Source: (Burger and Gochfeld, 1998, 9)
1.5.1 Private right-based regimes
With private right based property regimes, market prices are used for access and
harvesting rights over the flow or yield from CPRs to provide signals and incentives to resource
users that reflect the scarcity values of resources. Private right-based regimes reflect a
decentralised approach, which endeavours to create exclusive, private and transferable rights over
the flow (and where possible, the stock) of CPRs. Private ownership permits decentralised
decision-making that allows individuals to optimise their use of inputs and outputs at the margin.
Implementation of a quota system however, brings with it a redistribution of wealth and
income, which can have major impact on those involved in the industry. A survey to discover the
impact of the 1995 Individual Fishing Quota management plan for the Alaska Halibut fisheries,
concluded the following "..management policies that may increase net benefits of fisheries
do not necessarily make all fishermen - or even a majority of fishermen - better off. This can
contribute to strikingly different perceptions of the same management policies among different
fishermen." (Knapp, 1997, p. 245).
The success of private rights presupposes that individuals without a property right can be
excluded from the CPR at a cost less than the benefits of privatisation. This is an important
consideration since exclusion costs for a CPR can, in contrast to private goods, be very high.
Enforcement costs are also likely to be high where the new distribution of property rights tends
to hurt the former users and the new structure is somehow seen to be ‘unfair’ by users. Or as
Baland and Platteau (1996) note: "..the costs of enforcing exclusive property rights partly
depend on the way distributed of wealth is affected and also on the perceived legitimacy of the
new legal system and authorities by the dispossessed former users." (page 39).
It also needs to be recognised that natural resources may generate benefits over and above
those, which can be appropriated by individuals, and thus private decisions may be sub-optimal.
Examples of such values are amenity and existence values.
1.5.2 Community right-based property regimes
Community right-based property regimes over CPRs have existed for thousands of
years and help manage resources such as irrigation systems, grazing lands, forests, groundwater
and fisheries. Many case studies have been documented (Baland and Platteau, 1996, Lane, 1998,
Ostrom, 1990). These studies, and others, provide a rich source of information that community
rights can help resource users "…avoid the conflict, uncertainty, and perceived unfairness
of a poorly solved assignment problem, the overinvestment in appropriation efforts involved in
adequately solved rent-dissipation problem, or the deterioration or destruction of the resource
involved…" (Ostrom, 1990, p.56).
If community rights are to be successful in addressing common-pool problems, the collective
interest must be accounted for in the decision-making and behaviour of resource users. Ostrom
(1990) identifies the conditions for enduring community rights:
- well-defined geographical boundaries for the resource,
- rules of access and withdrawal that are accepted by the community and which are tailored
to the resource and institutions,
- monitoring and enforcement rules with graduated sanctions against transgressors,
- resolution mechanisms for disputes among members
- participation of most resource users in changes of collective rules, and,
- recognition by outside authorities of the collective rights.
Baland and Plateau (1996) from their study of CPR management around the world draw the
following conclusion regarding the factors that will help bring about successful CPR
management, they are:
- in situations involving conservation, external provision of appropriate economic incentives
is required. When resource users are hard-pressed by survival constraints and the rehabilitation
of the CPR entails a long gestation period, people need help to participate and survive;
- collective action is more successful with small user groups.
- co-operation is enhanced when small groups live close to well-delineated CPRs and when
they are able to lay down access and management rules in their own way.
- large groups may sometimes succeed in carrying out CPR-management schemes. This tends
to arise when a large group is made more like a small group because members share
common-norms possibly enforced by well-recognised authority, or because they are confronted
by a common challenge arising from without,
- Homogeneous groups are often more conducive to collective action than heterogeneous
groups.
- past experience of successful collective action is an important ‘social capital’
- Good leaders are essential to perform several critical functions: to help people become
aware of the real challenges confronting them; to convince them that they can ultimately benefit
from concerted action; to show to others the good example; to mobilize a sufficient number of
them for enterprises requiring co-ordinated efforts and to ensure impartiality and fairness in the
designing and enforcing of rules and sanction mechanisms. (Baland and Platteau, 1996, pgs
344-345).
Community rights regimes must be flexible and able to adjust with changing institutions,
environment and technologies. They also need support from the state to ensure their exclusivity,
or as Bruce (1996) states, "Community resource management is often undermined when
adequate legal bases have not been provided for common property."
