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Shaping crime: risks and opportunities in Africa's aviation infrastructure

by Julia Stanyard

The development of transport infrastructure boosts trade and stimulates economic growth. However, this infrastructure can also benefit criminal networks, which use air transport to traffic illicit goods such as drugs, wildlife and gold. Their activities are disguised from regulatory bodies, and many act in collusion with corrupt officials. However, this can be countered by implementing effective oversight measures. This is crucial considering the substantial expansion of African air traffic in recent years, forecasts that Africa will continue to be one of the fastest-growing regions in the world for aviation, and the challenges that the aviation sector globally is facing due to the COVID-19 pandemic.

ENACT Africa, 2023. 18p.

Organised crime and armed conflicts in Eastern Africa

By INTERPOL and ENACT Africa

Across the globe, the proliferation of new armed groups (including rebels, militias, criminal groups and gangs) has made conflict prevention and resolution even more complex . Armed groups are diversifying their revenues, which are increasingly based on organized crime activities . Organized Crime Groups (OCGs) often benefit from the turmoil of armed conflicts and violence. They can engage in violence to protect their illicit business, undermining national economic development and security. Furthermore, OCGs can team up with armed groups to access and control natural resources, competing with the state to provide public goods or even protection to their community. Different situations of violent conflict affect countries in the Eastern African region. Crime dynamics that emerge from instability in one country of the region can spill over into a neighbouring country, posing a threat to regional peace and security. The emergence of hybrid criminal groups engaged in transnational organized crime and in armed conflict most likely represents a relevant dimension of contemporary conflict in Eastern Africa. Yet, the knowledge on the multiple ways in which OCGs prey, or even amplify, local conflicts for their own benefit remains limited. In many instances, the scale of criminal activities in Eastern Africa contributes to an increase in the risk of conflict or in its prolongation. Organized crime thrives in conflict and other situations of violence in the region when goods and supplies are scarce, filling the demand often in association with armed groups. In some cases, revenue from criminal activities enables armed groups to finance their activities. The illicit circulation of weapons in the region from and into conflict-affected settings fuels violence and criminal activities. Information suggests that in some occasions, armed groups and OCGs collude to smuggle goods, migrants and drugs through the region and beyond. Moreover, the illicit extraction, control and taxation of natural resources in the region is often a source of revenue for armed groups and often links them with criminal actors. Information shows that livestock theft, or cattle rustling, poses a serious threat to many countries in the region and fuels the increase in the demand for small arms and light weapons in two aspects: for fighters to steal cattle and for ranchers to protect their livestock against such attacks. Higher levels of violence have been reported in cattle rustling cases affecting local economies and security. Organized violence for profit continues to affect Eastern Africa. Kidnapping for ransom, looting, threats and sexual gender-based violence are among the most reported incidents in the region. The driving factors for those crimes are sometimes difficult to discern and involve a combination of reasons such as economic gain, firearms sourcing (notably for cases of looting security forces), intention to control a community or territory. Illicit financial flows, and particularly, illicit taxation, allow OCGs and armed groups to generate revenue through commodity taxes, by imposing taxes on the community to move through certain areas or to run their business

Lyon, France: INTERPOL, 2021. 32p

Women as actors of transnational organized crime in Africa

By INTERPOL and ENACT Africa

In the last two decades the percentage of imprisoned women offenders is growing globally, at a faster rate than imprisoned male offenders. 1 Such global increase raises the question as to whether the same can be observed on the African continent . Information suggests that transnational organized crime (TOC) affects African women and girls differently than African men and boys. It is crucial to learn how and if men and women behave differently in TOC in Africa in order to uncover the main drivers of these differences and adapt policing methodology accordingly. While gendered data continues to be insufficiently reported upon by law enforcement authorities in Africa, the assessment suggests that African law enforcement authorities are possibly under -investigating and under -estimating the involvement of African women in TOC. African law enforcement authorities likely continue to perceive them as victims or accomplices only. They are possibly rarely seen as the criminals themselves and less so as being the organizers, leaders, traffickers or recruiters. This gap in police investigations is indeed known to be exploited to the benefit of organized crime as women are more likely to go under the radar . The assessment draws attention to the common features of African female offenders based on available data to share insights and encourage police forces to reconsider their approach.

Lyon, France: INTERPOL, 2021. 32p.

Western Cape Gang Monitor

By The Global Initiative Against Transnational Organized Crime

The monitor draws on information provided by field researchers working in gang-affected communities of the Western Cape. This includes interviews with current and former gang members, civil society and members of the criminal justice system.

Over the past three months, our team has monitored and recorded almost a thousand instances of gang-related violence, which are unpacked here to provide a picture of some emerging trends in gang behaviour. The key findings analyzed here have been selected, as they would appear to be emblematic of broader trends in gang social dynamics, and because they have been under-reported elsewhere, or may have repercussions for how we understand developments in Western Cape gang violence.

