AustLII Home | Databases | WorldLII | Search | Feedback

Melbourne Journal of International Law

Melbourne Journal of International Law (MJIL)
You are here:  AustLII >> Databases >> Melbourne Journal of International Law >> 2010 >> [2010] MelbJlIntLaw 15

Database Search | Name Search | Recent Articles | Noteup | LawCite | Author Info | Download | Help

Young, Margaret A --- "Protecting Endangered Marine Species: Collaboration Between Food and Agriculture Organization and the Cities Regime" [2010] MelbJlIntLaw 15; (2010) 11(2) Melbourne Journal of International Law 441


PROTECTING ENDANGERED MARINE SPECIES: COLLABORATION BETWEEN THE FOOD AND AGRICULTURE ORGANIZATION AND THE CITES REGIME

MARGARET A YOUNG [*]

Multiple laws and institutions seek to address the increasing vulnerability of marine species. The separate treatment of species protection under the Convention on the International Trade in Endangered Species (‘CITES’), and fisheries management and conservation according to the Food and Agriculture Organization (‘FAO’) is part of a general phenomenon of fragmentation of international law. While much of the fragmentation literature addresses conflicting norms, little attention has been given to the institutional collaboration and normative influences between overlapping regimes. This article explores regime interaction between the FAO fisheries management and CITES regimes, with particular attention to the development of a memorandum of understanding between the FAO and the CITES secretariat.

I INTRODUCTION

Growing fears about the global state of marine species are uniting previously diverse disciplinary responses from international lawyers. Sharks, tuna and other commercially significant and heavily traded marine species are increasingly threatened with depletion. Overfishing and international trade have placed pressure on stocks, and traditional legal responses, developed in a fragmented way within disparate legal ‘regimes’,[1] are deficient.

Several existing international regimes are relevant to this crisis, including fisheries and conservation measures under the law of the sea,[2] the United Nations Food and Agriculture Organization (‘FAO’),[3] and, increasingly, trade restrictions for protected species under the Convention on the International Trade in Endangered Species of Wild Fauna and Flora (‘CITES’).[4] These regimes have developed in largely autonomous ways, as part of a known phenomenon of fragmentation of international law. The situation of ongoing legal diversity presents a number of challenges for effective responses to the increasing vulnerability of marine species.

Recent literature has addressed the challenges of fragmentation, including an influential report by the International Law Commission (‘ILC’).[5] Yet these efforts are generally concentrated on the problem of conflicting norms, when different laws proscribe contradictory obligations for participating states. There is a need to investigate whether international responses to protect endangered marine species are legally incompatible, or whether instead norms are mutually supportive. The latter situation leads to a different set of research questions for international lawyers, which focus instead on regime interaction. Research into regime interaction must continue to acknowledge the discordant interests and political sensitivities which lie behind efforts to achieve ‘coherence’ in international law.[6] Crucially, such research must also assess the role of law in facilitating or obstructing coordination and collaboration between regimes.

States, international organisations and others are working towards enhanced coordination between regimes in fisheries governance. Recently, a Memorandum of Understanding (‘MOU’) was agreed between the FAO and the CITES Secretariat.[7]

The MOU reveals much about institutional collaboration and coordination at international law. It evolved in the context of manifest disagreement about the restriction of trade in vulnerable marine species.[8]

On the one hand, the MOU promises to enhance coordination and cooperation between the two regimes. On the other, the MOU is an instrument with which different countries sought to promote stronger or weaker rules. There is much to learn from a close investigation into the drafting of the MOU, when opposition to the restriction of trade in marine species played out in attempts to entrench primacy for FAO fisheries management over CITES, and from its subsequent operation.

This article investigates fragmentation and institutional collaboration on marine species protection by adopting a textual and empirically-based analysis. It proposes a framework of study that delves closely into the ongoing ability of the FAO and the CITES Secretariat to work together on marine issues. Attention is given to issues of mandate, expertise, bias and coherence between international organisations in fisheries management and conservation. These issues featured heavily in the lead-up to the MOU’s joint signature by the FAO and the CITES Secretariat. Attention to these issues, and to the ongoing efforts at collaboration since the MOU was agreed, is revealing for fisheries governance and for the interaction between regimes in other contexts.

Part II of the article introduces the problem of endangered marine species, with a special focus on sharks, seahorses and bluefin tuna. It then provides an overview of the regimes that vie for relevance in efforts to combat the threats to such species, and describes the opposition to CITES’s role in marine issues. It contextualises this situation in the context of the broader fragmentation debate, and defends an analytic approach that centralises observations and textual investigations. In Part III, the article examines the legal status and evolution of the MOU, drawing on a detailed record of meetings and negotiating texts as well as doctrinal analysis of principles of international institutional law. The perspectives of delegates and secretariat staff provide additional information on the constraints of interaction between the CITES and FAO fisheries management regimes. Part IV then examines how interaction is entrenched in the MOU in areas such as information-sharing, reporting and capacity-building, drawing on both the written instrument and subsequent supporting practice. Finally, the article concludes on the prospects for regime interaction on marine species protection and in fisheries governance more generally.

II FRAGMENTED RESPONSES TO ENDANGERED MARINE SPECIES

Scientific and economic data demonstrate that marine species are increasingly over-fished or threatened.[9] This includes heavily traded species such as sharks, seahorses and perhaps the most prized of all fish species: the bluefin tuna. This Part provides background information on the state of these species, before assessing the fragmented legal responses.

Sharks, the largest fish in the sea and the apex predators in the marine food chain,[10]

are caught and traded in increasing numbers for their meat and fins. Shark meat consumption has grown steadily, with consumers often unaware that they are buying and eating shark species due to varying market names.[11] Shark meat is now produced by a wide range of countries, and major exporters include Canada, Indonesia, Japan, New Zealand, Spain, Taiwan, the United Kingdom and the United States.[12] In addition to shark meat, shark fins have become a highly traded and valued fish product.[13] The rise of average income levels in China has led to increased demand for the traditional delicacy of shark fin soup. China, India and Indonesia are the largest producers of shark fins.[14]

Sharks have suffered sudden and drastic population decline. In addition to the expanding catches of sharks due to the huge demand for shark meat and fins, sharks are often killed as bycatch in tuna and swordfish longline fisheries. They are also affected by marine pollution and by loss of their prey through other instances of overfishing. Population numbers are often unable to recover because sharks have slow growth and reproduction rates.[15] Over 135 shark species have been listed on the International Union for the Conservation of Nature and Natural Resources (‘IUCN’) Red List, and over 20 are listed as critically endangered or endangered.[16]

Seahorses are another commercially valuable marine species that is threatened due to overfishing, bycatch vulnerability and habitat loss.[17] Seahorses are harvested and traded for use in traditional medicine and aquariums, and are caught as bycatch in shrimp trawlers. Seahorses have an unusual biology, in which offspring are dependent on the male of the species for a prolonged period, and their site and mate fidelity makes them particularly vulnerable to depletion.[18] There are at least two endangered or critically endangered species and several vulnerable species of seahorse on the IUCN Red List.[19]

Bluefin tuna are the ‘ultimate political fish’ for Japan and many North Atlantic fishing nations,[20] as well as southern nations such as New Zealand and Australia. There are two species, both highly migratory: the northern bluefin tuna (taken mainly in the Atlantic and also in the Pacific) and the southern bluefin tuna (from the southern Indian and Pacific Oceans). Both are highly valued and traded, especially for the Japanese sushi market, where one fish can command ¥16.3 million — about US$180 000.[21] Japan imports 90 per cent of bluefin tuna,[22] and is the world’s largest consumer of the fish. Bluefin tuna are

long-lived and slow to reproduce, and are generally considered to be severely depleted. The southern bluefin tuna is thought to be at risk of commercial extinction without significant conservation measures, and the northern bluefin tuna is thought to be depleted in the Atlantic and overfished in the North Pacific Ocean[23]

The status of sharks, seahorses and bluefin tuna suggests a growing risk of depletion for many commercially fished and traded marine species. Depletion of such species has environmental, economic, cultural and other consequences. Marine biodiversity and ecology will clearly be affected, particularly if important predator species such as sharks are lost. Economically, whole fishing industries could collapse. Ecotourism operations such as whale shark viewing, which have increasing economic significance for developing countries (and potentially little environmental impact) will also suffer.[24] Food security is also at risk, especially for the significant proportion of people worldwide who rely on fish as their major source of protein.[25] The crisis has led to multiple suggestions about appropriate legal and regulatory responses at the international level, and there is an accompanying need to understand how environmental, trade and fisheries regimes interact.

A Relevant Legal ‘Regimes’

The problem of endangered marine species has given rise to, and is impacted by, a number of discrete international laws and institutions. These can be grouped as separate ‘regimes’, a term that refers to sets of norms, processes and institutions that meet different functions as identified and agreed by states.[26] The trade regime headed by the World Trade Organization, for example, is commonly considered in isolation from other areas of international law,[27] and yet has major and potential effects on fisheries.[28] This section aims to provide a brief overview of the regimes that are currently most relevant to endangered marine species.[29] It identifies relevant provisions of the UNCLOS and the Fish Stocks Agreement.[30] It also describes key parts of the FAO fisheries management regime, which encompasses instruments that seek to promote state compliance with existing norms as well as voluntary measures. It then points to the Convention on Migratory Species[31] and the Convention on Biological Diversity,[32] which contain measures to arrest the decline of species or ecosystems, before moving to the potential impact of the CITES regime.

UNCLOS provides coastal states with the foremost responsibility to utilise and manage marine species within 200 nautical miles from their coast (exclusive economic zones (‘EEZs’)).[33] Yet where marine species straddle these zones or swim through to the high seas, the right to fish is not exclusive to any one state.[34] The Fish Stocks Agreement aims to enhance UNCLOS provisions relating to conservation and management of the high seas by obliging state parties to adopt necessary conservation and management measures.[35] Such measures are usually implemented through Regional Fisheries Management Organisations (‘RFMOs’).[36] Unfortunately, the Fish Stocks Agreement’s laudable goals are hampered by weak implementation by states and RFMOs.[37] This situation is made worse when vessels assume the nationality of non-complying states by flying ‘flags of convenience’.[38]

Countries meeting at the FAO have sought to address endemic problems with compliance. The FAO is made up of several governing bodies including an influential Committee on Fisheries (‘COFI’).[39] The FAO Agreement to Promote Compliance with International Conservation and Management Measures by Fishing Vessels on the High Seas[40] and the Code of Conduct for Responsible Fisheries[41] emphasise responsible fishing. In addition, ‘International Plans of Actions’ (‘IPOAs’) provide clear guidelines for specific species and issues.[42] The FAO IPOA — Sharks (1999), for example, provides a framework for shark conservation and management.[43] Yet it does not provide sanctions or incentives for states to implement its recommended measures, and there has been a lack of progress in the development by states of national plans to implement the IPOA.[44] In general, the FAO’s attempts to improve fisheries management suffer from weak implementation, and reform has begun to focus on measures that might be taken by port states against non-complying fishing nations.[45]

The CMS provides for voluntary measures by ‘range’ states that are part of a route of listed migratory marine species. Unlike CITES, it does not seek to restrain or regulate international trade. Instead, the CMS concentrates on the taking of migratory species by the range states, and imposes obligations on these states to protect or restore habitat for certain species. For example, there are a number of shark species listed in the CMS Appendix II,[46] and participating states are expected to implement a non-binding agreement to conserve and manage migratory sharks that swim through their waters.[47] Similarly, the CBD seeks to protect marine biodiversity resources,[48] which it does by obliging coastal states to protect ecosystems and natural habitats in areas of national jurisdiction.[49]

Increasingly, states are seeking to add to these conservation and management mechanisms by restricting the trade in endangered marine species under the auspices of the CITES regime, as demonstrated by the recent proposal to include bluefin tuna on the CITES appendices. With a coverage of 175 parties, the CITES membership is slightly smaller than the FAO’s 191 members, although it dwarfs any one RFMO.[50]

The CITES regime regularises the trade in certain species through a licensing system that authorises their import, export, re-export and ‘introduction from the sea’. Species threatened with extinction are listed in Appendix I and their trade is only permitted in exceptional circumstances. Appendix II contains species that may become threatened with extinction unless trade is subject to strict regulation. To export these species, exporting states must first obtain advice from their national scientific authorities that such export will not prove detrimental to the survival of the species. Exporting states’ management authorities must be satisfied that the specimen was not obtained illegally, and that importing states have valid import permits.[51] Appendix III contains species that are subject to domestic protections because countries have sought assistance from other CITES parties to control external trade.

CITES Appendix II, in particular, has potential to enhance fisheries sustainability for a wide range of species. Commercial trade in Appendix II species is only permitted if such trade is not detrimental to the wild population. The requirement that management authorities produce ‘non-detriment’ certificates in order to trade in listed species is potentially useful in combating IUU fishing.[52] The ongoing review of significant trade of vulnerable Appendix II species by the CITES Animal Committee, as was done for the queen conch, is valuable for monitoring threats to marine species.[53]

The role of the CITES regime in addressing problems of fish stock sustainability was foreshadowed by CITES parties in 1994 when the ninth Conference of the Parties (‘COP’) recognised the conservation threat that international trade poses to sharks.[54] In the 12th COP in 2002, parties adopted proposals to restrict trade in several commercially-exploited marine species.[55] The Philippines and India’s proposal to list the whale shark and the UK’s proposal to list the basking shark were adopted by the CITES parties amidst vigorous opposition; Indonesia, Iceland, Japan, Korea and Norway made subsequent reservations to these Appendix II listings. The whale shark listing was particularly significant because the two countries that proposed it — India and the Philippines — are, together with Taiwan, the significant sites for the catching, landing or trading of the species.[56] The countries may well have decided to seek CITES listing due to the significant ecotourism opportunities in their territory for whale shark viewing.[57]

The meeting also provided that the CITES Animals Committee would have involvement in reviewing the FAO’s IPOA on Sharks, and parties agreed to list all species of seahorses, which attracted similar levels of controversy.[58]

At the CITES COP in 2004, the Irrawaddy dolphin was transferred from Appendix II to Appendix I[59] and the great white shark was added to

Appendix II[60] Amongst multiple proposals to expand CITES’s coverage of marine species at the fourteenth COP in 2007[61] the European eel was added to Appendix II. The bluefin tuna was suggested for listing at the 2010 COP, which the European Commission amongst others supported[62] but the proposal was rejected after strong opposition from Japan and other countries[63]

B Opposition to the Role of CITES

In response to the growing interest in CITES protections for marine species, some countries have expressed vigorous opposition. They have directed this opposition to CITES’s mandate, expertise, alleged ‘bias’ and the risk of conflicting rules and procedures in fisheries management, as detailed in this section.

1 Mandate

One set of concerns focuses on alleged uncertainties surrounding the legal applicability of CITES with respect to marine species. Concern about CITES’s mandate has focused on alleged uncertainties surrounding the express protection for marine species in the CITES text. CITES allows parties to restrict the trade in any species provided that the listings are agreed by the requisite majority of parties voting at the COP.[64] ‘Trade’ is defined as the ‘export, re-export, import and introduction from the sea’.[65] The phrase ‘introduction from the sea’ is further defined as ‘transportation into a State of specimens of any species which were taken in the marine environment not under the jurisdiction of any State’.[66]

CITES requires that countries that introduce from the sea specimens of species listed in Appendices I and II must verify that the introduction will not be detrimental to the survival of the species involved.[67]

The inclusion of marine species in CITES has been the subject of considerable controversy dating from its original inception. During the original negotiations leading to CITES, Japan proposed the deletion of all references to ‘introduction from the sea’,[68]

apparently due to concerns that whaling would become subject to CITES protections rather than its preferred forum, the International Convention for the Regulation of Whaling.[69]

Australia, by way of compromise, proposed the inclusion of a clause to give deference to existing agreements that afforded protection to marine species.[70]

Although the parties to CITES agreed that it should extend protection to threatened marine species, the parties were unsure about how to conceptualise the way listed marine species entered international trade given that negotiations about sovereign coastal boundaries were ongoing. An EEZ of 200 miles was not finalised until the third Conference on the Law of the Sea was completed in 1982, and CITES expressly stated that it was without prejudice to these negotiations.[71] In 1979, the CITES COP adopted a resolution that stated that the jurisdiction with respect to marine resources in maritime areas adjacent to the coast of CITES parties ‘is not uniform in extent, varies in nature and has not yet been agreed internationally’.[72] Participating states remained uncertain about whether ‘introduction’ occurred when a fishing vessel took a fish specimen on board (so that the flag state was the state of introduction) or whether introduction occurred when the fish was landed in a port. The practice of processing fish on board added to this complexity.[73] These concerns led to the 2002 recommendation of the Sub-Committee on Fish Trade that FAO Members adopt a work plan to investigate possible problems.[74]

In 2007, CITES parties sought to resolve this complexity by agreeing on a resolution affirming the applicability of UNCLOS provisions determining jurisdiction of marine areas.[75] The CITES reference to ‘the marine environment not under the jurisdiction of any State’ was agreed to mean ‘marine areas beyond the areas subject to the sovereignty or sovereign rights of a State consistent with international law, as reflected in [UNCLOS]’.[76] On this basis, CITES regulation of trade extends to listed marine species that are ‘introduced’ into a state from a national vessel fishing in the high seas. Read together with the general definition of trade, CITES provisions thus apply to the introduction for domestic consumption of species from the high seas, in addition to the general import, re-export and import of all listed marine species (whether taken from within the EEZ or the high seas).

Given this definition, CITES will apply to both the international trade in fish and the fishing for domestic consumption from the high seas. It will not generally be used, however, for species that are harvested within a state’s EEZ and consumed within that state; somewhat paradoxically, if there is no ‘market’ for the fish beyond this domestic consumption, the species may become over-fished with no available CITES protection.

