Monday, August 12, 2019

The New Draft of the "Legally Binding Instrument to Regulate, in International Human Rights Law, The Activities of Corporations and Other Business Enterprises:" Part 8--Article 2 (Statement of Purpose) Reflections (1)

(Pix © Larry Catá Backer 2019)


The Coalition for Peace and Ethics BHR Treaty Project is considering Draft of the "Legally Binding Instrument to Regulate, in International Human Rights Law, The Activities Corporations and Other Business Enterprises," released on 16 July 2019 by the open-ended intergovernmental working group (OEIGWG) Chairmanship. The CPE Introduction Statement can be accessed here: The New Draft of the "Legally Binding Instrument to Regulate, in International Human Rights Law, The Activities of Corporations and Other Business Enterprises" And a Call to Submit Comments Before October 2019.

For the informal Index/Table of Contents for the CPE Treaty Project postings on the Draft Legally Binding Instrument" please follow this link: Index of Posts.   We hope that makes navigating the CPE Treaty Project Commentary easier.  The postings will be listed in reverse chronological order.

This post turns to Article 2 (Statement of Purpose) of the Draft Legally Binding Instrument (DLBI), These include its terms, its underlying ambitions, ideologies, and the feasibility of its gasp, given the constraints within which its authors are necessarily made to work. It was prepared by Flora Sapio.


Reflections on the Drafty Legally Binding Instrument Article 2 (Statement of Purpose)
Flora Sapio

Article 2. Statement of purpose

1. The purpose of this (Legally Binding Instrument) is:

a. To strengthen the respect, promotion, protection and fulfillment of human rights in the context of business activities;

b. To prevent the occurrence of such violations and abuses and to ensure effective access to justice and remedy for victims of human rights violations and abuses in the context of business activities;

“To prevent the occurrence of such violations and abuses”: Here the LBI reinstates the principle of prevention, without resolving the ambiguities and ambivalence introduced by the language of Article 1. The treaty operates pre-emptively, also when an actual harm has not been caused yet. To trigger the pre-emptive operation of the treaty, the mere allegation of a potential future harm seems to be sufficient. The language of Article 1 allows such an allegation to be made without the knowledge of the persons who, in a future, may (or may not) suffer harm. Limited to this treaty, the principle of prevention may be invoked or else used by States, NGOs, individuals, collective entities such as social movements against one or more of these actors and entities. The treaty enables potential scenarios where the principle of prevention can be used to achieve goals other than human rights protection.

“To ensure effective access to justice and remedy”: access to justice and access to remedy have substantive and procedural aspects. Different actors may place the emphasis on the aspects that are more useful to reaching their own goals and objectives. It can be expected that some actors will stress the procedural aspects of access to justice and access to remedy, while others will place the emphasis on their substantive aspects. The questions remain of what justice measures and remedies are effective and when;  how effectiveness is defined, measured, and assessed, and whether it is possible to argue that a causal relation exists between:

a)     variables that pertain to the governance system of signatory states
b)    the choice to sign or not sign the treaty
c)     the public, private or hybrid nature of certain remedial mechanisms
d)    judicial and non-judicial mechanisms

and the concept of effectiveness. We may witness the emergence of different conceptions of effectiveness, and of different metrics elaborated by public and private, domestic and transnational actors.

c. To promote and strengthen international cooperation to prevent human rights violations and abuses in the context of business activities and provide effective access to justice and remedy to victims of such violations and abuses.

From discussions held at the Fourth Session, it is clear how a shared understanding about international cooperation has not been reached yet. In the absence of such a consensus among stakeholders, Article 2.c may remain dead letter. In any case, this paragraph allows to delay implementation of the treaty on grounds that signatory states possess a limited capacity. But, Article 2.c can also encourage a variety of cooperation and capacity building initiatives. A result may be a healthy competition among donors. Articles 1 and 2 (as well as other articles in the treaty) can however be interpreted and used to limit such competition.



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