protection and Development of the Marine and Coastal Environment of the West and Central African Region (Abidjan Convention) entered into force in 5 August 1984, (1981) 20 ILM 746. The Abidjan Convention has 16 African States Parties who cooperate to protect and develop the marine and coastal environment of the West and Central African Region (within their 200 nm EEZs). http://abidjanconvention.org/ 128 The 1983 Convention for the Protection and Development of the Marine Environment in the Wider Caribbean Region (Cartagena Convention) entered in force 11 October 1986, (1983) 22 ILM 221. The Convention has some 28 countries that border the Gulf of Mexico, the Straits of Florida and the Caribbean Sea, it applies out to a distance of 200 nm. See http://www.cep.unep.org/cartagena-convention 129 The full text of the Hamilton Declaration is appended to Freestone and Morrison (n 57), 354-361. 122 123 21 | P a g e 163 The Hamilton Declaration is the result of a two-year negotiation between interested governments that are either located in the broader Sargasso Sea area, have an interest in species within it, or are interested in high seas conservation more generally. It is historic in that is the first non-binding instrument designed to provide a framework for voluntary intergovernmental collaboration to promote measures, through existing international organizations, to minimize the adverse effects of human activities in an ecosystem that is primarily in ABNJ. The Declaration also envisages the establishment of a Sargasso Sea Commission, to ‘exercise a stewardship role for the Sargasso Sea and keep its health, productivity and resilience under continual review.’130 A. The Pocantico Meetings A preliminary meeting was held in early December 2012, at the Pocantico Center in New York131 to discuss the first draft of the Declaration. Invitations were issued to a large number of countries in the Atlantic rim around the Sargasso Sea as well as in Europe (primarily the North Sea States concerned about the fate of the European eel (Anguilla anguilla)), and a range of relevant international organisations. Official representatives attended from the governments of Bermuda, Belgium, Dominican Republic, Portugal, South Africa, Sweden, Trinidad & Tobago, the United States and the United Kingdom, as did a representative from the European Commission.132 In addition, representatives from international and regional organizations participated as observers, including the UN Division of Ocean Affairs and Law of the Sea (“DOALOS”), the Regional Coordinators from the UN Environment Programmes for the Wider Caribbean (the Cartagena Convention) and West Africa (the Abidjan Convention), the Secretariat of the CBD, and the Caribbean Community (“CARICOM”). At this first Pocantico Meeting, participants developed a negotiated text for review and consideration by the governments interested in signing it. The text was later presented to the EU Council of Minsters Committee on Law of the Sea issues (“COMAR”) in Brussels in March 2013 and reviewed by COMAR on a number of occasions thereafter.133 A second meeting was held in Pocantico in November 2013 to finalize the text for signature. Together with a representative from the European Commission, official representatives attended from the governments of Portugal, the Azores, the Bahamas, Belgium, Dominican Republic, the Netherlands and Monaco, the US and the UK. The International Seabed Authority and the Canadian Senate participated as observers. 134 B. The Hamilton Meeting Representatives from eleven governments and five international organizations were represented at the Hamilton Meeting.135 Although, the Declaration is not a legally binding instrument,136 in the final days before the meeting the EU apparently had reservations about the competence of individual member States to sign without a decision of the EU Council of Ministers. The result Hamilton Declaration, ibid, Annex II, paragraph a. The Pocantico Center of the Rockefeller Brothers Fund in Tarrytown, New York. 132 Freestone and Morrison, (n 57) 350. 133 Available at http://archive.constantcontact.com/fs169/1109154724045/archive/1112961582336.html 134 Ibid. 135 Representatives from the Oslo and Paris Commission (OSPAR), the ISA, the Inter-American Convention for the Conservation of Atlantic Sea Turtles, the CMS and the International Union for the Conservation of Nature (IUCN) attended and spoke. 136 As its text explicitly states in the ninth paragraph of the preamble, Hamilton Declaration (n 57). 130 131 22 | P a g e 164 was that a number of EU governments did not attend or attended but did not sign the Declaration. There was also a last minute change to the definition of the ‘area of collaboration’ as set out in Annex I of the Declaration.137 In the initial negotiations of the Declaration it was envisaged that the area covered by the CBD EBSA (which includes the EEZ of Bermuda) would be the area of collaboration, but at the request of the Bermuda Government, the Bermuda EEZ was excluded from the definition and thus from the competence of the Commission. In the event, the Declaration was signed by five governments: Azores, Bermuda, Monaco, UK and the US. Representatives from Bahamas, British Virgin Islands, Netherlands, South Africa, Sweden and the Turks and Caicos Islands attended and spoke in support, and messages of support were also received from the governments of Puerto Rico and the Dominican Republic. C. Text of the Hamilton Declaration The Declaration recognizes the Government of Bermuda for its important leadership role in bringing to international attention the global significance of the Sargasso Sea and for initiating and continuing the process leading to the convening of the Hamilton meeting. The Preamble reinforces the point that the 1982 Convention is the framework for this collaboration, recognizes the important scientific work of the Sargasso Sea Alliance, and recognizes explicitly that the Declaration “is not legally binding and is without prejudice to the existing legal rights and obligations of the Signatories under international law or to the competences of regional and international organizations.”138 The guiding principle of the Declaration is to conserve the Sargasso Sea ecosystem for the benefit of present and future generations, and Paragraph 3 states that the basic objective is for the Signatory States to agree to collaborate in pursuing conservation measures for the Sargasso Sea ecosystem through existing regional and international organizations with relevant competences. Paragraph 8 further develops this concept, entrusting the Sargasso Sea Commission (discussed below) with the role of developing proposals for such measures for consideration by the Signatories to the Declaration; the Signatories may then decide whether to submit these or support them at relevant regional or international organizations. It envisages that the Commission may develop the same type of measures as the type already developed by the Alliance, as discussed above.139 Such measures would seek to address the adverse effects of the full range of human activities, itemized in Paragraph 8 of the Declaration. The Declaration sets up a light intergovernmental process (loosely modelled on the Migratory Sharks MOU negotiated under the CMS).140 It envisages a ‘Meeting of Signatories’ and endorses the establishment of a Sargasso Sea Commission with a Secretariat and supporting financial mechanism. The small permanent Secretariat will assist both bodies, and a financial mechanism to receive voluntary contributions from both public and private sources has been established, including a dedicated fund in Bermuda. There are no mandatory financial Hamilton Declaration (n 57) at 359. ibid, preamble, para 9. 139 See section IV.A, above. 140 The structure is very loosely modelled on the structure of The Memorandum of Understanding on the Conservation of Migratory Sharks is an instrument developed under the auspices of the Convention on Migratory Species. Text is at: http://sharksmou.org/sites/default/files/Migratory_Shark_MoU_English.pdf. As of February 2014, the MOU has 36 Signatories: 35 national governments and the European Union. http://sharksmou.org/listof-signatories. 137 138 23 | P a g e 165 obligations but Signatories are invited on a voluntary basis, to support the work of the Commission. D. The Sargasso Sea Commission The Sargasso Sea Commission is a unique body, derived from a voluntary instrument to exercise a stewardship role for a unique ecosystem in ABNJ. It is to be composed of ‘distinguished scientists and other persons of international repute committed to the conservation of high seas ecosystems’ serving in their personal capacity.141 In August 2014, after a nomination and consultation process involving the Signatory governments, the Government of Bermuda appointed the first Sargasso Sea Commission.142 The Commission has taken over the role of the Alliance and is charged with developing further proposals for conservation measures for consideration by existing sectoral organisations (IMO, ICCAT etc.), and which Participating Governments would consider supporting through those organisations. Through the Secretariat, the Commission would also have the usual liaison, co-operation, monitoring, outreach and information clearing house roles.143 VI. CONCLUSIONS The work of the Sargasso Sea Alliance and the signature of the Hamilton Declaration may indeed represent a new paradigm for high seas conservation. Regional treaty regimes, while still important, take a long time to negotiate, move slowly and cannot bind third parties. 