Notwithstanding apparent agreement over the synergies in maritime jurisdictional provisions of CITES and UNCLOS, controversy about CITES’s role in fisheries has remained. States opposing the resolution in 2007 pointed out that UNCLOS did not enjoy universal jurisdiction and claimed that it represented a ‘creeping jurisdiction’ or ‘sovereignization’ of the sea.[77] They were apparently unhappy about the fact that the ‘enclosure’ of the EEZ in UNCLOS was being replicated by CITES — presumably giving an advantage to coastal states whose vessels could fish for listed CITES species within their EEZ and, provided they did not export the species, escape the CITES requirements. As such, the reconciliation of the CITES regime and the UNCLOS EEZ regime through a conference resolution agreed by CITES parties was unfavourable for some, and demonstrates the ongoing political sensitivities of CITES’s listings of marine species.

2 Expertise and Institutional ‘Bias’

Opposition to the role of the CITES regime in marine issues has also pointed to its lack of expertise in fisheries management. The concerns have focused on alleged difficulties in listing marine species, as compared to land-based species. Information and understanding about the threat to marine species is important not only in decisions to add a particular marine species to one of the appendices, but in non-detriment findings and other assessments on viability.

The CITES COP is aided in its work by a number of committees that provide scientific and technical expertise. The permanent Standing Committee reports to the COP[78] and coexists as the senior committee to the Animals Committee, Plants Committee and Nomenclature Committee. Its Chair is elected from among the regional members.[79] Although the Animals Committee has expertise in biology, its experience in marine matters has been minimal.[80] In addition, it is difficult for CITES parties and the committees to access information about marine species, especially for migratory species and species on the high seas, making decisions about proposals for listing and compliance measures very difficult.[81] This lack of information hampers the assessment of viability of trade for Appendix II species, which as described above is conditional on the production of a ‘non-detriment’ finding. CITES relies on states to provide non-detriment findings, yet the relevant national scientific authorities are often under-resourced or even non-existent.[82]

Apart from concerns about expertise, states have raised concerns that CITES is institutionally biased against the sustainable utilisation of fisheries. These can be grouped broadly into two complaints with the CITES regime: first, some countries make allegations about a structural bias against science; secondly, some countries make claims about a structural bias against economic development. The latter group of complaints focuses particularly on an alleged bias against ‘utilisation’ of marine species and consequent insensitivities towards the needs of developing countries.

The first set of concerns relates to CITES’s use of science. Some states have argued within the FAO that the listing of species in the Appendices is not sufficiently rigorous. The listing of species in the Appendices is conducted according to particular listing criteria.[83] These criteria include scientific methods to assess population levels for allegedly threatened species. Within the FAO, state members have expressed concern that these methods do not adequately account for the natural fluctuations of fish stocks or the requirement in UNCLOS for the use of the best scientific advice.[84] A related concern is that the process of transferring species within the Appendices is too onerous. CITES parties can vote to transfer species from Appendix I to Appendix II (‘down-listing’) and remove species from the appendices (‘deletion’) in circumstances when species numbers have recovered, but must exercise precaution in cases of scientific uncertainty.[85]

Within the FAO, some state members have expressed concern that this approach will make it very difficult to down-list commercially exploited marine species.[86]

The concerns about science appear to demonstrate a direct conflict between the rationalities of science and the principle of precaution. This conflict is apparent in many examples of regime interaction, such as interaction between the WTO and environmental law.[87] There is a danger, however, that in conflating concerns about the use of science into conflicts between regimes, the complexities within regimes themselves are ignored. Within the regime of the law of the sea, for example, the precautionary approach is endorsed in the Fish Stocks Agreement[88] and the FAO Code of Conduct.[89] In addition, fisheries laws and institutions recognise the difficulties of producing and interpreting scientific data. For example, the FAO’s role in providing information and recommending research with respect to fisheries and conservation is dependent on the provision of information by states and RFMOs.[90] Yet, while member states have obligations to report fisheries statistics under the FAO Constitution,[91] the FAO acknowledges the disincentives for fishers to report on sensitive commercial information about the location and numbers of fish.[92] These examples suggest that the precautionary approach is often followed in the law of the sea. As such, the suggestion that CITES is inappropriate because it applies a precautionary approach is incorrect.

The second set of concerns that has been expressed within the FAO is that the CITES regime is institutionally biased against the concept of sustainable utilisation in favour of its primary objective of preventing a species from becoming endangered.[93]

This implies that in listing a species on Appendix II, CITES’s conservation objectives are insufficiently addressed to socio-economic factors. This concern has been framed, in particular, in the context of the employment, income and food security needs of developing countries, which are alleged by some to be disproportionately affected by a CITES listing.[94]

The presentation of concerns about economic biases as a conflict between institutions misstates the issue of resource utilisation within both CITES and the fisheries regimes. Within the CITES regime, for example, the issue of ‘sustainable utilization’ has been debated for many years. Parties’ growing awareness of the lack of resources for conservation within developing countries led to a move away from an ethos of strict preservation to one of sustainable utilisation. Revisions to the CITES listing criteria reflect this change,[95]

and the tension between preservation and utilisation continues to inform proposals for listing and lobbying between states. In the law of the sea, the notion of ‘sustainable utilization’ is also not uncontested. For example, there is increasing recognition of an ecosystem approach to utilisation in such instruments as the FAO Code of Conduct.[96]

This approach recognises that the allocation of ‘maximum sustainable yields’ for different species may still lead to degradation if the rest of the ecosystem is insufficiently protected. The ecosystem approach is adopted by the CBD.[97] As such, the suggestion that there is a conflict between the norms of ‘utilisation’ and ‘conservation’ in the meeting of fisheries and environmental regimes is an oversimplification.

It is also a misstatement to suggest that the law of the sea and CITES are in conflict due to their treatment of the needs of developing countries. UNCLOS, the FAO Code of Conduct, the CBD and CITES all formally endorse the need for special attention to the interests of developing countries.[98]

The suggestion that the needs of developing countries are insufficiently met in CITES vis-à-vis fisheries regimes also fails to acknowledge the complexity of interests of developing countries. Developing country interests are plural and complex. While it is true that the fisheries sector is of major economic importance to developing countries,[99] such interests are not uniformly directed towards resource exploitation and trade. For example, India and the Philippines both proposed to list the whale shark under CITES, reportedly due to national interests in eco-tourism.[100]

It may be that some developing countries will indeed wish to avoid the listing of marine species, either because they have fishing industries that exploit the species or because they wish to provide lucrative licences to distant water fishing vessels through access agreements. Other developing countries, however, will welcome listing under CITES but require technical and financial assistance for any resulting administrative burdens.

3 Coherence in Fisheries Management

A dominant theme in the complaints against CITES’s role is that there will be a lack of coherence in fisheries conservation and management, and the potential for conflicting rules and practices. For example, some FAO members that are coastal states have pointed to the possibility that their rights and obligations under UNCLOS will be different, and potentially abrogated, by a CITES listing of a species.[101]

Some states have pointed to conflicts between a CITES listing of marine species and alleged UNCLOS concepts of freedom of fishing in the high seas.[102] They argue that a conflict could occur where an Appendix I species could be lawfully harvested on the high seas but not allowed to be introduced into the port of a CITES Party.[103] A further concern has focused on the freedom within UNCLOS for coastal states to set allowable catch limits within their EEZ,[104] which some countries consider to be potentially restricted by a CITES listing under Appendix II.

These claims of conflict are overstated, at least in legal terms. For example, the claim that a CITES listing would abrogate an UNCLOS-sanctioned freedom to fish on the high seas fails to acknowledge that the freedom to fish is heavily qualified.[105]

In addition, the concern of coastal states that their right to set allowable catch limits within their EEZ would be affected by an Appendix II listing is overblown given that CITES does not interfere with the coastal state’s harvesting, for domestic consumption, of species within its own EEZ.[106]

The concerns reveal not just misunderstandings about UNCLOS freedoms, but also about trade freedoms. For example, experts consulted by the FAO considered that a potential conflict would arise if a CITES Party challenged a non-detriment finding made by other CITES parties and instituted stricter domestic measures that were inconsistent with the rights of coastal states to establish allowable catch limits within the EEZ.[107] This claim essentialises the UNCLOS, CITES and (implicitly) WTO regimes. The UNCLOS provision does not guarantee a right of coastal states to export. Moreover, rather than ‘allowing’ for stricter domestic trade measures, CITES merely preserves any existing right of states to adopt such measures.[108]

A further concern of FAO Members relates to the applicability of the CITES ‘look-alike’ clause to the fisheries context. When species are listed on Appendix II of CITES, the Convention extends this listing to ‘look-alike’ species.[109]

Listing of species that resemble the listed species is necessary for effectiveness and allows customs officials to check specimens without having to distinguish between closely resembling species. When all 32 species of seahorses were listed on Appendix II, for example, 26 were included under the look-alike provision.[110]

Some FAO Members have expressed concern that the application of the ‘look-alike’ clause will have negative impacts on the fishing industry and fishing communities, presumably because more species than necessary will be listed on this basis. They have also expressed concern that the regime will require large levels of monitoring and control.[111] A similar concern relates to the alleged incompatibility between the CITES regime and aquaculture. Aquaculture is a sector of growing economic importance in fisheries, and the query has been voiced within the FAO about whether CITES can cope with the distinction between wild and farmed fisheries.[112]

An additional concern has been raised by some countries about the listing of species in more than one appendix of CITES (‘split-listing’).[113] Split-listing aims to accommodate the fact that species may be threatened in one region but not another. For example, when the minke whale was added to the CITES Appendices, it was listed in Appendix I except for the population of West Greenland, which was listed in Appendix II. FAO Members have expressed concern that split-listing practices will require increased resources and will lead to the listing of some fish populations in Appendix II when they would otherwise not be included.[114]

The concerns about the CITES ‘look-alike’ clause and the ‘split-listing’ of species are based on overly rigid understandings of the CITES and FAO fisheries regimes. The practice of CITES in listing ‘look-alike’ species can adapt to the special situations of fisheries. Such adaptation is not new to the FAO, which is well-versed in the challenges of monitoring and controlling traded fish specimens. The FAO Sub-Committee on Fish Trade continues to consider initiatives such as traceability and labelling schemes. Indeed, when the FAO consulted experts in 2004 about CITES implementation issues, the experts noted that CITES and the FAO could collaborate on these initiatives as alternatives to the look-alike clause.[115] There is also sufficient flexibility with the CITES permit procedures to adequately accommodate fish stocks reared using aquaculture methods.[116] As such, the look-alike clause is not fundamentally inappropriate for fisheries but merely requires enhanced understanding of fisheries management methods.

Moreover, the notion of ‘split-listing’ species between appendices is not unknown in fisheries management regimes. Addressing different degrees of endangerment for species according to different locations is a significant and ongoing challenge. Methods include the marking of fish stocks to identify and differentiate specimens.[117] Adapting these methods for the CITES licensing system may well require collaboration and additional resources, but it is not a basis for rejection if there are gains for fisheries conservation and management. The concerns raised about achieving a policy fit between the CITES and FAO fisheries management regimes thus point to questions about how the regimes can interact for the betterment of the conservation and management of endangered marine species.

C From Normative Conflict to Regime Interaction

My consideration of the concerns about CITES’s mandate, expertise and institutional bias suggests that the protection of endangered species gives rise to overlapping rather than conflicting obligations. This finding contrasts with other responses to the phenomenon of fragmentation of international law, which have concentrated in the main on the problem of conflicting norms. This section assesses the relevance of this question for endangered marine species before introducing the contextual inquiry into regime interaction between CITES and the FAO.

1 Priority of Conflicting Norms

The question of conflicting norms was considered by the ILC, which reported in 2006 on ‘The Fragmentation and Diversification of International Law’.[118] The ILC recommended a ‘toolbox’ of principles to assist a wide range of situations where norms are found to conflict in international law. These included the principle of lex posterior derogat legi priori, which gives primacy to a more recent treaty over an earlier one,[119] and the principle of lex specialis derogat legi generali, which is based on the primacy of the specific over the general.[120] The harmonising effect of treaty interpretation[121] and the role of special treaty clauses[122] was also emphasised.

There is an identified potential for conflicting norms between the regimes relevant for endangered marine species. For example, Franckx analyses the potential listing of commercially exploited marine species on CITES in terms of allocating priority between regimes. For him, the central issue is the ‘application of successive treaties relating to the same subject-matter in general international law’.[123]

His point of reference is a marine species that is covered by two or more instruments, and he gives the example of Atlantic bluefin tuna on the high seas, the regulation of which is addressed in UNCLOS, the Compliance Agreement, the Fish Stocks Agreement and, potentially, CITES.[124]

The central question for Franckx is to assess the priority of CITES vis-à-vis the other instruments and ask which instruments should take precedence. In answering this question, Franckx endorses the steps of first looking to conflict clauses, then using treaty interpretation to determine priority and, if these steps are inconclusive, applying the lex posterior rule.[125] These steps are consistent with the ILC’s toolbox for dealing with problems of fragmentation. Franckx notes that CITES predates many fisheries instruments, and applies the lex posterior rule and the conflict clauses in UNCLOS, CITES, the Fish Stocks Agreement and other instruments to determine the relationship between them. Rather than stating which treaty has priority, Franckx concludes by noting the difficulties of applying the conflict clauses in practice and stating that much will depend upon the intentions of the parties.[126]

Franckx’s conclusions are unsurprising given the difficulties of applying principles to determine the precedence between conflicting treaties. The ILC Study Group itself was wary of the challenges of establishing the priority of norms from different regimes.[127] More importantly, however, his starting assumption should be tested. Franckx assumes that there is a conflict between the relevant treaty provisions with respect to the listing of marine species. As described above, however, the concerns about CITES’s role in fisheries management reflect concerns about institutional expertise and bias but do not demonstrate conflicting norms. His approach also varies from the presumption against conflict, which requires an assumption that norms are in harmony unless disproved by evidence of real conflict.[128] A presumption, whether for or against conflict, has consequences for continuity and change in international law.[129] Such presumptions therefore need to be dealt with openly, and with an awareness of the likely impact for dominant regimes within fisheries governance.

Instead of determining the priority of norms protecting endangered marine species, the more pressing concern is to ascertain how CITES, UNCLOS, the Fish Stocks Agreement and the FAO instruments coexist in an effective way. Indeed, Franckx acknowledges this when he concludes his analysis of the priority of norms in fisheries management by observing that increased cooperation by regimes is ‘the most urgent and overarching need’.[130]

This supports an analytical approach that investigates the interaction between the regimes, and particularly the relevant stakeholders of the FAO and CITES.

2 An Institutional Perspective

In offering its toolbox for resolving norm conflicts, the ILC acknowledged that it had excluded an analysis of institutions.[131]

It recognised a need to focus on ‘the notion and operation of “regimes”’.[132] The present article responds to this need by moving from a discussion of normative conflict in the protection of endangered marine species towards an analysis of institutional collaboration. This approach accords with research that draws upon empirical accounts of the culture and ‘vocabularies’ within regimes, which have demonstrated certain biases and preferences.[133] Studies that address the law-making power of international organisations also provide a useful perspective,[134] as does international relations scholarship that considers the role of ‘epistemic communities’ in building and bridging regimes.[135] Scholars have begun to consider the interaction of institutions within the environmental and fisheries fields,[136] and the coordination by treaty negotiators of ‘regime complexes’.[137] This article extends this literature by analysing the cooperative relationships between relevant institutions and the impact of law in marine species protection.

The analytical approach of the present study concentrates on institutional collaboration, the role of law in such collaboration and the ‘politics of regime definition’.[138] It seeks to incorporate the sensitivities and preferences of states, institutions and other actors involved in the jostling between regimes, and to avoid essentialising particular characterisations of the regimes themselves. This approach flows from my analysis of the opposition to CITES’s role in marine species, where an irresolvable determination of the ‘correct’ forum gave way to questions of regime interaction.[139]

For example, open and accessible interaction between regimes can address institutional bias, actual and perceived. In addition, enhancing expertise within the CITES regime can attend to the perceived problems in listing look-alike species, splitting species between appendices and listing farmed fish.

The CITES regime already envisages inter-regime collaboration with fisheries organisations. There is a duty for the CITES Secretariat to consult with CITES parties, the FAO and relevant RFMOs on proposals by CITES parties that are related to marine species.[140] This consultation is aimed at obtaining scientific data and ‘ensuring coordination with any conservation measures enforced by such bodies’.[141] The CITES Secretariat is required to ‘communicate the views expressed and data provided by these bodies and its own findings and recommendations’ to the CITES parties before they vote on the proposals.[142] Within the FAO, the FAO Code of Conduct encourages states to cooperate in complying with relevant international agreements regulating the trade in endangered species.[143] Yet such collaboration has been fraught and stymied by states and other actors who have sought to maintain their existing fisheries practices and their preferred legal forums. This situation has played out in the negotiation of a single and highly contested instrument: the MOU between the FAO and the CITES Secretariat.

III THE MEMORANDUM OF UNDERSTANDING BETWEEN CITES AND THE FAO

Proposals to formalise the interaction between the CITES regime and fisheries regimes have concentrated on an institutional agreement in the form of a memorandum of understanding between the CITES Secretariat and the FAO. This Part first describes the growing trend of MOUs between international organisations and draws on principles of international institutional law to assess their legal status. Next, it investigates how the MOU was negotiated. While the MOU is an apparent attempt to strengthen institutional collaboration, other strategic aims, such as the allocation of primacy of one regime over another in fisheries matters, apparently animated drafting proposals. This justifies a detailed examination of the evolution of the MOU. In the light of the struggle for legal primacy between regimes, the Part then examines the substantive and procedural constraints on the MOU. Finally, it considers the national policy coordination that allowed states to agree on a negotiating position that reconciled interests between disparate domestic agencies. Such coordination was important for finalising the MOU, but is also integral to wider interaction between the FAO fisheries and CITES regimes.

