A strait such as that of the Strait of Tiran which only gives access to a territorial sea does not possess the status of a "strait for international navigation"; consequently, only the principle of innocent passage (but which cannot be suspended) applies. (Art. 45, Subpara. 1(b) & Para. 2)
There is considerable reason to doubt that "straits" to and from archipelagic waters such as those in Indonesia (Sunda, Limbic, Makassar) are governed by the regime of straits and not solely by the compulsory concept of archipelagic sea lane passage. (Art. 53, Para. 2) It would make little sense for a vessel to be on archipelagic sea lane passage (Art. 53, Para. 1 & 12) before entering the strait between two islands, within the strait to be in strait transit passage, (Art. 37-44) and then to navigate again under the concept of archipelagic sea lane passage. (Art. 53)
5. ARCHIPELAGIC WATERS AND ZONES
Section: B. Zones and Areas
An archipelago (Art. 46, Subpara. (b)) and the waters between the individual islands have a particular status. (Art. 46, Subpara. (b)) The Convention provides for the drawing of archipelagic baselines, (Art. 47) granting the waters within such lines the legal status of archipelagic waters, (Art. 49) with the resultant effect on navigation, which had previously been exercised in such areas as on the high seas. Although the large maritime powers had long opposed any attempt to restrict the freedom of navigation in these waters, the introduction of these concepts no longer raised any serious opposition when it had become evident during the mid-1970's that a 200 nautical mile wide exclusive economic zone would find its way into the Convention. When this wide economic zone was combined with the concept of islands, (Art. 121) the result was that almost all of the waters within island groups such as Indonesia fell under the corresponding sovereign rights of such "group of islands" states. However, a significant distinction remains between the archipelagic concept and the situation of coastal states: whereas the coastal state has only enumerated sovereign rights within it exclusive economic zone, (Art. 56) the archipelagic state has sovereignty over the archipelagic waters (Art. 1, Para. 2; Art. 49) (the waters between the islands and within the archipelagic baselines (Art. 47)) similar to that of the coastal state in its territorial sea. (Art. 2) Using the archipelagic baseline as a starting point, the archipelagic state may then establish a territorial sea, a contiguous zone, and an exclusive economic zone towards the high seas, and has rights to the resources of the continental shelf as provided by the Convention. (Part II-Part VI) In order to ensure freedom of navigation, the archipelagic state must accept the concept of archipelagic sea lane passage; (Art. 53) it was only under this condition that general acceptance of an archipelagic concept could be achieved.
6. ISLANDS
Section: B. Zones and Areas
The regime of islands, which allows the establishment of all zones provided by the Convention if only an island can sustain human habitation or an economic life of its own, (Art. 121) has a significant effect on the colonization of the oceans. The "island effect" may well bring more ocean space under the jurisdiction of states than a 200 nautical mile zone as measured from the coastline of the continents. In quite a number of cases, a tiny island with a small population can now acquire rights to the resources in an area almost as large as France. The Republic of Kiribati (formerly Gilbert Islands) with its population of about sixty thousand has a claim on marine resources in an area bigger than that to which the People's Republic of China with its one billion people is entitled.
7. ENCLOSED AND SEMI-ENCLOSED SEAS
Section: B. Zones and Areas
The very term "enclosed and semi-enclosed seas" (Art. 122) is not a traditional concept of international law. At the 1958 Conference, only a weak attempt was made to establish a special regime for navigation in certain areas, but it did not meet with any serious response until the time of the 1973-1982 Conference. By that point, it was well-known to all concerned that such seas faced immediate and serious threats to their marine environment. The states bordering the Baltic Sea signed a Marine Environment Protection Convention in 1974. In 1973, the Convention for the Prevention of Pollution from Ships (MARPOL), which provided a stricter
regime for protection of "special regions", including the Mediterranean, the Baltic Sea, the Black Sea, the Red Sea, and the Arabian Gulf, was prepared for ratification. Further action was undertaken during the 1970's by the United Nations Environment Program (UNEP), which together with the affected states developed programmes for, among other areas, the Arabian Gulf, the Caribbean, and the Mediterranean. It soon became obvious that the measures would have the desired effect only if they could be taken on the basis of intense co-operation among the states bordering seas. The essential quality of the Convention provisions is that it requires the states to engage in this kind of co-operation. (Art. 123)
8. CONTINENTAL SHELF
Section: B. Zones and Areas
The regime of the continental shelf is clearly a post-World War II development. Prior to that, practically the only cases involving rights to resources of the sea-bed were related to pearl fisheries of Bahrain and Ceylon in the last century. If European legal experts had drafted a doctrine of the rights to resources of the sea-bed before World War II, they might have required two conditions, "claim" and "exploitation", and referred to the principle of freedom of the seas. The Truman Proclamation of 1945 changed the direction, but the European approach survived partly into the 1958 Conference, which defined the continental shelf as the sea-bed to a depth of 200 meters or, beyond that, to where the depth of the superjacent waters admits of the exploitation of the natural resources. (1958 Continental Shelf Convention, Art. 1) However, instead of granting all interested states the right to a "claim", the 1958 Conference granted the coastal states exclusive sovereign rights over the natural resources on the continental shelf adjacent to their coasts, although in the 1950's the state of technology did not permit exploitation of the sea-bed at a depth even approaching two hundred meters. This caused concern for coastal states whose continental shelf to the two hundred meter depth limit was very narrow. When surveys in the Red Sea discovered vast mineral resources at a depth of about 2,500 meters, Saudi Arabia in 1968 claimed sovereign rights to all mineral resources up to the mid-line of the Red Sea.
