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Executive Editor, Journals Dept. University of Hawai‘i Press

China Crocs Crave Calories, Could Use Cialis

The New York Times reports on the tribulations of China’s Guangzhou Crocopark.

China’s Forestry Department eliminated steep duties on imported breeder crocodiles nearly a decade ago. The hope was that low wages, highly skilled farmers and well-developed road and port networks would turn China into a highly competitive producer of crocodile meat, hides, shoes, purses and other goods.

But impotence, obesity, runny noses and finicky palates among the crocodiles have made this dream difficult to realize. Imported by the tens of thousands from tropical Thailand, the crocodiles have had trouble adapting to slightly cooler southeastern China and have been slow to breed, prone to infections and reluctant to eat anything but expensive chicken breasts.

The biggest problem has been that male crocodiles eat more in the late autumn and early winter here than they do in Thailand. They become so plump that they show little interest in sex during the spring mating season, said Li Mingjian, the deputy general manager of Crocopark Guangzhou here, now one of the world’s largest crocodile farms, with 60,000 to 70,000 animals.

“They don’t chase the females,” he said. “They’re very fat guys. They just eat, eat, eat.” …

The next problem did not become apparent for more than a year. Wily Thai crocodile merchants had offered the Chinese buyers a discount if they would accept a mixture of male and female crocodiles of all ages, and warned that it was difficult to identify the genders of young crocodiles.

As the crocodiles grew, it became apparent that the park had far more combat-prone males than it needed, especially as only one male is needed to breed three females.

To make matters worse, many of the larger females proved to be surprisingly old and no longer fertile.

The Thai merchants “would say, ‘This lady laid 40 eggs last year,’ and the next year she would lay none,” Mr. Li recalled. “They were grandmothers.”

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Maggots Regain Medical Respect

MerckSource carries an AP report on reviving the use of maggots to disinfect open sores.

TOKYO – Dr. Hideya Mitsui’s patients were in trouble – diabetes-triggered lesions on their feet weren’t responding to antibiotics, and amputation was the next step.

So Mitsui turned to an unsightly remedy he says has never used before in Japan: maggots.

The maggots, once used by Australian Aborigines and Native Americans in the days before antibiotics, have been credited with curing three of the five cases Mitsui was treating. Two others are still being treated.

“This old therapy is great,” said Mitsui, a heart surgeon at Okayama University Hospital in western Japan. He started the treatment in March.

Under the therapy, maggot larva are placed in the wound, where they dissolve dead infected tissue and secrete a substance that disinfects the lesion.

Mitsui leaves the larva in the lesion for a week, then replaces them with fresh maggots. The process is repeated about three times over two weeks.

Maggot therapy was used in the United States but was largely discontinued with the growing popularity of antibiotics in the 1940s. Mitsui said the therapy is still used in Britain.

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The Fall of Saigon, 1861

Spurred on by the combined enthusiasm of the merchants of Bordeaux, the Catholic missionary lobby, and a navy thirsting for colonial glory; Napoleon III had ordered the invasion of Vietnam in 1857. The initial attack directed against the port of Tourane (Danang) on the central coast of Vietnam failed to do more than leave the expeditionary force exposed to harassment by the enemy and to the depredations of tropical disease. By 1859 the French command had moved its forces to southern Vietnam and besieged Saigon, the one major city in the south of the country and a commercial centre offering much greater potential rewards than Tourane.

The Western world was well acquainted with Saigon before the French forces invested the city in 1859. French mercenary adventurers who had helped the first Nguyen emperor to gain the Vietnamese throne and control of the entire country at the end of the eighteenth century had provided accounts of the city. But among the accounts circulating in Europe none provided a better picture of the city than that written by John White of Marblehead, Massachusetts, a lieutenant in the United States Navy. Published in both Boston and London, White’s A Voyage to Cochin China drew on a sojourn of three months in Saigon, in late 1819 and early 1820, and contains a mass of information about the city, its buildings and inhabitants in the one hundred and fifty pages he devotes to the subject. Some of his history is astray; and he notably failed to recognise that the Imperial Viceroy he encountered in Saigon, Le Van Duyet, was a eunuch, clearly mistaking the females he encountered in the Viceroy’s palace as his ‘wives and concubines’. But, overall, White gives a vivid and accurate picture of a lively city, one that still sheltered under a massive citadel which the Emperor Minh Manh later destroyed in 1835. Despite the admiration White had for Saigon’s buildings, this did not transfer to the inhabitants. ‘It would be tedious to the reader,’ he wrote, ‘and painful to myself, to recapitulate the constant villany and turpitude which we experienced from these people during our residence in the country.’