144 The Alliance was funded by a group of forward thinking private donors; it worked with the Government of Bermuda, and ultimately the UK, in a novel form of public-private partnership. The Hamilton Declaration is not a legally binding instrument, but the Signatories have agreed to work together through the international legal mechanisms that already exist. The Sargasso Sea Commission will not have international legal personality, nor will it have management authority per se. But its ‘stewardship’ role does have the potential for it to be an important voice, to provide the scientific and policy underpinnings for monitoring and management by others, and to be the conscience of the Signatories. The Sargasso Sea project provides an interesting insight into the way in which the current system of high seas governance operates within the framework of the law of the sea. As discussed above, Article 197 can be taken perhaps as a benchmark for what the participants in the Third Conference on the Law of the Sea had in mind for the way that the international community would co-operate to achieve the strong requirements of marine environment protection set out by Part XII, and particularly Article 192. Article 197 requires States Parties to Hamilton Declaration (n 57) para 6. The First Commissioners are: Dr Billy Causey (US), Professor Howard Roe (UK), Professor Ricardo Serrão Santos (Azores), Professor Dire Tlade (South Africa) and Dr Tammy Trott (Bermuda). See further http://www.sargassoalliance.org/about-the-alliance and http://mobile.royalgazette.com/article/20140806/NEWS/140809882 143 The initial mandate of the Commission is set out in Annex II to the Hamilton Declaration (n 57). 144 For a comparison of the OSPAR experience and the SSA see David Freestone et al, ‘Can existing institutions protect biodiversity in areas beyond national jurisdiction? Experiences from two on-going processes’ (2014) 49 Marine Policy 167-275. http://dx.doi.org/10.1016/j.marpol.2013.12.007. For a comparison with a large marine area within national jurisdiction see D Freestone et al, ‘Place Based Dynamic Management of Large Scale Ocean Places: Papahānaumokuākea and the Sargasso Sea’ (2014) 33 Stanford Environmental Law Journal 191-248. 141 142 24 | P a g e 166 … co-operate on a global basis and, as appropriate, on a regional basis, directly or through competent international organizations, in formulating and elaborating international rules, standards and recommended practices and procedures consistent with this Convention, for the protection and preservation of the marine environment, taking into account characteristic regional features. There is obviously a great deal of evidence of State co-operation through some existing organisations. The IMO has a network of nearly 100 treaties and instruments covering a wide spectrum of navigation and vessel source pollution rules and standards. A similarly sophisticated regime is developing through the work of the ISA in developing the ‘Mining Code’ for seabed exploration and exploitation. The performance of Regional Fisheries Management Organisations in “formulating and elaborating international rules, standards and recommended practices and procedures consistent with this Convention”145 is unfortunately not as impressive; even the criteria and requirements developed by the Fish Stocks Agreement146 have been poorly implemented.147 However the real weakness is in the lack of any co-ordination between these separate sectors. As indicated earlier, each sectoral regime has its own distinctive protection mechanisms and assesses differently the factors that need to be taken into account, resulting in a plethora of distinct sectoral regimes designed to protect specific areas of the ocean from individual sectorally specific risks. The IMO uses MARPOL Special Areas and PSSAs, RFMOs use VMEs and ‘closed areas,’ and the ISA is talking of ‘reference areas’ and ‘Areas of Particular Environmental Interest.’ Each of these approaches has value but each is developed and assessed by its own epistemic community; it is not developed with any reference to the work of other sectoral bodies. Hence the only relevant threats arise from within the sector – it is rare to see consideration of cumulative impacts from different sectors. The concept, developed by the CBD, of the science-driven description of certain marine areas as ‘ecologically or biologically significant’ does in theory have the potential to act as a unifying concept, that each sectoral regime could recognise and utilise. Unfortunately, it seems for a number of reasons, EBSAs have not as yet seemed to have garnered credibility or broad acceptance within the various sectoral organisations.148 This reality may change, but at least this has been the early experience in relation to the Sargasso Sea. The Sargasso Sea project has to date shown some signs indicating that sector-by-sector approaches to high seas protection utilising existing institutions may indeed be possible. However, it has also already shown that making the necessary linkages between sectors is difficult and that multi-sectoral protection is likely to involve a long, drawn out process. The international governance arena is, in this respect, similar to national government, where different ministries with different personnel have different perspectives on similar issues and do not always liaise effectively – the so-called “silo effect”. Some national governments have worked out ways to address this, possibly endemic problem, but at the international level the only body with overarching responsibility is the UNGA. The UNGA has taken an active and informed interest UNCLOS Art 197. Fish Stocks Agreement (n 89). Most notably the requirements for the ecosystem approach and the precautionary approach, see D Freestone, ‘Implementing Precaution Cautiously: The Precautionary Approach in the 1995 Agreement’ in E Hey (ed), Developments in International Fisheries Law (Kluwer Law International 1999); D Freestone and Z Makuch, ‘The New International Environmental Law of Fisheries: The 1995 UN Straddling Stocks Agreement,’ (1996) 7 Yearbook of International Environmental Law 3. 147 This is borne out by the series of Performance Reviews conducted on RFMOS, conveniently collected for the Tuna Conventions at http://www.tuna-org.org/ 148 See Freestone and Morrison (n 77) 5. 145 146 25 | P a g e 167 in ocean affairs, but it has a busy agenda and experience suggests that in the long term it is probably not the most effective forum for overseeing ocean governance issues. The findings of the Sargasso Sea project are that a more holistic approach to ocean governance in ABNJ seems to need a more fundamental review. In this regard the January 2015 recommendation to the UNGA from the BBNJ working Group, discussed above,149 that it decide to initiate a process to negotiate a new implementation agreement for ABNJ under the 1982 Convention is to be warmly welcomed. 149 Section III, above. 26 | P a g e 168 Chapter 15 Regional governance for fisheries and biodiversity R. Warner1, K.M. Gjerde2 and D. Freestone3 Australian National Centre for Ocean Resources and Security, University of Wollongong, Australia Global Marine and Polar Programme and World Commission on Protected Areas, IUCN, Gland, Switzerland 3 The George Washington University Law School, Washington, DC, USA 1 2 Abstract: Strong and coherent regional governance is critical for tackling the increasing number and variety of threats to fisheries and biodiversity within and beyond national jurisdiction including overfishing, destructive fishing practices, marine pollution and climate change impacts. This chapter examines the existing legal and institutional framework for fisheries and biodiversity governance at the regional level including key regional organizations such as regional fisheries management organizations, regional seas organizations and non-binding regional initiatives. As well as highlighting the fragmentary nature of regional oceans governance, this analysis discloses the wide variety of approaches to and differing rates of progress in harmonizing fisheries and biodiversity conservation objectives across major oceanic regions. Keywords: regional; fisheries; biodiversity; conservation; governance; harmonization; transboundary; threats Introduction The regional level of governance is critical to the effective implementation of international legal obligations and conservation and management measures for both fisheries and marine biodiversity: fish stocks and marine ecosystems straddle national boundaries and areas within and beyond national jurisdiction. Strong and coherent regional governance is a vital component in combating the rising catalogue of transboundary threats to fisheries and biodiversity including overfishing, destructive fishing practices, pollution and climate change impacts. This chapter first describes the legal and institutional framework for fisheries and biodiversity governance at the regional level, focusing on some key features of regional fisheries management organizations (RFMOs) and regional seas arrangements (RSAs), and looking also at other more informal arrangements such as the Large Marine Ecosystem (LME) projects. The analysis reveals the fragmentary nature of the regional oceans governance network for fisheries and biodiversity both in terms of its geographic scope and its functional responsibilities. Examples from different regions underscore the wide diversity and varying rates of progress in aligning and harmonizing fisheries and b iodiversity conservation objectives. We then examine the efforts of RFMOs and RSAs to collaborate between themselves and with other global and extra-regional organizations and analyse some of the catalysts for such collaboration. We discuss selected initiatives towards comprehensive strategies for alignment and harmonization of fisheries and biodiversity conservation and management. Finally, gaps in regional oceans governance Governance of Marine Fisheries and Biodiversity Conservation: Interaction and Coevolution, First Edition. Edited by Serge M. Garcia, Jake Rice and Anthony Charles. © 2014 John Wiley & Sons, Ltd. Published 2014 by John Wiley & Sons, Ltd. 211 169 0002120434.INDD 211 6/19/2014 7:21:17 PM 212 Governance of Marine Fisheries and Biodiversity Conservation for fisheries and biodiversity conservation and potential pathways to improved collaboration are identified. Legal and institutional framework for regional fisheries governance There are 20 existing and prospective RFMOs with mandates to establish fisheries conservation and management measures. There are still significant gaps, for example in the coverage of non-tuna fisheries on highly migratory species in the Arctic and in the Atlantic south of the