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This chapter argues that the dominant social and political forces in Malaysia appear to have influenced the manner in which the online platform has been used by partisan bloggers to shape public opinion during the general elections. It begins with a discussion of the particular social and political circumstances of the 2008 election to make sense of the online approach taken by the group of partisan bloggers. The 2008 election witnessed a convergent blogosphere where a sub-group of partisan bloggers, from both sides of the political divide, and some civil society bloggers established a loose coalition to oust the then prime minister Abdullah Ahmad Badawi. The loose grouping — known as the “band of brotherhood” or the “band of bloggers” — coordinated and managed the flow of online information to achieve their political goal. The fluid ties, however, collapsed after the 2008 election and, by 2013, the Malaysian blogosphere became “very partisan”. Members of the band of brotherhood returned to their political shells, in part because of the results of the 2008 election which saw the opposition coalition denying the ruling regime's traditional two-thirds majority.
The 2013 election saw the clash of two main divergent political forces — the ruling and opposition coalitions — with the opposing camps adopting various online strategies to win the “psychological warfare”. The politically divided blogosphere could also be interpreted as a representation of the contentious relationships among members of the loose network formed in the run-up to the 2008 election. The majority of the pro-UMNO bloggers who were critical of Abdullah Ahmad Badawi and the government in 2008 became online defenders of the government and Prime Minister Najib Razak in the 2013 election. By then attacks by the pro-UMNO bloggers were focused on the opposition coalition and their leaders. On the other hand, pro-opposition bloggers who had been traditionally anti-establishment remained aligned against the ruling regime in 2013. The battle lines were clearly drawn and the Malaysian blogosphere in 2013 reflected the partisan landscape of the time. Ahirudin Attan commented that, “After 2008, there was us and them.” The two political camps sought to paint their rivals in a negative light. They coordinated and managed the online battle through their volunteers and supporters, some of whom appeared to be remunerated for their efforts.
This chapter examines a relatively distinct group of civil society bloggers who were actively blogging about the political landscape during the elections. This cluster of individuals described themselves as “independent” because they were not members of any political party. Many of the research participants were instead members of non-governmental organizations and they were blogging out of their own volition and interest. Although this group of bloggers did not belong to any of the political parties, most of them acknowledged that their aim was to remove the ruling regime with the hope that a change in government would bring about greater freedom and fairer policies in the country. An assessment of the ways they were using their blogs suggested that this group of bloggers was generally anti-establishment and leaned towards the opposition. They were neither “independent” nor “neutral” per se. Thus, it would be more appropriate to address this group of socio-political bloggers as “civil society bloggers” as opposed to “independent” bloggers.
Although many of the civil society bloggers interviewed for this research acknowledged that they were using their blogs to express their thoughts and fulfil their right to free speech, some of them did more than just propagate their views. Some of them initiated blog campaigns to generate public participation and make demands on the government, the mainstream media and the opposition. Evidence of blogging to generate public participation and make demands on the government could be seen from calls for support of protest rallies, such as Bersih and Hindraf in November 2007. In other instances the demands could be interpreted as a form of negotiation or bargaining between the blog campaigners and the various political parties contesting in the elections. An example was the blog campaign initiated by civil society blogger Haris Ibrahim, who launched two documents, parts of which were later turned into election manifestoes by the opposition parties during the 2008 election. The two documents were designed to seek the endorsement of political parties contesting the election. In return, the A-list blogger pledged support to any political parties that backed the documents. Other civil society bloggers participated and supported this campaign by linking the contents to their respective blogs or passing on the information to a wider audience. Similar campaigns were launched in the 2013 election. Among them were the “Anything But UMNO” and the “End BN” campaigns.