Once before Saigon, the French forces again encountered strong Vietnamese resistance and could do little more than dig in for a long siege. And, once again, the help from Vietnamese Christians promised by French missionaries failed to materialise. Not until reinforcements arrived in late 1860 was Vietnamese resistance finally overcome in a decisive battle in February 1861 and Saigon seized. The following year a treaty was concluded with the court at Hue that ratified French control of Saigon and of three surrounding provinces. The French now ruled the area of southern Vietnam that they called Cochinchina.

SOURCE: The Mekong: Turbulent Past, Uncertain Future, by Milton Osborne (Grove Press, 2000), pp. 73-74

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The Ruins of Vientiane, 1867

In June 1866, a French expedition began exploring the Mekong, heading upriver from Saigon.

[T]he explorers were increasingly anxious to reach the once important city of Vientiane. They knew it had been sacked in the 1820s, but they thought it just possible that there might be some some trace of the rich market described by van Wuysthoff more than two hundred years earlier. Vientiane, after all, was set in unknown territory; outside the area explored by Mouhot in his travels in Laos. Their hopes were not very high, not least because they had already found how hollow were the claims made about the supposed riches of Laos by two of the most erudite geographers in France, Cortambert and de Rosny. Writing in 1862, these pillars of the Ethnographic Society had suggested that Laos might hide riches beneath its soil that could make it another California. At this stage the explorers hoped for rather less, yet even for their more modest commercial hopes the sight of an almost deserted river that greeted them as they drew nearer to Vientiane was depressing. And when they reached the site of the formerly important city; on 2 April 1867, any remaining expectations of its providing commercial opportunities vanished.

It was immediately clear how thorough had been the destruction wrought by the Thai king in 1828. Yet the vestiges that remained of the city’s former greatness impressed the explorers. The royal pagoda, Wat Pha Kaew, still preserved its basic form, with delicately carved wooden panels, fading gold leaf on the pillars supporting the roof and decorative chips of glass that glistened in the sun like a gigantic setting of diamond brilliants. Wat Si Saket was virtually untouched by time or the advancing forest, having been the one temple spared by the Thai invaders, and That Luang, the most famous monument in Vientiane, had only recently been restored when the explorers saw it. They had some sense of this great stupa’s importance, but they could scarcely know how deeply it was held in reverence by the population of the Lao principalities. Nor, of course, could they have predicted that That Luang was to become in the twentieth century a potent symbol for Lao identity; So much so that when Laos was caught up in the Vietnam War the communist-led Pathet Lao forces used the monument as one of the decorative motifs on their banknotes, aligning the traditional past alongside such decidedly modern scenes as delicately engraved soldiers shooting down American aircraft over the war-torn Plain of Jars.

SOURCE: The Mekong: Turbulent Past, Uncertain Future, by Milton Osborne (Grove Press, 2000), pp. 92-93

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I Think, Therefore I’m an Old Polecat

Virginia Postrel links to a University of Rochester study on ferret brain activity. (What’s the difference between a ferret and a polecat? “Taxonomically speaking — there is no difference. Both are currently classified as Mustela putorius.“)

There’s an old myth that we only use 10 percent of our brains, but researchers at the University of Rochester have found in reality that roughly 80 percent of our cognitive power may be cranking away on tasks completely unknown to us. Curiously, this clandestine activity does not exist in the youngest brains, leading scientists to believe that the mysterious goings-on that absorb the majority of our minds are dedicated to subconsciously reprocessing our initial thoughts and experiences. The research, which has possible profound implications for our very basis of understanding reality, appears in this week’s issue of the journal Nature.