In this first issue of the Gang Monitor, we also include a summary of key dynamics to watch, which draws on a longer-term view of how the gang landscape has changed in recent years. The analysis is based on the GI-TOC’s research over several years identifying how Western Cape gang dynamics have developed and to help us understand how they may continue to in future.

This quarter has been characterized by increased infighting between splinter groups within gangs. Conflict between Americans groups in Hanover Park provides a key example. The Fancy Boys are on an aggressive campaign to expand territorial control, including in Mitchells Plain and Manenberg. Pagad G-Force has become more vocal and visible in anti-gang campaigning. A shooting in Hanover Park may indicate that the group is taking a more militant stance. There has been an increase in young child gang recruits forming breakaway groups, as exemplified by KEY FINDINGS

ISSUE No. 1 | QUARTERLY OCTOBER 2023. Global Initiative against Transnational Organized Crime, 2023. 8p.

The impact of Afghanistan’s drug trade on its neighbours: the case of Pakistan, Iran and Tajikistan

By Shehryar Fazli

This project addresses the complex issue of drug production in Afghanistan, which continues to fuel regional and global narcotics trade. Despite the Taliban's 2022 ban on poppy cultivation and narcotics trade, trafficking remains a major concern. The subsequent crackdown in 2023 resulted in reduced cultivation in specific provinces, but the ban's sustainability is uncertain due to poppy's significance in Afghanistan's rural economy and the fragile economic situation.

The project extends its focus to the Golden Crescent region, where Afghanistan, Pakistan, and Iran intersect, serving as a prominent drug smuggling hub. Pakistan and Iran, pivotal to the southern drug trafficking route, have consistently accounted for over 90% of global opium seizures since 2002. Central Asia, particularly Tajikistan, presents counter-narcotics challenges in the northern drug route to Russia and Europe.

Challenging the notion that state capacity alone can address the drug trade, the project advocates for a multifaceted approach, emphasising international cooperation beyond law enforcement. The punitive regimes in Pakistan, Iran, and Tajikistan, coupled with corruption, inadvertently protect high-level traffickers. In Afghanistan, the project raises the question of whether neighboring or Western governments are willing to end Kabul's isolation, providing economic assistance to reduce dependence on poppy cultivation. However, prospects are limited due to regressive Taliban policies.

The proposed counter-narcotics strategy expands beyond law enforcement, including building domestic public pressure for an accountable regime. This involves partnerships with local organisations, rehabilitation centers, health and education NGOs, and human rights groups. The goal is to foster domestic political ownership and public demand for humane and accountable national counter-narcotics policies. The project argues against relying solely on coercive state organs, offering a more comprehensive and sustainable solution to the core challenges posed by drug trafficking.

SOC ACE Research Paper 25. University of Birmingham. Birmingham, UK: University of Birmingham, 2023. 30p.

Evaluating Afghanistan's Past, Present and Future Engagement with Multilateral Drug Control

By John Collins and Ian tennant

This paper charts the history of Afghanistan’s interaction with the international drug control system and the complex relationship between national–international policy formation. It tells the story of Afghanistan’s relationship with and impact on evolving global drug regulations from the birth of the League of Nations drug control system through the 1961 UN Single Convention on Narcotic Drugs and up to the present day. It draws on primary documentation from US and British archives and an extensive review of secondary literature, as well as a series of interviews conducted for the purposes of this paper. It argues for a more nuanced historical awareness of Afghanistan’s role within multilateral drug control as a way to understand its roles in the creation of the modern licit drug economy and its continued role in the modern illicit drug economy. Further, it argues that there is a need to engage broader society in discussions, to ensure more continuity is built into the system—as relationships built with the old regime in Afghanistan have collapsed. It calls for re-centring international capacity-building efforts on community-centred approaches, not simply law enforcement and traditional alternative development (AD) programmes. Moving away from the former enforcementfocused activities also reduces the risks of human rights violations.

SOC ACE Research Paper No. 6 . Birmingham, UK: University of Birmingham, 2022. 34p.

Shifting drug markets in North America - a global crisis in the making?