1.5.3 State right-based property regimes
State-based property rights cover a range of structures where the rights are vested in a
central-governing authority and the resource users are obliged to follow its management rules.
State based rights include regimes where users only have a limited right of access to examples
where users have withdrawal rights and may even participate in management decisions.
The view of the state as a sole-owner suggests that, by vesting it with the direct authority
over CPRs, the state can overcome (or at least mitigate) the coordination failure inherent in their
exploitation. As a sole-owner the state can take into consideration non-market values and also
reap economies of size in the processing of information, monitoring and enforcement and other
management costs.
These theoretical advantages of the state as a large owner have often not been achieved in
reality. Nationalisation by the state of the fishing resource has led to the overriding of community
rights and unwillingness to participate, or as Hunt (1998) write about the situation in the Pacific
islands:
"Pacific governments have been prone to avoid the difficult process of clarifying
customary marine tenure and have preferred a 'top down' approach to development and
conservation. The resilience of any development or conservation arrangement in inshore waters
is often heavily dependent on local people being involved in decision processes and receiving
rents." (page, 81).
The state often has also not been able to finance the monitoring and enforcement needed and
the result has been a continuing degradation of the resource. Finally, political interference and
the presence of corruption have led to few examples where state ownership has led to a
successful management regime of a fishery.
Round the world we see various approaches to fishery management. In the developed world
there has been a trend to private rights with at the same time greater recognition of community
rights and non-market values. Fisheries, which have introduced market mechanisms, have
generally fared well, however in the developing world we also have seen successful examples
of community based fishery management schemes.
1.6 The How of Fishery Management
In its 1987 report on the environment, "Our Common Future", the World
Commission on Environment and Development (the Brundtland Commission) identified three
sets of measures which could be employed to improve the way in which we use our
environment:
- regulations (output and input controls)
- taxes and charges, and
- property rights.
1.6.1 Regulations
Output controls set annual quotas on harvest volumes; once the quota has been reached,
the fishery is closed for the year. This results normally in a shortening of the fishing season with
an extreme example being the British Columbia herring roe fishery which has had a season as
short as 15 minutes. What happened here is that although output was controlled, input was not
and more and more fishers entered the industry and technology was improved, all to be ‘the’
fisher who caught most of the quota.
Input controls limit the number of vessels that are allowed to fish (by requiring a licence, for
example) or other factors of production (size of boat, nets, etc.). Together with this there are also
technical measures, which protect undersized fish, or spawning areas, including the specification
of minimum mesh sizes which allow smaller fish to escape and grow to a commercial size.
Most of the above measures fail to achieve their stated objectives. From a biological
perspective, the state of fish stock has generally not improved following the introduction of such
measures; harvest volumes of some species (Atlantic cod and halibut, for example) may, indeed,
be reaching a point which recovery is impossible.
Regulations on total catch, effort or catchability increase the unit cost of effort or harvest.
The effect of an increase in unit cost of effort will result in fishing costs exceeding the value of
harvest and a reduction in fishing. While a lower sustained equilibrium is achieved it comes at
a high cost and there are no rents. The fish is caught in an inefficient way.
While it may be fashionable to reject direct regulation as a means of managing a fishery,
when enforcement of alternative options (such a property rights systems) is difficult, regulations
on when and where fish can be taken may be the cost-effective way of ensuring that the tonne
of fish does not consist of juvenile or pre-spawning fish (Campbell, 1998, 25).
1.6.2 Taxes and Charges
Taxes and charges are not a popular management tool (neither with politician or
fishers). Taxes on catch or effort are difficult to enforce in a fishery in which there are many
ports and points of sale. The New Zealand ITQ system, to be discussed below, got around this
problem by assuming for tax purposes that each vessel catches its quota; a royalty per tonne of
quota is levied whether or not the fish have actually been caught
The most common type of tax on the fishing industry is a negative tax - a subsidy.
1.6.3 Property Rights
The operation of the private market system fails to result in an efficient allocation of
resource to the fishery because of the absence of individual property rights to the fish stock. A
direct approach to fishery management is to attempt to create a system of property rights so that
the fishery can be allowed to regulate itself by responding to market signals. Two property rights
systems of management are in common use; limited entry and individual vessel quotas. A
limited entry system changes the property rights structure of the fishery from open-access to
common property; only certain vessels are allowed to participate in the fishery and they hold this
right in common. Individual vessel quotas, on the other hand, are more similar to individual
property rights.