The book has attempted a nuanced examination of the capability of the online platform to enrich political life in the Malaysian national elections of 2008 and 2013. This was conducted by focusing on the processes and dynamics of blogging, including on the actors themselves, to demonstrate how aspects of the social and political landscape could affect the democratic potentials of the online media within the relatively authoritarian Malaysian society. In seeking to obtain a more comprehensive understanding of the democratic potentials of the Internet, a multidimensional approach was employed taking into consideration the wider institutional and societal structures, the social ties that emerged out of the use of the online platform and the practices adopted by the relatively distinct groups of bloggers to achieve their goals. The book argues that the different dynamics and social and political circumstances at particular moments in the two elections must be taken into consideration when examining the democratic potentials of the new media.
A key feature of the new media was the ability to open space for free expression of ideas and opinions and overcome the blackout and censorship of the tightly controlled mainstream Malaysian media. However, the function of the online platform to challenge mainstream media coverage did not appear to be uniform over the two elections. In the lead-up to the 2008 general election there seemed to be a clear demarcation between blog contents and mainstream media coverage. The mainstream media did not give any publicity to the content of the blogosphere. At that time many former mainstream media editors and journalists, including former political elites such as Dr Mahathir Mohamad, were sidelined by the mainstream media. The former media and political elites who were dissatisfied with the country's leadership at the time used the online avenue to vent their frustrations. Blogging was a timely tool for them to voice their views about the political situation in the country. The distinct boundary, however, became blurred after the 2008 election, when the mainstream media began highlighting the content of particular blogs which could either promote the image of the BN coalition or taint the reputation of the opposition coalition. Many of the former media and political elites who were marginalized in the 2008 election had been co-opted and returned to the mainstream media after Najib Razak took over from Abdullah Ahmad Badawi as prime minister.
This chapter starts with a brief background of the society of Malaya before it became a British colony, the struggle for independence in 1957 and the policies formulated after the race riots of the 1960s. This brief depiction provides an understanding of the dominance of the Malay community with the United Malays National Organisation (UMNO) holding political power as the dominant partner in the Barisan Nasional (BN) ruling coalition. It highlights the race-based politics and culture of political patronage that have existed up until the present day. A brief historical account of the social, political and economic forces that contributed to the country's multi-ethnic and multicultural environment provides a backdrop to the use of new media in the Malaysian context.
One of the defining moments in Malaysia's recent history is the race riots of 13 May 1969, which occurred after the dismal performance of the ruling regime in that year's national elections. A brief discussion is dedicated to this period and its aftermath, particularly the creation of the New Economic Policy (NEP) that has been in place since the early 1970s. Certain key elements of the policy will be highlighted to provide an indication of their impact on the country's economic and political system. The policy has drawn wide-ranging responses from political analysts, some of whom have attributed the creation of the Malay middle-class to this policy while others considered it to be a form of racial discrimination. The policy is seen as having an unequal impact on people's lives in areas such as education, housing and employment because preferential treatment is afforded to the bumiputera (sons of the soil or indigenous people, or more commonly referring to Malays). Yet, other critical scholars argue that the policy has witnessed an emergence of political patronage where preferential treatment is not only given to the Malays in general but more so to bumiputera who are members of UMNO, the country's dominant political party (Ho 1988; Gomez and Jomo 1997). Tracing the links of those bumiputera businessmen who secured multimillion ringgit projects in the country to political elites in UMNO, the scholars asserted that it was a part of the culture of political patronage that grew out of the NEP.
Foreign analysts may be forgiven for pausing briefly over a translated passage relating to foreign policy in a state-of-the-nation address delivered by Myanmar's then-President U Thein Sein in early January 2015. Following the President's Office's website, Myanmar seemed to have suddenly opted for what would be a significant shift in relation to its foreign policy principle. Specifically, the text suggested that Myanmar might be surrendering the principle of non-alignment. According to the President's Office, U Thein Sein said that “We [Myanmar] are … on the path of a much more dynamic and multi-aligned foreign policy.” Such a move towardsmulti-alignment would certainly have represented discontinuity with the country's longstanding foreign policy. After all, newly independent Burma committed early to non-alignment, and — as suggested by Myanmar's Foreign Ministry — this foreign policy principle, has since been pursued by all subsequent governments. The 2008 Constitution, drafted under the watchful eyes of the last military government under Senior General Than Shwe, identifies Myanmar foreign policy principles as being non-aligned, independent and active. In his own presidential inaugural address, U Thein Sein had also clearly formulated his high regard for non-alignment as he also emphasized the fact that Myanmar has never allowed foreign military bases in the country.