“We found neural activity that frankly surprised us,” says Michael Weliky, associate professor of brain and cognitive sciences at the University of Rochester. “Adult ferrets had neural patterns in their visual cortex that correlated very well with images they viewed, but that correlation didn’t exist at all in very young ferrets, suggesting the very basis of comprehending vision may be a very different task for young brains versus old brains.”

A second surprise was in store for Weliky. Placing the ferrets in a darkened room revealed that older ferrets’ brains were still humming along at 80 percent as if they were processing visual information. Since this activity was absent in the youngsters, Weliky and his colleagues were left to wonder: What is the visual cortex so busy processing when there’s no image to process?

Initially, Weliky’s research was aimed at studying whether visual processing bore any resemblance to the way real-world images appear. This finding may help lead to a better understanding of how neurons decode our world and how our perception of reality is shaped.

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New Hopes for a Malaria Vaccine

Virginia Postrel notes a possible breakthrough in developing a malaria vaccine, thanks in part to funding from the Bill & Melinda Gates Foundation. She quotes the Washington Post:

An experimental vaccine can slash the risk that children will get malaria, apparently offering the first effective way to inoculate youngsters against one of the world’s biggest, most intractable killers, researchers reported yesterday.

An eagerly awaited study involving 2,022 children in Mozambique, in east Africa, found the vaccine cut by one-third the likelihood of getting malaria and reduced by more than half the risk of developing serious, life-threatening cases of the disease….

The malaria parasite infects about 300 million people each year and kills between 1 million and 3 million, mostly children — making it the most common infectious disease and among the top three killers. Although malaria has been largely eliminated from the United States and Europe, it remains a major public health scourge in the developing world. In Africa, malaria is the No. 1 killer of children younger than 5, claiming the life of one child every 30 seconds by some estimates….

“Malaria has had a sense of hopelessness and intractability about it,” said Melinda Moree, director of the Malaria Vaccine Initiative, which is promoting development of malaria vaccines with funding from the Bill & Melinda Gates Foundation. “These results bring hope to us all that a malaria vaccine might at last be within our grasp.”

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Hamid Karzai at Age 30

My own fascination with Kandahar began with the name itself. According to Peter Levi, Kandahar is probably the only Greek place name to have survived in Afghanistan, stemming from the Arabic form of Alexander’s name, Iskander. In 330 B.C., a year after his decisive victory over the Persian forces of Darius at Gaugamela, east of modern-day Mosul in Iraq, Alexander the Great led his army of thirty thousand men through what is now Kandahar. He left his elephants in the mud swamps west of the present-day city, then crossed the snowy summits of the Hindu Kush on foot.

I visited Kandahar briefly in November 1973, passing through by bus on my way from Herat to Kabul. I stopped for a night at a cheap hotel by the bus station near the city’s Herat Gate. The darkness and my own discomfort–I was slightly ill and horribly cold in the unheated hotel room–gave the evening a surreal quality. All I could recall later was a wind-blown square filled with bearded men in high black turbans smoking a water pipe. I sometimes wondered whether that square in my memory survived the years of bombing.

More recently, I came to know Hamid Karzai, a thirty-year-old Kandahar native and spokesman for Mojadidi’s Afghan National Liberation Front. Hamid was the son of Abdulahad Karzai, the khan (headman) of the Popalzai tribe, the branch of the Abdalis that produced Ahmad Shah Durrani. With Abdul Haq, Hamid Karzai represented for me all that was larger than life in the Afghan character. He was tall and clean-shaven, with a long nose and big black eyes. His thin bald head gave him the look of an eagle. Wearing a sparkling white shalwar kameez, he affected the dignity, courtly manners, and high breeding for which the Popalzai are known throughout Afghanistan. Hamid, unlike the crowd at NIFA [= National Islamic Front of Afghanistan], whose royalist sentiments and moderate politics he shared, was not a “Gucci muj[ahidin].” When he did wear Western dress, he preferred conservative blazers and slacks or a leather jacket. He moved between the Occidental and Oriental worlds without pretension or falsity. I remember him in his Peshawar villa, sitting on a carpet in a shalwar kameez, speaking Pukhtu [sic] with his turbaned Kandahari kinsmen, a copy of George Eliot’s The Mill on the Floss nearby. Hamid was one of six sons, but the only one who had not gone into exile in Europe or North America and who aspired to succeed his father as head of the Popalzai.