The Saudi oil minister, Sheikh Ahmed Zaki Yamani, stated (excerpt):
Those vast mineral resources have attracted several companies from distant countries who are now laying claims to the ownership of these resources. We have found it necessary to issue a law declaring (our) ownership.
This development is analogous to what happened in the United States during President Truman's administration, when the United States declared its title to the hydrocarbon resources in its off-shore areas. Several nations followed the example of the United States, and it has now become an established international rule that every nation has the right to exercise sovereignty over the- subsoil resources of its continental shelf. This time it was Saudi Arabia that took the lead in establishing another fair and equitable rule in international law.
The barrier of "two hundred meter depth" or "exploitation beyond" of 1958 was threatened. Although the Red Sea is a unique situation, it was quite obvious that other coastal states would soon follow suit if the community of nations did not agree on clear and enforceable rules. The 1982 Convention found a generous solution to this problem. (Part VI, Art. 76)
9. EXCLUSIVE ECONOMIC ZONE
Section: B. Zones and Areas
In describing the evolution of the concept of the exclusive economic zone, reference should first be made to the impact of fishing disputes which had arisen frequently since the eighteenth century. Although local in nature, these disputes led to such a growth in tensions in the 1960's that it was obvious that discussion of a new concept would be essential at the Third UN Conference on the Law of the Sea in 1973-1982. When the 1958 and 1960 Conferences failed to extend the territorial sea beyond three nautical miles, many states sought "compensation" by establishing a fishery zone of twelve nautical miles or more. Between 1958 and 1973, more than forty states implemented such fishery zones. A further driving force in the development of the economic zone was the unanswered questions with respect to the limits of the continental shelf. Furthermore, there was a precedent of some Latin American states (Chile, Peru, Ecuador) which in the Santiago Declaration on the maritime zone of 1952 postulated that they possessed sole sovereignty and jurisdiction over an area of the sea of not less than two hundred nautical miles from the coast. Other Latin American states followed. At the beginning of the 1970's, many African states and several Asian states adopted a policy corresponding to the South American claims. For many important maritime nations, the survival of the freedom of navigation in general and in straits in particular was becoming a matter of serious concern.
This "exclusive two hundred miles" approach ultimately found general acceptance, with the exception of three principal restrictions:
1) Instead of sovereignty, the coastal state has only enumerated sovereign rights; (Art. 56)
2) With regard to living resources, the coastal state has only "preferential rights" instead of "exclusive rights"; (Art. 62, Para. 3)
3) The coastal state has to accept the principles of freedom of navigation and overflight. (Art. 87; Art. 58)
But in spite of these restrictions, the practical impact of the exclusive economic zone remains close to exclusive rights. The sovereign rights granted include all economic uses known today, including marine scientific research. The "preferential rights" in respect to living resources are based on provisions which make it nearly impossible for other states to exercise their rights to a surplus of the allowable catch (Art. 61; Art. 62, Para. 3) except through friendly co-operation. Commercial shipping in general, on which every coastal state economy relies to at least a certain extent, might be affected by many political, economic, ,or social matters, but will concern itself very little with particulars of rights from navigation regulations; there will be great interest, however, in seeing the same rules applied consistently on a global basis. Naval vessels, on the other hand, particularly those not simply passing through the zone, might find that traditional freedom of navigation does not apply fully in the exclusive economic zone.
The following states (list not exclusive) have benefited most from the establishment of the exclusive economic zone and archipelagic regime (approximated figures in million square nautical miles):
More than 2 million: Australia, Canada, Indonesia, New Zealand, USSR, USA
1-2 million: Brazil, Chile, France (including overseas dependencies), India, Japan, Mexico, United Kingdom
0.5-1 million: Argentina, China, Equador, Fiji, Kiribati, Madagascar, Mauritius, Norway, Papua New Guinea, Philippines, Portugal, Solomon Islands, South Africa
10. THE HIGH SEAS
Section: B. Zones and Areas
Until recently, the high seas were almost identical with the ocean space. The new order of the oceans has reduced this space by more than one-third, and the sea-bed below the seas and its resources have been given a regime of their own, the Regime of the Area. (Part XI) The high seas are the ocean space beyond the jurisdiction of coastal states, the waters superjacent to the sea-bed, the ocean surface, and the atmosphere above (Art. 86; Art. 135; Art. 78, Para. 1) and cover almost half of the planet's surface.