By Maximilian Meyer, Jean N. Westenberg , Kerry L. Jang , Fiona Choi , Stefanie Schreiter , Nickie Mathew , Conor King, Undine. Lang , Marc Vogel and R. Michael Krausz

Understanding drug market dynamics and their underlying driving factors is paramount to developing effective responses to the overdose crisis in North America. This paper summarises the distinct drug market trends observed locally and internationally over the past decade to extrapolate future drug market trajectories. The emergence of fentanyl on North American street markets from 2014 onwards led to a shift of street drug use patterns. Previously perceived as contaminants, novel synthetic opioids became the drugs of choice and a trend towards higher potency was observed across various substance classes. The diversification of distribution strategies as well as the regionalisation and industrialisation of production followed basic economic principles that were heavily influenced by prosecution and policy makers. Particularly, the trend towards higher potency is likely most indicative of what to expect from future illicit drug market developments. Nitazenes and fentanyl-analogues, several times more potent than fentanyl itself, are increasingly detected in toxicological testing and have the potential of becoming the drugs of choice in the future. The dynamic of drug import and local production is less clear and influenced by a multitude of factors like precursor availability, know-how, infrastructure, and the success of local drug enforcement strategies. Drug market dynamics and the current trajectory towards ultrapotent opioids need to be recognised by legislation, enforcement, and the health care system to prepare effective responses. Without significant improvements in treatment access, the implementation of preventative approaches and early warning systems, the mortality rate will continue to increase. Furthermore, there is no mechanism in place preventing the currently North American focused overdose crisis to spread to other parts of the globe, particularly Europe. A system of oversight, research, and treatment is needed to address mortality rates of historic proportions and prevent further harm.

International Journal of Mental Health Systems (2023) 17:36

New Drugs, Old Misery: The Challenge of Fentanyl, Meth, and Other Synthetic Drugs

By Jonathan P. Caulkins and Keith Humphreys

If, in 2015, someone had told you that the number of overdose deaths caused solely by the two most historically lethal drugs—heroin and cocaine—would drop by more than half by 2021, you would likely have assumed that the overdose crisis in the U.S. was finally coming to an end. Instead, drug overdose deaths soared to more than 100,000 per year due to the rise of synthetic drugs, a truly disruptive innovation with which U.S. drug policy is only beginning to grapple.

To clarify the key term: synthetic drugs are substances that can be produced in a lab and are not from plant-derived components. In Canadian and U.S. illegal opioid markets, synthetic fentanyl and its analogues are outcompeting heroin, which is made from the poppy plant. These synthetics claimed the lives of more than 70,000 Americans in 2021 (out of 106,699 total drug-involved overdose deaths, or 66%), either by themselves or in combination with other drugs.[1] Methamphetamine, another synthetic, has attained a larger share of the stimulant market than cocaine, which is made from coca leaves.[2] The rapid expansion of synthetic tranquilizers—such as xylazine and benzodiazepines—has spread addiction and death, particularly when these drugs are used in combination with opioids. The U.S. is also facing a bevy of so-called new psychoactive substances (NPS), such as MDMA and mephedrone, that collectively attract more users than do older, “minor” drugs such as LSD, GHB, and PCP.

Drug policy analysts, including the authors of this brief, are swamped with requests from desperate policymakers, clinicians, parents, and activists to find solutions to the problem of synthetic drugs. This brief comprises our answer. Unfortunately, it is not particularly upbeat. All four traditional pillars of drug policy—enforcement, treatment, harm reduction, and prevention—have limits, and there is no simple solution for the synthetic drug market. Nonetheless, the nation can do some things better and should stop doing other things that are harmful. Policymakers must:

  • Maintain prohibition of the production and sale of synthetic drugs

  • Expect law enforcement to shrink market-related harms, such as violence, but not necessarily to shrink the supply of the drugs themselves

  • Keep expanding medication-assisted treatment and access to naloxone

  • Embrace the shunning of illegal drugs as a cultural norm

  • Be generous toward those who are struggling, including those suffering from drug addiction

Unfortunately, the widespread availability of potentially lethal temptations in the U.S. may be the new normal, and overdose deaths will continue to remain higher than historical norms. Such realism is depressing but honest, and honesty is the best foundation for policy.

New York: Manhattan Institute, 2023. 13p.

"Do Not Come Out To Vote" - Gangs, elections, political violence and criminality in Kano and Rivers, Nigeria

