中国维吾尔人资产证券化的“后哥本哈根”分析:一种适得其反的资产证券化?

Christopher Baker‐Beall, R. Clark
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引用次数: 2

摘要

本文采用后哥本哈根的证券化理论方法,批判性地分析了中华人民共和国针对新疆维吾尔族社区制定的安全政策。本文探讨了中国领导人所引用的安全和威胁的语言之间的关系,以及它在证明自20世纪90年代初以来对维吾尔人实施的日常和特殊安全措施的合理性方面的作用。这篇文章提出了两个重要的观点。首先,这篇文章认为维吾尔人的证券化被证明是适得其反的,潜在地造成了安全威胁,而问题的证券化本应防止这种威胁。其次,本文认为,国内外各种受众的角色,即使在中国这样的专制或不自由的国家,也在针对维吾尔族社区的安全措施的证券化过程和合法化中发挥着关键作用。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
A “Post-Copenhagen” Analysis of China’s Securitization of the Uyghur: A Counterproductive Securitization?
ABSTRACT This article adopts a post-Copenhagen approach to securitization theory in order to critically analyze the security policies developed by the People’s Republic of China (PRC) that have targeted the Uyghur community in Xinjiang province. The article explores the relationship between the language of security and threat, which has been invoked by the PRC leadership, and its role in justifying every-day and exceptional security practices that have been enacted against the Uyghurs since the start of the 1990s. The article makes two important claims. First, the article argues that the securitization of the Uyghur has proved counter-productive, potentially creating the very security threat that the securitization of an issue is supposed to prevent. Second, the article suggests that the role of various audiences, both domestic and international, even in an authoritarian or illiberal state like China, play a key role in the securitization process and the legitimization of the security measures that have been enacted against the Uyghur community.
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