A Legal Status

Agreements setting out means of cooperation and collaboration are increasingly used by intergovernmental organisations (‘IGOs’). They are seen to be of particular value in ocean matters. The UN Consultative Process, which identifies areas where coordination and cooperation in ocean matters should be enhanced,[144] encourages organisations ‘to conclude memorandums of understandings with a view to avoiding duplication of work and to designate focal points’.[145] MOUs between organisations are part of a wider corpus of agreements that involve IGOs, member states and non-member states.[146]

The capacity of IGOs to enter into MOUs is generally accepted,[147] although much depends on questions of legal personality, express or implied powers and the resulting character of the agreement itself. In contrast to the general view that an IGO must have international legal personality before entering into agreements with other organisations, some commentators have suggested MOUs are contracted without international legal personality.[148] Many IGOs have express powers to enter into international agreements, but for others the powers will be implied based on their functions and competences.[149] On this basis, MOUs between international organisations must be confined to whatever is necessary for the organisations to perform their functions, as expressed in their constitutions.[150]

The FAO has full legal status,[151] and its constituting documents expressly envisage that it will enter into relations with other international organisations.[152] Members have approved ‘guiding lines’ [sic] regarding relationship agreements between the FAO and IGOs,[153] which note the desirability of concluding such formal agreements. The guidelines contain criteria to be applied by the FAO for recognising the intergovernmental character of the partner IGO, which provide that the relevant IGO should be set up by a treaty between states, should be composed of members designated by governments and should receive income mainly, if not exclusively, from governments. The guidelines state that cooperative agreements should include methods of liaison and cooperation, such as information-sharing, reporting, a mutual right of agenda-setting and arrangements for reciprocal representation at meetings.[154]

The powers of the CITES Secretariat to enter into collaborative arrangements with other IGOs are less settled. The CITES treaty text authorises the Secretariat ‘to arrange for and service meetings of the parties’ and ‘to perform any other function entrusted to it’ by the parties.[155] By contrast to the FAO constitutive documents, and other MEAs such as the CBD,[156] the CITES treaty text does not make express reference to international personality. The COP is authorised to ‘make such provision as may be necessary to enable the Secretariat to carry out its duties’.[157] To date, the COP has not made express reference to legal personality.[158] The CITES Secretariat operates under the assumption that it has international personality and the legal capacity to enter into MOUs,[159] and regularly enters into MOUs with other secretariats.[160]

If it is accepted that the CITES and FAO secretariats are empowered to enter into the MOU, the limitations of their express or implied powers should be noted because such limitations may constrain the substance of the MOU. There is a presumption that international organisations act within their powers,[161] but if the FAO and CITES secretariats were to conclude cooperative arrangements that exceeded their mandates, they would be acting ultra vires. With this constraint in mind, the following section examines the evolution of the MOU.

B Evolution of the MOU

There were seven drafts of the MOU agreed over the course of three years of meetings:

1 CITES Standing Committee Chair-led draft (2003);[162]

2 FAO COFI-led draft (2003) (also known as the Friends of the COFI-chair text);[163]

3 CITES draft (2004);[164]

4 FAO COFI-FT draft (2004) (also known as the Japan–US compromise text);[165]

5 FAO–CITES Secretariat negotiated draft (2004);[166]

6 CITES Standing Committee negotiated draft (2004) (also known as the Norway-Australia compromise text);[167] and

7 Final text (2006).[168]

The drafts reveal differing perspectives and strategies about CITES’s role in fisheries conservation and management, as described below.

1 Proposals to Limit CITES’s Role

In February 2002, a meeting of the FAO’s COFI-FT provided a forum for some states to express their concern about the impact of CITES on the areas of competence of the FAO and RFMOs. After discussing the increased inclusion of

marine species in the CITES appendices, the meeting noted its understanding of institutional competences in fisheries management:

18. Several countries reiterated their reservations about the role of CITES in relation to resources exploited by fisheries. The Sub-Committee held the view that FAO and the mandated regional fisheries management organizations (RFMOs) were the appropriate international bodies on fisheries and fisheries management. The Sub-Committee also underlined the importance of CITES Article 14 regarding the relationship between CITES and UNCLOS and its implementation agreement. The view was expressed that CITES should be seen as a complementary instrument in the protection of such resources, eg in cases where management regimes are not in place, and that a CITES listing should be limited to exceptional cases only and when all relevant bodies associated with the management of the species in question agreed that a listing would be advantageous. Some countries expressed support for the role of CITES in fisheries management, stating that it could not replace traditional fisheries management.[169]

This paragraph became important to drafts of the MOU, as I describe below, and as such its language warrants close attention. It affirms the role of the FAO and RFMOs in fisheries management. It then points to the CITES conflicts clause that recognises that CITES is without prejudice to the development of UNCLOS or present and future claims concerning the law of the sea.[170] The third sentence, beginning with the passive use of ‘[t]he view was expressed …’, is the extreme position that FAO and RFMOs can overrule attempts to list marine species on CITES. The final sentence suggests that some members were not convinced of this extreme view.

The meeting resulted in a request for the Secretariats of FAO and CITES to coordinate the drafting of an MOU ‘to facilitate dialogue and exchange of information’, and urged the Secretariats to proceed in a manner so that the MOU could be considered and possibly approved at the 2003 meetings of the FAO Committee on Fisheries and the CITES Standing Committee.[171]

The

Sub-Committee recommended that the MOU describe a process by which FAO and CITES would coordinate scientific and technical advice on proposals to list commercially-exploited aquatic species.

In November 2002, the CITES COP met in Santiago, Chile and adopted proposals to list a number of commercially exploited marine species.[172]

The US proposed that the MOU issue be considered by the COP,[173] and the CITES Secretariat sought direction on whether collaborative mechanisms with FAO should address both fish and timber sectors.[174] Japan proposed a resolution to progress the development of an MOU.[175] Under the heading of ‘synergy and cooperation’, this draft resolution proposed important changes to CITES competence, as demonstrated by excerpts from the draft resolution which:

AFFIRMS that FAO and the mandated [RFMOs] are appropriate inter-governmental bodies responsible for fisheries and fisheries management;

AGREES that, in cases where there is no responsible [RFMO] and where trade is having a significant negative impact on conservation, the listing of commercially-exploited fish species in the Appendices may temporarily serve a useful conservation purpose.[176]

The attempt to limit CITES role to marine areas without RFMOs, and even then for only temporary periods, was not adopted by the COP. Instead, a decision was made to direct the CITES Standing Committee to work with the FAO in the drafting of the MOU.[177] In addition, the CITES COP revised the CITES listing criteria, deleting its former reference to the competence of certain IGOs in marine species management and recalling instead the inter-agency consultation envisaged by CITES art XV.[178]

As the Standing Committee was not due to meet until after the next FAO forum in February 2003, the Chair of the Standing Committee instructed the Secretariat to develop, in consultation with him, a draft MOU (‘CITES Standing Committee Chair-led draft’).[179]

In its short preamble, this CITES Secretariat-led draft recognised ‘that the aims and purposes of CITES and FAO are related and in conformity with each other and that strengthened cooperation between CITES and FAO would better ensure the achievement of those aims and purposes’.[180]

The draft identified (i) the need for a procedure for the scientific evaluation of proposals to list commercially-exploited aquatic species in the CITES Appendices; (ii) the need for capacity building for natural resource management; (iii) the need to identify technical and legal issues of common interest; (iv) the coordination of work through annual meetings and shared reporting; and

(v) general provisions on termination and the maintenance of separate budgetary responsibility.

This CITES Secretariat-led draft was provided by a CITES representative to COFI at its meeting in Rome in February 2003. Instead of discussing the MOU in the Plenary session, COFI established a ‘Friends of the COFI Chair Group’. After some members objected to the participation of the CITES Secretariat in the Group, representatives from the CITES Secretariat and all other IGOs and non-government organisations were expelled from its meetings.[181] After working separately from the Plenary for a number of days, the Group developed its own draft MOU, which differed substantially, both in substance and tone, from the CITES Secretariat-led draft.

The FAO COFI-led draft[182]

contained a long preamble that recognised the ‘primary role of sovereign states, FAO and regional fisheries management organisations in fisheries conservation and management’ and noted that CITES could not replace traditional fisheries management. The COFI-led MOU draft then sought to narrow the jurisdiction of CITES in two ways. First, it expressed the view that CITES listing would only occur if agreement from relevant RFMOs had been obtained. Secondly, it provided that the CITES listing of commercially exploited aquatic resources should be limited to exceptional cases. Given there was no consensus between Group Members on this narrowing of CITES’s competences, these views were reproduced as square-bracketed text in both the preamble[183]

and the draft articles.[184] The draft also included a preambular reference to the ‘three medium-term strategic objectives for fisheries’, none of which included CITES listing of endangered marine species.

When the COFI-led MOU draft was presented to the COFI plenary, some Members expressed further disagreement with its attempts to limit CITES’s competence.[185]

The Committee agreed that an informal group should continue to work at the MOU ‘at opportune times including at the Ninth Session of COFI-FT in 2004’.[186]

2 Alternative Views

In April 2003, the CITES Standing Committee met in Geneva. It considered the CITES Secretariat-led draft of the MOU described above, as well as a proposal by Japan to amend this draft.[187] Aiming to reach agreement on the text during the meeting, the Standing Committee established a working group which comprised Japan, Norway, Saint Lucia, the UK, the US, Australia, Chile, Egypt, the Secretariat and two NGOs.[188]

This working group produced a draft but did not reach consensus on its contents.[189]

The Standing Committee considered further steps. Following a tight vote, it agreed that the CITES Secretariat-led MOU was the draft to work from. It decided that the Secretariat would invite comments from parties on this draft, make the comments available on the CITES website and that the Chair would negotiate directly with the FAO and provide a resulting document to the next meeting of the Standing Committee for its consideration. An alternative proposal by Norway, who preferred that parties’ comments on the draft MOU be provided to the Standing Committee to review before further involvement by the Chair, was not adopted.[190]

On the basis of this agreed process, the CITES Secretariat invited comments from the parties,[191] which were received up to June 2003 and posted on the website. The CITES Secretariat made some changes, although the result did not differ markedly from the original CITES Secretariat-led draft. On 5 January 2004, the Secretary-General of CITES wrote to the Director-General of FAO attaching the revised CITES draft (‘CITES draft (2004)’) for the consideration of FAO at the Sub-Committee on Fish Trade the following month.[192]

3 Development of the FAO and CITES Drafts

The FAO Sub-Committee on Fish Trade met in February 2004 in Bremen. Papers distributed to the parties included a copy of the COFI-led draft MOU on which consensus had not been reached at COFI, with square brackets around the contentious text. The revised CITES draft, which had been sent on 5 January, was not included in the conference papers,[193] a somewhat surprising omission given that other documents finalised at the end of January were included as informal papers for participants.[194]

The CITES draft was not circulated until the conclusion of the conference. The Sub-Committee Chair instead decided to establish a working group that would work in parallel to the Plenary. It was to be chaired by Japan and the US, and was to operate within a narrow mandate of considering only the COFI-led draft. It met for several hours in two separate sessions.

The working group produced its own draft MOU (reported as the ‘Japan–USA compromise text’[195]

and noted also as the FAO COFI-FT draft (2004)). This was based on the COFI-led draft but modified some of that draft’s attempts at limiting CITES jurisdiction. It agreed that the contentious square-bracketed text in the preamble and body of the MOU (which sought to make listings contingent on RFMO and FAO approval, and only in exceptional cases)[196]

could be deleted from the draft. However, the preamble continued to assert this controversial position, at least implicitly, by incorporating the ‘results’ of the 2002 COFI-FT meeting at which this view was expressed.[197]

A new preambular paragraph also affirmed the ‘rights and duties of all States pertaining to fishing activities outlined in [UNCLOS]’ and emphasised the goal of sustainable utilisation.[198]

The working group reported back to the Plenary with this compromise text, and recommended that it be sent to the Chair of the CITES Standing Committee with a request that it be considered at its next meeting. It also recommended that FAO staff be mandated to conclude the draft with CITES, but according to a strict process by which they would consult with certain members if substantive changes were involved:

If, in discussions, CITES requested changes that the FAO Secretariat thought might be unacceptable to some Members, the FAO Secretariat would informally consult with those Members. If those Members did not raise any objections, the FAO Secretariat could sign the MOU.[199]

The working group did not identify the FAO members that might have found CITES’s requested changes unacceptable, but it presumably intended this paragraph to relate at least to Japan and Norway. When these recommendations were presented to the Plenary, Argentina challenged the working group’s suggested process. It suggested that the word ‘those’ be deleted from the first line of the working group’s recommendation, as reproduced above.

This small amendment would have changed the procedure from one of a potentially private discussion between FAO staff and interested parties such as Japan to a provision for multilateral consultation with the membership as a whole. However, although the Plenary appeared to accept Argentina’s amendment, it was not reproduced in the final report.[200]

Argentina’s concern about the suggested procedure is important. On one level, it is understandable that the FAO works closely with Members and is sufficiently aware of which members would find aspects of an MOU with CITES unacceptable. Yet this type of interaction may be indicative of the ‘capture’ of the FAO by particular states. The suggested procedure may also be inconsistent with the FAO’s own rules on the procedure to be followed by the FAO in entering into collaborative arrangements, which state that ‘proper consultation with governments’ must be secured.[201] These rules are directed at collaborative arrangements between the Organization and national institutions or private persons, rather than MOUs with other IGOs. However, the emphasis in those rules on proper consultation is similarly persuasive for collaborative agreements between IGOs.

After the working group had presented the Japan–US compromise text, it reported on the CITES revised draft MOU. It stated that there were ‘no substantive differences between that and the FAO proposal and there was nothing contradictory in the two texts’,[202]

a statement that is in direct contrast to the working group’s concern that future negotiations with CITES would lead to unacceptable changes to the FAO proposal.

4 Further Consideration of the FAO Draft

Using the Japan–US compromise text agreed at the FAO Sub-Committee on Fish Trade as the basis for their negotiations, the FAO and the CITES Secretariat attempted to finalise the MOU in the course of 2004. The ‘limited negotiating authority’ of the FAO was later noted by the Chair of the CITES Standing Committee.[203] By the time of the next meeting of the CITES Standing Committee, in April 2004, there was still no agreed MOU text.[204]

By October 2004, a draft FAO–CITES negotiated MOU was ready for presentation to the CITES Standing Committee. It met twice in October in Bangkok during the CITES COP.[205]

On 1 October 2004, the Chair presented the draft FAO–CITES negotiated MOU.[206]

This text used the Japan–US compromise text agreed at COFI-FT as a base but included amendments aimed at bringing ‘more balance to the text with regard to CITES’.[207] The preamble included square-bracketed text on which agreement had not been reached, which reflected disagreement over whether CITES ‘cannot replace, but rather has sought to complement’ or ‘has not sought to replace but rather complement’.[208] In addition, the preamble recognised that ‘peoples and States are and should be the best to conserve their own wild fauna and flora’.[209]

Some provisions of the MOU implied that CITES should be deferential to the FAO in proposals to amend its Appendices. For example, the draft reproduced the suggestion made by the FAO Committee of Fisheries about the use of FAO’s reviews of proposals to amend CITES Appendices, as follows:

In order to ensure maximum coordination of conservation measures, the CITES Secretariat will consider, to the greatest extent possible, the results of the FAO scientific and technical review of proposals to amend the Appendices, and technical and legal issues of common interest and the responses from all the relevant bodies associated with management of the species in question [as well as the substance of the preambular paragraphs of this MOU] in its advice and recommendations to the CITES Parties.[210]

In providing that CITES would ‘consider, to the greatest extent possible’, the results of the FAO’s scientific and technical review of proposals to amend the CITES Appendices, the MOU retreated from the FAO Committee of Fisheries’ earlier language that CITES would ‘incorporate to the greatest extent possible’ such results.[211]

The CITES Standing Committee revised this draft but failed to agree to it, and instead the Standing Committee agreed that Australia and Norway should have bilateral discussions on the revised text. Interventions on the topic were made by four countries, two observers and two NGOs — the Humane Society International [212]

and Defenders of Wildlife.[213]

At the 52nd meeting of the CITES Standing Committee on 14 October 2004, Australia reported that it had produced a text with Norway. This text had been circulated to parties by the Chair on 7 October 2004.[214]

Two Committee Members objected to substantive discussion on it.[215] The Standing Committee agreed that discussion be postponed until the 53rd meeting.[216]

In March 2005, the FAO Committee on Fisheries met in Rome. FAO staff members described how they had agreed on a compromise text with the CITES Standing Committee Chair. This was the draft FAO–CITES negotiated MOU presented to the Standing Committee a few months before.[217]

Some COFI Members disputed that the secretariats should be able to conclude such a text, and asserted that the only ‘official FAO text’ was the one agreed by a majority of members of the Sub-Committee on Fish Trade in Bremen.[218]

Again, the Committee considered it necessary to establish a separate working group. Within that group, many Members considered that the FAO–CITES negotiated MOU[219]

was the appropriate draft to work from, but there was no consensus on this view. The Committee resolved this impasse in the following way. First, it agreed that the text produced by the Secretariats was unofficial, and that the only draft MOU approved by the FAO body was the text agreed in Bremen.[220]

Secondly, it recognised that the CITES Standing Committee would be free to consider any text for an MOU.[221] The Committee then said the matter would be reconsidered again in Bremen by the Sub-Committee on Fish Trade at its 10th session after feedback from CITES.[222] The Committee encouraged Members to coordinate with their domestic fisheries and environmental agencies to achieve a consistent position on the MOU.[223]

5 Finalising the MOU

The CITES Standing Committee met for its 53rd session in June 2005 in Geneva. The MOU text negotiated between Australia and Norway in Bangkok, which updated the FAO–CITES negotiated draft, was included in the meeting materials.[224]

The text was different from the draft FAO–CITES negotiated MOU in several ways. For example, the Preamble was rephrased to emphasise the jurisdiction of CITES. Instead of CITES having ‘a role in regulating international trade’ in threatened species, CITES had ‘a primary role’.[225] In addition, the preamble no longer included the aim of ‘maintaining the goal of sustainable utilisation as stated in the FAO Code of Conduct for Responsible Fisheries’.