NEAFC/NAFO areas of responsibility. Until the end of 2009, there were no general fisheries commissions in the Pacific at all to manage non-highly migratory species. The treaty establishing the South Pacific Regional Fisheries Management Organization (SPRFMO) was concluded in November 2009 and entered into force in 2012. Negotiations are still ongoing for a North Pacific RFMO. In the Indian Ocean, the Regional Commission for Fisheries (RECOFI) covers the Gulf area and the Southern Indian Ocean Fisheries Agreement (SIOFA), concluded in July 2006, entered into force in June 2012 (Freestone, 2008). Fisheries governance arrangements exhibit considerable diversity and varying rates of progress in their approaches to incorporating environmental protection principles and biodiversity conservation objectives into their management regimes. Recent reviews of RFMO practice at the global level reveal several factors that have limited the effectiveness of RFMOs in implementing fisheries conservation and management measures in an ecologically sustainable manner (HSTF, 2006) including the following. ●● ●● Absence of environmental protection principles in the RFMO conventions. The absence of modern environmental protection principles or guidelines such as the precautionary approach and ecosystem-based manage ment in some RFMO conventions concluded prior to the UN Fish Stocks Agreement means that unless all RFMO members agree, they are not obliged to consider the consequences of uncertainty when adopting conservation and management measures. Ineffective decision-making frameworks. It is the established practice of RFMOs to take decisions on their conservation and management measures by consensus, even when their instruments may not require it, and to allow for individual objections to conservation and management measures agreed by the majority of member States (McDorman, 2005). This allows objecting ●● ●● ●● RFMO members to take advantage of uncertainties in scientific advice and can lead to a dilution of conservation and management measures even where the precautionary approach and ecosystem-based management requirements exist. Many of the RFMOs that were established prior to the conclusion of the UN Fish Stocks Agreement allow for States to opt out or object to implementing conservation and management measures that have been agreed within the RFMO. Lack of a formal global coordination mechanism. There is no overarching global coordination mechanism to oversee the conservation and management activities of RFMOs in marine areas beyond national jurisdiction and monitor their performance against best-practice standards and ensure cross-sectoral exchange of information. This makes it difficult to address global problems such as the conservation of highly migratory marine species or illegal, unregulated and unreported (IUU) fishing as fishing vessels may move between regions concentrating their fishing effort in areas where conservation and management measures are lax or non-existent. At the regional level there has been very little consultation and collaboration between RFMOs. The first meeting between the tuna RFMOs, referred to as the ‘Kobe Process’ after the first location of the first meeting in Japan, occurred in 2007. Participation levels. In many regions developing States lack the resources and capacity to participate fully in RFMOs and implement their obligations effectively. Failure to deal effectively with non-Parties. Few RFMOs include all the participants in a regional fishery among their members. An RFMO may have agreed on environmentally sound conservation and management measures for fisheries in high-seas areas but only those States which have agreed to be bound by its agreement are obliged to apply its measures. The failure to deal effectively with non-Parties or ‘free riders’ undermines the incentives for fishing vessels of RFMO members to adopt restrictive conservation and management measures (McDorman, 2005). It is beyond the scope of this chapter to review all RFMOs to determine in detail the extent to which environmental protection principles and biodiversity conservation objectives are reflected specifically in their agreements and practice. What is clear however is the importance of an explicit mandate for addressing both issues in the overarching agreement. This is revealed through the performance of two RFMOs highlighted here that are also directly charged 170 0002120434.INDD 212 6/19/2014 7:21:17 PM Regional governance for fisheries and biodiversity with precaution and conservation of associated species and ecosystems: the Commission for the Conservation of Antarctic Marine Living Resources (CCAMLR) and the Western Central Pacific Fisheries Commission (WCPFC). CCAMLR was established under the 1980 Convention on the Conservation of Antarctic Marine Living Resources as an integral element of the Antarctic Treaty system. It has a specific mandate to conserve and manage all marine living resources (except whales and seals) in the area south of 60 degrees latitude south and in the area between 60 degrees latitude south and the Antarctic Convergence. CCAMLR’s conservation and management responsibilities extend beyond fish species to molluscs, crustaceans and birds found south of the Antarctic Convergence. The Con vention explicitly adopts a precautionary and ecosystembased approach to marine living resource management which recognizes the complex interconnections between all parts of the Antarctic ecosystem (Miller et al., 2004). Article II(3) of the Convention sets out the various elements of CCAMLR’s conservation and management approach which allows for rational use of marine living resources in accordance with strict conservation principles. The three key conservation principles which apply to harvesting of marine living resources and associated activities are as follows. (1) Prevention of decrease in the size of any harvested population to levels below those which ensure its stable recruitment. For this purpose its size should not be allowed to fall below a level close to that which ensures the greatest net annual increment. (2) Maintenance of the ecological relationships between harvested, dependent and related populations of Antarctic marine living resources and the restoration of depleted populations to the levels defined in sub-paragraph (1) above. (3) Prevention of changes or minimization of the risk of changes in the marine ecosystem which are not potentially reversible over two or three decades, taking into account the state of available knowledge of the direct and indirect impact of harvesting, the effect of the introduction of alien species, the effects of associated activities on the marine ecosystem and the effects of environmental changes, with the aim of making possible the sustained conservation of Antarctic marine living resources. Since its inception in 1982, CCAMLR has adopted a variety of innovative measures to implement its ecosystembased approach to conservation. These include banning 213 destructive fisheries practices such as bottom trawling for particular fish species in the CCAMLR area, mandating measures to reduce incidental seabird mortality caused by baited hooks in long-line fishing, monitoring the effects of fishing on non-target species by collection of data on CCAMLR member state fishing vessels and prohibiting fishing for certain species by CCAMLR member State fishing vessels where the risk to bycatch species is thought to be too great. In 2011, they also adopted a conservation measure for rolling out a comprehensive system of marine protected areas. A potential weakness in the implementation of CCAMLR conservation measures is the requirement for consensus in decisions on matters of substance such as conservation measures, and the availability of the objection procedure for members to object later to measures for which they may have voted. Despite consensus requirements and contentious meetings, CCAMLR has had some success in implementing the most advanced interpretation of an ecosystem-based approach to marine living resource management in its Convention area (Kaye, 2000). However, the effectiveness of CCAMLR’s management was almost undone by its inability to regulate the activities of fishing vessels of non-member States (Rayfuse, 2004). CCAMLR adopted a standard suite of fisheries management measures until the mid-1990s, relying on: flag State implementation of conservation and management measures supplemented by fisheries data reporting; at-sea and inport inspections by member States of fishing vessels and their catch; and tracking the movement of member States’ fishing vessels through vessel monitoring systems and notification of vessel movements. These measures proved to be insufficient to stem increases in IUU fishing in the CCAMLR Convention Area, particularly for Patagonian toothfish, from the mid-1990s. To address the problem of non-members and IUU fishing, CCAMLR had to resort to trade-related sanctions on a global basis. In 2000, CCAMLR introduced a Catch Documentation Scheme (CDS) which prohibited entry into world markets of Patagonian toothfish without verified catch documents. The scheme has attracted the participation of non-member States and applies to toothfish fishing by member States’ vessels and non-member States’ vessels. In a relatively short period, the CDS has extended its coverage to more than 90% of the world’s toothfish trade and reduced the profitability of this type of IUU fishing. It requires flag State authorization for toothfish fishing both within and outside the CCAMLR Convention area. The scheme has had the side-benefit of refining global 171 0002120434.INDD 213 6/19/2014 7:21:17 PM 214 Governance of Marine Fisheries and Biodiversity Conservation e stimates of toothfish catch to enable better management. The importance of a strong mandate for biodiversity conservation and precaution is also underscored in the track record of the Convention on the Conservation and Management of Highly Migratory Fish Stocks in the Western and Central Pacific Ocean (WCPFC Convention). It was the first comprehensive conservation and manage ment regime for highly migratory fish stocks to reflect the provisions