In the event, suspicions that the use of the word “multi-aligned” fell into the category of translation errors were quickly confirmed. The Myanmar language version of the same speech did not in fact include the terminology of “multi-aligned”. Instead, the term used in the original Burmese version is arguably better translated as “dynamic and multi-partner” foreign policy. In other words, what at first sight, at least for foreign consumers of presidential news, could easily have appeared to be a noteworthy if not significant shift in declared foreign policy thus represents only an apparent moment of carelessness, a seeming oversight in editing, as well as — in all probability — an instance of insufficient coordination in internal bureaucratic processes. That said, the translation issue does invite us to raise an important question, namely as to whether or not the Republic of the Union of Myanmar has been as committed to the non-alignment principle in practice as it has been in rhetorical terms.
• Given Myanmar's strategic location and the wider great power competition in Southeast Asia, how the country positions itself vis-à-vis the major powers in the reform era currently underway will have considerable bearing for the international politics of Southeast Asia.
• Historically, Myanmar's leaders have preferred an independent foreign policy that has also been couched in terms of neutralism and non-alignment.
• Following considerable tension between the stated principle of non-alignment and the practice of Myanmar's foreign policy under the SLORC/SPDC regime given U.S. pressure on Naypyitaw especially in the mid-2000s, Myanmar's threat perceptions vis-à-vis Washington have waned with the shift to the pragmatic, principled and calibrated engagement as favoured by President Obama. The Myanmar government under Thein Sein pursued a non-aligned foreign policy both in declaratory and practical terms.
• While Myanmar did not pursue strategic alignment with any of the major and regional powers (China, India, Japan, Russia and the United States) under Thein Sein, the country continued to have or was developing security partnerships with all. More meaningful security cooperation with India over anti-Indian insurgents was agreed upon. Embryonic security partnerships were also being developed with Tokyo and Washington.
• With Japan in particular strengthening its economic presence in Myanmar since 2011 largely through generous economic assistance, Myanmar was able to halt the ever-growing economic dependence on China that was evident during the SPDC period.
• Myanmar's relations with China plummeted to their lowest point for at least three decades over the 2015 Kokang insurgency. Bilateral relations have yet to substantially recover.
• Myanmar's ties with the United States advanced significantly but economic relations have not been that significantly advanced, not least due to continuing sanctions.
• Washington will want to support the new NLD-led government in relation to the various political challenges that Myanmar still faces, while Myanmar should be expected to continue with a non-aligned, independent and active foreign policy.
The economic, political, strategic and cultural dynamism in Southeast Asia has gained added relevance in recent years with the spectacular rise of giant economies in East and South Asia. This has drawn greater attention to the region and to the enhanced role it now plays in international relations and global economics.
The sustained effort made by Southeast Asian nations since 1967 towards a peaceful and gradual integration of their economies has had indubitable success, and perhaps as a consequence of this, most of these countries are undergoing deep political and social changes domestically and are constructing innovative solutions to meet new international challenges. Big Power tensions continue to be played out in the neighbourhood despite the tradition of neutrality exercised by the Association of Southeast Asian Nations (ASEAN).
The Trends in Southeast Asia series acts as a platform for serious analyses by selected authors who are experts in their fields. It is aimed at encouraging policy makers and scholars to contemplate the diversity and dynamism of this exciting region.