Throughout his childhood, Hamid had resented the restrictions placed on him as the son of one of Afghanistan’s most important men. He longed to escape Kandahar and the stifling routine of tribal ceremonies. He wanted to serve his country, but only as a diplomat living abroad in the West. His first shock and humiliation came as a student in India in 1979, when officials at the U.S. embassy in New Delhi informed him that the Taraki regime had imprisoned his father. A few months later, the Soviets invaded Afghanistan. “I suddenly realized how spoiled I was,” Hamid told me. “I realized that I had been consciously rejecting all the things that were really important and now were lost.”

A few months later, in 1980, Hamid visited a refugee camp near Quetta. As soon as he entered the camp, hundreds of Popalzai tribesmen gathered around him, smiling. “They thought that just because I was the khan’s son, I had the power to help them. I felt ashamed, because I knew I was just a naive student who was spending his college years thinking only of himself and his ambition. I was not what they thought I was. My goal from that moment on was to become the man that those refugees thought I was. To become a man like my father.”

The man that Hamid Karzai became was one who never tired of talking about the rich history of his tribe and the region of Kandahar. The story of the founding of the Popalzai–first told to me by Hamid–sounds like one of the archetypal tales in the Book of Genesis.

Abdal, the patriarch of the Abdalis (later the Durranis), died at the age of 105 and was succeeded by Rajar, who in turn passed over his oldest son and picked the younger but smarter Zirak to be headman. Zirak ruled for many years and had four sons. One day, near Kandahar, the family was breaking camp. By then Zirak was over 100 and too old even to move, let alone saddle his horse. He asked his oldest son, Barak, for help. Barak laughed and made fun of his father. The second son, Alik, did the same. The third son, Musa, told his father to get on a horse and follow him. When Zirak was not able, Musa kicked him and told him he must remain behind until the beasts devoured him. Popal, the youngest son, offered to carry his father on his back. Old Zirak never forgot the incident, and when he died at the age of 120, he invested Popal as head of the clan. Thus it was that Popal founded his own branch of the Abdali tribe.

The mythic, elemental quality of the story is enhanced by the fact that, though the origin of the Popalzai is relatively recent–the late fifteenth century–nobody can accurately date when the events took place. It is such stories that, stylistically at least, lend credence to the notion that the Pathans are descendants of the ancient Hebrews. True or not, one could at least say that the desert surrounding Kandahar was to the Pathans what the wilderness of Sinai was to the Hebrews: the seed-ground where an assemblage of tribes grew into a nation. To Hamid Karzai, Kandahar was “the home of our original Afghan culture, the genuine Afghanistan.”

SOURCE: Soldiers of God: With Islamic Warriors in Afghanistan and Pakistan by Robert D. Kaplan (Vintage, 1990, 2000, 2001), pp. 194-197

Soldiers of God is a thoughtful, insightful, highly readable book. Battlefield smart, rock solid.” –Dan Rather

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The "War Reporting" Misnomer

In a war that was in many ways the most dangerous ever for a reporter to cover, Kandahar was the most dangerous theater of the war. Its desert land was flat and cluttered with land mines. When [Soviet] MI-24 helicopter gunships swept in low after their prey, you could run but you couldn’t hide. Because you didn’t have to walk, the Kandahar area was physically less demanding than everywhere else in the country. But never in the mountainous north did a reporter feel as scared and vulnerable as when jammed inside a Toyota Land Cruiser, slowed down by deep pockets of sand, with Soviet helicopters in the sky. The Kandahari guerrillas, more than the other mujahidin, had a reputation for reckless bravado. When mines and helicopters were reported ahead, they slammed on the accelerator.