By Kingsley Madueke | Lawan Danjuma Adamu Katja Lindskov Jacobsen | Lucia Bird

Political violence is a major obstacle to democratic processes worldwide. Violence perpetrated in pursuit of electoral victory has widespread consequences: the destruction of lives and property, the displacement of people, undermining the credibility of the electoral process, and the erosion of public trust in democratic institutions.1 In countries throughout Africa, including Nigeria, Kenya, Mozambique, Zimbabwe and Sierra Leone, gangs play a pivotal role in political violence. When they are not perpetrating political violence, the same gangs often engage in a range of illicit markets.2 Yet, so far, analyses have not adequately scrutinized the link between gangs, political violence and illicit markets, predominantly understanding them as separate phenomena.3 The intersection between them has been understated, with important implications for response strategies. Background Since Nigeria’s return to democracy in 1999, criminal gangs have played an increasingly pivotal role in driving political violence in the country. These criminal actors engage in a broad spectrum of activities, including intimidation of voters and political opponents, assassinations and disruption of political rallies on behalf of political actors. Gangs are remunerated in cash, material gifts and other favours from political actors, including state appointments and protection. Despite the deployment of security forces, election periods in Nigeria have long been characterized by high levels of violence – the 2023 elections were no exception.4 Although data collated regarding political violence in Nigeria broadly demonstrates a decrease in lives lost compared to previous electoral cycles, the number of violent incidents recorded has grown. Furthermore, the research presented in this report underscores that number of incidents of political violence fails to capture the full impact of political violence in determining Nigeria’s most recent political outcomes. Disenfranchisement was a clear consequence of covert forms of threat and intimidation: the 2023 elections saw the lowest voter turnout in Nigeria’s history, with President Bola Tinubu’s mandate effectively granted by less than 10% of Nigeria’s electorate. Though electoral violence is a countrywide concern in Nigeria, Kano in the north and Rivers in the south are repeatedly among the states hit hardest by political violence. In 2023 both became flashpoints for election violence.5 Both states are highly politically competitive and have a strong presence of criminal gangs with links to politicians, which play a leading role in electoral violence. The long history of election violence, coupled with the incidents of attacks and clashes leading up to and during the 2023 elections, had a major impact on voter turnout, the voting process and, consequently, the outcome of the elections in these areas Criminal gangs are not the only actors that have been associated with violence in Nigeria. For example, different groups, including violent extremist organizations such as Islamic State West Africa Province (ISWAP) and Jama'atu Ahlis Sunna Lidda'adati wal-Jihad (JAS), armed bandits in the north, as well as secessionists such as the Indigenous People of Biafra (IPOB) in the south-east have allegedly been involved in violence in different parts of the country. However, this report focuses on criminal gangs because they have featured more prominently in election-related violence and they have comparatively deeper roots in the country’s social and political landscape in the states under study. As case studies, the situations in Kano and Rivers demonstrate that political violence in Nigeria cannot be dismissed as a phenomenon limited to a particular geography or political party. The states are positioned in different regions, beset by different criminal and conflict dynamics, and have contrasting histories of political affiliation. Yet the centrality of political violence – and the pivotal interlinkages between crime and politics it reveals – is a common thread corroding democratic processes across both states, and Nigeria as a whole. In Kano and Rivers, the current dynamics of political violence emerged when political parties contracted elements of pre-existing groups (hunters’ associations and cult groups, respectively) to attack opponents, voters and election officials. The contracted groups benefited from this political alignment, and over time there emerged a mutually beneficial ecosystem between gangs and politicians. This ecosystem – the exact contours of which are shaped by complex local factors – is highly damaging for the Nigeria’s democracy. The two case studies presented in this report attempt to untangle this complex ecosystem and explore key questions: did gangs or political violence emerge first? What happens to gangs on the losing side of the political contest? Furthermore, elections are cyclical, and political gangs seem poised to service the demands of their political contractors at each four-year interlude. But what do these gangs do in the interim? This question – what do political thugs do when they are not doing political violence?6 – underpinned this research. Criminal markets provided the answer. This report argues that outside of election cycles, criminal gangs involved in political violence are engaged in a range of illicit markets for their sustainability and resilience. The link between political violence and illicit markets is a significant concern as it provides criminal actors with political cover and access to the means to perpetrate further acts of violence and criminality. Exploring the implications of such intersections for politics and governance, and identifying potential ways to disrupt such links, is therefore urgently required.

Global Initiative Against Transnational Organized Crime, 2023. 47p.

Environmental Harms at the Border: The Case of Lampedusa

By Francesca Soliman

In this paper I examine authorities’ management of migrant boats on the island of Lampedusa, Italy, as an example of environmental border harm. A danger to trawlers, sunken wrecks are also hazardous to the environment, with pollutants such as oil and fuel seeping into the sea. Migrant boats that reach the island, whether independently or towed by rescuers, are left to accumulate in the harbour and eventually break up, scattering debris in bad weather. When boats are uplifted onto land, they are amassed in large dumps, leaking pollutants into the soil. Periodically, the resulting environmental crises trigger emergency tendering processes for the disposal of the boats, which allow for the environmental protections normally required in public bidding to be suspended for the sake of expediency. The disposal of migrant boats thus relies on a pattern of manufactured environmental emergencies, consistent with the intrinsically crisis-based management of the border itself.\

Critical Criminology 31(12):1-17, 2023.

Follow the money: connecting anti-money laundering systems to disrupt environmental crime in the Amazon

By Melina Risso, et al.