In what follows below, and individual property rights system will be discussed in detail: i.e.
how the system operates, how it was implemented, problems encountered, and the current
situation.
II. CASE STUDY: THE NEW ZEALAND (NZ) QUOTA MANAGEMENT
SYSTEM
Keeping in mind the reasons for overfishing (property rights and wrong signals) and
the broad set of objectives for management, economic efficiency, biological protection,
employment and livelihood, and uncertainty and equity, we will now look at how New Zealand
has dealt with all of these.
Today, every textbook on resource and environmental economics has the NZ experience as
a case study. Has its fishery management plan really solved all the problems? We will see.
2.1 Fishing till 1982. The boom and bust period
The NZ fishing experience is very much like the experience of other developed countries,
a ‘boom’ and ‘bust’ industry, at times constrained and at other times encouraged by the
Government. Already in the early 1900’s signs of overfishing were apparent and seasonal
closures for all methods of fishing were introduced and Danish seining was prohibited because
it was deemed to be excessively efficient. Policies differed for different regions (fishing areas)
of the country.
Licensing was introduced in 1936 for the catching, wholesaling and retailing sectors. Further
action was taken in 1937 following renewed concern about overfishing (the catch level at that
time was 30,000 tonnes, in 1995 the total catch was 654,000 tonnes of fish and other sea food
products!).
In 1945 a one-man licensing authority was established which introduced minimum fish sizes,
gear restrictions, area closures and non-transferable licences. These licences specified one port
for landing fish. Although the sale of licences was technically illegal, the fishing industry
appeared to have had little difficulty in finding ways around the law. Old fishermen tell stories
of rotten-hulled dingies with a licence number clearly painted on the side being sold for
thousands of pounds.
By 1955 the restriction to land into only one port became impractical. Larger vessels with
a greater fishing range blurred the boundaries between the different regions. This restriction was
removed but limited licensing remained. Enthusiasm for developing the fishing industry and its
export potential culminated in open access fishing being introduced in 1963 along with the
formation of the Fishing Industry Board. However, a raft of controls was introduced for the
Foveaux Strait Oyster Fishery to prevent the explosion of fishing effort. In contrast however,
the scallop fishery was not controlled and collapsed within 15 years of having an open access
policy. Today this is also a controlled fishery.
In 1965 New Zealand’s fishing zone was extended to 12 miles. Foreign licensed vessels
were phased out of this zone and only allowed to operate more than 12 miles offshore by 1970.
This changed in 1978 when the 200 miles Exclusive Economic zone was put into effect. Up to
now fishing effort has been confined mainly to a depth of approximately 200 metres.
With the declaration of the EEZ, the future looked very promising indeed. NZ controlled
the seventh largest EEZ in the world. Before 1978 foreign vessels, mainly Russia, Korea, and
Japan, exploited the stocks around New Zealand. Now, with the declaration of the EEZ, the
government was suddenly faced with having to develop a plan to manage resources in a very
large and unfamiliar territory. The Government from 1978-1984 in the form of low interest and
suspensory loans and duty free importation of new and near-new vessels encouraged the industry
to expand. The industry did so through expansion of the number of NZ fishers and firms and
through co-operative ventures with foreign countries. While the intention was to base fisheries
development on the offshore resources, the fishing effort in the prime inshore fisheries also
expanded rapidly. Export earnings increased rapidly but so did a renewed concern about over
fishing. In fact, by the early 1980s, overfishing of species in these zones and overcapitalisation
within the inshore fleets had become a problem.
2.2 The start of management by Individual Transferable Quotas (ITQs)
In light of the concern about overfishing and sustainable fish stocks, the Government decided
to start managing the deep-sea fishery on a new basis. In 1983, a limited individual transferable
quota system was established to protect the deepwater trawl fishery. Because this fishery was
newly developed, allocating the quotas proved relatively easy. Total allowable catches for the
seven basic species were divided into individual transferable quotas and were allocated to
existing firms on the basis of investment in harvesting equipment, investment in onshore
production equipment, and recent onshore production. The rights to harvest were denominated
in terms of a specific amount of fish, but were only granted for a 10-year period. In 1985 the
government changed this to quotas in perpetuity.