In the main body, the provision that stated that FAO would continue to provide advice to CITES on, and be involved in future revision of, the CITES listing criteria was now a square-bracketed item.[226] Moreover, notifications of proposals to amend Appendices no longer had to be provided to FAO ‘as soon as possible’.

The provision that set out a procedure for the CITES Secretariat’s consideration of the results of the FAO scientific and technical review of proposals was also changed.[227] On the one hand, instead of merely ‘considering, to the greatest extent possible’ these results, the CITES Secretariat was now required to ‘respect [them], to the greatest extent possible’.[228] Weakening this provision, however, was the fact that the CITES Secretariat’s ‘respect’ for the FAO’s scientific and technical review was no longer to be expressly reflected in its recommendations to the CITES parties on whether a marine species should be listed. In addition, the CITES Secretariat was also no longer required to consider the substance of the Preamble during this listing procedure.

Some members continued to express dissatisfaction with this draft, so the Chair suspended discussions and suggested that he conduct informal consultations.[229] On the basis of the consultation, the Chair then produced a revised document.[230]

The revised draft deleted the entire Preamble. In addition, the square brackets around the following phrase had been removed:[231] ‘FAO will continue to provide advice to CITES on, and be involved in any future revision of, the CITES listing criteria.’

The text providing that CITES would ‘respect, to the greatest extent possible’ the results of the FAO scientific and technical review of listing proposals was retained.[232]

Mexico complained that it had been excluded from the informal consultations that led to the revised text.[233]

It contested the agreed procedure for the CITES Secretariat’s consideration of FAO scientific and technical reviews of specific proposals to list marine species. It stated that the Spanish version contained the phrase ‘take into account’, rather than ‘respect’ and this version should be reflected in the English text. In response, Iceland expressed its regret for not involving other members in coming to the consensus text but stated that it refused to replace the word ‘respect’ with ‘take into account’ or ‘consider’. Japan agreed that the word ‘respect’ should be maintained.[234] The FAO and the Humane Society International also made interventions, although the substance of their comments is not on record.[235] The Standing Committee approved this draft and agreed that it be forwarded to FAO for consideration.

The FAO Sub-Committee on Fish Trade met from 30 May to 2 June 2006. The Sub-Committee agreed to the MOU, although many Members thought its wording was ‘not perfect’.[236]

The procedure for the CITES Secretariat’s consideration of FAO’s scientific and technical reviews of proposals to amend the Appendices continued to attract controversy. Brazil expressed its concern that the phrase ‘respect to the greatest extent possible’ was used and would have preferred ‘take into account’.[237] The Philippines was dissatisfied with the termination arrangements of the MOU and would have preferred to allow only for its modification.[238]

C Substantive and Procedural Constraints

Before assessing the MOU’s impact on regime interaction between the FAO and CITES, I conclude this section by highlighting some institutional and procedural problems with the development of the MOU. In particular, I place in legal context the attempt by key states to shape regime interaction by reinforcing the ‘primary’ role of FAO and RFMOs in the MOU. This requires a revisit to principles of international institutional law, and an investigation into treaty law and legal process. My findings have important consequences for the use of cooperative agreements between secretariats as tools of regime interaction.

1 International Institutional Law

Japan’s proposal to insert into the MOU a requirement that the prior approval of the FAO, or of its subsidiary bodies or RFMOs, be granted before commercially-exploited marine species could be listed in the CITES Appendices, can be assessed according to the implied powers of the CITES and FAO secretariats described above. The CITES treaty text contains no requirement that the views of the FAO should prevail on issues relating to trade restrictions for marine species. Japan’s attempted revisions to the role of the FAO is thus inconsistent with the CITES treaty text. Japan’s proposal was not accepted in the final MOU, but if it had been, the resulting provision may well have exceeded the express and implied powers of the FAO and CITES Secretariat.

The consequences of the FAO and CITES secretariats acting ultra vires in this way are unclear. On one view, an MOU is void if it exceeds the secretariats’ powers. Yet a key question is whether there is an organ that can rule upon a claim that a secretariat has acted ultra vires. Establishing such an organ requires agreement, and the international procedures are unwieldy and undeveloped compared to the European legal context.[239] Agreement to challenge the acts of international organisations as ultra vires could in theory be forthcoming in a dispute where states consented to the compulsory jurisdiction of the ICJ. Alternatively, the ICJ could exercise its advisory jurisdiction.[240]

These avenues will differ depending on the constituting documents within the regimes themselves; in the WTO regime, for example, there is no procedure to challenge as ultra vires the acts of the organisation.[241]

Related to the question of whether the FAO and CITES Secretariat could be found to be acting ultra vires is the question of whether the MOU is binding. This is a matter of some uncertainty. MOUs between states are generally considered to be non-binding instruments, unless it can be shown that the parties intended otherwise.[242] For such agreements, intention is to be gauged from the wording of the text.[243]

The decision to include termination provisions in the MOU has bearing on its legal status. Amongst some opposition, the MOU provides for both termination and amendment by the FAO and CITES secretariats.[244]

Such a provision is usually indicative of the binding nature of the agreement.[245]

However, the MOU also contains the cooperative verb ‘will’ rather than ‘shall’, which has been considered in other contexts to indicate a non-binding arrangement.[246] The level of agreement or opposition to the MOU is also relevant,[247] and the contentiousness with which the issue of cooperation has been treated in meetings of the FAO might on the one hand indicate a failure of the MOU to bind or, on the other, that the MOU represents an important and binding compromise about a difficult topic.

2 Treaty Amendment and Modification

Aside from issues of institutional law, the negotiation of the MOU gives rise to important issues of treaty law. There are a number of constraints on the ability of states to amend or modify treaties. These constraints become relevant because the wrangling between states during the negotiation of the MOU could lead to a particular characterisation of the MOU. Rather than an agreement between international organisations, the MOU could be seen as an agreement to amend the core treaty text of CITES.

As I demonstrate above, CITES expressly recognises its potential role in the listing of marine species. The strategy of Japan and others, in attempting to limit the role of CITES in marine listings, could be considered an amendment of the Convention.

Treaty amendment must conform to the law of treaties, as codified in the VCLT. This provides for the inter se modification of a treaty where ‘two or more parties to a multilateral treaty … conclude an agreement to modify the treaty as between themselves alone’.[248] Inter se modification is permissible if the possibility of such a modification is provided for by the treaty, and provided it does not affect the rights or obligations of the other parties.

Reservations and denunciation are available within CITES.[249] However, any amendment requires a two-third majority of an extraordinary meeting of the CITES COP.[250] As such, the attempts to limit CITES’s role in the protection of endangered marine species by the Japanese-led MOU drafts could not be considered as lawful inter se modification unless they were announced as such and were voted upon.

This finding accords with the need for treaty law to provide consistency and stability. Admittedly, this need must always be balanced with law’s receptiveness to changing conditions,[251] and a finding that MOUs could never modify the constitutive treaties of IGOs would be overly formalist. The acknowledgment that international law is a process does not preclude the finding, however, that a party to CITES may not limit its jurisdiction unless it has followed set procedures for open and participatory amendment.

3 Uses and Abuses of Rules of Procedure

A further aspect of international law of relevance to the development of the MOU is the nature and use of rules of procedure in international forums. The constitutive instruments of the CITES Secretariat[252] and the FAO[253]

contain rules for access, representation and participation by international bodies, including IGOs and NGOs. These instruments also allow for the development and application of other rules of procedure, such as the provision for committees described as ‘Friends of the Chair’ or ‘working groups’ which operate in secret. These rules of procedure had significant impact upon the development of the MOU.

In the 2003 meeting of COFI, the representative of the CITES Secretariat had been invited to assist in the drafting of the MOU. A working group, comprising Japan, the US and others, was established to consider the issue of the MOU, and it was to report back to the plenary. The working group wished to conduct its deliberations in secret, excluding the CITES representative and any other representatives from IGOs or NGOs.[254]

This action seems to be in line with a rule of procedure which provides that the Committee may decide to restrict attendance at private meetings to representatives of member states ‘in exceptional circumstances’.[255] That the Committee considered the drafting of an MOU to facilitate cooperation with another IGO amounted to ‘exceptional circumstances’ reflects the contentiousness with which certain states viewed CITES’s role. Such contentiousness will often be present in regime interaction, but it is doubtful that closed meetings are the most useful response.

The tension between the need for efficiency and free debate was apparent in the conduct of the working groups themselves. During the working group at the 2004 Sub-Committee on Fish Trade, participating members were told by the US and Japan that debate would not be opened on the substantive sections of the draft MOU that had already been agreed at COFI. This effectively removed the ability of the parties to debate any language used in the draft CITES MOU, and any other aspect of the FAO draft. Instead, debate was to concentrate on the square-bracketed texts. Whether an appropriate balance between efficiency and openness was reached is questionable.

Of interest too is the decision to delay the distribution of the CITES draft MOU at the 2004 Sub-Committee on Fish Trade. During the initial stages of the Plenary, staff from the FAO intimated that the revised CITES draft had been received. After rumblings from the floor (but no formal interventions), in which a number of parties suggested that their views had not been taken into account in the CITES process, the Chair decided to defer its distribution. This action is in apparent breach of the FAO’s rules of procedure, which provide that the views of intergovernmental organisations are to be circulated freely and without abridgement.[256]

These examples suggest that certain states used, and sometimes extended, FAO rules of procedure to constrain open debate and collaboration in the development of the MOU. Within the CITES regime, too, my examples demonstrate that rules of procedure impacted substantively on the MOU text, although the CITES procedures gave rise to different challenges. The CITES procedures provide somewhat more fulsome rights to participate. The Chair of the CITES Standing Committee may invite any person, including a representative of any body or agency, to attend as an observer, provided that ‘any such person, body or agency is technically qualified in protection, conservation or management of wild fauna and flora’.[257] Such observers have the right to participate on certain agenda items as agreed by the Committee, but not to vote.[258] The Committee can withdraw the right of any observer to participate.[259]

Challenges arose in the negotiations leading to the MOU due to the disparate and sometimes contradictory interests of the non-state participants. There is a strong tension between the two NGOs that participated in the CITES Standing Committee working group to negotiate the MOU. One group, the International Fund for Animal Welfare, campaigns on animal welfare and protection.[260] The other, the IWMC, is a pro-utilisation group that seeks to ‘protect the sovereign rights of independent states in their conservation efforts’.[261] The draft preamble of the CITES-Secretariat-led MOU drafts reproduced the view ‘that peoples and States are and should be the best to conserve their own wild fauna and flora’, suggesting that the IWMC successfully influenced the Standing Committee. However, most advocates of fisheries conservation, including most NGOs, would probably not share this wholescale endorsement of the current ability of states to conserve fisheries. This example demonstrates the difficulties of finding the ‘voice’ for marginal interests, including interests in fish sustainability, in regime interaction.

D National Policy Coordination

At various times during the fraught negotiations over the MOU, it was clear that states were unable to reconcile competing interests within their domestic agencies. Fisheries policy and environment protection policy are often developed by different domestic government portfolios and implemented by different agencies. The domestic agencies do not always coordinate or collaborate on marine issues. This problem is exacerbated when domestic agencies have not implemented the core requirements for even one regime. For the CITES regime, for example, approximately half of all CITES parties lack appropriate legislation to implement their obligations.[262]

The lack of national policy coordination impinged upon the development of the MOU. In response to problems in finalising the MOU, the FAO Committee on Fisheries recommended that fisheries delegates work with environmental delegates to achieve a consistency of position.[263]

Collaboration between relevant domestic agencies within countries was therefore seen as a precursor to collaboration between CITES and the FAO.

The need for national policy coordination is not limited to the wrangling over the MOU. Collaboration between domestic agencies is also important for subsequent implementation of CITES obligations. National departments responsible for CITES permits and licences are commonly different from fisheries departments. In Hong Kong, for example, the domestic management authority responsible for administering the CITES licensing scheme is the Agriculture, Fisheries and Conservation Department specific to the Special Administrative Region of Hong Kong. The designated scientific authority is the People’s Republic of China’s Endangered Species Advisory Committee.[264] These functions are separate from Hong Kong’s Trade and Industry Department. In Australia, the management authority and the scientific authority are located in the Department of Environment and Water Resources. This is a separate department from Australia’s Department of Agriculture, Fisheries and Forestry and Department of Foreign Affairs and Trade. By contrast, the US houses the CITES management authority and scientific authority in the Department of the Interior, which includes the United States Fish and Wildlife Service. Its Department of Agriculture’s Animal and Plant Health Inspection Service and the Department of Homeland Security take on enforcement responsibilities for plants. The US has reported that coordination of these agencies takes place through a CITES Coordinating Committee, in which the United States Trade Representative participates, and in subcommittees, including a subcommittee exclusively devoted to marine issues.[265]

The issue of national policy coordination has gained attention in other areas of fisheries governance. In 2006, delegates to the UN Consultative Process commented on the ‘serious coordination and cooperation gap among the [many intergovernmental] organizations and agencies themselves and between national governmental bodies.’[266]

Some delegates concluded that the responsibility for remedying this situation lay with the countries themselves:

It was noted by some that States are responsible for ensuring the necessary cooperation and coordination among the various agencies and that their delegates should better cooperate and coordinate their work through international organizations. Such cooperation and coordination posed a challenge at the national level, where many departments might have oceans-related mandates but did not always work in a coordinated manner.[267]

An improvement to national policy coordination is increasingly discussed as a means of resolving uncertainties about conflicting treaty obligations and other issues associated with the fragmentation of international law. For example, in negotiations over the relationship between WTO agreements and specific trade obligations in MEAs, Australia and the US have submitted that the solution to potential conflicts between treaties lies within domestic coordinating bodies.[268]

This has led, in particular, to the provision about information on domestic policy coordination of CITES commitments by WTO Members.[269] Although it can never be the sole means of achieving regime interaction, national policy coordination is clearly of major importance to fragmented fisheries governance.

IV ENTRENCHING INTERACTION THROUGH THE MOU

The MOU between the FAO and CITES Secretariat entrenches regime interaction. As described in this Part, the final text[270]

requires ongoing exchange of information and sets out a degree of responsibility of each organisation to have regard to that information. Other that this, there is no delimitation of organisational roles. In contrast to the draft proposals described in the previous Part, the MOU makes no reference to any relative competences between the FAO and CITES Secretariat. Instead, it provides for cooperation over marine species conservation in five major areas: information sharing and observation; capacity-building; joint involvement in the CITES listing criteria; consultation and review by FAO of CITES listing proposals; and resource allocation and reporting.

A Information-Sharing and Observership

The MOU provides for communication and regular information-exchange between the FAO and CITES Secretariats, as follows:

The signatories will communicate and exchange information regularly and bring to each other’s attention general information of common interest and areas of concern where there is a role for the other to play. The signatories will be invited as observers to meetings under their respective auspices where subjects that are of common interest will be discussed.[271]

This provision for observership first appeared in the MOU drafts discussed within the FAO; the original CITES draft did not refer to it. Unusually, the MOU drafts did not reflect the possibility of routine observership, as is regularly practised, for example, in some WTO Committees such as the WTO Committee on Trade and Environment. Instead, the MOU provides for ad hoc observership ‘where subjects that are of common interest will be discussed’.

The issue of ‘common interest’ may prove contentious in future applications of the MOU. Its characterisation remains within the discretion of each secretariat. A number of factors could facilitate the awareness of issues of ‘common interest’ and information-exchange outside of the provisions of the MOU. For example, Schermers and Blokker suggest that ‘the prestige of the international civil service’ may stimulate collaboration between IGOs.[272]

On the other hand, they note an opposite effect caused by rivalry between secretariats.[273] The social and professional norms of the FAO and CITES Secretariats may change through practices that develop outside of the context of the MOU, such as staff exchanges,[274] workshops in other forums[275]

and even through the increasing public awareness of fisheries depletion.

The MOU does not address RFMOs and it is unclear whether the information exchange between CITES and the FAO will further facilitate cooperation between CITES and RFMOs. Such cooperation could improve the conservation measures of both CITES and RFMOs, but currently face much resistance, as the example of the Patagonian toothfish — commonly known in North America as Chilean sea bass — makes clear.

In 2002, attempts were made to improve cooperation between CITES and the regional fisheries management organisation of the Antarctic region, Convention on the Conservation of Antarctic Marine Living Resources.[276] Australia sought to address IUU fishing of Patagonian toothfish by linking CITES certification requirements with the catch documentation scheme of CCAMLR.[277] The COP resolved that CITES parties should adopt the relevant catch document used by CCAMLR and implement requirements for verification.[278] The resolution also provided for information sharing and a promotion of the CCAMLR conservation regime among CITES parties. CITES parties were directed to report to the CITES Secretariat on the use and verification requirements of the CCAMLR catch documentation.[279] The CITES Secretariat was directed to compile information on parties’ practices in this regard and invite CCAMLR to consider, at its meetings, how further cooperation between CITES and CCAMLR could be progressed.[280]

Attempts by Australia to update these requirements were not accepted at the following COP in 2004.[281] The CITES Secretariat noted that the CITES treaty text could not serve as a basis for an ongoing reporting mechanism within CITES for the Patagonian toothfish, and that CITES parties should report on their use and verification requirements of the CCAMLR catch documentation scheme directly to CCAMLR, because of ‘insufficient resources [for the CITES Secretariat] to serve as an intermediary for ongoing reporting related to

non-CITES species’[282]

The Patagonian toothfish example is important in two major respects. First, it suggests that a failure to achieve lasting cooperation between CITES and RFMOs such as CCAMLR may be attributed to the background political controversies over the species at issue. The Patagonian Toothfish is imminently endangered. Indeed, Australia had originally sought its listing on CITES Appendix II at the COP in 2002, but withdrew its proposal before the matter went to vote due to opposition from CCAMLR members.[283]

Such controversies will often accompany marine species, as is obvious from the discussion on sharks, seahorses and bluefin tuna. Perhaps if the MOU had called for cooperation between CITES and RFMOs (or indeed a new MOU between CITES and CCAMLR) the cooperation between secretariats would have been less dependent on the opposing wills of states. Secondly, the fact that the Patagonian toothfish has not been accepted as warranting listing in CITES, at least for the present, may be attributed to the problems over institutional collaboration. Commentators have noted that cooperation over documentation and permit schemes is dependent on the prior CITES listing of a species.[284]

The implication is that cooperation will only occur after a species is listed, or at least when a relevant proposal for listing has been lodged with CITES.