Environmental crime became the world’s third most lucrative illicit economy after drug trafficking and smuggling, with estimates of $110 to $281 billion in annual profits. Between 2006 and 2016, environmental crimes grew at a rate of 5% to 7% per year, a pace two or three times faster than that of global GDP growth. Money laundering is part of the criminal machinery that plunders the Amazon Rainforest.

The study “Follow the Money: connecting anti-money laundering systems to disrupt environmental crime in the amazon” reveals the need for systems, agencies, and institutions responsible for preventing money laundering to turn their attention to the connections between this illicit practice and environmental crimes.

The Igarapé study shows that the money laundering cycle follows three stages before the laundered funds can enter the financial system: placement, layering, and integration. However, not all proceeds from criminal activity are directly laundered into the formal financial system. Thus, informal diversification constitutes the process of moving illegal flows into the informal economy. It is estimated that 30% of the money to be laundered is used to pay the operating expenses of illicit economies. Cash transactions, divided into small amounts and deposited by “money mules,” are used to finance the hiring of precarious labor, accommodations, food, security, transportation, health services, leisure, and machinery, for example. The remaining 70% of illicit proceeds are formally inserted into the financial system.

Rio de Janeiro - RJ - Brasil ; Igarape Institute, 2023. 33p.

Follow the money: how environmental crime is handled by anti-money laundering systems in Brazil, Colombia, and Peru

By Melina Risso, et al.

Environmental crime in the Amazon has become one of the largest illicit economies in the world, generating annual profits estimated at between $110 billion and $281 billion. However, only 6.3% of money laundering cases reported between 2017 and 2020 to the Financial Action Task Force of Latin America (Gafilat), the main body responsible for combating illicit financial flows in the region, were related to environmental crimes.

To assess the level of attention and priority given to environmental crimes at each stage of the anti-money laundering system, we are launching the second publication in the “Follow the Money” series. Focusing on the three key countries of the Amazon basin – Brazil, Colombia, and Peru – the study proposes an analytical approach to the legal and institutional capacities to combat money laundering in five dimensions: 1) strategic planning and preventive measures; 2) monitoring and detection – financial intelligence units; 3) mandatory reporting of suspicious transactions; 4) criminal investigation; and 5) Prosecution and sanctions.

Rio de Janeiro - RJ - Brasil , Igarape Institute, 2023. 43p.

Impact of biodiversity loss and environmental crime on women from rural and indigenous communities: Evidence from ECUADOR, MEXICO, CAMEROON AND INDONESIA

By Faith Ngum | Radha Barooah

What constitutes an environmental crime has long been subject to debate. However, human-induced environmental degradation and biodiversity loss are both pertinent. Local communities, largely indigenous groups, living around biodiverse areas comprising forests, mountains and marine ecosystems stand to be among the first affected. The presence of illegal extractive activities, whether mining or logging, attracts men from outside these areas and effectively ‘masculinizes’ these territories. This disrupts regular life and threatens the safety of women, who often have to venture into forests to carry out domestic activities. The impact varies from community to community and is linked to gender roles and patriarchy, and sometimes includes physical violence. This policy brief presents case studies from four forest ecosystems: the Arajuno forests of the Ecuadorian Amazon, the Sierra Tarahumara forests in Mexico, the Yabassi forests in Cameroon and the rainforests of North Sumatra in Indonesia. The findings show that while local indigenous communities rally to defend their territories against extractive operations and perceived environmental crimes, gender norms and patriarchy limit women’s voices and participation. However, women’s participation in resistance movements has gradually increased, especially against large-scale state concessions, and many have become leading environmental defenders in their communities. Their motivation to voice their perspectives and challenge dominant narratives against indigenous communities through various acts of solidarity is firmly rooted in their desire to protect their livelihoods. Their resilience strategies are similar but context-specific and nuanced across the communities in the four forest ecosystems analyzed in this brief.

Geneva, SWIT: Global Initiative Against Transnational Organized Crime 2023. 34p.