of the 1995 UN Fish Stocks Agreement. The WCPFC entered into force on 19 June 2004. The objective of the Convention is to ensure, through effective management, the long-term conservation and sustainable use of highly migratory fish stocks in the Western and Central Pacific Ocean in accordance with the United Nations Convention on the Law of the Sea (UNCLOS) and the UN Fish Stocks Agreement. The area of competence of the WCPFC includes a large area of high seas lying outside and between the 200 nautical mile exclusive economic zones of its Parties and its regulatory com petence extends to all fish stocks of the species listed in Annex I of UNCLOS. The region covered by the WCPFC Convention is estimated to have 60% of the world’s tuna stocks (Aqorau, 2001). The WCPFC is empowered to adopt principles and measures for conservation and management of the highly migratory fish stocks in its area of competence which reflect the key environmental protection principles in the UN Fish Stocks Agreement. These include measures based on the best scientific evidence available to ensure sustainability and promote optimum utilization. The Com mission must apply the precautionary principle in accordance with the methodology set out in annex II of the UN Fish Stocks Agreement, determine the impact of fishing activities on non-target and associated or dependent species and their environment and adopt plans, where necessary, to ensure the conservation of species and protect habitats of special concern. The conservation measures to be taken by the Commission also include those which protect biodiversity in the marine environment and those which assess the impact of fishing activities on other species belonging to the same ecosystem. Since its inception, the WCPFC has introduced over 30 conservation and management measures ranging from those addressing the level of fishing effort for highly migratory species such as big eye, albacore and yellow fin tuna, sharks, marlin and sword fish and the impacts of fishing for highly migratory species on seabirds, turtles and cetaceans to the prohibition of drift net fishing and reciprocal boarding and inspection procedures. Through an innovative measure to surmount the weaknesses of consensus-driven decision-making, when consensus fails decisions on atters of substance are to be taken by a three-quarters m majority of the members present. Decisions become binding on parties 60 days after their notification but members voting against the decision or absent may, within 30 days of their adoption, seek a review of the decision. The review process is another innovative element (Aqorau, 2001) as it can overcome the ‘opt out’ clauses common in many RFMO conventions and which have the potential to sabotage their conservation and management efforts. The extensive list of conservation and management measures of the WCPFC designed to mitigate the impact of fishing for highly migratory species on associated and dependent species in the Convention Area have the indicia of a precautionary approach and ecosystem-based considerations being applied in the decision-making process within the WCPFC. Although somewhat slow and uneven, there has been some progress in implementing these measures for promoting the conservation of vulnerable tuna stocks and managing fishing capacity to mitigate its impacts on associated and dependent ecosystems (Parris, 2010). To address the problem of non-members and IUU fishing, under Article 24 of the WCPFC Convention flag States must ensure that their fishing vessels do not engage in unauthorized fishing for highly migratory fish stocks beyond national jurisdiction and that as flag States they are able to effectively exercise their responsibilities for fishing vessels operating under their flag. Flag States must maintain a record of fishing vessels authorized to fish beyond national jurisdiction and require such flag vessels to use real-time satellite position-fixing transmitters so that they can participate in the vessel monitoring system established by the Commission. The Commission has established measures for Contracting Parties to board and inspect each other’s fishing vessels on the high seas in accordance with the UN Fish Stocks Agreement (UNFSA) model. In contrast, the four other tuna RFMOs are still operating under pre-UNFSA agreements. Attempts to update their charters are not progressing rapidly, although such changes have been called for by performance reviews undertaken by the majority of these bodies as well as during the Kobe Process. For example, the 2009 performance review of the Indian Ocean Tuna Commission Agreement recommended that the IOTC Agreement be either amended or replaced by a new instrument: ‘the absence of concepts such as the precautionary approach and an ecosystem based approach to fisheries management are considered to be major weaknesses’ (Edeson, 2009). Similarly, in the review 172 0002120434.INDD 214 6/19/2014 7:21:18 PM Regional governance for fisheries and biodiversity of the Commission on the Conservation of Southern Bluefin Tuna (where the global population of bluefin tuna is ranked on the IUCN Red List of threatened species as ‘critically endangered’, estimated to be 5% of the population size before fishing began), the absence of agreed manage ment principles (e.g. the precautionary and ecosystems approaches, efficient use, best scientific information, maintaining biodiversity and minimizing effects on the marine environment) guiding management decisions was noted. Similarly, an independent review of the Commission for the Conservation of Atlantic Tunas in 2008 observed that its management of bluefin tuna is ‘widely regarded as an international disgrace’ (Hurry et al., 2008). Legal and institutional frameworks for regional marine environmental governance Since the early 1970s, a diverse array of binding and nonbinding regional arrangements has been negotiated around the globe to engage States in the collaborative protection of their offshore marine environments. Many of the binding regional seas arrangements were initiated through the United Nations Environment Programme (UNEP) Regional Seas Programme while others are the result of independent agreements between regional partners (Vallega, 2002). They now cover 18 maritime regions which differ markedly in their character and extent. The UNEP regional seas arrangements, together with the non-UNEP regional marine environmental protection arrangements, involve 149 States, approximately 95.5% of the world’s States. The areas of responsibility of many of these arrangements are currently limited to waters within national jurisdiction and very few of them make provision for consensual igh-seas enclaves environmental protection measures in h and high-seas areas adjacent to waters within national jurisdiction. The geographic scope of these arrangements has been determined by political opportunity rather than any systematic scheme to encompass all the oceanic regions of the world (Boyle, 2000; Sand, 1999). No legally binding conventions have yet been developed for the regional arrangements in the East Asian Seas, South Asian Seas, Northwest Pacific, Northeast Pacific or for the Arctic. Moreover, these conventions are primarily groupings of coastal states, and their jurisdiction is generally restricted to their coastal zones or out to 200 nautical miles. The exceptions are: the OSPAR Convention area, which has high-seas areas within its remit; the Mediterranean, where 215 most coastal states have for various reasons not yet claimed EEZs; the South Pacific, which includes within its mandate the ‘doughnut’ holes between the EEZs of its members; and the Antarctic Treaty System, consisting of both the Antarctic Treaty and its Protocol on Environmental Protection as well as the CCAMLR Convention. The spread of regional arrangements for marine environmental protection has paralleled the negotiation and entry into force of UNCLOS and has both reflected and advanced the development of modern environmental protection principles (Treves, 2003). The early focus of most regional arrangements such as the OSPAR Convention and the Barcelona Convention in the Mediterranean was the control of marine pollution, but many have since adopted a more integrated approach to the protection of the marine environment including conservation of its biodiversity and the development of systems of marine protected areas. The broadening of their scope in relation to approaches to conservation and targets for conservation intervention has enabled many regional arrangements to assimilate new developments in international environmental law and policy through mechanisms such as protocols and non-binding documents such as programmes for action and strategic plans. The majority of regional agreements are based on framework conventions which depend on implementation by State Parties in waters within national jurisdiction. These conventions have been supplemented by Protocols, ministerial level agreements and strategy documents which regulate different sources of marine pollution, provide for the protection of threatened and endangered species and the establishment of marine protected areas to preserve rare or fragile ecosystems. In most regions these binding legal instruments and softlaw accords are accompanied by planning documents which define regional priorities for marine environmental protection. Key factors that have limited the effectiveness of RSAs in implementing fisheries conservation and management measures in an ecologically sustainable manner include the following: ●● ●● ●● the limiting of their areas of responsibility to waters under national jurisdiction; the lack of reference to sustainable development and use of marine biodiversity in their mandates; and the absence of specific collaboration provisions or arrangements and mechanisms between RSAs and RFMOs. 