Also in that year, a new Fisheries Act was passed which introduced the concept of fisheries
management plans. For the first time in New Zealand’s fishing history recognition was given
not only to biological objectives but also to the concept of optimum sustainable yield to
maximise the economic rent.
At the same time that the deep-sea fishery policy was being implemented, the inshore fishery
began to fall on hard times. Too many participants were chasing fewer fish. Some particularly
desirable fish species were being seriously overfished (e.g. snapper). While the need to reduce
the amount of pressure being put on the population was rather obvious, how to accomplish that
reduction was not at all obvious. Although it was relatively easy to prevent new fishermen from
entering the fisheries, it was harder to figure out how to reduce the pressures from those who had
been fishing in the area for years or even decades. It was estimated that in 1984,
overcapitalisation in the areas where inshore fisheries were most concentrated, had reached about
44% of the existing fishing capacity (FAO, 1999).
The answer was similar to the deepwater industry, a rent-orientated management system
based on individual transferable quotas in perpetuity. However, the inshore fishery was not a new
fishery fished by only a few large firms. In this fishery there were many small-scale fishers, and
part-time and recreational fishers. The government decided not to give quotas to part-time and
recreational fishers. Recreational and part-time fishers continued to have access to the sea but
there was a bag limit for major species.
Before embarking on the quota scheme for the inshore fisheries, the government went
through a long consultative process with all fishing groups up and down NZ. They got the
support from the fishers since everybody was well aware of the dangers and consequences of the
open slather situation. Quotas were ‘grandfathered’ on the basis of historical catch (1982-1984)
and resource rentals were charged. The resource rental needed to be paid irrespective if the quota
was caught in any year or not. An Appeal Court was set up for fishers to appeal their quota, and
many appeals were granted. The result was that the sum total of the ITQs was high, for some
species much higher than the estimated sustainable yield.
The resource rental was used by the Govt to buy back quota so as to bring the total quota
level back to a sustainable catch level (TAC or Total Allowable Catch). Selling quotas was
voluntary and the Government held several tendering rounds for fishers to offer their quotas to
Government at a price they were willing to sell them. The Government ultimately spent $NZ 45
million (present value) to buy out 15,800 tonnes of fishers' case histories (FAO,1999).
The main objectives of the ITQ system are presented below:
-
1) to achieve a level of catch which maximises the benefit to the nation as a whole while ensuring
a sustainable fishery,
-
2) to achieve the optimum number and configuration of fishers, boats and gear to minimise the
cost of taking any given catch,
-
3) to minimise the implementation and enforcement costs. Before introduction of the ITQ
system the enforcement method was a standard game warden approach, apprehending
lawbreakers and discouraging illegal behaviour, which was costly. The new role of the
authorities is not so much policing but monitoring following product flow from vessels to
retailers. Enforcement activity now takes place on land rather than at sea, which is more cost
effective and can be carried out by officials who are more auditors than game wardens.
-
(Kula, 1994: 73)
ITQ management was established for 29 species, including 21 inshore and eight deepwater
species. Other species have been included since 1986, and there are now 41 species managed
under ITQs. These represent about 85 percent of the total commercial catch from New Zealand's
EEZ. The Fisheries Act 1996 provides for additional commercial species to be managed using
ITQs.
The introduction of ITQs, together with the financial assistance to restructuring, was
designed to reduce fishing capacity. With the adjustment retirement of 15, 800 tonnes of catch
came also a dramatic reduction in the size of the fleet. The number of vessels dropped by 22
percent between 1983/84 and 1986/87 and there was a further 53 percent reduction between
1998/87 and 1994/95. As this rationalisation primarily occurred in the country's inshore fisheries,
one of its effects was to redirect investment into deep-water fisheries.
While the achievements describes above look good, it has been said that fisheries are
exceptionally vulnerable to Murphy’s Law: "if anything can go wrong with a new
fisheries management scheme…it will." What according to fishery economic theory could
go wrong? Copes (1986) gives fourteen area which are:
- Quota Busting: catching a larger amount than the individual quota allows.
- Data Fouling: evasive reporting by fishers by gives fishery managers a distorted view of
what is being caught
- Residual Catch Management. Different fish stocks call for distinctly different techniques
and regulation in fishery management. In most the TAC must be determined and the escapement
becomes the residual, but with some the escapement becomes the target and he catch the residual
(e.g Northeast Pacific salmon).