B Involvement in CITES Listing Criteria

The CITES listing criteria, which set out biological, trade and other factors for parties to consider when they vote on listing proposals, have been highly controversial in the marine species context.[285]

Revisions to the listing criteria agreed by CITES parties are suggestive of an increasing preference among states for regime interaction, rather than an ex ante assessment of competences.[286]

The MOU provides that the FAO and CITES Secretariat will continue to cooperate on the CITES listing criteria and that the FAO will be involved in future revisions.[287] As described above with reference to the CITES-led drafts, CITES had not originally endorsed the need for the FAO to provide advice or be involved in the revision of CITES listing criteria. In lawyer slang, the matter appeared to be a ‘deal-breaker’ in the final discussions leading to the conclusion of the MOU.

The FAO drafts also implied that the listing criteria were not the only basis for the FAO and CITES Secretariats’ evaluation of proposals for amendments to the CITES Appendices. The following additional sentence questioned the sole basis of the listing criteria for the evaluation of proposals to amend the Appendices: ‘These criteria will be the primary basis for the evaluation of proposals for amendment of the CITES Appendices by the FAO and the CITES Secretariat and for subsequent actions of all CITES Parties.’[288]

Other states opposed the notion that there were additional sources from which to evaluate proposals to amend the CITES Appendices and it was not reproduced in the final MOU. Instead, the MOU provides that the FAO and CITES will work together in their evaluation of proposals to amend the CITES appendices ‘based on the criteria agreed by the parties to CITES’.[289]

The controversies over the CITES listing criteria demonstrate a large disparity between the views of states and the relevant secretariats. The status of, and method of revising, the CITES listing criteria were clearly controversial for some FAO Members. Yet for the secretariats themselves, collaboration was ongoing and successful in this area. The ‘epistemic communities’ within FAO and CITES had already embraced the need for shared understanding about specific scientific and technical issues relevant to aquatic species.[290]

For example, when the CITES listing criteria was revised at the 13th CITES COP in Bangkok in 2004,[291]

the FAO contributed to the revisions. It had convened a technical consultation on the ‘suitability of the CITES Criteria for listing commercially-exploited aquatic species’ in 2001.[292]

This technical consultation was endorsed by the FAO Sub-Committee on Fish Trade, which conveyed it to the CITES Secretariat as the formal input to the CITES review process.[293]

The CITES Secretariat appreciated ‘the fresh perspectives that the involvement of FAO had brought to the process’.[294] Revisions to the listing criteria may be attributed to the FAO’s input. For example, the Preamble now states:

NOTING the objective to ensure that decisions to amend the Convention’s Appendices are founded on sound and relevant scientific information, take into account socio-economic factors, and meet agreed biological and trade criteria for such amendments;[295]

This inclusion may be attributed to the FAO’s emphasis on the ‘best scientific information available’,[296]

although it may well be attributed to the CITES’s own documents.[297]

At any rate, viewed in the light of ongoing collaboration on revisions to the CITES listing criteria, the final MOU reflects a fully established practice between the two IGOs, rather than a novel activity that required agreement by states.

A final point of note about the CITES listing criteria is the relevance of national policy coordination, as described above. When the results of the FAO’s technical consultation on the suitability of CITES listing criteria to commercially exploited aquatic species was conveyed to FAO Members in 2002, FAO Members were reminded that decisions made to list species were made by CITES parties, and that national delegations at CITES meetings should be ‘properly briefed … to take into account the views of the fisheries authorities if fishery matters were to be promoted’.[298]

This view was reiterated by the representative of CITES present at the meeting. He stated that countries should ‘resolve internally any differing views amongst their relevant agencies and departments on the role of CITES and the listing criteria if effective progress was to be made’.[299] Secretariat collaboration and national policy coordination were thus both clearly important in effective regime interaction in the endangered marine species context.

C Consultation and Review of Listing Proposals

The text of CITES requires the CITES Secretariat to consult with the FAO on listing proposals, ‘especially with a view to obtaining scientific data these bodies may be able to provide and to ensuring coordination with any conservation measures enforced by such bodies’.[300] This had led to useful practices, such as scientific and technical evaluations by the FAO on all of the marine species that were proposed for inclusion on the Appendices at the 13th COP. This accompanied other collaboration, such as the heavy involvement of the FAO in the review by the Animal Committee of the significant trade in queen conch. Moreover, the collaboration has worked both ways: the CITES Animal Committee, for example, participated in the development of the FAO

IPOA — Sharks (1999[301] and FAO representatives participated in a CITES workshop on legal issues relating to ‘introduction from the sea’[302]

The MOU builds on these efforts and sets out a process for the FAO to consult with CITES when it evaluates proposals to include, transfer or delete commercially-exploited aquatic species in the CITES Appendices.[303] It is helpful to break the process of consultation down into five steps:

1 The CITES Secretariat will inform the FAO of ‘relevant’ proposals;

2 The FAO will carry out a scientific and technical review of the proposals (usually done by an ad hoc expert panel);

3 The FAO will transmit the result to the CITES Secretariat;

4 The CITES Secretariat will make its own findings and recommendations on the proposals. In doing so, it will take ‘due account’ of the FAO review. In order to ensure ‘maximum coordination of conservation measures’, it will also ‘respect, to the greatest extent possible’ (A) the FAO review of proposals, (B) the technical and legal issues of common interest, and (C) the responses from all the relevant bodies associated with the management of the species in question; and

5 The CITES Secretariat will communicate the FAO views and data, in addition to its own findings and recommendations, to the Parties.

The decision to include a process for consultation over CITES listing is in variance to previous drafts of the MOU. The CITES drafts did not endorse a process for consultations over CITES listings. The FAO drafts, however, had originally indicated that CITES listings should be limited to exceptional cases only and should be contingent on agreement from all relevant management organisations.[304]

The FAO drafts also provided that the CITES Secretariat ‘will incorporate to the greatest extent possible’ the position of the FAO and RFMOs when it gave advice and recommendations to the CITES parties on species listing proposals.[305]

The final MOU is a rather confused compromise that appears to provide two standards for the CITES Secretariat’s deference to the FAO review. On the one hand, the CITES Secretariat is to take ‘due account’ of the FAO review in its evaluation of proposals to amend Appendices I or II.[306] In addition, there is a general reference to the need for CITES to ‘respect, to the greatest extent possible’ the position of the FAO and RFMOs in conservation measures.[307] This terminology remains controversial for several states.[308]

The final phrasing means that it remains unclear whether the standard of deference to the FAO and RFMOs that the CITES Secretariat must follow in its recommendations on proposals for listings of marine species is one of ‘due account’ or one of the greatest possible ‘respect’.

Recent practice has demonstrated the difficulties of implementing this arrangement. In 2007, Germany proposed the Appendix II listing of two shark species.[309] The FAO convened an ad hoc expert panel which reviewed the proposals and concluded that the available evidence did not support the proposed listing on Appendix II.[310] Germany did not agree with the FAO conclusions on the grounds of disputed methodology.[311] The FAO responded with a detailed defence of its methodology by reference to the CITES listing criteria.[312] When the proposals came to be voted upon, they each failed to meet the required two-thirds majority and were rejected.[313]

The difference in interpretation (or, at the least, application) of the CITES listing criteria between the FAO and CITES Secretariat has caused some tension between the organisations.[314] It is clear that the MOU’s provision for the CITES Secretariat to ‘respect’ and take ‘due account’ of FAO recommendations will remain as controversial as the underlying political issues relating to the species themselves. This is also clear from the reporting practices of the secretariats, which form a separate area of potential cooperation under the MOU.

D Reporting and Resource Allocation

The MOU provides that the FAO and the CITES Secretariat will allocate specific resources for activities carried out jointly under the MOU.[315] It further provides that the secretariats to CITES and the FAO will periodically report on work completed under the MOU to the CITES COP and the FAO Committee on Fish Trade, respectively.[316] This provision reflects some of the suggestions for review made by the CITES drafts. Left out of the final MOU, however, was a process by which the secretariats would meet annually to discuss implementation and prepare joint work plans, which was suggested by the CITES drafts. FAO member states appeared to have preferred a unilateral review of the CITES COP. An example is the FAO’s review on the assessment of proposals to amend the CITES Appendices, which are conducted by ad hoc FAO Expert Advisory panels.[317]

The FAO Sub-Committee on Fish Trade has resolved that after each CITES COP, the FAO ‘should undertake an evaluation of whether the recommendations of the ad hoc Expert Advisory Panel had been taken into account and, if not, why they had not been’.[318]

E Capacity Building and Compliance

The MOU provides for cooperation between the Secretariats to facilitate capacity building:

The signatories will cooperate as appropriate to facilitate capacity building in developing countries and countries with economies in transition on issues relating to commercially-exploited aquatic species listed on the CITES Appendices.[319]

The CITES-led drafts had sought cooperation on capacity building for a wider range of issues. Cooperation was sought on the building of capacity for a broad range of issues relating to commercially exploited aquatic species,[320]

regardless of whether such species had been listed on the CITES Appendices. The final MOU limits the ambit of cooperation to species that have already entered CITES’s jurisdiction by dint of inclusion in the Appendices. This constraint also exists for information-sharing and observership, as noted above.[321]

The CITES-led drafts also sought cooperation to build capacity for law enforcement.[322]

The final MOU did not reproduce this provision, although the need for cooperation to build the capacity of states to enforce compliance with CITES may be implied by the reference to cooperation on ‘issues relating to commercially exploited aquatic species listed on the CITES Appendices’.[323] The lack of express recognition of the benefits of cooperation in enforcement has implications not only for CITES obligations but also for the compliance of related FAO instruments.

Compliance with CITES obligations is currently rather weak. CITES relies on individual parties to enforce international trade restrictions within their borders, yet national implementation rates are poor.[324]

Similarly, the FAO instruments such as the IPOA — Sharks (1999) suffer from poor implementation, and the measures such as the FAO Code of Conduct are voluntary and unenforceable. That is not to say that these instruments have no effect on conservation, but rather that there is real scope for improvement of compliance within both regimes.

A lack of capacity is often a core reason for non-compliance.[325] The MOU addresses capacity-building.[326] Yet, it does not include suggested provisions that would have provided for cooperation in enforcement.[327]

The lack of recognition of the benefits of cooperation in enforcement might be a missed opportunity, not only for enforcement of CITES obligations but also for related compliance issues for FAO instruments and other obligations arising from the law of the sea. Observers of overlapping fisheries regimes have suggested that the effectiveness of regimes is enhanced when ‘capabilities under one regime are used to induce compliance under another’.[328] I have made similar observations with respect to the interaction between the WTO and fisheries regimes elsewhere.[329]

Monitoring is considered to be one of the most important measures for effective international policies for transboundary and common problems.[330] Monitoring could be enhanced by the use of disparate techniques such as CITES’s certification requirements and the FAO’s monitoring of stocks. The regular information sharing and observership entrenched in the MOU may well facilitate such ideas. Yet the MOU does not entrench periodic review of its own provisions. Ongoing monitoring of the collaborative arrangements between the FAO and the CITES Secretariat is instead subject to unilateral initiatives. That said, the high political and economic stakes in the listing of marine species probably means that attention and interest in the MOU will not wane.

V CONCLUSION

This article has examined regime interaction in efforts to protect endangered marine species. Under the auspices of the CITES regime, member states are increasingly seeking to restrict the trade of commercially lucrative species such as sharks, seahorses and bluefin tuna. Moves to restrict trade will affect significant political and economic interests, and some states prefer alternative conservation and management tools that are used in regimes such as the FAO. Opposition to CITES’s role has therefore been expressed against the background of a fragmented international legal order. Several states have sought to restrict CITES’s role by drafting provisions in a Memorandum of Understanding between the FAO and the CITES Secretariat that would give the former a power of veto in proposals to list marine species. This is an example of the complexities of regime interaction and the article has sought to investigate the development and application of the MOU in this context.

Although the opposition to CITES’s listing of marine species has been presented by some states as a response to potentially ‘conflicting norms’, there is a large degree of compatibility between the law of the sea, the FAO fisheries management regime and CITES. Instead, allegations of conflicting norms are often forum-shopping strategies by major fishing states that oppose CITES’s listing of marine species or are concerned about increased costs and a perceived lack of expertise and institutional bias within CITES. This suggests that international lawyers should critically consider the interaction between relevant regimes, and the motives of those seeking ‘coherence’, before they deploy techniques to resolve conflicting norms. Indeed, in the CITES–FAO context, attempts to resolve conflicting norms, such as according priority to successive treaties, are inconclusive. More understanding is needed about regimes and the interaction between them if problems of fragmentation and the diversification of international law are to be addressed,[331]

and the article sought to contribute to such an understanding. It did so by adopting an institutional perspective that detailed the interests and sensitivities within states and organisations, as well as the impacts of laws and processes for collaboration.

Documenting the regime interaction between CITES and the FAO requires a close understanding of the regimes themselves. Concepts that are represented by some states as ‘agreed’ within regimes should be subject to ongoing scrutiny. For example, in opposing the role of CITES, some states implied that the CITES regime embraced a precautionary approach to regulation while fisheries laws required more rigorous scientific results. Contrary to these claims, however, the law of the sea, the FAO regime and CITES all adopt precautionary approaches in different contexts. As a further example, some states misrepresented the discourse of ‘development’ to claim within the FAO that the CITES regime disadvantaged developing countries. These arguments fail to acknowledge the pluralist interests of developing countries. The article has demonstrated the need to avoid essentialist and simplistic assumptions about regimes when investigating (or entrenching) regime interaction.

An understanding of the political sensitivities behind debates over legal fragmentation is also essential when examining the interaction between regimes. It is useful, for example, to place the motives of the states that contested CITES’s role in a wider context. Japan, as just one illustration, has been a party to CITES since 1980, UNCLOS since 1996, and the Fish Stocks Agreement since 2006. It has been a member of the FAO since 1951. Its opposition to CITES is not based on a lack of consent to international fisheries law, but rather by its preference for a form of fisheries management that does not involve restricting trade through CITES listings. Like its opposition to the development of fisheries subsidies disciplines in the WTO,[332]

Japan’s motivation to question the competence of CITES is based on a desire to control the form of international fisheries management, and perhaps even the forum.

In the context of the high political and economic stakes involved in CITES listings of marine species, the article described in detail the negotiations to develop the MOU. Attempts made over the course of three years to restrict CITES’s role in listing marine species demand legal analysis. If, for example, the attempts to restrict CITES’s role are conceived as a form of treaty amendment, the MOU as proposed by Japan would have been subject to additional procedural requirements for CITES parties. However, the MOU is more correctly assessed as an agreement between the FAO and the CITES Secretariat, rather than between their respective members. As such, the FAO and the CITES Secretariat must act within their powers in agreeing on an MOU, and any amendment to CITES’s role in listing marine species would have been ultra vires.

The article revealed that rules of procedure within the FAO and CITES regime served to facilitate or constrain discussion on the MOU. Observers and even participating states were excluded from certain working groups. A further impediment to the MOU’s development was a lack of national policy coordination on fisheries issues. By contrast, several procedures for cooperation between the epistemic communities within the FAO and the CITES Secretariat were being followed well before, and perhaps despite, the development of the MOU.

Now entrenched, the MOU itself provides promising indications for cooperation, although there are a number of constraints. One is the ad hoc nature of mutual observership, which is tied to a rather disputable concept of ‘common interest’. Although capacity building is a welcome development, it could have been extended further to cover species that are not yet listed on the CITES Appendices. In addition, the requirement that the CITES Secretariat must ‘respect, to the greatest extent possible’ and take ‘due account’ of the FAO review of listing proposals is rather fraught, as the recent attempt to list two shark species demonstrates. Furthermore, when considered in the context of the need to enhance compliance with CITES and FAO instruments, the MOU could have generated more proactive management, especially of enforcement.

The example of the institutional collaboration between the FAO and CITES Secretariat has wider implications. As a model for promoting institutional collaboration between regimes, the CITES–FAO MOU may be a potentially significant precedent, with some states already calling for a similar agreement between the FAO and the WTO.[333] This article’s close description and analysis of regime interaction in efforts to protect endangered marine species will be invaluable given the increased pressures on international regimes to work together to address global problems. Equally important is a consideration of how regime interaction should occur, as informed by the challenges and problems encountered in the protection of endangered marine species. That normative question, however, must be saved for another time.[334]


[*] BA, LLB (Hons) (Melb); LLM, PhD (Cantab). Senior Lecturer, University of Melbourne Law School. The author would like to thank James Crawford, Joanne Scott and the anonymous referees for helpful comments, and also to acknowledge assistance provided by officials and delegates at the FAO and the CITES Secretariat. This article forms part of a wider research project that will be published as Trading Fish, Saving Fish: The Interaction between Regimes in International Law (Cambridge University Press, forthcoming, 2011).

[1] On ‘regimes’, see below pt IIA.

[2] See United Nations Convention of the Law of the Sea, opened for signature 10 December 1982, 1833 UNTS 3 (entered into force 16 November 1994) (‘UNCLOS’).

[3] The FAO is a specialised UN agency established in 1945: see Charter of the United Nations art 57 (‘UN Charter’); Constitution of the Food and Agriculture Organization art XII (‘FAO Constitution’).

[4] Opened for signature 3 March 1973, 933 UNTS 243 (entered into force 1 July 1975).