Kandahar really got to me; it wiped out what was left of my so-called objectivity. Being there made me think that the western media really were a bunch of pampered, navel-gazing yuppies, too busy reporting illegal detentions and individual killings in South Korea and the West Bank–before dashing back to their luxury hotels in Seoul and Jerusalem–to bother about the nuclearlike wasting of an entire urban center by the Soviet military. The throngs of reporters in places like Israel, South Korea, and South Africa, and the absence of them in Kandahar, or even in the Pakistan border area that abuts it, made me think that “war reporting” was fast becoming a misnomer.

Blazers were replacing flak jackets. The warfare most often videotaped and written about was urban violence in societies that have attained a level of development sufficient to allow large groups of journalists to operate comfortably. The worldwide profusion of satellite stations, laptop computers, computer modems, and luxury hotels with digital phone and telex systems was narrowing the media’s horizons rather than widening them. If there wasn’t a satellite station nearby, or if the phones didn’t work, or if the electricity wasn’t dependable, you just reported less or nothing at all about the place. Although the South Africans, for example, merely curtailed your movements, the Soviets tried to hunt you down and kill you. So you covered South Africa while at the same time denouncing its government for the restrictions it placed on your work. But you didn’t fool around with the Soviets, because they were serious about keeping reporters out. I couldn’t think about Kandahar; I could only rant and rage about it.

SOURCE: Soldiers of God: With Islamic Warriors in Afghanistan and Pakistan by Robert D. Kaplan (Vintage, 1990, 2000, 2001), pp. 184-185

Soldiers of God is a thoughtful, insightful, highly readable book. Battlefield smart, rock solid.” –Dan Rather

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English Accent Recordings

The British Library has deposited online a selection of recordings of English Accents and Dialects collected during the 1950s. Turn up your speaker volume and try out this one, by Miss Dibnah, b. 1890, from Welwick, Yorkshire, recorded in 1955, about ‘how to make white bread, brown bread and spice bread’. Here are the grammar notes for this one.

grammar

adjective as adverb (I kneaded it real well; if you don’t knead it real well; I kneads it real well; then it’s real brown)

zero definite article (if you don’t put it in front of _ fire; I puts it in front of _ fire again; I puts it into _ oven; I leaves it in _ oven; I pokes _ fire up; I shoves _ damper in; put it into _ oven)

past participle gotten (when it had gotten risen; we’d gotten egg in)

verbal inflection with I (I takes; I kneads; I puts; I leaves; I pokes; I shoves; (I) stands it); verbal inflection with plural noun (some folks puts whole brown flour in)

non-standard plural marker (if they are big loafs; today they were big loafs)

first person singular has (then I has a look at it)

second person be + negative particle (if you ain’t)

zero for + time phrase (I leaves it _ another twenty minutes; it has to bake _ two hours)

use of thou (thou means spice bread)

word order with infinitive phrase (you have it to weigh = you have to weigh it)

past participle baken (when you get that baken)

note use and phonetic quality of utterance initial discourse marker why [wa:I]

via Foreign Dispatches

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Japanese Diplomats vs. Soldiers in China, 1895-38

In its early years, the Japanese Foreign Ministry [Gaimusho] occupied a premiere position among Japan’s new government institutions, in part because it was the chief agency responsible for the relations with the West that were so central to both the domestic and foreign goals of the Meiji state. The institution and its mainstream bureaucrats came to be Western-oriented, founding the tradition of orthodox Kasumigaseki [‘Foggy Gate’] diplomacy, which called for Japan’s cooperation with the leading Western powers: the United States and Great Britain. This foreign policy tradition remained closely identified with the Foreign Ministry both domestically and internationally, even when Axis-oriented diplomats dominated the ministry during Japan’s official defiance of Anglo-American cooperation from 1931 to the end of the Pacific War. Japanese leaders imbued with a belief in an Anglo-American-centered world order reemerged during the Pacific War first to prepare for and then to lead Japan in the new American-centered cooperation that would be the framework of the postwar period. Many postwar leaders were former Foreign Ministry officials.

Such continuity in Japanese worldviews has led Akira Iriye to conclude that the war and Japan’s period of defiance against the “existing order” were aberrations. The spirit of Anglo-American cooperation was thus the stable element that brought about the peaceful postwar order and Japan’s compliance within the framework of the Japanese-American security system. Although this view is valuable for an understanding of the evolution of Japan’s postwar stability, it gives little indication of the reasons for the instability of prewar Japanese institutions, international alliances, and even the career patterns of the Anglo-American-oriented bureaucrats and statesmen.