- Unstable Stocks. Determining TAC becomes a hazardous undertaking. Only tentative
TACs can be set at the beginning of the season and adjust these during the season as information
comes in.
- Short lived species. In some fisheries there is not observable relationship between size of
catch and subsequent recruitment. Happens with species of high fecundity. Here setting quotas
would be irrational, and all of the fishing capacity should be utilised to secure quickly a catch
that will otherwise be lost to natural mortality.
- Flash Fisheries. With specialised fisheries, as above, a "race for the fish" is a
necessity. There is not time to fuss with quotas.
- Real time Management. When a species need to be continuously monitored and where
harvesting is on the basis of quick-response time and area closures or gear restrictions. Also here
a quota system would not be suitable.
- High-grading. Keep only the best quality fish and discard the rest. As the mortality of
discarded fish is high this leads to a lot of waste. Discarded fish are also not recorded.
- Multi-species Fisheries. The by-catch problem.
- Seasonal Variations. This may lead to concentration of effort and some capital
stuffing.
- Spatial Distribution of Effort. If species are spatially unevenly distributed we get
concentration of effort which may lead to over exploitation.
- TAC setting. Most difficult given scientific uncertainty.
- Transitional Gains Trap. The first generation after the introduction of ITQ gains.
- Industry Acceptance. Common property conditions tend to make fishers a particularly
individualistic and competitive breed. They tend to be relatively risk-prone, and most affected
by the ‘prospector’s syndrome". Having private property rights imposed on them is a
major change and requires a major psychological shift. Acceptance by the industry is crucial for
success.
2.3 The period 1986-1996
All new management systems have teething problems and this more so if your programme
is among the first of its kind in the world. Of the 14 problem areas mentioned above, NZ suffered
from many of them and had to learn to deal with them. Quota busting was one of these.
However, NZ has an advantage that there are only a limited number of ports where boats can
off-load, and hence a reasonable check can be maintained. The penalties for quote busting were
high, immediate confiscation of boat and gear. At the same time to stop ‘black marketing’ of
fish, a computerised paper trail was set up to accompany all fish entered and sold in shops in
New Zealand. Also the by-catch and high grading problems needed time to be resolved.
Besides the issues mentioned above, several others needed to be dealt with, they were
customary fishing rights, absolute quotes, recreational and part-time fishers and non-quota
species. These four issues needed to be resolved and this happened as follows:
- As traditional Maori fishing rights were protected under the Treaty of Waitangi, and no
quotas were given to Maori in the initial allocation of quotas, the government helped the Maori
people to buy one of the larger existing fishing companies, which gave the Maori people 20%
of the existing quotas. Of any new quotas, the Maori people would also automatically get
20%.
- The initial quotas were defined as absolute quantities and as new estimates about the total
allowable catch (TAC) were revised down, Government needed to buy back many more ITQs
then expected. The cost of buying back quotas became too high, and the Government, after much
argumentation reached a compromise deal with the fishing industry. Quotas were to be changed
from an absolute amount (you can catch so many tonnes of species A) to a proportional quota
(e.g. you can catch .1% of the total allowable catch of species A this year in management area
2). The catch allowed in each year would now vary as the TAC, announced at the end of the
previous year, was varied up or down. This change in property right from an absolute to a
proportional right lowered the value of the quota and the fishers wanted compensation. They got
this in terms of a moratorium for five years on resource rental increases (a large increase had just
been planned).
- Recreational and part-time fishers were not given quotas in 1986. Control in the
recreational fishery is in terms of bag limits (the amount a fisher can catch in one day). Over the
years an uneasy situation has developed between commercial fishers and recreational fishers.
In some management areas the Crown has reduced the TACC for commercial fishers and also
the bag limit for recreational fishers. Recreational fishers have supported this move by the
Crown and the commercial fishers have fought it in the courts. Commercial fishers think that
the reason recreational fishers support a lowering of the TACC has nothing to do with
conservation. They think that recreational fishers want to catch more fish each time they go out.
They will only be able to do this if the commercial fishers catch less of the fish than they do at
the moment. Recreational fishers in return accuse commercial fishers of fishing within the 12
mile coastal zone. The commercial fishing industry wants recreational fishers brought under the
QMS. This however is highly unlikely because of high transaction costs. This issue has
remained a problem and will be discussed further in the next section.