173 0002120434.INDD 215 6/19/2014 7:21:18 PM 216 Governance of Marine Fisheries and Biodiversity Conservation Catalysts for collaboration on fisheries and biodiversity conservation objectives Although much of the implementation of fisheries conservation and management and biodiversity conserva tion measures in RFMOs and RSAs has occurred independently, there are some examples where better alignment or even harmonization of fisheries and biodiversity conserva tion objectives has been triggered by a variety of catalysts. These include: (1) recognition by global and regional organizations of the need to address transboundary threats to marine living resources and marine biodiversity cooperatively; (2) resolutions and decisions of global bodies on conservation of biodiversity in marine areas beyond national jurisdiction; and (3) the incorporation of modern conservation principles, reflecting those in the UNFSA, into the mandates of RFMOs. This section examines some of those examples and the catalysts which have led to varied degrees of alignment and harmonization between fisheries and biodiversity conservation objectives in different regional settings. Regional responses to transboundary threats The need to address the transboundary nature of threats facing marine living resources and biodiversity in particular regions both within and beyond national jurisdiction has been a central catalyst for alignment or harmonization of fisheries and biodiversity conservation objectives and collaboration between regional governance organizations and alliances. Among the non-UNEP RSAs, the Northeast Atlantic RSA has arguably demonstrated the capacity to work with one of the relevant RFMOs to harmonize fisheries and biodiversity conservation objectives. The Convention for the Protection of the Marine Environment of the Northeast Atlantic (OSPAR Convention) seeks to regulate a wide spectrum of human activities which might have an adverse effect on the protection and preservation of ecosystems and the biodiversity of the Northeast Atlantic, while recognizing the competence of other organizations for regulating fishing, shipping and seabed mining. Unlike many other RSAs, there is an explicit provision in Annex V, Article 4(1) of the Convention requiring consultation with the responsible fisheries management organization where fisheries issues arise. The OSPAR Convention applies in a maritime area of the Northeast Atlantic defined in Article 1(a) of the Convention to include all the maritime zones within the jurisdiction of the Contracting Parties and maritime areas beyond national jurisdiction. The Convention has 16 Contracting Parties including the European Com munity. Most of its Parties are developed State members of the European Union and its decisions are heavily influenced by European Union legislation and policy directives on the environment (Lagoni, 2003). The preamble of the OSPAR Convention reflects the common objective of the Contracting Parties to provide coordinated protection and sustainable management for the whole maritime environment of the Northeast Atlantic so that the marine ecosystems will continue to sustain the legitimate uses of the sea and meet the needs of present and future generations. To achieve this objective the Contracting Parties must, under the two limbs of Article 2(1)(a) of the Convention, take all possible steps to prevent and eliminate pollution from the maritime area and to protect the maritime area against the adverse effects of human activities in order to safeguard human health and conserve marine ecosystems. In implementing programmes and measures under the Convention, the Contracting Parties must apply the precautionary principle, ‘the polluter pays’ principle and ensure the application of best-available techniques and best environmental practice. As a demonstration of its evolutionary character, in 1998 OSPAR adopted Annex V on the Protection and Conservation of the Ecosystem and Biological Diversity of the Maritime Area, extending the cooperation of the parties to cover ‘all human activities that might adversely affect the marine environment of the North East Atlantic’ other than fishing and shipping. In 2003 it adopted its Biological Diversity and Ecosystems Strategy, setting forth its commitment to designate a representative network of MPAs by 2010. OSPAR’s cooperation with the principal RFMO responsible for managing fisheries in the region, NEAFC, was enabled in many ways by its parallel evolution, as described in the next section. The boundaries of the other regional seas program in the Atlantic Ocean do not extend to areas beyond national jurisdiction; there has therefore been to date little interaction with the RFMOs. The CBD-driven process to describe Ecologically or Biologically Significant Areas (EBSAs) both within and beyond national jurisdiction is likely to create a new need, however. The limitations of the current geographical ambits of both the regional environmental and fisheries treaties is highlighted by the initiative, led by the Government of Bermuda, to introduce 174 0002120434.INDD 216 6/19/2014 7:21:18 PM Regional governance for fisheries and biodiversity conservation and management measures for the Sargasso Sea. The Sargasso Sea, named for the accumulations of holopelagic algae contained within the North Atlantic Subtropical Gyre, is a 2 million square nautical mile ecosystem that is primarily high seas. The OSPAR Secretariat and the Sargasso Sea Alliance have established informal research and information exchange systems and have concluded a Collaboration Arrangement. The Alliance is seeking to use existing sectoral organizations such as ICCAT, IMO and ISA to put protection measures in place and to convene an inter-governmental meeting to establish a collaborative but non-legally binding protection regime for the Sargasso Sea (Freestone and Killerlain Morrison, 2012). The Global Environment Facility (GEF) has funded a number of fisheries and biodiversity conservation projects conducted on the scale of large marine ecosystem (LME). LMEs are defined as ‘regions of ocean space encompassing coastal areas from river basins and estuaries out to the seaward boundary of continental shelves and the seaward boundary of coastal current systems’ (Alexander, 1993; Sherman, 1994). Sixty-four LMEs around the globe, including many of the world’s enclosed and semi-enclosed seas, have been defined as areas of ocean space in which ecosystem-based management can be applied to maintain and restore ecosystem function while allowing sustainable use (Fanning et al., 2007). The LME approach has formed the basis for an array of GEF-funded projects to promote integrated marine ecosystem governance of LMEs (Duda and Sherman, 2002; Sherman, 2006). One such GEF-initiated LME project, the Agulhas and Somali Current Large Marine Ecosystem (ASCLME), combines the Agulhas Current Large Marine Ecosystem (ACLME) which stretches from the northern end of the Mozambique Channel to Cape Agulhas and the Somali Current Large Marine Ecosystem (SCLME) which extends from the Comoros Islands and the northern tip of Madagascar to the Horn of Africa. The project covers the countries of Comoros, Kenya, Madagascar, Mauritius, Mozambique, Seychelles, Somalia, South Africa and Tanzania. The objectives of the ASCLME include: ●● ●● gathering new and important information about ocean currents and how they interact with and influence climate, biodiversity and the economies of the western Indian Ocean region; documenting the environmental threats that are faced by the countries of the region in a Transboundary Diagnostic Analysis (TDA); ●● ●● 217 developing a Strategic Action Plan (SAP) which sets out a strategy for the countries to collectively deal with transboundary threats; and strengthening scientific and management expertise, with a view to introducing an ecosystem-based approach to managing the living marine resources of the western Indian Ocean region. One of the key achievements of the ASCMLE project has been to initiate the establishment of a regional coordinating mechanism, the Western Indian Ocean Sustainable Ecosystem Alliance (WIOSEA), to implement the SAP for the region using the existing mandated regional bodies which already have responsibility for the manage ment of marine living resources (e.g. the Nairobi Convention and the South West Indian Ocean Fisheries Commission). In September 2011 the ASCLME signed an Aide Memoire for Cooperation and Collaboration with the South West Indian Ocean Fisheries Project (SWIOFP), a GEF-supported project implemented by the World Bank which is also focused on the western Indian Ocean region and covering the same countries as the ASCMLE. Through their Aide Memoire the ASCLME and SWIOF projects have agreed to share data and information and undertake joint research cruises which enhance understanding of the region’s ecosystems and help to set a baseline from which long-term ecosystem monitoring programs can be derived. They will also cooperate in a policy and governance assessment designed to produce agreed recommendations for implementing an ecosystem-based approach to management of marine and coastal resources in the region. A similar example of a non-binding regional initiative which forms the basis for biodiversity conservation objectives is the Coral Triangle Initiative (CTI) involving countries in Southeast Asia and the Pacific. The Coral Triangle is a region located along the equator at the confluence of the Western Pacific and Indian Oceans which covers all or part of the exclusive economic zones (EEZs) of six countries (Indonesia, Malaysia, the Philippines, Papua New Guinea, the Solomon Islands and Timor Leste). It is regarded by scientists as one of the richest repositories of marine biodiversity on earth, containing 76% of all known coral species, 37% of coral reef fish, 33% of the world’s coral reefs and the most prolific location for mangrove forests and spawning and juvenile growth areas for the world’s largest tuna fishery. Threats to the Coral Triangle region include overfishing, destructive fisheries practices, land-based sources of marine pollution and the ravages of climate change. The 175 0002120434.INDD 217 6/19/2014 7:21:18 PM 218 Governance of Marine Fisheries and Biodiversity Conservation CTI was proposed by Indonesia in 2007 as a multilateral partnership to protect the region’s coastal and marine resources. The member States (Indonesia, the Philippines, Malaysia, Timor Leste, Papua New Guinea and the Solomon