As an institution, the early Gaimusho [‘Foreign Ministry’], with its view toward the West, was slow to focus on the importance of China policy and China expertise. This is not to say that within its ranks China specialists did not develop but that their advice and concerns had only indirect influence on senior bureaucrats, who were more concerned with Japan’s friendly relations with the West. China service diplomats were also posted primarily to consular roles in China, where their perceptions of international relations were profoundly shaped by the international communities they administered and their close appreciation of the changing Chinese political scene.

As time went by, yet another divergent opinion group opposing enthusiastic pro-Western policy began to coalesce. At the Paris Peace Conference of 1919, their early views and leadership surfaced and worked to create a new internal division, the Board of Information, that loosely addressed group members’ nationalistic views on foreign policy during the otherwise liberal 1920s. In the 1930s, this opinion group emerged fully formed as the group of Gaimusho reform bureaucrats who were quick to attack their pro-Anglo-American seniors, particularly for their weakness (not just “softness,” but lack of expertise) in China affairs. Thus, the opposition to Anglo-American-oriented or Kasumigaseki diplomacy, if not mainstream until after 1930, nevertheless had a long history and a serious level of support before then.

The fate of China service diplomats over the course of the struggles between these two groups revealed the complexity of prewar politics and diplomacy…. For example, both groups worked hard to bring about tariff reforms for China in the mid-1920s, and both were inclined to early Japanese recognition of the new Nationalist regime under Jiang Jieshi [= Chiang Kai-shek]. However, during the Manchurian Incident, China specialists in the field … were keenly disappointed in the lack of strong opposition in their Tokyo superiors … to the army’s takeover.

Seen from their eyes, Kasumigaseki diplomacy failed on two counts. First, it failed to recognize the crucial importance of China’s sovereignty to maintaining the status quo and Japan’s position in the framework of world affairs. Second, it failed to take a stand against the new institutional adjustments in Japanese administration in China, which set the pace and tone for the continuing process of dismantling Gaimusho jurisdiction in China altogether. Kasumigaseki diplomacy preferred to ignore the contradictions inherent in the Japanese takeover of Manchuria, as did the Western Great Powers when they failed to take significant actions. For the Gaimusho, however, the consequences in terms of national prestige and real jurisdictional powers were far more immediate than for the Great Powers.

In the 1930s, the reform bureaucrats, in seeking to “renovate” their ministry and effect more positive policy in the non-Western world, bestowed more recognition and rank on China service diplomats. In particular, men with long experience in China came to lead the ministry’s Bureau of Asiatic Affairs, which played a crucial role in day-to-day decision-making during periods of conflict in China. Particularly in the Gaimusho, Anglo-American-oriented leaders were deprived of power and influence, if not office, during the 1930s. Resistance to Japanese expansionism came, not from them, but from China service men. Kasumigaseki diplomats could do little else but watch and tacitly support the efforts of China diplomats … who fought to prevent further military action in China and further erosion of Gaimusho authority there. Their efforts failed; both war with China and the replacement of Gaimusho jurisdiction with that of new agencies continued throughout the height of the Pacific War.

This loss of control did not happen overnight. It began with challenges to Gaimusho authority following the Russo-Japanese War, continued throughout the 1910s, and was renewed with great force in the 1930s. The loss by Kasumigaseki diplomats of their roles in decisions about the administration of China affairs stemmed in part from their own lack of concentration on or attention to this significant sphere of their institution’s activities. Mid-ranking bureaucrats, such as the China service men, were vocal in their criticisms during such impasses as the Manchurian Incident and the aftermath of the Marco Polo Bridge Incident, but their superiors were not quick to take heed.

The prewar period, then, witnessed a complex shifting of dominance among different policy advocates and among different institutions and branches of government. The Gaimusho’s rise and fall may be compared, for example, to the fluctuating power of the military forces or the rise and fall of party politics. As is often suggested, closer examination of interministry rivalry and shifting power balances across the individual bureaucracies might also reveal much more about the processes and the generally unstable patterns of the Japanese government. To label the 1930s and the war as “aberrant” ignores the systemic instability that seems to have plagued Japan from late Meiji times until the postwar period. The Anglo-American-oriented tradition in diplomacy was only one critical force among many influencing the processes of politics and foreign affairs in the prewar period.