THE FTAAP AND APEC'S REGIONAL ECONOMIC INTEGRAT ION AGENDA
The Free Trade Area of the Asia-Pacific (FTAAP) is embedded as a central element in APEC's Regional Economic Integration (REI) agenda. APEC (Asia-Pacific Economic Cooperation) was instructed in 2010 to “take concrete steps toward realization of an FTAAP” by APEC Economic Leaders, who endorsed the FTAAP as a “major instrument to further APEC's Regional Economic Integration (REI) agenda”, and laid out a vision in which the REI agenda is to create “a community … in which goods, services, and business people move seamlessly across and within borders, and a dynamic business environment is further enabled” (APEC 2010). In their 2012 statement, APEC leaders repeated their endorsement of the FTAAP as a “major instrument” for furthering APEC's REI agenda (APEC 2012), and reaffirmed in 2013 their “commitment to achieve a Free Trade Area of the Asia Pacific” (APEC 2013).
The APEC leaders’ commitment to an FTAAP has been repeatedly echoed by the APEC Business Advisory Council (ABAC), notably in their 2013 Report to APEC leaders, emphasizing that an FTAAP “will provide the best mechanism for sustaining regional economic integration” and recommending that the leaders “ensure that substantive progress continues to be made towards an FTAAP as a means for achieving regional economic integration and the Bogor goals of free and open trade and investment in the region” (ABAC 2013). Further recommendations aimed at accelerating progress toward an FTAAP were presented in the ABAC';s 2014 report to APEC leaders.
As is well known, the APEC leaders’ 2010 statement envisaged that an FTAAP would be pursued by “developing and building on ongoing regional undertakings, such as ASEAN+3, ASEAN+6, and the Trans-Pacific Partnership, among others”. The Regional Comprehensive Economic Partnership (RCEP), whose participants are identical to the “ASEAN+6” group, has superseded the earlier “ASEAN+3” and “ASEAN+6” concepts, so that the Trans-Pacific Partnership (TPP) and RCEP are now firmly established as what Petri, Plummer and Zhai (2012) call the “trans-Pacific track” and the “East Asian track”, respectively, toward an FTAAP.
Over five years of TPP negotiations concluded in October 2015. The RCEP has been under negotiation for almost three years. No formal discussions as to how these two initiatives could evolve into an FTAAP are yet known to have occurred.
The Association of Southeast Asian Nations (ASEAN) adopted the Regional Comprehensive Economic Partnership (RCEP) framework at the 19th ASEAN summit in Bali in November 2011. The objective of the RCEP agreement is to consolidate ASEAN's respective “+1” Free Trade Agreements (FTAs) with Australia, China, India, Japan, South Korea, and New Zealand into a region-wide free trade arrangement that is consistent with the World Trade Organization (WTO).
The RCEP has embraced seven areas for negotiation: trade in goods, services, and investment; economic and technical cooperation; dispute settlement; intellectual property rights; and competition policy. This is a significant improvement over the existing “ASEAN Plus” FTAs, which have focused on the more traditional tenets of trade liberalization, i.e., increasing market access for goods, services, and investment. Furthermore, its Guiding Principles state that the partnership is open to “including other issues covered by FTAs among RCEP participating countries … in the course of negotiations”, and has an open accession clause to facilitate the participation of external economic partners. The broader economic ends of the RCEP are to widen its members’ participation in regional and global production networks and reduce transaction costs and inefficiencies created by multiple overlapping Asian trade agreements (Basu Das 2013a).
Although the RCEP negotiations were off to a good start since May 2013, it is evident that the negotiation process is going to face several economic and political obstacles. As an economic integration arrangement predominantly among developing countries, the RCEP is the first of its kind and has no predecessor to emulate. It involves three different dynamics, both among and between its sixteen participating members: (i) the ten ASEAN members; (ii) ASEAN and its FTA partners; and (iii) the six FTA partners. The ten members of ASEAN have pledged to work on economic integration since the 1990s and the ASEAN member countries have been working with their FTA partners since 2000. However, the six FTA partners do not all have existing comprehensive trade agreements with one another (see Table 7.1).
Moreover, political factors such as historical conflicts and unsettled territorial disputes will continue to underline the difficulties of negotiations among, for example, the three North-eastern states. In addition, although India has been viewed as a rising economic power, its position in multiparty trade negotiations remains rather conservative. It has been branded a hardliner with a “defensive strategy” (Ramdasi 2010).