The Ivory Trade of Laos: Now the Fastest growing in the World

By Lucy Vigne and Esmond Martin

Executive summary ■ From 2013 to 2016, Laos’s retail ivory market has expanded more rapidly than in any other country surveyed recently. ■ Laos has not been conforming with CITES regulations that prohibit the import and export of ivory. Since joining CITES in 2004, only one ivory seizure into Laos has been reported to the Elephant Trade Information System (ETIS). ■ Almost no arrests, let alone prosecutions and punishments, have been made of smugglers with ivory coming in or out of the country. ■ Most worked ivory for sale in Laos originates from elephants poached in Africa. ■ Ivory has also been entering Laos illegally from Thailand, as Thai traders have been offloading their ivory following the imposition of much stricter regulations there. ■ In late 2013 the average wholesale price of raw ivory sold by Lao traders peaked at about USD 2,000/kg. ■ By late 2016, the average wholesale price of raw ivory in Laos had declined to USD 714/kg, in line with prices elsewhere in the region. This price was much higher than in African countries, such as Sudan (Omdurman/Khartoum), where the average wholesale price of ivory was USD 279/kg in early 2017. This price differential is due to the extra expenses incurred in transport and bribes to government officials on the long journey to Asia. ■ In Laos, the decline in the wholesale price of raw ivory between 2013 and 2016, as elsewhere in the region, was mainly due to the slowdown in China’s economy, that resulted in an oversupply of illegal ivory, relative to demand. ■ Ivory items seen for sale in Laos are carved or machine-processed in Vietnam by Vietnamese and smuggled into Laos for sale, or are processed by Chinese traders in Laos on new computerdriven machines. Ivory carving by Lao people is insignificant. ■ In Laos, the survey found 81 retail outlets with ivory on view for retail sale, 40 of which were in the capital, Vientiane, 21 in Luang Prabang, 8 in Kings Romans, 5 in Oudom Xay, 3 in Pakse, 2 in Dansavanh Nam Ngum Resort and 2 in Luang Nam Tha. ■ The survey counted 13,248 ivory items on display for sale, nearly all recently made to suit Chinese tastes. Vientiane had 7,014 items for sale, Luang Prabang 4,807, Kings Romans 1,014, Dansavanh Nam Ngum Resort 291, Oudom Xay 93, Luang Nam Tha 16, and Pakse 13. ■ Most outlets, displaying the majority of worked ivory, also sold souvenirs, Chinese herbal teas or jewellery, or were hotel gift shops. ■ Outlets were usually owned by traders from mainland China. The number of Chinese-owned shops had risen in Laos from none recorded in the early 2000s to several in 2013, including one main shop in Vientiane’s Chinese market and two on the main tourist street of Luang Prabang. By 2016, there were 22 and 15 outlets, respectively, in these two areas, both of which are popular with Chinese visitors. By 2016, Chinese outlets with ivory had also sprung up in other locations, mainly those visited by the increasing number of Chinese. ■ In 2016, the most common ivory items for sale were pendants, followed by necklaces, bangles, beaded bracelets and other jewellery, similar to items for sale in 2013, but in far larger quantities. ■ The least expensive item was a thin ring for USD 3 and the most expensive was a pair of polished tusks for USD 25,000. ■ Retail prices for ivory items of similar type were higher than elsewhere in Kings Romans, which is visited primarily by wealthier Chinese visitors with money to spend. ■ Mainland Chinese buy over 80% of the ivory items in Laos today. There are sometimes buyers from South Korea and other Asian countries, according to vendors. ■ Laotians today generally buy amulets that are made of bone or synthetic material, rather than ivory items.

Nairobi, Kenya: Save the Elephants, 2027. 92p.

Fisheries Intelligence Report, 2023.

By The Joint Analytical Cell (JAC)

In early October, the Joint Analytical Cell (JAC) released the results of a collaborative analysis into a fleet of Chinese-linked distant-water squid fishing vessels. These vessels are known as the “150 Series,” named as such because each vessel’s reported Maritime Mobile Service Identities (MMSI) numbers all start with the numbers one-five-zero. This group of vessels identified in the report appear to have engaged in behavior consistent with attempts to conceal their identity by MMSI spoofing — changing and sharing names over Automatic Identification System (AIS), as well as using multiple MMSIs, making it extremely challenging to monitor and enforce their activities. Following the identification of this behavior, which has been linked with illegal, unreported, and unregulated (IUU) fishing activities, the JAC engaged with China to better understand the nature and motivation of the behavior identified.

Long Beach CaliforniaL Global Fishing Watch, 2023. 46p.

Convergence of wildlife crime with other forms of organised crime: A 2023 review

By The Wildlife Justice Commission

The report builds on our first crime convergence report, published in 2021, which analysed a set of 12 case studies, and illustrated the varied ways that wildlife crime can overlap or intersect with other serious and organised crimes.

It presents additional analysis and insights from three in-depth case studies, based on open-source research and intelligence collected during Wildlife Justice Commission investigations. These three case studies add to the knowledge base on this issue, which will continue to develop globally as more cases are detected and analysed.

Wildlife crime is a cross-cutting criminal activity which cannot be tackled in isolation from other crimes. Crime convergence should be further studied and integrated as part of the approach to tackle wildlife crime and organised crime more broadly. An improved understanding of this intersection can help to identify more strategic policy and law enforcement responses to address it.

The Hague: Wildlife Justice Commission, 2023.39p.