Anglo-American-oriented bureaucrats and statesmen did return to prominence to mastermind Japan’s new cooperation in an American postwar order. Men such as postwar Prime Minister Yoshida Shigeru did rely on the prewar Kasumigaseki tradition to bolster their pro-Anglo-American credentials and consolidate power in a time of American intervention in Japanese leadership processes. But circumstances had changed again, much to their advantage and not for indigenous reasons. Yoshida as postwar prime minister did exhibit some institutional loyalties to the Gaimusho. As Chalmers Johnson has described, Yoshida firmly opposed expansion of the power of the Ministry of Commerce and Industry over that of the Foreign Ministry, which still nominally controlled trade. His losing battle to maintain normal diplomatic relations with China in the face of American opposition must have been rooted, in part, in his 1920s experience as a China consul and in his belief, not directly derived from Kasumigaseki diplomacy, in the importance of the Sino-Japanese relationship.

Other orthodox Anglo-American-oriented diplomats who emerged in the postwar period as leaders included … Shigemitsu Mamoru. Shigemitsu, in a curious twist of fate, first received a sentence of seven years’ imprisonment as a Class A defendant in the Tokyo war crimes tribunal, only to be released early in 1950 to enter a life of politics, culminating in his return to the foreign ministership in the Hatoyama cabinets. Aside from Kasumigaseki credentials, these men all had their history of high rank and powerful connections to parlay into new prominence.

China service diplomats had neither of these qualifications. Their record of China service had never given them high position and connections, and during the 1931-1945 period they had remained active Foreign Ministry officials. Many, in fact, had served out the war in Asian posts and were liable to suspicion for their participation in Japanese wartime administrations…. China service men, however, played significant roles as witnesses in the Tokyo war crimes tribunal and helped fashion the prosecution’s interpretation that the Japanese military had primary responsibility for Japan’s expansionist policies…. They had, after all, been eyewitnesses to the abuses of the army in the field in China during the time of the Manchurian Incident and later. Their experiences reconstructing events at the war crimes trial may have motivated some … to immediately write memoirs reflecting this experience. Others … either recorded their experiences prior to the end of the war or later based them in good part on prewar and wartime diaries. In any event, a great many of them wrote to clarify the historical record about Japan’s actions in China, and these memoirs have proved invaluable as sources over the years. Aside from writing, however, China service diplomats seem to have ended their lives quietly in private, not public, capacities.

Finally, the Gaimusho never recovered its pre-1930 status among Japanese governmental agencies. Long after the war, of course, as a former aggressor, Japan had only a limited capacity to play a part in international affairs, and the Gaimusho had rather few posts abroad to fill. When Japan’s international relations opened up again, many of its international agencies and delegations were also economic in nature, promoting the well-known Japanese approach of “economic diplomacy” and giving authority to the more economic ministries. The truth, however, is that diplomatic bureaucracies worldwide have declined in proportion to the speed and ease of modern communications and travel. Today, summit meetings and hotline telephone communications put heads of government in constant touch. Consulates everywhere today are staffed by members of widely varying ministries from home who have their own direct links to host and home country.

The China consuls served in positions defined by a unique, unstable, and temporary system of prewar unequal treaties. Their ministry never quite took stock of the implications of the privileges of this office, nor did it fully recognize the invaluable experience of these diplomats. On both counts, the Japanese Foreign Ministry failed to respond, or when it did, response was too slow and too late. As other agencies of the Japanese government usurped the consular role in China, they also radically altered the nature of the treaty port consul to fit the coming time of war.

SOURCE: Japan’s Imperial Diplomacy: Consuls, Treaty Ports, and War in China, 1895-1938, by Barbara J. Brooks, Studies of the East Asian Institute, Columbia U. (U. Hawai‘i Press, 2000), pp. 208-213 (Read full H-NET Review.)

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