Masahiro Kawai, Professor at the Graduate School of Public Policy, University of Tokyo and Sanchita Basu Das, Fellow at ISEAS–Yusof Ishak Institute, have brought together a valuable collection of short papers written by leading thinkers on the subject of regional economic cooperation. I congratulate all the authors and editors for their contribution to the current debate on the Asia-Pacific regionalism.
Regional Trade Agreements (RTAs) have been proliferating in the Asian region in the post-Cold War period, especially after multilateral trade talks led by the World Trade Organization (WTO) and the Asia-Pacific Economic Cooperation (APEC) stalled. These RTAs are seen as alternative paths for trade liberalization and cooperation. Southeast Asia countries are strong proponents of this approach. Pushing first for the ASEAN Free Trade Area, and more recently the ASEAN Economic Community, individual ASEAN member countries are also pursing separate Free Trade Agreements (FTAs) among “like-minded” partners across Asia and the Pacific-Rim nations.
Against this backdrop of a growing number of economic cooperation arrangements, governments started to explore options for a consolidated and coherent Asia-Pacific trading architecture. This has led to the development of two mega-regionals, namely the Trans-Pacific Partnership (TPP) and the Regional Comprehensive Economic Partnership (RCEP), the former spearheaded by the United States, and the latter by ASEAN. Meanwhile, a Free Trade Area of the Asia-Pacific (FTAAP), first discussed in APEC meetings in 2004, has been revitalized after China restarted the discussion again in 2014 at the APEC Leaders’ Meeting that year.
This book volume is a timely contribution to the on-going deliberations on the Asia-Pacific regional cooperation. It provides analytical discussions at four levels. First, the publication discusses in detail the two mega-regionals, the TPP and the RCEP, that are ongoing at this moment. Second, it examines the feasibility of the ASEAN Economic Community and the China–Japan–Korea Trilateral Agreement serving as building blocks for the more comprehensive agreements in Asia. Third, it sheds light on the other regionals, like the Asia-Pacific Economic Cooperation (APEC), the Transatlantic Trade and Investment Partnership (TTIP) and the Pacific Alliance (PA), and examines their potential for linking the Pacific and Asia. Lastly, the publication examines the possibility for a FTAAP and its implications for the WTO.
Northeast Asia is an active region that forms one important pillar of the world economy. Considering the cumulative effect of the population and global trade volume of each economy, the region has the potential to create one of the largest economic blocs in the world, on par with the European Union (EU) and North American Free Trade Agreement (NAFTA). The financial and debt crisis derived from the United States and the EU during 2008–12 has increased the importance of further regional economic cooperation in the region. In order to achieve greater and more effective regional cooperation, China, Japan, and South Korea — the key players in the Northeast Asian region — should continue their efforts to find areas where the countries share common economic objectives and look for concrete measures to pursue them.
One viable option to spur economic cooperation among the three countries is to pursue a Free Trade Agreement (FTA). Heeding the broad consensus on the need of a China–Japan–Korea FTA (CJK FTA), the governments of the three countries recently launched the negotiations for a CJK FTA in November 2012. This was an achievement after nearly ten years of in-depth research on the needs and possible impacts of a CJK FTA on each country. However, the possibility of concluding a high standard CJK FTA seems dim as competition between major industries among the three countries is intensifying (Jeong and Bang 2011). Nevertheless, the intensified production network of Northeast Asia, labelled as “Factory Asia” (Baldwin and Kawai 2013; Baldwin 2008), the increased overlapping FTAs in East Asia, the potential of Northeast Asia to evolve into a “Global Mall” (Helble and Ngiang 2014), and the recent trend of pursuing mega-FTA blocs by advanced countries all support the argument that a CJK FTA is a viable option to enrich the region as a whole. The important considerations here are to what extent the region should liberalize and through which path the negotiations should take.