[5] ILC, Fragmentation of International Law: Difficulties Arising from the Diversification and Expansion of International Law, UN GAOR, 58th sess, UN Doc A/CN.4/L.702 (18 July 2006) (‘Report of the ILC Study Group’). See also associated analytical study finalised by the Chairman, UN GAOR, 58th sess, UN Docs A/CN.4/L.682 and Corr.1

(13 April 2006) (‘ILC Analytical Study’).

[6] Such issues underlie the situation of conflicting norms: see Martti Koskenniemi and Päivi Leino, ‘Fragmentation of International Law? Postmodern Anxieties’ (2002) 15 Leiden Journal of International Law 553.

[7] Agreed by CITES and FAO in September – October 2006. See Strategic and Administrative Matters: Cooperation with the Food and Agriculture Organization of the United Nations, CITES Standing Committee, 53rd mtg, CITES SC53 Doc 10.1 (27 June – 1 July 2005) and FAO, Fisheries Report No 807: Report of the Tenth Session of the Sub-Committee on Fish Trade (FAO, 2006) Appendix F (‘FAO/CITES Memorandum of Understanding’). See below n 168 and accompanying text.

[8] For an example of this disagreement, see the failed attempts to list bluefin tuna on the CITES appendices earlier this year: see below n 63 and accompanying text.

[9] For fish stock groups monitored by the FAO, 20 per cent are underexploited or moderately exploited, 52 per cent are fully exploited and 28 per cent are either over exploited, depleted or recovering from depletion: see FAO, The State of World Fisheries and Aquaculture (FAO, 2008) 7. Some scientists have projected the collapse of seafood-producing species stocks by 2048: Boris Worm et al, ‘Impacts of Biodiversity Loss on Ocean Ecosystem Services’ (2006) 314 Science 787, 790 (defining collapse as ten per cent of unfished biomass).

[10] The two largest fish are the whale shark and the basking shark respectively; both species are now recognised as under threat: see below n 55 and accompanying text.

[11] For example, in Australia and the UK, picked dogfish and other species are marketed as ‘flake’: Stefania Vannuccini, ‘Shark Utilization, Marketing and Trade’ (Fisheries Technical Paper No 389, FAO, 1999) [6.1.1].

[12] FAO statistics indicate that production of fresh, frozen and cured chondrichthyan meat and fillets increased from nearly 18 000 tonnes in 1976 to 34 500 tonnes in 1986 and 69 300 tonnes in 1997. Exports in 1997 were valued at US$131.5 million: ibid [6.1.3].

[13] FAO statistics, which only partially record the relevant data due to incomplete reporting by countries, indicate that world production of shark fins has increased from 1800 tonnes in 1976 to 6030 tonnes in 1997: ibid [6.2.8].

[14] 1997 exports were valued at US$90.4 million: ibid.

[15] See Terence I Walker, ‘Can Shark Resources be Harvested Sustainably?’ (1998) 49 Marine and Freshwater Research 553 (reviewing biological characteristics and noting different productivity rates of species).

[16] Alok Jha, ‘Shark Species Face Extinction amid Overfishing and Appetite for Fins’ Guardian (London) 18 February 2008 11. See IUCN (2010) The IUCN Red List Website <www.iucnredlist.org>.

[17] Pamela S Turner, ‘Struggling to Save the Seahorse’ National Wildlife (6 January 2005).

[18] N C Perante et al, ‘Biology of a Seahorse Species, Hippocampus Comes in the Central Philippines’ (2002) 60 Journal of Fish Biology 821.

[19] International Union for Conservation of Nature and Natural Resources (2010) The IUCN Red List Website <www.iucnredlist.org>.

[20] Josué Martínez-Garmendia and James L Anderson, ‘Conservation, Markets, and Fisheries Policy: The North Atlantic Bluefin Tuna and the Japanese Sashimi Market’ (2005)

21 Agribusiness 17, 17.

[21] Robin McKie, ‘Push to Ban Trade in Endangered Bluefin Tuna’ The Observer (online)

14 February 2010 <http://observer.guardian.co.uk> .

[22] Harry N Scheiber, Kathryn J Mengerink and Yann-huei Song, ‘Ocean Tuna Fisheries, East Asian Rivalries, and International Regulation: Japanese Policies and the Overcapacity/IUU Fishing Conundrum’ (2007) 30 University of Hawai’i Law Review 97, 111, citing the Japanese Ministry for Agriculture, Forest and Fishing.

[23] Carolyn Deere, Net Gains: Linking Fisheries Management, International Trade and Sustainable Development (IUCN, 2000) 1991, and sources cited therein.

[24] See, eg, the proposed or existing ecotourism operations based on whale shark viewing in Western Australia (Ningaloo Reef), KwaZulu-Natal (South Africa), Mozambique, Philippines, Seychelles, Maldives, parts of the Caribbean, and Gulf of California (Mexico); Consideration of Proposals for Amendment of Appendices I and II, Conference of the Parties to CITES, 12th mtg, Doc No Prop 12.35 (3–15 November 2002).

[25] The FAO estimates that between 15 and 20 per cent of all animal proteins consumed worldwide come from aquatic animals: see FAO, Focus: Fisheries and Food Security (2010) <www.fao.org/FOCUS/E/fisheries/intro.htm>.

[26] In international relations scholarship, Stephen Krasner has defined regimes as ‘sets of implicit or explicit principles, norms, rules, and decision-making procedures around which actors’ expectations converge in a given area of international relations’: Stephen D Krasner, ‘Structural Causes and Regime Consequences: Regimes as Intervening Variables’, in Stephen D Krasner (ed) International Regimes (1983) 1, 3. See also Oran Young, International Cooperation: Building Regimes for Natural Resources and the Environment (Cornell University Press, 1989). Other definitions have widened the term to include institutions: see, eg, Steven R Ratner, ‘Regulatory Takings in Institutional Context: Beyond the Fear of Fragmented International Law’ (2008) 102 American Journal of International Law 475, 485.

[27] See, eg, Anja Lindroos and Michael Mehling, ‘Dispelling the Chimera of “Self-Contained Regimes”: International Law and the WTO’ (2006) 16 European Journal of International Law 857.

[28] See, eg, efforts to restrain fisheries subsidies, which are discussed in Margaret A Young, ‘Fragmentation or Interaction: the WTO, Fisheries Subsidies, and International Law’ (2009) 8 World Trade Review 477.

[29] The relevance of the WTO regime, whose growing impacts on endangered marine species such as turtles was demonstrated most famously in the Shrimp/Turtle cases (see Appellate Body Report, United States — Import Prohibition of Certain Shrimp and Shrimp Products, WTO Doc WT/DS58/AB/R (12 October 1998) DSR 1998:VII, 2755 and

WTO Doc WT/DS58/AB/RW (21 December 2001) DSR 2001:XIII, 6481) is considered elsewhere. See generally Margaret A Young, Trading Fish, Saving Fish: The Interaction between Regimes in International Law (Cambridge University Press, forthcoming, 2011).

[30] 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, opened for signature 4 December 1995, 2167 UNTS 9 (entered into force 11 December 2001) (‘Fish Stocks Agreement’).

[31] Signed 23 June 1979, 1651 UNTS 333 (entered into force 1 November 1983) (‘CMS’). For parties, see United Nations Environment Programme, Parties to the Convention on the Conservation of Migratory Species of Wild Animals and Its Agreements (10 October 2010) Convention on Migratory Species <http://www.cms.int/about/Partylist_eng.pdf> .

[32] Opened for signature 5 June 1992, 1760 UNTS 79 (entered into force 29 December 1993) (‘CBD’).

[33] See UNCLOS arts 55–75, especially art 57. See generally William Burke, The New International Law of Fisheries: UNCLOS 1982 and Beyond (Oxford University Press, 1994).

[34] This leads to the scenario of tragedy of the commons, as most famously described by Hardin, where multiple users vie for access and face disincentives in attempts to adopt conservation measures (because such measures might benefit competitors that

remain outside any regime): Garrett Hardin, ‘The Tragedy of the Commons’ (1968)

162 Science 1243.

[35] Fish Stocks Agreement art 5.

[36] Species-specific RFMOs such as the International Commission for the Conservation of Atlantic Tunas (‘ICCAT’) have a major role in the management of commercially exploited marine species, but are not considered separately in the current article. See generally

M J Peterson, ‘International Fisheries Management’ in Peter Haas, Robert Keohane and Marc Levy (eds) Institutions for the Earth: Sources of Effective International Environmental Protection (MIT Press, 1993) 249 and Stuart Kaye, International Fisheries Management (Kluwer Law, 2001).

[37] See generally Tore Henriksen, Geir Hønneland and Are Sydnes, Law and Politics in Ocean Governance: The UN Fish Stocks Agreement and Regional Fisheries Management Regimes (Martinus Nijhoff, 2006).

[38] This describes the situation when companies, mainly from the European Union and Taiwan, register their vessels with increasingly lax jurisdictions, such as Belize: see generally Matthew Gianni and Walt Simpson, ‘The Changing Nature of High Seas Fishing: How Flags of Convenience Provide Cover for Illegal, Unreported and Unregulated Fishing’ (Independent report funded by Australian Government Department of Agriculture,

Fisheries and Forestry, International Transport Workers’ Federation and WWF International, October 2005).

[39] There are 191 members of the FAO: FAO, FAO Membership (2010) <http://www.fao.org/

unfao/govbodies/membernations3_en.asp>. FAO Members can apply to participate in COFI, which currently numbers 137 participants: see FAO, Committee on Fisheries (2010) <http://www.fao.org/fishery/about/cofi/en> . In 1986, COFI established a Sub-Committee on Fish Trade (‘COFI-FT’): see FAO, COFI Subcommittee on Fish Trade (2010) Fisheries and Agriculture Department <http://www.fao.org/fishery/about/cofi/trade/en> .

[40] Opened for signature 24 November 1993, 2221 UNTS 91 (entered into force 24 April 2003) (‘Compliance Agreement’). The Compliance Agreement entered into force after its 25th acceptance: see art 11. Contracting parties include the European Community, Argentina, Benin, Canada, Cyprus, Georgia, Japan, Madagascar, Myanmar, Namibia, Norway, Seychelles, Sweden, Tanzania, US, Uruguay and Australia.

[41] FAO, Code of Conduct for Responsible Fisheries (2005) (‘FAO Code of Conduct’).

[42] See FAO, ‘International Plan of Action for Reducing Incidental Catch of Seabirds in Longline Fisheries’ (‘IPOA — Seabirds (1999)’) and FAO, ‘International Plan of Action for the conservation and management of sharks’ (‘IPOA — Sharks (1999)’); FAO, ‘International Plan of Action for the Management of Fishing Capacity’ (‘IPOA — Capacity (1999)’); FAO, ‘International Plan of Action to Prevent, Deter and Eliminate Illegal, Unreported and Unregulated Fishing’ (2001) (‘IPOA — IUU Fishing’).

[43] Ibid.

[44] See also Holly Edwards, ‘When Predators Become Prey: The Need for International Shark Conservation’ (2007) 12 Ocean and Coastal Law Journal 305, 308, 323–4.

[45] The new Port State Measures to Prevent, Deter and Eliminate Illegal, Unreported and Unregulated Fishing, opened for signature 22 November 2009 (not yet in force) was adopted by the FAO in 2009 but has not yet entered into force. It is expected to have a major role in addressing the depletion of endangered marine species, especially through IUU fishing. It is not considered further in the present article.

[46] CMS art IV states that Appendix II covers migratory species which have an unfavourable conservation status, or which have a conservation status ‘which would significantly benefit from the international co-operation that could be achieved by an international agreement’.

[47] See Third Meeting on International Cooperation on Migratory Sharks. Under the Convention on Migratory Species, 8–12 February 2010, Manila, Philippines (Signature by The Philippines, Senegal, Togo, USA, Republic of Congo, Costa Rica, Ghana, Guinea, Liberia and Palau): CMS, Meeting on International Cooperation on Migratory Sharks under the Convention on Migratory Species (2010) <www.cms.int/bodies/meetings/

regional/sharks/sharks_meetings.htm>.

[48] See CBD art 1: ‘the conservation of biological diversity [including from all marine sources and aquatic ecosystems], the sustainable use of its components and the fair and equitable sharing of the benefits arising out of the utilization of genetic resources’. The incorporation of marine sources and aquatic ecosystems into the definition of biological diversity is found in art 2. See also CBD, ‘Decision on the Conservation and Sustainable Use of Marine and Coastal Biological Diversity of the Convention on Biological Diversity’, A/51/312,

annex II, decision II/10 (‘Jakarta Mandate on Marine and Coastal Biodiversity’).

[49] The areas outside national jurisdiction are less certain: see Christopher C Joyner, ‘Biodiversity in the Marine Environment: Resource Implications for the Law of the Sea’ (1995) 28 Vanderbilt Journal of Transnational Law 635.

[50] CITES, List of Contracting Parties (2010) <http://www.cites.org/eng/disc/parties/

index.shtml>. For FAO membership, see above n 39.

[51] CITES art IV.

[52] See, eg, WWF, TRAFFIC, IUCN, ‘Regulating International Trade in Commercial Marine Fisheries Products’ (2002) 4.

[53] The reviews were instituted due to concern about a lack of implementation of CITES management measures such as population assessments: see CITES Resolution Conf 12.8 (Rev COP13). On queen conch, see CITES Doc AC19/WG3/Doc.1(2003) 35.

[54] CITES Resolution Conf 9.17.

[55] See generally Chris Wold, ‘Natural Resource Management and Conservation: Trade in Endangered Species’ (2002) 13 Yearbook of International Environmental Law 389, 646–7.

[56] Stefania Vannuccini, Shark Utilization, Marketing and Trade (Fisheries Technical Paper No 389, FAO, 1999) Appendix II: Commercially Important Shark Species by Country (by Sei Poh Chen).

[57] For comments on the Philippines’s conflicting interests in whale shark meat and

eco-tourism, see Wold, above n 55, 393.

[58] See generally Wold, above n 55, 393–4. Subsequent reservations to the seahorses listings were entered into by Indonesia, Japan, Norway and South Korea.

[59] CITES, Notification to the Parties: Amendments to the Appendices I and II of the Convention, Notification No 2004/073 (19 November 2004) 3 <www.cites.org/eng/notif/

2004/073.pdf> (Orcaella brevirostris). Japan, Norway, and Gabon opposed this proposal. Japan entered a reservation to the listing.

[60] Ibid 4 (carcharodon carcharias). The listing of the great white shark, which already appeared in Appendix III, was proposed by Australia and Madagascar. Palau entered a reservation in 2004 and Iceland, Japan and Norway entered a reservation in 2005.

[61] Proposals included extending CITES coverage to two other sharks, and certain species of coral, cardinelfish, sawfish and lobster: CITES, ‘CITES Conference to Consider New Trade Rules for Marine, Timber and Other Wildlife Species’ (Press Release, May 2007) <http://www.cites.org/eng/news/press/2007/0705_presskit.shtml> .

[62] See ‘EC Backs Proposed Bluefin Tuna CITES Addition’, Bridges Trade BioRes (Geneva, Switzerland), 18 September 2009, 4; ‘Bluefin Tuna Ban Receives Conditional Support from France’, Bridges Trade BioRes (Geneva, Switzerland), 5 February 2010. Sweden and Kenya both sought unsuccessfully to list the Atlantic bluefin tuna on CITES in 1992 and 1994. See Erik Franckx, ‘The Protection of Biodiversity and Fisheries Management: Issues Raised by the Relationship between CITES and LOSC’ in David Freestone, Richard Barnes and David Ong (eds) The Law of the Sea: Progress and Prospects (Oxford University Press, 2006) 210, 216.

[63] ‘CITES Member Countries Strike Down Bluefin Tuna Ban’, Bridges Trade BioRes (Geneva, Switzerland), 19 March 2010.

[64] CITES art XV.

[65] Ibid art I(c).

[66] Ibid art I(e).

[67] Ibid arts III(5), IV(6), IV(7).

[68] CITES, travaux preparatoires, Summary Record — Tenth Plenary Session,

20 February 1973 CITES Doc SR/10 (Final) (5 March 1973) 3, cited in Franckx, above n 62, 224–5.

[69] Opened for signature 2 December 1946, 161 UNTS 74 (entered into force 10 November 1948). See also the statement by the Delegate of Japan on ‘Introduction from the Sea’

(Doc PR/11, 21 February 1973) 2–3, cited in Franckx, above n 62, 224.

[70] CITES arts XIV(4), XIV(5).

[71] Ibid art XIV(6).

[72] CITES Resolution Conf 2.8(1979) (now included in Conf 11.4 (Rev CoP12).)

[73] FAO, FAO Fisheries Report No 746: Report of the Expert Consultation on Legal Issues Related to CITES and Commercially-Exploited Aquatic Species (FAO, 2004) (‘FAO Expert Consultation on Legal Issues’), [18].

[74] FAO, Report No 673: Report of the Eighth Session of the Sub-Committee on Fish Trade (FAO, 2002) [22], Appendix F. See also Franckx, above n 62.

[75] Introduction from the Sea, CITES Conference of the Parties to CITES, 14th mtg, CITES

Doc Resolution Conf 14.6 (3–15 June 2007).

[76] Ibid.

[77] See ‘Interpretation and Implementation of the Convention: Trade Control: Introduction from the Sea’ (15 August 2006) CITES Standing Committee, 54th mtg, CITES SC54 Doc 19

(2–6 October 2006) 4.

[78] CITES Resolution Conf 11.1, ‘Establishment of Committees’, Conference of the Parties to CITES, 11th mtg (10–20 April 2000) (Rev COP14).

[79] Ibid.

[80] Laura Little and Marcos A Orellana, ‘Can CITES Play a Role in Solving the Problems of IUU Fishing? The Trouble with Patagonian Toothfish’ (2004) 16 Colorado Journal of International Environmental Law and Policy 21, 77.

[81] Ibid.

[82] James B Murphy, ‘Alternative Approaches to the CITES “Non-Detriment” Finding for Appendix II Species’ (2006) 36 Environmental Law 531, 533.