- The allocation of the new quotas was first proposed to take place by a tendering process.
However Government was on weak legal grounds as they had already promised the rights to
those who has invested in developing this new species. Hence 60% of the new quotas were
offered to those firms who had invested and they were required to pay a one-off rental, 20% went
to the Maori people, and 20% offered on the free market (The Dominion, 23 March,
1993)
With some of these problems to some extent solved was the industry now at the beginning
of a new golden era for fishing? The answer is yes and no. The industry over the period
1986-1996 increased significantly and is now New Zealand’s fifth largest export industry (a $2
billion dollar industry). At the same time however there are still problems that need be resolved.
At the bottom of some of these outstanding issues is the setting of the TAC. The TAC
problem is a continuing running battle between industry and the government. While the fisheries
scientists are continually reducing the TAC, the industry continually creates pressures to push
the TAC up. The controversy is the result of not enough data. As Wilson write:
"The assumptions concerning the biology of the fishery are not well known; this
is due to the interactions of a large number of species. In turn, the availability of fish is subject
to wide variations and there is little evidence for simple links between current and future
population sizes." (Wilson, 1982)
The issue is that on the one hand the recreational and small commercial fishers claim that
catches are down which to them is a sign that the fisheries are overfished. On the other hand the
large commercial fishers disagree. They claim that they will be the people who will suffer most
if this were so. They are a billion-dollar industry employing 8500 people. If the fishery is wiped
out, the industry will suffer most. Therefore, the industry has the greatest stake in perpetuating
the fishery. In between are fishery scientist and the Ministry of Fisheries. It is as a Recreational
Fishing Council spokesman said:
"It just seems greedy on the part of the commercial fishers that they keep trying to stop
the decision of the Minister [to lower the quota for some species] in the Courts. He [the
Minister] has tried to lower the limit twice now. He has the right to do this under the law and
must consult with everyone before he makes this decision. He really is the spokesperson for the
fish. Then when he does make his decision the commercial fishers fight it, and with all the big
companies on their side they have enough money to do that."(Hetherington, internet
source)
At the bottom of it all is that we really don’t know for sure how many fish there are and
what the sustainable yield levels are. Research has been conducted but mainly on high value
commercial stock. Right now, nobody knows with any degree of certainty, plus or minus 50
percent, what the sustainable catch levels for different species are. With high grading and
dumping, the black market and research an imprecise science at the best of times, a lot of fish is
unaccounted for.
As a final note on the implementation of the QMS system, the issue of enforcement (very
relevant to Asian situations) is resolved in NZ using modern technology (which is becoming
cheaper by the day). NZ is the fist country in the world to set up a satellite monitoring system to
control where and when commercial fishing vessels can operate. The ‘spy in the sky’ known
as the vessel monitoring system (VMS) was introduced in 1994. The VMS stipulates that all
foreign vessels working inside our 200 miles EEZ, all NZ vessels longer than 28m and boats
catching orange roughy, scampi, squid and tuna must carry automatic location communicators
(ALCs). Signals sent from the vessels are picked up by satellites and beamed to the Ministry of
Fisheries’ communications centre. Monitoring staff check to see if vessels are in prohibited
areas and compare the information with what fishing companies are saying about where their
vessels are operating. The system is working well and there has been widespread acceptance by
government and the industry. The NZ airforce also contributes to surveillance, and the planes
also can detect dumping at sea, illegal transhipments and area infringements should VMS
malfunction. (The National Business Review, 1996).
2.4 The NZ-ITQ 1996 - today
In 1991 a review of the industry started which concluded with a new Fisheries Act of 1996
the implementation of which will take five year.
The overriding purpose of the Act is to achieve an eco-system based management approach.
This will be achieved through measures which set a total allowable catch (TAC) which will
ensure sustainable fish stock, through restrictions on fishing gear, and controls to limit the
accidental death of protected marine species. The Act also introduces greater contestability for
a wide range of services, previously done by the Ministry of Fisheries.
Following the passing of the 1996 Act, an internal management team of the Ministry of
Fisheries began reviewing the costs and processes for implementing the Act. A range of
estimates prepared showed that implementation was going to be enormously expensive.