Future IUU Fishing Trends in a Warming World: A Global Horizon Scan

By Lauren Young, Cathy Haenlein and Grace Evans

Comprising everything from small-scale, near-shore activity to industrial-scale, long-distance operations, the current IUU fishing threat has the potential to evolve significantly in a warming world. A global horizon scan explores the impacts of climate change on IUU fishing over the next 10 years and beyond.

Illegal, unreported and unregulated (IUU) fishing is a multifaceted global threat, occurring worldwide in inland waters, exclusive economic zones (EEZs) and on the high seas. Comprising everything from small-scale, near-shore activity to industrial-scale, long-distance operations, the current IUU fishing threat has the potential to evolve significantly in a warming world.

These evolutions stand to occur as fish populations themselves respond to a warming climate. Alongside critical stressors such as overfishing, oceanic warming is set to continue to contribute to an ongoing overall decline in fish populations globally. In parallel, there is evidence that key species are shifting poleward and to deeper waters, with declines in marine catch potential expected in the tropics. Combined with the effects of melting sea ice, changing weather patterns and the growth of marine heatwaves, among other factors, the impact on aquatic ecosystems is potentially highly destabilising.

These disruptive environmental changes have a range of potential implications for IUU fishing activity. The need to anticipate future trends across the threat landscape is thus pressing.

This paper presents the results of a global horizon scan conducted to explore the impacts of climate change on IUU fishing over the next 10 years and beyond.

The scan gathered globally available information by eliciting submissions from contributors worldwide, with a group of expert assessors collating and prioritising trends based on their ‘novelty’, ‘plausibility’ and ‘potential impact’. The scan produced a ranked list of 20 priority trends, categorised into four thematic areas. While the scan considered both emerging threats and opportunities, most of the 20 priority trends speak to emerging challenges, with potential options to address them where feasible and appropriate.

The first group of trends emerging from the scan covers evolving IUU fishing issues linked to shifting fish stocks and distributions. A number of these have the potential to challenge existing management and enforcement frameworks. Potential trends identified relate to an emerging ‘race to fish’ in the Arctic; ice loss and rising demand in the Antarctic; climate change impacts on the Humboldt Current System; novel interactions between mobile industrial fleets and smaller vessels; and domestic fishery closures potentially altering the length of supply chains.

The second group of trends relates to contested maritime boundaries and ungoverned spaces. Potential emerging trends include risks arising where fish cross between EEZs, and where sea-level rise feeds into maritime boundary disputes; evolving intersections between IUU fishing and geopolitical tensions in the South China Sea; the rising importance of IUU fishing in maritime security discourse; and the push to expand marine protected area (MPA) cover despite unresolved issues around the policing of MPA borders.

The third group of trends relates to evolving socioeconomic and criminological dynamics across small-scale IUU fishing and larger-scale operations. Potential issues include the incentivisation of IUU activity as livelihoods are undermined; risk-taking and vulnerability in the face of extreme weather; reliance on illegal labour practices in the face of reduced profitability; and evolving criminal tactics and patterns of crime convergence with growing seafood scarcity.

The fourth group of trends relates to challenges and opportunities for monitoring and enforcement. Potential emerging issues relate to vessel monitoring capabilities to detect climate-driven changes in IUU activity; gaps around the evaluation of interventions; persistent weaknesses in the transnational response; port infrastructural upgrades; and mounting public pressure for transparency.

To support efforts to address these trends, this paper offers a set of broad considerations for the range of stakeholders involved in the global response to IUU fishing. With future policy unable to address climate impacts in isolation, these are designed to be considered in the wider context of other evolving aspects of fisheries management.

Advance planning is essential. Many identified potential impacts of climate change are rooted in already visible trends, with advance action needed given the time required to update multilateral agreements, for example. Dedicated monitoring is needed to track changes in fish stocks relative to specific governance arrangements, as are forward-looking fisheries crime assessments.

Vessel-monitoring capabilities must be bolstered to detect climate-driven changes in activity. IUU fishing vessels could exhibit greater spatial mobility as they pursue shifting fish stocks, yet numerous gaps persist in vessel identification and monitoring capabilities. Gaps in state-level capacity to analyse unprocessed data continue to act as a barrier, with sustained work to build analytical capacity required.

Enforcement must be strengthened and adapted to a climate-changed future. With perpetrators of large-scale IUU fishing potentially becoming increasingly geographically mobile, gaps in international cooperation must be addressed. Systematic evaluation of existing enforcement, mitigation and deterrence methods is also needed to inform future interventions. Beyond this, challenges around the policing of expanding MPAs must be addressed.

Enhanced transparency and traceability must be pursued. As fish distributions shift and potentially alter the length of supply chains, responses continue to be hindered by a lack of transparency. Fishing-specific transparency legislation should be passed, ultimate beneficial ownership registries expanded, and schemes such as the Fisheries Transparency Initiative supported.