LITERATURE REVIEW
Many studies have examined the necessity of a CJK FTA. By assessing the economic impacts of a CJK FTA via a computable general equilibrium (CGE) model, the Trilateral Joint Research project concluded that a CJK FTA “will be a win-win-win strategy bringing about benefits to all members” (DRC, NIRA and KIEP 2008, p. 3).
As Figure 5.1 illustrates, only Japan thus far has participated in all of the regional economic integration schemes in East Asia and the Pacific: an FTA among China, Japan, and South Korea (hereafter CJK FTA), the Regional Comprehensive Economic Partnership (RCEP) comprising the ten countries of the Association of Southeast Asian Nations (ASEAN) and six of its FTA partners, and the U.S.-led Trans-Pacific Partnership (TPP). Japan has also been engaged in FTA negotiations with the EU, which has also progressed FTA negotiations with the United States, named the Transatlantic Trade and Investment Partnership (TTIP). If all of these agreements were concluded, the coverage ratio of Japan's overall trade by regional integration partners, including the EU, would increase from approximately 20 to 85 per cent, possibly making Japan one of the most advanced FTA countries in the region and presenting a “golden opportunity” for the Japanese economy.
This chapter aims to explore Japan's approach in the era of regional integration entanglement and attribute it to its strong interest in assisting Japanese corporations by making use of various benefits the TPP, RCEP, and CJK FTA would offer to Japan. Additionally, this chapter will identify what Japan hopes to achieve in each regional integration framework. Japan's differing interests in the three frameworks can be summarized as follows: TPP is likely to help the country in more advanced economic rule-making that includes cutting-edge agendas, such as the regulations of state-owned enterprises (SOEs), while strengthening the relations with its ally, the United States; RCEP is expected to increase market expansion, which encompasses big emerging economies, like China, India, and Indonesia; and finally, the CJK FTA framework is likely to promote investment protection in China and is also expected to function as a confidence-building mechanism at times when Japan's political relations with its two neighbours come under strain. Regional stability is a prime condition for sound business operations and investment, and this is especially true with China–Japan relations, as expressed by Sadayuki Sakakibara, Chairman of Nippon Keidanren, in his meeting with Wang Yang, China's Vice Premier in Beijing in September 2014. The chapter finally focuses on Japan's domestic politics and argues that the recent development of Japan's agricultural reforms under the Abe administration is expected to accelerate its fuller commitment towards regional integration negotiations.
The 2014 public debates and protests on the Trans-Pacific Partnership Agreement (TPP) are unique in Malaysian history. They are unique for at least three reasons. First, little was known about the actual content of the proposed agreements because the TPP negotiations have been shrouded in secrecy. Second, there was significant opposition against the TPP outside the government. Third, various parties that often take opposite sides on many economic and political issues were united in objecting to the TPP.
These developments have put the Malaysian government on the defensive. This leads to the question of why the Malaysian government is so committed to signing the TPP despite its lack of popularity amongst various quarters in Malaysian society. Are there potential economic benefits that accrue from the TPP that are not apparent to parties opposed to the TPP? Who are the winners and losers from the TPP?
In this chapter, an attempt is made to provide an understanding of some possible reasons underlying the Malaysian government's intention to sign the TPP. It explores the economic and political factors underlying the government's decision as well as the objections coming from outside the government.
The structure of the chapter is as follows. Section 2 provides some basic facts on Malaysia's participation in the TPP. This is followed by a discussion on how the TPP fits into Malaysia's economic strategy in Section 3. The economic benefits from joining TPP are discussed in Section 4, while its cost and distributive effects are covered in Section 5. The political economy of the TPP is discussed in Section 6. Section 7 concludes.
MALAYSIA'S PARTICIPATION IN TPP — SOME BASIC FACTS
Malaysia's interest in the TPP is related to the failure to conclude a Free Trade Agreement (FTA) between Malaysia and the United States. Malaysia started negotiating the Malaysia–United States FTA in March 2006. A key reason for Malaysia's interest in the FTA was to reverse the decline in the share of Malaysia–United States trade and Foreign Direct Investment (FDI) — a trend that continues until today.