A full review of the 1996 Act was conducted and the following findings were reported:
"If the Act is implemented in its current form it is highly likely that:
- the purpose of the Act - to provide for the use of fisheries resources while ensuring
sustainability - would be undermined;
- significant compliance costs associated with administering the Act would be imposed on
commercial fishers, and yet this cost cannot be justified by any additional cultural, social or
environmental gains from the Act, and
- the fisheries management regime:
- would be highly centralised and inflexible
- would be contrary to Government’s decision to devolve the delivery of non-core
government fisheries services to the fishing industry, and
- would remove incentives for all stakeholders to take a constructive role in the management
of the national fisheries resource. (Fishing for the Future, 1998, internet)
The recommendations from the review can be briefly summarised as:
- devolve management responsibilities and purchasing of fisheries services by appropriate
fisheries rightsholder groups. The concept of co-management is used here;
- simplify the QMS so that Government administrative costs and industry compliance cost
are significantly less than they are now;
- specify and clarify the rights and responsibilities of all fisheries rightsholders;
- allow commercial, recreational and customary fishers to work together to innovatively
manage their own fisheries in way that better reflect the day-to-day reality of fishing, while still
meeting the principles and purposes of the Fisheries Act of 1996, and
- recognise environmental considerations and statutory obligations under the Treaty of
Waitangi. (Fishing for the Future, 1998, internet).
Recommendations of this review are encapsulated in the Fisheries Amendment Bill 1998.
This bill, although supported by the dominant fish quota owners, fish processing companies, by
influential Ministry of Fisheries officials, the Minister and some other fishers, has many
scientists, recreational fishers, Maori, environmental organisations and many small fishers deeply
worried (Ecolink, 1999).
Although the bill is not law as yet, the Ministry is preparing for devolution of some of its
"non-core" services. This latter terms is used to cover things like the operation of the
system of tracking who catches what with what fishing effort, who owns the quota, who leases
annual catch entitlements and who has what offsets.
There is considerable scope for self-policing in a fishery. As Runolfsson (internet)
writes:
"Large numbers of fishers spend time on the water harvesting their catch. They can and will
be enlisted in policing the resource. The incentive for self-policing follows directly from the
ownership of quota. Although individuals profit if they exceed their quota (steal fish), it costs
them if other quota owners do likewise. If everyone exceeds their quota, the fishery will be
overfished, fishers income will fall, and the price of quota will fall. Fishermen themselves will,
in time, protect their property rights just like landowners protect theirs." (Runolfsson,
internet)
There is concern in NZ however, by a variety of groups, that devolution may place too much
power in the hands of the big companies. This is partly countered by the fact that the Minister
of Fisheries will retain the power of setting TACC. However with respect to that some groups
feel that the marine ecology is poorly accounted for when calculating sustainable harvesting
rates. Research literature show sustainable yield models have failed to predict past fisheries
collapses. The answer to much of this is two fold, use a precautionary approach to setting TACs
(i.e. an insurance policy) and do more research. Both have an opportunity costs (mainly to the
industry and those who make a livelihood from fishing).
The 1996 Act also set out the way new quota species will be introduced, and it dealt with the
by-catch issue The review calls for implications to both of approaches.
2.5 Has the QMS system be a success?
Perman et al (1999) write:
"the evidence of the ITQ system in operation suggests that, in comparison with other
alternative management regimes that might have been implemented, it has been successful both
as a conservation tool and in terms of reducing the size of the uneconomically large fleets. The
ITQ system has not eliminated all problems, however, The fishing industry creates continuous
pressure to push TAC levels upwards, and great uncertainty remains as to the levels at which the
TAC can be set without jeopardising population numbers. The ITQ has failed to find a clear
solution to the problems of bycatch - the netting of unwanted, untargeted species - and high
grading - the discarding of less valuable species or smaller-sized fish, in order to maximise the
value of quotas set in terms of fish quantities." (Perman, 1999: 241).
But, nobody really knows for sure if it is sustainable in the long-term. On the one hand, it
clearly has brought order to an open-access situation, and today NZ has a very profitable and
successful industry. Fishers have started to act like owners and not hunters. They are voluntarily
helping to finance the policing of valuable inshore shellfisheries, for example. Trawlers are
paying more attention to the quality of their fish, ensuring that those at the bottom of the nets are
not accidentally pulped and so squeezing more revenue from each catch.
There is still a nagging concern about sustainable catch levels. There are some, within the
industry and outside, who expect the industry to collapse in 4 or 5 years time, while the Ministry
of Fisheries and scientists, although acknowledging the teething problem and the special situation
of recreational fishers, are confident that the industry is in good shape, with a sound institutional
management structure (with one single agency managing the whole fishery) and based on
sustainability principles.