[83] CITES Resolution Conf 9.24 (Rev COP14), ‘Criteria for Amendment of Appendices I and II’, COP9 (7–18 November 1994), revised at COP14 (3–15 June 2007) (‘CITES listing criteria (2007)’).

[84] See, eg, FAO, Fisheries Report No 667: Second Technical Consultation on the Suitability of the CITES Criteria for Listing Commercially-Exploited Aquatic Species (FAO, 2001).

[85] CITES art XV; CITES listing criteria, above n 83, annex 4.

[86] FAO Expert Consultation on Legal Issues, above n 73, [31].

[87] For example, the Biosafety Protocol to the CBD enshrines a precautionary approach in order that states importing genetically modified products exercise precaution in the face of scientific uncertainty, yet the application of the precautionary principle in the WTO is far from certain: see, eg, Margaret A Young, ‘The WTO’s Use of Relevant Rules of International Law: An Analysis of the Biotech Case’ (2007) 56 International and Comparative Law Quarterly 907, 915.

[88] Fish Stocks Agreement art 6.

[89] FAO Code of Conduct art 6.5.

[90] The responsibilities of states and RFMOs for collecting and exchanging data for stock assessments are set out in: the Fish Stocks Agreement art 12; FAO Code of Conduct art 6.4; Compliance Agreement.

[91] FAO Constitution art XI.

[92] FAO, Strategy for Improving Information on Status and Trends of Capture Fisheries (FAO, 2003), approved by consensus at COFI on 28 February 2003. See also FAO, The State of World Fisheries and Aquaculture (FAO, 2002) 61, which states that ‘deliberate misreporting or non-reporting by legal and illegal fishers and other participants (processors, traders) is cited by most managers as a key problem’.

[93] See FAO Expert Consultation on Legal Issues, above n 73, [25].

[94] FAO, Report No 673, above n 74, [16]; FAO, FAO Fisheries Report No 741: Report

of the Expert Consultation on Implementation Issues Associated with Listing

Commercially-Exploited Aquatic Species on CITES Appendices (FAO, 2004) [79]–[80] (‘FAO Expert Consultation on Implementation’).

[95] CITES listing criteria, above n 83. Cooney discusses how initial prohibitions on the trade of such species as elephants had counterproductive effects in poor areas of developing countries because there were minimal incentives for local communities to protect species that could not be legally traded: Rosie Cooney ‘CITES and the CBD: Tensions and Synergies’ (2001) 10 Review of European Community and International Environmental Law 259, 265–6; Timothy Swanson, ‘The Evolving Trade Mechanisms in CITES’ (1992)

1 Review of European Community and International Environmental Law 57, which argues that CITES failed to recognise that habitat loss and population pressures were the main factors in species extinction.

[96] FAO Code of Conduct art 6.2; FAO Conference, Reykjavik Declaration on Responsible Fisheries in the Marine Ecosystem, 31st sess, FAO Doc C 2001/INF/25 Appendix I

(13 November 2001); Report of the World Summit on Sustainable Development,

UN Doc A/CONF.199/20 (26 August – 4 September 2002) 23 [30(d)]; Kaye, above n 36, 267–86.

[97] CBD art 2; CBD, COP5 Decision, ‘Ecosystem Approach’, Nairobi, 15–26 May 2000 (Decision V/6); CBD, COP7 Decision, ‘Ecosystem Approach’, Kuala Lumpur,

9–20 February 2004 (Decision VII/11).

[98] See, eg, UNCLOS Preamble, art 203; Fish Stocks Agreement Part VII (arts 25, 26 and 27); FAO Code of Conduct art 5.2; CBD Preamble, art 1. For approach within CITES,

see above n 95.

[99] FAO, The State of World Fisheries and Aquaculture (FAO, 2006) 44.

[100] See Wold, above n 55, 393–4. Note also the ‘global’ nature of migratory fish resources, which contrast in practical terms with land-based species such as the elephants, whose listing on CITES was perceived by some as ‘stealing opportunities’ from African nations.

[101] FAO Expert Consultation on Legal Issues, above n 73.

[102] Ibid [38].

[103] Ibid.

[104] UNCLOS arts 61, 297.

[105] Ibid arts 116–19. This was also the conclusion of the FAO Expert Consultation on Legal Issues, above n 73.

[106] FAO Expert Consultation on Legal Issues, above n 73, [34].

[107] Ibid.

[108] This right is also preserved by the WTO regime. See General Agreement on Tariffs and Trade, opened for signature 30 October 1947, 55 UNTS 187, (entered into force 1 January 1948) art XX.

[109] CITES art II(2)(b) states that Appendix II applies to ‘other species which must be subject to regulation in order that trade in specimens of certain species referred to in sub-paragraph (a) of this paragraph may be brought under effective control’. See also CITES listing criteria, above n 83, annex II(b).

[110] FAO Expert Consultation on Implementation, above n 94, [50].

[111] Ibid [49].

[112] Ibid [85(9)].

[113] CITES art I(a) allows species to be identified according to geographically separate populations.

[114] FAO Expert Consultation on Implementation, above n 94, [61].

[115] Ibid [85(6)].

[116] Ibid [85(9)].

[117] Ibid [59].

[118] Report of the ILC Study Group, UN Doc A/CN.4/L.702.

[119] See Vienna Convention on the Law of Treaties, opened for signature 23 May 1969, 1155 UNTS 331 (entered into force 27 January 1980) art 30 (‘VCLT’). See Report of the ILC Study Group, UN Doc A/CN.4/L.702, 17–19 conclusions (24)–(30).

[120] Report of the ILC Study Group, UN Doc A/CN.4/L.702, 8–9 conclusion (5), citing, in particular, The Mavrommatis Palestine Concessions (Greece v United Kingdom) (Judgment) [1924].

PCIJ (ser A) No 2, 31.

[121] VCLT art 31(3)(c): see Report of the ILC Study Group, UN Doc A/CN.4/L.702, 13–17 conclusions (17)–(23).

[122] See, eg, UN Charter art 103; see Report of the ILC Study Group, UN Doc A/CN.4/L.702, 22 conclusion (36).

[123] Franckx, above n 62, 216.

[124] Ibid.

[125] Ibid 228.

[126] Ibid 231–2.

[127] Note the presentiment of the ILC itself on establishing the priority of norms from different regimes: see Report of the ILC Study Group, UN Doc A/CN.4/L.702, 17 conclusion (25).

[128] See C Wilfred Jenks, ‘Conflict of Law-Making Treaties’ (1953) 30 British Year Book of International Law 401, 427–9.

[129] Joost Pauwelyn, Conflict of Norms in Public International Law (Cambridge University Press, 2003) 242–4: warning of the limits of the presumption against conflict, because if one presumes an absence of conflict, one might be biased towards continuity and away from change.

[130] Franckx, above n 62, 232, paraphrasing Birnie and Boyle’s analysis of CITES and land-based species in Patricia Birnie and Alan Boyle, International Law and the Environment (Oxford University Press, 2nd ed, 2002) 634–5.

[131] The ILC’s mandate is noted at ILC Analytical Study, above n 5, 13.

[132] Ibid 249.

[133] Andreas Fischer-Lescano and Gunther Teubner, ‘Regime-Collisions: The Vain Search for Legal Unity in the Fragmentation of Global Law’ (2004) 25 Michigan Journal of International Law 999; Oren Perez, Ecological Sensitivity and Global Legal Pluralism: Rethinking the Trade and Environment Conflict (Hart, 2004). See also Galit Sarfaty, ‘Why Culture Matters in International Institutions: The Marginality of Human Rights at the World Bank’ (2009) 103 American Journal of International Law 647.

[134] José Alvarez, International Organizations as Law-Makers (Oxford University Press, 2005).

[135] Peter Haas, ‘Introduction: Epistemic Communities and International Policy Coordination’ (1992) 46 International Organization 1.

[136] See, eg, Olav Schram Stokke (ed), Governing High Seas Fisheries: The Interplay of Global and Regional Regimes (Oxford University Press, 2001); see also Sebastian Oberthür and Thomas Gehring (eds), Institutional Interaction in Global Environmental Governance: Synergies and Conflict among International and EU Policies (MIT Press, 2006).

[137] Kal Raustiala and David Victor, ‘The Regime Complex for Plant Genetic Resources’ (2004) 58 International Organization 277; Robert Keohane and David Victor, ‘The Regime Complex for Climate Change’ (Discussion Paper No 10-33, Harvard Project on International Climate Agreements, Belfer Center for Science and International Affairs, January 2010) <http://belfercenter.ksg.harvard.edu/publication> .

[138] The phrase is from Martti Koskenniemi, ‘The Fate of Public International Law: Between Technique and Politics’ (2007) 70 Modern Law Review 1, 27.

[139] This finding resonates with the development of new rules on fisheries subsidies at the WTO, where opposition to the role of the WTO gave way to inter-regime learning and the entrenchment of ongoing interaction between the WTO, FAO and other organisations and participants: see Young, ‘Fragmentation or Interaction’, above n 28.

[140] CITES art XV(2)(b).

[141] Ibid.

[142] Ibid.

[143] FAO Code of Conduct art 11.2.9.

[144] Established by the UN General Assembly in 1999: see Results of the Review by the Commission on Sustainable Development of the Sectoral Theme of ‘Oceans and Seas’: International Coordination and Cooperation, GA Res 54/33, UN GAOR, 54th sess,

62nd plen mtg, Agenda Item 40(c), UN Doc A/RES/54/33 (18 January 2000).

[145] See Report on the Work of the United Nations Open-Ended Informal Consultative Process on Oceans and the Law of the Sea, UNGAOR, 63rd sess, Agenda Item 73(a),

UN Doc A/63/174 (24 July 2008) [133].

[146] See Henry Schermers and Niels Blokker, International Institutional Law (2003), 1114–17.

[147] Ibid, and sources referred to therein.

[148] Pieter Jan Kuijper, ‘Some Institutional Issues Presently before the WTO’ in Daniel Kennedy and James Southwick (eds), The Political Economy of International Trade Law: Essays in Honour of Robert E Hudec (Cambridge University Press, 2002) 81, 108 (referring to agreements between the WTO Secretariat and other international secretariats).

[149] On implied powers, see Reparation for Injuries Suffered in the Service of the United Nations (Advisory Opinion) (1949) ICJ Rep 174.

[150] On other views, MOUs are not binding rules and are voluntary collaborations of a ‘purely technical and financial’ nature: Kuijper, above n 148, 108.

[151] FAO Constitution art XVI(1).

[152] Ibid art XIII(1). See also Vienna Convention on the Law of Treaties between States and International Organizations or between International Organizations, opened for

signature 21 March 1986 (not yet in force). The FAO became a signatory to the agreement on 29 June 1987.

[153] FAO, ‘Part N — Guiding Lines regarding Agreements between FAO and IGOs’ in FAO, Basic Texts (FAO, 2006 ed) vol II.

[154] Ibid [C].

[155] CITES arts XII(2)(a), XII(2)(i).

[156] CBD art 24(d).

[157] CITES art XI(3)(a).

[158] ‘Strategic and Administrative Matters: Legal Personality of the Convention and the Secretariat’, CITES Standing Committee, 54th mtg, CITES SC54 Doc 8 (2–6 October 2006) [7]. This document contains a draft resolution recognising the independent legal personality of the CITES Secretariat.

[159] Ibid [6].

[160] See, eg, the memorandum of cooperation between the CBD and CITES secretariats referred to in Cooperation and Synergy with the Convention on Biological Diversity, Conference of the Parties to CITES, 10th mtg, CITES Resolution Conf 10.4 (Rev 14), (9–20 June 1997). See also Cooney, above n 95. Such practice is supported by an analysis of the COP-model: Robin Churchill and Geir Ulfstein, ‘Autonomous Institutional Arrangements in Multilateral Environmental Agreements: A Little-Noticed Phenomenon in International Law’ (2000) 94 American Journal of International Law 623, 632–3, 655. See also Philippe Sands, Principles of International Environmental Law (Cambridge University Press, 2nd ed, 2003) 109.

[161] Certain Expenses of the United Nations (Advisory Opinion) [1962] ICJ Rep 151, 168

(‘UN Expenses’).

[162] Strategic and Administrative Matters: Memoranda of Understanding, CITES Standing Committee, 49th mtg, CITES SC49 Doc 6.3 (22–25 April 2003) (‘CITES Standing Committee Chair-led draft (2003)’).

[163] FAO Committee on Fisheries, Rome, 2003. Consensus was not reached on this text: see FAO, Fisheries Report No 702: Report of the Twenty-Fifth Session of the Committee on Fisheries (FAO, 2003) [48]. Reproduced at Appendix G of that Report (‘FAO COFI-led draft (2003)’).

[164] As finalised by the Chair of the CITES Standing Committee, CITES, January 2004 and circulated to Ninth FAO Sub-Committee on Fish Trade (copy on file with author).

[165] As endorsed by the Ninth Session of the FAO Sub-Committee on Fish Trade, Bremen, Germany, 10–14 February 2004 and reproduced in FAO, Fisheries Report No 736: Report of the Ninth Session of the Sub-Committee on Fish Trade (FAO, 2004) annex E (‘FAO COFI-FT draft (2004)’).

[166] Strategic and Administrative Matters: Memorandum of Understanding with the Food and Agricultural Organization of the United Nations (FAO), CITES Standing Committee,

51st mtg, CITES SC51 Doc 8 (1 October 2004) annex (‘FAO–CITES Secretariat negotiated draft (2004)’).

[167] Strategic and Administrative Matters: Cooperation with the Food and Agriculture Organisation of the United Nations, CITES Standing Committee, 53rd mtg CITES SC53 Doc 10 (prepared by the Secretariat) (27 June – 1 July 2005) annex (‘CITES Standing Committee negotiated draft (2004)’).

[168] Agreed by CITES and FAO in September – October 2006. See Strategic and Administrative Matters: Cooperation with the Food and Agriculture Organization of the United Nations, CITES Standing Committee, 53rd mtg CITES SC53 Doc 10.1 (prepared by the Chair)

(27 June – 1 July 2005) and FAO, Fisheries Report No 807: Report of the Tenth Session of the Sub-Committee on Fish Trade (FAO, 2006) Appendix F (‘FAO/CITES Memorandum of Understanding’).

[169] FAO, Report No 673, above n 74, [18].

[170] CITES arts XIV(4), (6).

[171] FAO, Report No 673, above n 74, Appendix F.

[172] See above n 55 and accompanying text.

[173] Strategic and Administrative Matters: FAO Collaboration with CITES through a Memorandum of Understanding, Conference of the Parties to CITES, 12th mtg, CITES COP12 Doc 16.2.2 (3–15 November 2002).

[174] Ibid.

[175] Administrative Matters: Synergy and Cooperation CITES and FAO, Conference of the Parties to CITES, 12th mtg, CITES COP12 Doc 16.2.1 (3–15 November 2002).

[176] Ibid.

[177] Establishment of a Memorandum of Understanding between CITES and the Food and Agriculture Organization of the United Nations (FAO), Conference of the Parties to CITES,

12th mtg, CITES COP12 Decision 12.7 (3–15 November 2002).

[178] See also Interpretation and Implementation of the Convention: Criteria for Amendment of Appendices I and II, Conference of the Parties to CITES, 12th mtg, CITES COP12 Doc 58

(3–15 November 2002) annex 3; Interpretation and Implementation of the Convention: Criteria for Amendment of Appendices I and II, Conference of the Parties to CITES,

13th mtg, CITES COP13 Doc 57 (2–14 October 2004).

[179] CITES Standing Committee, above n 162.

[180] Ibid.

[181] Summary Report, CITES Standing Committee, 49th mtg, CITES Doc SC49 Summary Report (Rev 1) (22–25 April 2003) 3.

[182] FAO, Fisheries Report 702, Appendix G, above n 163.

[183] Ibid (reproducing as square-bracketed text the view expressed within the Sub-Committee on Fish Trade (see above n 169 and accompanying text) that CITES listing ‘should be limited to exceptional cases only’).

[184] Ibid draft art 6.

[185] FAO, Fisheries Report 702, above n 163, [47] (‘Some Members also expressed the view that FAO should produce a draft MOU containing a process for increased cooperation without policy pronouncements’).

[186] Ibid [48].

[187] See Proposal from Japan, Informal document submitted to CITES Standing Committee, 49th meeting, CITES Doc SC49 Inf 3 (22–25 April 2003).

[188] The two NGOs were the International Fund for Animal Welfare and the IWMC (formerly International Wildlife Management Consortium): see also below n 260 and accompanying text.

[189] CITES Standing Committee, above n 181, [6.3], which stated that ‘[t]here were difficulties over semantics as well as fundamental principles’.

[190] The conduct of the vote on Norway’s proposal was contentious, with Norway alleging that rules of procedure were inappropriately applied in relation to a tied outcome: ibid.

[191] Memorandum of Understanding with the Food and Agriculture Organization of the United Nations (FAO), Notification to Parties to CITES, Doc No 2003/030 (6 May 2003) (‘MOU’).

[192] See letter from Willem Wijnstekers, Secretary-General of CITES to Dr Jacques Diouf, Director-General of FAO dated 5 January 2004. See also above n 164.

[193] See CITES Issues with respect to International Fish Trade and the CITES/FAO MOU, COFI-FT, 9th sess, Agenda Item 9, FAO Doc COFI:FT/IX/2004/3 (27–30 January 2003) (stating that papers are current to December 2003).

[194] See, eg, Report of the Expert Consultation on Fish Trade and Food Security, COFI-FT,

9th sess, Agenda Item 9, FAO Doc COFI:FT/IX/2004/Inf.8 (27–30 January 2003).

[195] FAO, Fisheries Report No 736, above n 165, annex E.

[196] Ibid; see above nn 183, 184.

[197] The Preamble continued to refer to the contentious para 18 noted above n 169: FAO, Fisheries Report No 736, above n 165, annex E.

[198] Ibid.