Islands) have committed to five overall goals over ten years: ●● ●● ●● ●● ●● the designation of priority seascapes; implementing an ecosystem-based approach to manag ing fisheries and other marine resources; the establishment of marine protected areas; developing strategies to adapt to climate change; and the protection of threatened species. The member States have also committed to guiding principles including the recognition of the transboundary nature of important marine resources and the need to align their activities with existing international law instruments such as UNCLOS, the Convention on Biological Diversity (CBD), regional fisheries management agreements and the UN Framework Convention on Climate Change (UNFCCC). The first five years of this initiative have revealed the considerable challenges involved in managing the heterogeneous, multiscale and interlinked nature of large-scale marine systems, and prompted analysts to recommend dynamic approaches to governance which link diverse institutional arrangements at multiple scales and involve regular adjustments to governance arrangements (Fidelman, 2012). Resolutions and decisions of global bodies Another driver for regional harmonization and integration has been resolutions and decisions of global bodies such as the United Nations General Assembly (UNGA), the Convention on Biological Diversity (CBD) and the Food and Agricultural Organization (FAO). On the basis of growing concern about the adverse impacts of high-seas bottom fishing on vulnerable marine ecosystems, in its 2006 Resolution 61/105 the UNGA called upon States ‘…to take action immediately, individually and through regional fisheries organizations and arrangements, and consistent with the precautionary approach and ecosystem approaches, to sustainably manage fish stocks and protect vulnerable marine ecosystems (VMEs), including seamounts, hydrothermal vents and cold water corals, from destructive fishing practices, recognizing the immense importance and value of deep sea ecosystems and the biodiversity they contain (Fidelman, 2012)’. Under the resolution, Member States and RFMOs were required to manage fisheries to prevent significant adverse impacts to VMEs (cf. Chapter 14). To assist States in implementing the resolution, the FAO produced a set of International Guidelines for the Management of Deep Sea Fisheries in the High Seas (The Deep Sea Fisheries Guidelines). The principal objective of the Guidelines is to ensure the long-term conservation and sustainable use of deep-sea resources and to prevent significant adverse impacts to VMEs from activities related to such exploitation. This is achieved through a requirement to conduct assessments to establish if deep-sea fishing activities are likely to cause significant adverse impacts in a given area, and to adopt management measures to prevent such impacts such as fisheries closures in areas around VMEs. As a last resort, encounter protocols require fishing vessels to move a minimum distance from a location where species indicating the presence of a VME are captured by their gear. Although there are still significant problems with implementing the Deep Sea Fisheries Guidelines in a sufficiently precautionary manner, the fact that progress in implementation of the UNGA Resolutions and the Guidelines has been reviewed twice by the UNGA may be a significant factor in prompting many RFMOs to close areas to fishing based on the presence or likely presence of VMEs (Auster et al., 2011; Gianni et al., 2011). The CBD has also been active in aligning and harmonizing fisheries and biodiversity conservation objectives at the regional level through the provision of expert advice on describing marine Areas of Ecological or Biological Significance (EBSAs) and in addressing biodiversity concerns in sustainable fisheries. In 2008, the Ninth Meeting of the Conference of Parties (CoP9) of the CBD adopted the following scientific criteria for identifying ‘ecologically or biological significant areas in need of protection in open ocean waters and deep sea habitats’: ●● ●● ●● ●● ●● ●● ●● uniqueness/rarity; special importance for life history stages of species; importance for threatened, endangered or declining species and/or habitats; vulnerability, fragility, sensitivity or slow recovery; biological productivity; biological diversity; and naturalness. This decision also provided scientific guidance for selecting areas to establish a representative network of marine protected areas including in open-ocean waters and deep-sea habitats. The 10th CBD CoP in 2010 agreed on a process of 176 0002120434.INDD 218 6/19/2014 7:21:18 PM Regional governance for fisheries and biodiversity regional workshops for the description of EBSAs. The workshop outcomes are meant to inform relevant regional and global organizations. The work is premised on recognition that: the application of the EBSA criteria is a scientific and technical exercise; areas found to meet the criteria may require enhanced conservation and management measures; this can be achieved through a variety of means including marine protected areas and impact assessments; and the identification of EBSAs and the selection of conservation and management measures is a matter for States and competent intergovernmental organizations, in accordance with international law, including UNCLOS. Regional workshops on describing EBSAs have been organized covering the Northeast Atlantic, the Western South Pacific, the Wider Caribbean and Western MidAtlantic, the Western Indian Ocean and the Eastern Tropical and Temperate Pacific. In addition, areas meeting EBSA compatible criteria have been described in the Mediterranean. At the CBD CoP 11 in Hyderabad in October 2012, after review and endorsement by CBD SBSTTA it was agreed that the areas described as EBSAs by these workshops and processes should be sent to the UN and relevant international organizations. In this manner the information on EBSAs can provide valuable information to RFMOs and their scientific commissions in the setting of priorities for conservation and management measures for biodiversity conservation purposes. Another contribution by UNEP and the CBD has been their efforts to convene experts in biodiversity and fisheries to discuss topics of common concern. In September 2009 in Rome, FAO, UNEP and CBD convened an expert meeting on impacts of destructive fishing practices, unsustainable fishing and IUU fishing on marine biodiversity and habitats with the collaboration of the IUCN Fisheries Expert Group. In December 2011 the CBD Secretariat convened a joint expert meeting (in Bergen) with the same partners, to review the extent to which biodiversity concerns are addressed in existing assessments of fisheries stocks and to propose options to address biodiversity concerns. This meeting also brought together representatives of RFMOs and other relevant organizations, processes and scientific groups. The meeting report noted (CBD, 2012) that there is much attention paid to the major biodiversity considerations in the RFMO conventions and overarching high-level policies, but implementation is often highly variable and inadequate. In some cases, efforts were constrained by: (1) the primacy to single-species Maximum Sustainable Yield (MSY) goals; and (2) limits on knowledge of ecosystems and the fisheries and on capacities for assessments and 219 management. The expert meeting recommended a number of options for enhancing the treatment of biodiversity considerations in fisheries policy, assessment and management including: ●● ●● ●● ●● making CBD expertise on biodiversity assessment and selection of practical indicators for status and trends in biodiversity available to fisheries assessment and management agencies; contributing CBD expertise to modelling work and other studies of longer-term ecosystem-scale changes due to climate change, aggregate impacts of multiple uses and other scenarios and making the results of such studies available to sectoral regulatory agencies, including fisheries agencies, when they are dealing with factors such as the robustness of harvesting strategies; CBD initiating or supporting pilot projects for fisheries and biodiversity conservation communities to work together and illustrate the concrete benefits of collaboration; and CBD being a major contributor to capacity-building initiatives for fisheries management agencies dealing with biodiversity considerations. Updating mandates to include modern conservation principles and the need for collaboration between RFMOs and RSAs A further catalyst for alignment and harmonization of fisheries and biodiversity conservation objectives is the inclusion of modern conservation principles such as the precautionary and ecosystem-based approaches in the mandate of RFMOs established before the UNFSA was adopted. The North East Atlantic Fisheries Commission (NEAFC) was originally formed to recommend measures to maintain the rational exploitation of fish stocks in the Atlantic and Arctic Oceans. It has regulatory competence over three large maritime areas beyond national jurisdiction in the Northeast Atlantic Ocean and may recommend conservation and management measures for all fisheries resources within its Convention Area with the exception of sea mammals and sedentary species and tuna or tuna-like species. In 2006 the NEAFC Convention was amended to include a principal objective of ensuring the long-term conservation and optimum utilization of the fishery resources in the Convention Area, providing sustainable, environmental and social benefits (cf. Chapter 16). Under 177 0002120434.INDD 219 6/19/2014 7:21:18 PM 220 Governance of Marine Fisheries and Biodiversity Conservation Article 4 of the amended Convention, NEAFC must conserve marine biological diversity and control the impact of fisheries on other species and marine ecosystems consistent with this objective. The impact of the change in mandate has been demonstrated through agreed conservation and management measures for fisheries with up to 50% of the fishable area closed to fisheries and strict regulations of bottom fishery in the rest of the area. NEAFC’s incorporation of biodiversity