The 1982 Convention bases the legal regime of the high seas on the principle of freedom of the sea, (Art. 87) a term which governed the law of the sea for a long time. It is not worthwhile to reconstruct the evolution of the term, but it can be pointed out that the principle was enforced by Great Britain's sea power from the nineteenth century onwards as essential for the administration of the far-flung colonial empire. Traditional freedom of the sea, in fact, meant only freedom of navigation and freedom of fishing. As far as other means of utilization were concerned, the doctrine was ineffectual. Freedom of navigation could easily find general assent, as the substance of the ocean was unaffected by a vessel using it for passage; an unlimited number of vessels could pass through the same space without "using up" the ocean. For a long time, the same was true of fishing, at least where the catch was small or where the stocks could renew themselves before that part of the ocean was fished again. The traditional regime worked only as long as, and in places where, this was the case, and wherever these conditions were not present, tensions inevitably resulted sooner or later. Invulnerability during use was sufficiently inherent in the traditional system.
The provisions of the 1982 Convention retain the concept of invulnerability. The following-examples illustrate this:
(a) the high seas are reserved for peaceful purposes; (Art. 88)
(b) it is forbidden to make sovereignty claims on any part of the high seas; (Art. 89)
(c) co-operation is required among nations engaged in fishing, (Art. 118) and conservation measures may not discriminate against others; (Art. 119, Para. 3)
(d) due regard is to be given to the interests of other states and to activities in the Area; (Art. 87, Para. 2) and
(e) states have the obligation to protect and preserve the marine environment. (Art. 192)
The term "freedom" (Art. 87) is of less significance than would appear at first glance. The right of navigation is the logical consequence of the exclusion of sovereign rights to any part of the sea, (Art. 89) as is also the case for overflight, cables and pipelines, artificial islands, and scientific research. These and other theoretical uses can be "free" only if the invulnerability of the high seas is observed or accepted by the community of nations, e.g., in cases of lawful dumping. (Art. 210)
11. THE AREA - THE DEEP SEA-BED
Section: B. Zones and Areas
The deep sea was completely unknown to man until recently, and even today it remains a mysterious part of the planet. Whereas the oceans cover roughly two-thirds of the earth's surface, the deep sea bed, designated by the 1982 Convention as the "Area", (Art. 1, Subpara. 1(1)) covers about half the globe. In general, the sea-bed of the Area starts where the oceans have a water depth of 2,500 meters, corresponding to the concept of the continental shelf. (Art. 76) The greatest depth of the ocean is over 10,000 meters. Based on present findings, the value of the sea-bed and its subsoil is in potato-sized nodules composed of metal ores. These nodules are scattered across large areas, especially at depths of three to four thousand meters. These deposits are estimated to be in excess of one trillion tons. Technology for deep sea mining will be "collection", "sweeping", or "vacuum cleaning". All mining techniques known today would have considerable effect on the ocean floor and the water at and around the place of operation. A price tag of one to three billion US dollars for one operation unit, the present state of the ore commodity market, open questions with respect to protection of the marine environment, and uncertainties about the general acceptance of the 1982 Convention by the community of nations make it unlikely that operational activities for mining of nodules will commence in the remaining years of this century.
Ten years ago, however, at the mid-point of the 1973-1982 Conference, prospects were brighter and the mood of the delegates was more optimistic; there was a willingness to come to a consensus of a new legal concept for the Area. The vast majority of delegates were finally able to agree on a comprehensive concept, (Part XI; Annexes III & IV) based on the principle that all rights in the resources of the Area (Art. 133, Subpara. (a)) are vested in mankind as a whole, on whose behalf an International Sea-Bed Authority is to act. (Art. 137, Para. 2) A law-making mechanism for almost every aspect concerning the Area, e.g., protection of human life, (Art. 146) installations, (Art. 147) and administrative procedures and mining operations, including environmental protection, transfer of technology, inspection, and so on. (Annex III, Art. 17) is to be established through the Sea-Bed Authority. The Convention, however, provides only the basic principles (Art. 136-149) and policy (Art. 150-153) which govern the Area.
As it was obvious toward the end of the 1973-1982 Conference that the setting up of a legal framework, as well as the ratification and entry into force of the Convention, would take time, a Preparatory Commission was conceived to act in the interim. (Final Act, Res. I, Annex I) The Commission has established special commissions, of which two deal with the legal framework with respect to rules and regulations for the Enterprise and the preparation of a sea-bed mining code. The Preparatory Commission also deals with claim applications of pioneer investors. (Final Act, Res. 1, Annex 1.)