Geopolitical stakes woven into fishing activity must be accounted for. As stocks of key species decline and their distributions shift, new juxtapositions of marine biomass concentration and fishing effort across jurisdictional boundaries risk altering the geopolitical stakes involved. A clear focus on fisheries is needed as part of wider efforts to build mutual trust and cooperation in affected areas.

Resilience among artisanal fishing communities must be strengthened. In a range of locations, climate change could affect the vulnerabilities facing fishing-dependent communities as key species shift out of reach to deeper, cooler waters. Evidence-based measures must be enacted to enhance resilience to climate change, including long-term ‘pro-poor’ strategies to strengthen adaptive capacities.

High-volume IUU fishing must be treated with the severity it deserves. With IUU fishing often treated as a minor issue, the disconnect between crime type and response could grow, as shifting fishing grounds potentially increase IUU actors’ reliance on sophisticated organised criminal operations. National legislation must be updated such that large-scale IUU fishing qualifies as a serious crime per the UN Convention Against Transnational Organized Crime, with enforcement responses tailored to address shifting crime convergence.

London: RUSI, Royal United Services Institute for Defence and Security Studies, RUSI Occasional Paper, March 2023. 67p.

Use of smugglers on the journey to Thailand among Cambodians and Laotians

By United Nations Office on Drugs and Crime (UNODC), Observatory on Smuggling of Migrants.

Our new snapshot, produced in the context of a partnership with the United Nations Office on Drugs and Crime (UNODC) Observatory on Smuggling of Migrants, examines respondents’ reasons for leaving their country of origin, access to smuggling services, and protection incidents experienced en route, as well as the involvement of state officials in smuggling between Cambodia-Thailand and Lao PDR-Thailand.

Key findings include:

  • Almost all Cambodian respondents (96%) and most Laotian respondents (84%) used smugglers to facilitate their migration to Thailand.

  • Smuggling dynamics vary significantly between Cambodian and Laotian respondents: Cambodians primarily used smugglers due to a lack of knowledge of alternatives (79%), while most Laotians were motivated by the perception that using smugglers would be easier (63%).

  • Cambodian respondents more often reported the involvement of state officials in smuggling (63%) than Laotian respondents (13%).

United Nations Office on Drugs and Crime (UNODC) Observatory on Smuggling of Migrants. 2023, 12p.

Responding to the surge of substandard and falsified health products triggered by the Covid-19 pandemic

By Nagesh N. Borse, June Cha, Christina G. Chase, Raashi Gaur, et al.

Substandard and falsified medical products such as vaccines and medicines are a serious and growing global health issue1 . Other health products such as diagnostic kits and infection preventatives, including but not limited to masks and hand sanitizers, are also found on the market in substandard and falsified versions, as discussed below. In this article, the authors refer to all of these products as substandard and falsified health products (SFHP).* COVID-19, like previous pandemics, has increased the vulnerability of global supply chains to SFHP. This paper explores the basics of SFHP, reviews what we have learned from past pandemics, and offers a perspective on existing and needed tools to protect health products, and the people who use them, from the threat of SFHP.

Washington, DC: USP, 2021. 11p.

COVID-19-related Trafficking of Medical Products as a Threat to Public Health

By The United Nations Office on Drugs and Crime

Restrictions on movement imposed by govern- ments across the world due to the COVID-19 pandemic have had an impact on the trafficking of substandard and falsified medical products. Interpol and the World Customs Organization (WCO) reported that seizures of substandard and falsified medical products, including person- al protective equipment (PPE), increased for the first time in March 2020. The emergence of trafficking in PPE signals a significant shift in organized criminal group behaviour that is directly attributable to the COVID-19 pandemic, which has brought huge demand for medical products such as PPE over a relatively short period of time. It is foreseeable that, with the evolution of COVID-19 and developments in medicinal treatments and/or the repurposing of existing medicines, criminal behaviour will shift from trafficking in PPE to the development and delivery of a COVID-19 vaccine. Furthermore, cyberattacks on critical infrastructure involved in addressing the pandemic are likely to continue in the form of online scams aimed at health procurement authorities. Challenges in pandemic preparedness, ranging from weak regulatory and legal frameworks to the prevention of the manufacturing and trafficking of substandard and falsified products and cyber security shortcomings, were evident before COVID-19, but the pandemic has exacerbated them and it will be difficult to make significant improvements in the immediate short term. The report concludes that crime targeting COVID-19 medical products will become more focused with significantly greater risks to pub- lic health as the containment phase of the pan- demic passes to the treatment and prevention stages.

Vienna: UNODC Research and Trend Analysis Branch. 2020. 31p