considerations into its fisheries conservation and management measures has also been facilitated by its close working relationship with OSPAR. OSPAR and NEAFC signed a memorandum of understanding in 2008 and both organizations use ICES as their scientific advisory body. ICES has recommended that a coordinated approach be taken between the two organizations in the protection of vulnerable marine ecosystems and there has been considerable overlap between areas proposed for protection by OSPAR and those considered for closure to bottom fishing by NEAFC. Pathways to improved collaboration on regional fisheries and biodiversity conservation governance Recognizing that there is considerable diversity among regions in progress towards alignment and harmonization of fisheries and biodiversity conservation goals, this section explores potential pathways to improve regional governance for fisheries and biodiversity conservation. The complex challenges involved in implementing an ecosystem-based approach to fisheries management and the variable capacities of particular regions to meet that objective demands that a broad suite of options be examined, including: (1) expanding the inter-regional capacities of fisheries and biodiversity governance bodies to align their objectives; and (2) strengthening their collaboration with relevant global, intra-regional and national level organizations. Different models for cooperation and collaboration on fisheries and biodiversity objectives are described in the following sections. Intra-regional options Better inter-regional alignment of fisheries and biodiversity conservation objectives could be achieved by: ●● recognition and incorporation of modern conservation principles such as the precautionary and ecosystem- ●● ●● ●● ●● ●● ●● ●● based approaches and agreed global, regional and national biodiversity conservation targets into the mandates and policies of RFMOs, RSAs and LME projects; exchange of information on the status of the marine environment, its resources and biodiversity between governance bodies, e.g. regarding biodiversity data and EBSAs on which RFMOs could act; consultation and cooperation in implementing con servation and management measures as exemplified by OSPAR and NEAFC as well as ASCLME and SWIOFP; instituting collaborative processes such as strategic environmental assessment and marine spatial planning across regions that involve RFMOs and RSAs as well as other sectoral players in the marine environment; developing a common scientific baseline for fisheries and biodiversity conservation measures and recourse to a common scientific advisory body such as ICES in a particular region; making a commitment to cooperate on specific pilot projects between RFMOs and RSAs to build commitment for resolving broader challenges facing both fisheries and biodiversity conservation agencies, cementing and fostering working relationships b etween both sectors; undertaking direct collaboration between fisheries and biodiversity conservation bodies at the regional level, promoting openness to receiving input from NGOs and IGOs; and strengthening collaboration at the national level amongst the responsible ministries for fisheries and biodiversity conservation, local communities and industry players (Gjerde et al., 2010). In addition, new protocols or agreements to pursue processes such as environmental impact assessment (EIA), strategic environmental assessment (SEA) and marine spatial planning (MSP) at a regional scale could provide a more legally-binding science-based framework for crosssectoral cooperation and management in fisheries and biodiversity conservation objectives. Eventually States may wish to consider moving towards a cross-sectoral coordinating mechanism or organization with representatives from the adjacent coastal states as well as relevant sectoral organizations, both global and regional. Such an organization could reflect more comprehensive objectives and may be able to implement a genuine marine spatial planning process for ABNJ which could align and harmonize fisheries and biodiversity conservation objectives in cooperation with comparable national initiatives. 178 0002120434.INDD 220 6/19/2014 7:21:19 PM Regional governance for fisheries and biodiversity The exchange of scientific information on fisheries and biodiversity between regional governance bodies in adjacent or proximate regions can provide a starting point for enhanced cooperation and collaboration in achieving alignment and harmonization of fisheries and biodiversity conservation goals. Adjacent or proximate regions can also collaborate in developing complementary fisheries and biodiversity conservation objectives and action plans, particularly where fish stocks and vulnerable marine ecosystems straddle both regions. At a more advanced stage, adjacent regions could also collaborate in developing strategic action plans to conserve and manage fisheries and biodiversity in the transboundary context and in proximate areas beyond national jurisdiction. There is an increasing willingness to cooperate across sectors through memoranda of understanding and other agreements, as evidenced in the North East Atlantic and ASCMLE case studies considered above. This has led to joint work programs, joint meetings and participation at each other’s meetings and scientific committees. Underpinning such agreements must be an understanding of the benefits such as certainty, prevention of duplication and increase in efficiency in achieving agreed goals and targets, the process for cooperation, and the human and financial resources committed. Global connections Developing stronger links between fisheries and biodiversity conservation bodies at the regional level and relevant global organizations (cf. Chapters 10 and 11) has clear and ongoing benefits. The best-practice standards developed by global organizations such as the FAO and CBD have already contributed to the alignment and harmonization of fisheries and biodiversity conservation objectives at the regional level and have the potential to contribute further. The CBD Guidelines on EBSAs and EIAs could further assist in establishing a common approach to identification of areas and management of risks to marine biodiversity while respecting the varying competences of the regional and sectoral bodies (cf. Chapter 14). At the same time, the wealth of new scientific and technical data and information from RFMO efforts to identify VMEs, from the ISA scientific and planning initiatives as well as from the Census of Marine Life and other scientific initiatives, can inform the conduct of EIAs and SEAs and help to identify EBSAs at the regional level. The development of a CBD-based global inventory of EBSAs in marine areas beyond national jurisdiction is providing a process for stimulating and 221 coordinating cross-sectoral cooperation at the regional level and a globally accessible list of recognized EBSAs for conservation and management purposes. At the regional level, RFMOs and States could be requested to cooperate in the protection of EBSAs vulnerable to deep-sea or pelagic fishing impacts in the high seas, particularly pursuant to the provisions of the UNFSA for highly migratory and straddling fish stocks. This could be achieved through the adoption of binding management measures including spatial or temporal closures (year round, dynamic or seasonal), effort or gear restrictions, catch or bycatch quotas to reduce impacts on EBSAs or VMEs or other areas and the requirement of full reporting of catches validated by some level of independent observer coverage. The FAO has also published many guidelines and international plans of action for the conservation and management of species such as sharks, sea turtles and sea birds, the prevention of illegal, unregulated and unreported fisheries and the management of bycatch and reduction of discards. These guidelines could also include measures to reduce the catch of vulnerable species in areas where they are most at risk, using the EBSA criteria for endangered and threatened species or special importance for the life history of species. The potential importance of global level stimulus through UNGA resolutions for example or a possible new multilateral agreement under UNCLOS should also be highlighted. Many States are already calling for a new implementing agreement to UNCLOS to address the conservation and sustainable use of marine biodiversity beyond national jurisdiction. A new global agreement could enhance efforts towards regional cooperation based on common goals and objectives. It could also seek to fill the gaps where no RSAs exist, stimulate capacity building and technology transfer and enhance scientific cooperation and coordination (Gjerde and Rulska-Domino, 2012). In the short term, the Kobe Process and the five tuna RFMOs could give higher priority to issues related to movements of highly migratory species and their implications for management (oceanic MPAs, interactions between fisheries) and the impact of fish aggregating devices (FADs) on oceanic ecosystems. The GEF-funded ABNJ Program may also be important, with the programme goal of promoting efficient and sustainable management of fisheries resources and biodiversity conservation in ABNJ, in accordance with the global targets agreed in international forums. The programme, led by the FAO in close collaboration with partners, comprises four projects: (1) sustainable management of tuna fisheries and biodiversity 179 0002120434.INDD 221 6/19/2014 7:21:19 PM 222 Governance of Marine Fisheries and Biodiversity Conservation conservation in the ABNJ; (2) sustainable fisheries management and biodiversity conservation of deep-sea living resources and ecosystems in the ABNJ; (3) oceans partnership fund; and (4) strengthening global capacity to effectively manage ABNJ. The GEF total of $43,547,119 in indicative funding is expected to catalyse $222,741,000 in co-financing (Turner, 2012). If spent wisely, fairly and transparently, this project could go a long way towards stimulating collaboration for sustainable fisheries management and biodiversity conservation in ABNJ. Conclusions Alignment of fisheries and biodiversity