[199] See FAO Fisheries Report No 736, above n 165, [22] (emphasis added).

[200] The apparent acceptance by Plenary of Argentina’s amendment was recorded by the author, who attended the meeting as a non-government delegate with the Australian delegation.

[201] FAO Constitution art XIII(4).

[202] FAO, Fisheries Report No 736, above n 165, [24].

[203] Strategic and Administrative Matters: Memorandum and Understanding with the Food and Agriculture Organization of the United Nations (FAO), CITES Standing Committee,

51st mtg, CITES Doc SC51 Doc 8 (1 October 2004).

[204] Summary Report, CITES Standing Committee, 50th mtg, CITES Doc SC50 Summary Report (15–19 March 2004).

[205] This was the COP that agreed to transfer the Irrawaddy dolphin to Appendix I and add the great white shark to Appendix II: CITES, above n 59 and 60. The COP also removed the former requirement in the CITES listing criteria for proposing parties to ‘consult in advance with the relevant competent intergovernmental organizations responsible for the conservation and management of species, and take their views fully into account’, as well as provide information on trade and conservation efforts: Criteria for Amendment of Appendices I and II, Conference of the Parties to CITES, 9th mtg, CITES Doc Conf Resolution 9.24 (1994) annex 6 [4.1.2] (‘Format for Proposals to Amend the Appendices’). Parties were instead required to provide details of relevant international instruments and provide an assessment of their effectiveness in ensuring conservation, protection and management: Criteria for Amendment of Appendices I and II, Conference of the Parties to CITES, 12th mtg, CITES Doc COP12 Doc 58 (2002) annex 3 (‘Explanation of the Proposed Amendments to Resolution Conf 9.24’); Criteria for Amendment of Appendices I and II, Conference of the Parties to CITES, 13th mtg, CITES Doc COP13

Doc 57. See CITES listing criteria, above n 83, annex 6 [6], [8].

[206] CITES Standing Committee, above n 203.

[207] Ibid 1.

[208] Ibid annex [10].

[209] Ibid [1].

[210] Ibid [17].

[211] See FAO COFI-led draft (2003), above n 163, draft art 6; FAO COFI-FT draft (2004),

above n 165, draft art 6.

[212] The Humane Society International ‘works with national and jurisdictional governments, humane organizations, and individual animal protectionists in countries around the world to find practical, culturally sensitive, and long-term solutions to common animal issues, and to share an ethic of respect and compassion for all life.’ See Humane Society International, About Us (2010) <http://www.humanesociety.org/about> .

[213] The ‘Defenders of Wildlife is a national, nonprofit membership organization dedicated to the protection of all native animals and plants in their natural communities.’: see Defenders of Wildlife, About Us (2010) <www.defenders.org/about_us/index.php>. Its international office ‘has a long history of advocacy on behalf of threatened marine species. This

advocacy has focused on conserving dolphins, sharks, and sea turtles.’): see Defenders of Wildlife, International Conservation (2010) <www.defenders.org/programs_and_policy/

international_conservation/index.php>.

[214] CITES Standing Committee negotiated draft (2004), above n 167.

[215] Strategic and Administrative Matters: Cooperation with the Food and Agriculture Organisation of the United Nations, CITES Standing Committee, 53rd mtg CITES SC53 Doc 10 (prepared by the Secretariat) (27 June – 1 July 2005) [7].

[216] Ibid.

[217] FAO–CITES Secretariat negotiated draft (2004), above n 166.

[218] FAO, Fisheries Report No 780: Report of the 26th Session of the Committee on Fisheries (FAO, 2005) [58], referring to the FAO COFI-FT draft (2004).

[219] FAO–CITES Secretariat negotiated draft (2004), above n 166.

[220] FAO, Fisheries Report No 780, above n 218, [60].

[221] Ibid.

[222] Ibid [61].

[223] Ibid [62] (‘The Committee agreed on the importance of ensuring that there was consistency in the positions of Members at meetings of FAO and CITES on the issue of an MOU’).

[224] CITES Standing Committee negotiated draft (2004), above n 167.

[225] Ibid.

[226] Ibid [14].

[227] Ibid [17].

[228] Ibid (emphasis added).

[229] Summary Record, CITES Standing Committee, 53rd mtg, CITES Doc SC53 Summary Record (Rev 1) (27 June – 1 July 2005).

[230] CITES Standing Committee, above n 168.

[231] Ibid [3].

[232] Ibid [6].

[233] CITES Standing Committee, above n 229, [10].

[234] Ibid.

[235] Ibid.

[236] FAO, Fisheries Report No 807, above n 168, [24].

[237] Ibid [25].

[238] Ibid.

[239] See also Dan Sarooshi, International Organizations and their Exercise of Sovereign Powers (Oxford University Press, 2005) 108, 119–20 (considering measures a state can take against an organisation on which it has conferred powers and comparing legal remedies for ultra vires acts in the context of the EC and the ECJ); see also José Alvarez, ‘The New Treaty Makers’ (2002) 25 Boston College International and Comparative Law Journal 213.

[240] UN Expenses (1962) ICJ Rep 151. See also Schermers and Blokker, above n 146, 592.

[241] Pauwelyn, above n 129, 44–5, 144–5, 285–6.

[242] Anthony Aust, ‘The Theory and Practice of Informal International Instruments’ (1986) 35 International and Comparative Law Quarterly 787, 800–4 (writing on international instruments between states).

[243] On agreements between states that are equivocal on whether they are binding, see ibid; see also Kelvin Widdows, ‘What is an Agreement in International Law’ (1979) 50 British Year Book of International Law 117; Oscar Schachter, ‘The Twilight Existence of Nonbinding International Agreements’ (1977) 71 American Journal of International Law 296.

[244] MOU art 8; note opposition by the Philippines: see above n 238 and accompanying text.

[245] See, eg, Churchill and Ulfstein, above n 160, 651.

[246] Ibid 650–1 (considering the MOU between the COP of the UNFCCC and the Global Environment Facility).

[247] In relation to declarations of states within international forums see, eg, Military and Paramilitary Activities in Nicaragua (Merits) [1986] ICJ Rep 14 [203]–[205], where the Court considered the general consensus accompanying a relevant UN Declaration in its reliance on it.

[248] VCLT art 41.

[249] CITES arts XXIII, XXIV.

[250] Ibid art XVII.

[251] This is demonstrated most clearly by the use of custom in international law: see, eg, Rosalyn Higgins, Problems and Process: International Law and How We Use It (Oxford University Press, 1994) 18–22.

[252] CITES art XI(7) states that the COP is open to representatives from IGOs and NGOs that are ‘technically qualified in protection, conservation or management of wild fauna and flora’; See also CITES, Rules of Procedure of the Standing Committee (2009).

[253] See FAO, ‘Part B — General Rules of the Organization’ in FAO, Basic Texts (FAO,

2006 ed) r XVII. See also FAO, ‘Part M — Cooperation with International Governmental Organizations’ in FAO, Basic Texts (FAO, 2006 ed); FAO, ‘Part N — Guiding Lines regarding Agreements between FAO and IGOs’ above n 153; FAO, ‘Part O — Cooperation with International Non-Governmental Organizations’ in FAO, Basic Texts (FAO, 2006 ed); FAO, ‘Part Q — Granting of Observer Status (in Respect of International Governmental and Non-Governmental Organizations)’ in FAO, Basic Texts (FAO, 2006 ed).

[254] CITES Standing Committee, above n 181 and accompanying text.

[255] FAO, Rules of Procedure of the Committee of Fisheries, r III(3)(c).

[256] FAO, ‘Part B — General Rules of the Organization’ in FAO, Basic Texts (FAO, 2006 ed)

r XVII.

[257] CITES Rules of Procedure of the Standing Committee (2009) r 6.1.

[258] Ibid.

[259] Ibid.

[260] The International Fund for Animal Welfare seeks to ‘achieve lasting solutions to pressing animal welfare and conservation challenges’: International Fund for Animal Welfare, Who We Are (2010) <http://www.ifaw.org/ifaw_united_states/who_we_are/index.php> .

[261] The mission of the IWMC, formerly the International Wildlife Management Consortium, is to ‘promote sustainable use of wild resources’ whilst protecting the independence of states: IWMC, Statement of Purpose (2010) <www.iwmc.org/iwmcinfo/statement.htm>.

[262] Interpretation and Implementation of the Convention: National Laws for Implementation of the Convention, Conference of the Parties to CITES, 15th mtg, CITES Doc COP15 Doc 20

(13–25 March 2010) [3].

[263] See above n 223.

[264] As well as being available via the CITES directories, this information was provided by Hong Kong to the WTO: Paragraph 31(i) of the Doha Declaration — Specific Trade Obligations Set Out in Multilateral Environmental Agreements: Implementation of CITES in Hong Kong, China, WTO Doc TN/TE/W/28 (30 April 2003) (Submission by Hong Kong, China) annex art II (‘Hong Kong Submission’).

[265] See Sub-Paragraph 31(i) of the Doha Declaration, WTO Doc TN/TE/W/40 (21 June 2004) (Submission by the United States) [15]–[18] (‘US Submission’).

[266] Report on the Work of the United Nations Open-Ended Informal Consultative Process on Oceans and the Law of the Sea, UN GAOR, 61st sess, UN Doc A/61/156 (17 July 2006) [106]. The resolution establishing the Consultative Process is noted above n 144.

[267] Ibid.

[268] See, eg, US Submission, WTO Doc TN/TE/W/40; Paragraph 31(i) of the Doha Declaration: Australia’s Experience, WTO Doc TN/TE/W/45 (12 October 2004) (Submission by Australia) (‘Australian Submission’). For national policy coordination in the context of WTO negotiations on fisheries subsidies, see Young, ‘Fragmentation or Interaction’, above n 28, 492–4.

[269] See Hong Kong Submission, WTO Doc TN/TE/W/28; US Submission, WTO Doc TN/TE/W/40; Australian Submission, WTO Doc TN/TE/W/45, Putting MEA/WTO Governance Into Practice: The EC’s Experience in the Negotiation and Implementation of MEAs, WTO Doc TN/TE/W/53 (4 July 2005) (Submission by the European Communities); The Relationship between Existing WTO Rules and Specific Trade Obligations (STOS) Set Out in Multilateral Environmental Agreements (MEAs) WTO Doc TN/TE/W/58

(6 July 2005) (Submission by Switzerland).

[270] Final text agreed by the CITES Secretariat and the FAO in September – October 2006: see above n 168.

[271] Ibid art 1.

[272] Schermers and Blokker, above n 146, 1087.

[273] Ibid.

[274] See, eg, ibid 1099 (approving exchanges between Secretariats to enhance collaboration).

[275] See, eg, multi-stakeholder workshops by the United Nations Environment Programme and others discussed in Young, ‘Fragmentation or Interaction’, above n 28, 496–8.

[276] Opened for signature 20 May 1980, 1329 UNTS 47 (entered into force 7 April 1982) (‘CCAMLR’).

[277] Interpretation and Implementation of the Convention: Conservation of Trade in Dissostichus Species, Conference of the Parties to CITES, 12th mtg, CITES Doc COP12 Doc 44 (1 October 2002) [6].

[278] Cooperation between CITES and the Commission for the Conservation of Antarctic Marina Living Resources regarding Trade in Toothfish, Conference of the Parties to CITES, 12th mtg, CITES Doc Resolution Conf 12.4 (3–15 November 2002).

[279] CITES COP12 Decision 12.57 (3–15 November 2002) (trade in toothfish). See also Trade in Toothfish, Notification to Parties to CITES, Doc No 2003/081 (16 December 2003).

[280] CITES COP12 Decisions 12.58, 12.59 (3–15 November 2002) (trade in toothfish).

[281] Strategic and Administrative Matters: Revision of Resolution Conf 12.4 on Cooperation between CITES and the Commission for the Conservation of Antarctic Marine Living Resources regarding Trade in Toothfish, Conference of the Parties to CITES, 13th mtg, COP13 Doc 12.3 (16 August 2004).

[282] Ibid 2.

[283] Little and Orellana, above n 80, 24.

[284] Murphy, above n 82, 556.

[285] See above n 84.

[286] See, eg, revisions at Conferences of the Parties to CITES in 2002 (above n 178) and 2004 (above n 205).

[287] MOU art 3.

[288] FAO COFI-FT draft (2004), above n 165, art 4.

[289] MOU art 4.

[290] On ‘epistemic communities’, see Haas, above n 135.

[291] CITES COP, above n 205.

[292] Above n 84.

[293] FAO, Fisheries Report No 673, above n 74, [16].

[294] Ibid [19].

[295] CITES listing criteria, above n 83.

[296] FAO, Fisheries Report No 673, above n 74, [16].

[297] CITES COP12 Doc 58, above n 178 (noting CITES’s strategic vision objective 2.2).

[298] FAO, Fisheries Report No 673, above n 74, [15].

[299] Ibid [19].

[300] CITES art XV(2)(b).

[301] CITES Resolution Conf 12.6, Conservation and Management of Sharks, Conference of the Parties to CITES, 12th mtg (3–15 November 2002); CITES Decision 13.42, 13th meeting

(2–14 October 2004).

[302] Cooperation with the Food and Agriculture Organization of the United Nations, Conference of the Parties to CITES, 14th mtg, CITES Doc COP14 Doc 18.1 (3–15 June 2007). This led to resolution 14.6: Introduction from the Sea, CITES Doc Resolution Conf 14.6.

[303] MOU arts 4–6.

[304] See square-bracketed text of COFI-led draft (2003) noted above nn 183, 184.

[305] See FAO COFI-led draft (2003), above n 163, draft art 6 and FAO COFI-FT draft (2004), above n 165, draft art 6.

[306] MOU art 5.

[307] Ibid art 6.

[308] CITES Standing Committee, above n 229.

[309] The two shark species were the Lamna nasus (porbeagle) and the Squalus acanthias (spiny dogfish). See Consideration of Proposals for Amendment of Appendices I and II, Conference of the Parties to CITES, 14th mtg, CITES Doc COP14 Prop 15 (18 April 2007) and Consideration of Proposals for Amendment of Appendices I and II, Conference of the Parties to CITES, 14th mtg, CITES Doc COP14 Prop 16 (24 April 2007).

[310] The ad hoc panel met from 26–30 March 2007: see FAO, Fisheries Report No 833: Report of the Second FAO Ad Hoc Expert Advisory Panel for the Assessment of Proposals to Amend Appendices I and II of CITES concerning Commercially-Exploited Aquatic Species (FAO, 2007), submitted to CITES as CITES Doc COP14 Inf 38.

[311] CITES COP14 Inf 48, ‘Comments on the FAO Assessment of the CITES Amendment’

(7 June 2007).

[312] The Interpretation of Annex 2a (Criteria for the Inclusion of Species in Appendix II in accordance with Article II, Paragraph 2(a), of the Convention) and Annex 5 (Annex 5 Definitions, Explanations and Guidelines) of Resolutions Conf 9.24 (Rev COP13) in relation to Commercially-Exploited Aquatic Species (14 June 2007), Conference of the Parties to CITES, 14th mtg, CITES Doc COP14 Inf 64 (3–15 June 2007).

[313] The porbeagle shark proposal was rejected with 54 votes in favour and 39 against. The spiny dogfish proposal was rejected with 57 votes in favour and 36 against. The EU sought successfully to reopen debate at the plenary, but the proposal was rejected in a secret ballot, with 55 votes in favour and 58 against: see IISD, ‘Summary of the Fourteenth Conference of the Parties to the Convention on International Trade in Endangered Species of Wild Fauna and Flora’ (2007) 21 Earth Negotiations Bulletin 61.

[314] Interview by author with staff members of the FAO (Rome, 2 July 2008). Tensions may also be arising over the funding of the ad hoc panel’s work, with Japan seeking to be a primary supporter and other members preferring funding from the regular programme: see FAO, Fisheries Report No 830 (2007) [35] and FAO, Fisheries and Aquaculture Report No 902 (2009) [32].

[315] MOU art 9.

[316] Ibid art 7.

[317] Conference of the Parties to CITES, COP14 Doc 18.1, above n 302.

[318] FAO, Fisheries Report No 807, above n 168, [35].

[319] MOU art 2.

[320] CITES Standing Committee Chair-led draft (2003), above n 162, draft art 2(1); CITES draft (2004), above n 164, draft art 2.

[321] See above n 284 and accompanying text.

[322] CITES Standing Committee Chair-led draft (2003), above n 162, draft art 2(1); CITES draft (2004), above n 164, draft art 2.

[323] MOU art 2.

[324] See Conference of the Parties to CITES, COP15 Doc 20, above n 262.

[325] Abram Chayes and Antonia Handler Chayes, The New Sovereignty: Compliance with International Regulatory Agreements (Harvard University Press, 1995) 13–15.

[326] MOU art 2.

[327] See above n 322.

[328] Olav Schram Stokke, ‘Conclusions’ in Olav Schram Stokke (ed), Governing High Seas Fisheries: The Interplay of Global and Regional Regimes (Oxford University Press, 2001) 303, 349.

[329] Young, ‘Fragmentation or Interaction’, above n 28.

[330] See Robert Keohane, Peter Haas and Marc Levy, ‘The Effectiveness of International Environmental Institutions’ in Peter Haas, Robert Keohane and Marc Levy (eds) Institutions for the Earth: Sources of Effective International Environmental Protection (MIT Press, 1993) 3, 16. See also Elinor Ostrom, Governing the Commons: the Evolution of Institutions for Collective Action (Cambridge University Press, 1990).

[331] ILC Analytical Study, above n 5, 249 [493(b)].

[332] See Young, ‘Fragmentation or Interaction’, above n 28.

[333] FAO, Fisheries and Aquaculture Report No 902 (2009) [33].

[334] See Young, Trading Fish, Saving Fish, above n 29, 267–306.


AustLII: Copyright Policy | Disclaimers | Privacy Policy | Feedback
URL: http://www.austlii.edu.au/au/journals/MelbJlIntLaw/2010/15.html