conservation objectives varies considerably across regions with relatively high levels of integration occurring in some regions, such as the Antarctic and the Northeast Atlantic, and embryonic levels of coherence in the Western Indian Ocean and South East Asia. There are many reasons for this diversity including: the lack of primacy given to modern conservation principles in some RFMO agreements and policies; the lack of technical expertise and resources to implement ecosystem-based conservation and management measures for fisheries and biodiversity at the regional level; the absence of cross-institutional connections and collaboration between fisheries and biodiversity conservation organizations; and slow uptake by regional bodies of global best-practice standards for fisheries and biodiversity conservation. The absence of a global level mandate for cooperation and regular mechanisms for performance review are also important. Some of the key ingredients for progressing enhanced alignment of fisheries and biodiversity conservation objectives at the regional level could include: (1) a focus on creating partnerships or platforms for crosssectoral discussions and collaboration between fisheries and biodiversity conservation organizations within and across regions; (2) the incorporation of modern conservation principles into RFMO Conventions and a commitment to implement them in fisheries conservation and management; (3) the incorporation of sustainable-use principles in RSA Conventions and a commitment to address them in marine biodiversity conservation and management; (4) the incorporation of global best-practice standards for fisheries and biodiversity conservation management in the policies and practices of RFMOs and RSAs and a commitment to implement them; (5) the development of a common science advisory foundation for fisheries and environmental bodies to use as a starting point for their policies and management measures; (6) a commitment to share data across fisheries and biodiversity conservation sectors (e.g. biodiversity data can feed into the RFMO consideration of conservation and management measures and, if EBSAs are identified, RFMOs can take that information into account in adopting particular measures); (7) a clear understanding from all sides of the benefits of cooperation, the processes that will be used and the resources that each side is committing; (8) the eventual development of a coordinating mechanism and strategic action plan for fisheries and biodiversity conservation in particular regions; and (9) a global level agreement for conservation and sustainable use of marine biodiversity in ABNJ which enhances mandates for regional cooperation, accompanied by a global mechanism for oversight, coordination and capacity development. The model for enhanced alignment and harmonization of fisheries and biodiversity conservation will be different for each region but is likely to contain most of the elements listed above in a form tailored to the political and governance characteristics of the particular region. Multiple benefits will flow from the convergence of fisheries and biodiversity conservation objectives at the regional level. Some of these benefits have been highlighted by the collaboration between RFMOs and RSAs such as NEAFC and OSPAR discussed above and by the CBD in their new 10-year Strategic Plan for Biodiversity 2011–2020 and include, in Aichi Target 6: ‘…the sustainable management and harvest of all fish and invertebrate stocks and aquatic plants applying ecosystem based approaches so that overfishing is avoided, recovery plans and measures are in place for all depleted species, fisheries have no significant adverse impacts on threatened species and vulnerable ecosystems and the impacts of fisheries on stocks, species and ecosystems are within safe ecological limits.’ The achievement of the CBD’s target will, to a large extent, be dependent upon continuing efforts to align and harmonize fisheries and biodiversity conservation objectives at the regional level. 180 0002120434.INDD 222 6/19/2014 7:21:19 PM Regional governance for fisheries and biodiversity References Alexander, L.M. (1993) Large marine ecosystems: a new focus for marine resources management. Marine Policy 17, 186–198. Aqorau, T. (2001) Tuna fisheries management in the Western and Central Pacific Ocean: a critical analysis of the Convention for the Conservation and management of Highly Migratory Fish Stocks in the Western and Central Pacific Ocean and its implications for the Pacific Island States. International Journal of Marine and Coastal Law 16(3), 379–431. Auster, P.J., Gjerde, K., Heupel, E. et al. (2011) Definition and detection of vulnerable marine ecosystems on the high seas: problems with the ‘move-on’ rule. ICES Journal of Marine Science 68(2), 254–264. Boyle, A. (2000) Globalism and regionalism. In: Protecting the Polar Marine Environment (ed. Davor Vidas). Cambridge University Press, Cambridge. CBD (2012) Subsidiary Body on Scientific Technical and Technological Advice (SBSTA). Report of joint expert meeting on addressing biodiversity concerns in sustainable fisheries, UNEP/CBD/SBSTTA/16/INF/13, 5 March 2012. Available at http://www.cbd.int/doc/meetings/ mar/ebsa-briefing/other/ebsa-briefing-oth-01-en.pdf (accessed March 2014). Duda, A. and Sherman, K. (2002) A new imperative for improving management of large marine ecosystems. Ocean and Coastal Management 45, 797–833. Edeson, W.R. (2009) Overview of institutional arrangements for fisheries and marine biodiversity in the Indian Ocean. In: Fisheries Exploitation in the Indian Ocean: Threats and Opportunities (eds D. Rumley, S. Chaturvedi and V. Sakhuja). Institute of Southeast Asian Studies, Singapore. Fanning, L., Mahon, R., McConney, et al. (2007) A large marine ecosystem governance framework. Marine Policy 31(4), 434–443. Fidelman, P., Evans, L., Fabinyi, M. et al. (2012) Governing large scale marine commons: Contextual challenges in the Coral Triangle. Marine Policy 36(1), 42–53. Freestone, D. (2008) Fisheries Commissions and Organizations. In The Max Planck Encyclopedia of Public International Law (ed. R. Wolfrum). Oxford University Press, Oxford. Online edition. Freestone, D. and Killerlain Morrison, K. (2012) The Sargasso Sea Alliance. International Journal of Marine and Coastal Law 27(3), 647–655. Gianni, M., Currie, D.E.J., Fuller, S. et al. (2011) Unfinished business: a review of the implementation of the provisions of UNGA resolutions 61/105 and 64/72 related to the management of bottom fisheries in areas beyond national jurisdiction. Deep Sea Conservation Coalition, September. Available at http://www.savethehighseas.org/publicdocs/DSCC_ review11.pdf (accessed March 2014). 223 Gjerde K.M. and Rulska-Domino, A. (2012) Marine Protected Areas Beyond National Jurisdiction: Some practical perspectives for moving ahead. International Journal of Marine and Coastal Law 27(2), 351–273. Gjerde, K.M., Ardron, J., Gotheil, S. et al. (2010) Modalities for advancing cross-sectoral cooperation in managing marine areas beyond national jurisdiction. Report for UNEP’s 12th Global Meeting of the Regional Seas Conventions and Action Plans. High Seas Task Force (2006) Closing the Net: Stopping Illegal Fishing on the High Seas. Final report of the Ministeriallyled Task Force on IUU Fishing on the High Seas. Governments of Australia, Canada, Chile, Namibia, New Zealand and the United Kingdom, WWF, IUCN and the Earth Institute at Columbia University. Available at http:// www.oecd.org/sd-roundtable/papersandpublications/39375276.pdf (accessed March 2014). Hurry, G.D., Hayashi, M. and Maguire, J.J. (2008) Report of the Independent Review, PLE-106/2008, International Conven tion on the Conservation of Atlantic Tunas, p. 2. Kaye, S.B. (2000) International Fisheries Management. Kluwer Law International, The Hague. Lagoni, R. (2003) Regional protection of the marine environment of the Northeast Atlantic under the OSPAR Convention of 1992. In The Stockholm Declaration and the Law of the Marine Environment (eds M.H. Nordquist, J.N. More and S. Mahmoud). Kluwer Law International, The Hague. McDorman, T. (2005) Implementing existing tools: turning words into action. Decision-making processes of Regional Fisheries Management Organizations. International Journal of Marine and Coastal Law 20(3–4), 423–457. Miller, D.G., Sabourenkov, E.N. and Ramm, D.C. (2004) Managing Antarctic marine living resources: the CCAMLR approach. International Journal of Marine and Coastal Law 19(3), 317–363. Parris, H. (2010) Is the Western and Central Pacific Fisheries Commission meeting its conservation and management objectives? Ocean and Coastal Management 53(1), 10–26. Rayfuse, R. (2004) Non Flag State Enforcement in High Seas Fisheries. Martinus Nijhoff Publishers, Leiden. Sand, P. (1999) The rise of regional agreements for marine environment protection. In: Transnational Environmental Law: Lessons in Global Change (ed. P.H. Sand). Kluwer Law International, The Hague. Sherman, K. (1994) Sustainability, biomass yields and health of coastal ecosystems: an ecological perspective. Marine Ecology Progress Series 112, 277–301. Sherman, K. (2006) The Large Marine Ecosystem Network Approach to WSSD Targets. Ocean and Coastal Management 49(9–10), 640–648. Treves, T. (2003) Regional approaches to the protection of the marine environment. In: The Stockholm Declaration and the Law of the Marine Environment (eds M.H. Nordquist, J.N. 181 0002120434.INDD 223 6/19/2014 7:21:19 PM 224 Governance of Marine Fisheries and Biodiversity Conservation Moore and S. Mahmoudi), pp. 137–138. Kluwer Law International, The Hague. Turner, J. (2012) The GEF/FAO ABNJ Program on Global Sustainable Fisheries Management and Biodiversity Conservation in Areas Beyond National Jurisdiction (ABNJ), Global Ocean Forum Newsletter. Special Issue on Marine Areas Beyond National Jurisdiction (ABNJ), May 4. Available at http://www.globaloceans.org/sites/udel.edu. globaloceans/files/GEF-FAO-ABNJProgram-FAO.pdf (accessed February 2014). Vallega, A. (2002) The regional seas in the 21st century: an overview. Ocean and Coastal Management 45(11), 925–934. 182 0002120434.INDD 224 6/19/2014 7:21:19 PM