Late 1995, an international fishery management expert told a public seminar on World
Fisheries Collapses: Lessons from New Zealand, that in terms of stock performance
he could not think of a country in better shape, and awarded a B. He said that New Zealand stock
assessment work was as good as anywhere, and in terms of allocating fishing resources through
the commercial quota system, New Zealand was way ahead of most countries. The outstanding
problem was allocation for amateurs. The recreational catch had to be "brought into the
equation" as it would grow, increasing pressure on the commercial sector for popular
species. An option was to buy commercial quota as required and set that aside for amateur
fishing.(Dominion, 15 March, 1995) The question however, is who will pay?
2.6 Lessons learned
The main lesson is that effective regulation will always be difficult and expensive to put in
place and that it will be resisted more often than not by fishermen themselves. Managing a
fishery means bringing about a philosophical change in the mind of the fishers. The harsh lesson
that has to be learned is that the age of unbounded ocean and open access rights is over and that
instead of being hunters they need to be farmers. To persuade fishers of this is not going to be
easy and calls for an approach that fully allows them to participate in the decision-making and
through which central or local government gains their confidence. Without that, fishery
management will go the path history as trodden, in which many management systems have been
put into place, and nearly all have failed, since fishers felt left out of the decision making process
and they didn’t feel that the problem was theirs.
Introducing any fishery management system will always be difficult, but there are a set
of principles to will help to assure success:
- Total catch must be controlled
. Sustainability can only be achieved if total fish
take is controlled in accordance which the fluctuating sustainable yield of the fishery.
- Access to the fishery should be controlled
. Catch control without access control
leads to an inefficient situation with too much effort being applied to the fishery.
- Decision making should be participatory (bottom-up)
. Without support from the
stakeholders any scheme will fail. If the stakeholders see that the process of decision-making
is participatory and all interests are considered, then they more likely will accept the outcome,
even if it is not in their favour.
- Research and monitoring are essential
. Without sufficient knowledge of the
fisheries, management is like "flying by the seat of one’s pants".
- Development of a management system should take place in an integrated fashion
considering all factors associated with or affected by the system.
In New Zealand this has to some extent be achieved. The objective was to create and
efficient fishery and in the process of achieving this it was necessary to treat those who had to
leave equitably. However, NZ is a unique country. Its fishery is relatively small, its population
is rather homogeneous, decision-making was at the time of the decision very centralised and in
the hands of a stable democratic government, and enforcement and monitoring was feasible. All
those reasons made the experiment easier to design and police. However, as the latest
developments have shown, it is easy for the "market tool" to become a costly and
inflexible option.
As Runolfson writes, after a study of both the New Zealand and Icelandic implementation
of QMSs, "The New Zealand experience teaches the importance of contestable
management of fisheries through management companies formed by quota owners. The quota
owners rather than taxpayers, pay the costs of management. Under a company structure, quota
owners elect a management board, who in turn appoint a manager to run the fishery. The
creation of ITQs is an improvement over standard approaches to fishing regulation, but prospects
for more complete privatisation should not be ignored." (Runolfson, internet).
The NZ ITQ case is an ongoing experiment. As the discussion shows, the cost of
management the fisheries has led to greater co-management of the fisheries and a greater amount
of cost-recovery. It is hard to imagine that the NZ fishery could have achieved its current success
without the introduction of the ITQ system. The experience of NZ reflects other experiences with
ITQ and co-management elsewhere, or as the FAO review states: " In the developed countries,
considerable experience has been built up in the use of alternative fisheries management methods
to control fishing capacity. A consensus is emerging in favour of using ITQ management where
practicable." (FAO review, 1999).
III. Lessons for South East Asia?
As you will see I placed a question mark behind the heading. Are there really any lessons
that can be learned from the NZ experience? Let's first look at the situation.
The basic issue of the sustainability of the fishery resources is a central issue in many
countries. Coastal resources are generally overfished by an overcrowded small-scale fishery
sector, where catch rates, fish sizes and quality and, in some cases, fishers' incomes, are
declining. At the same time the importance of the fisheries sector the Asian economy is widely
acknowledged. Its significance lies in three main areas: 1) as a source of animal protein for
human consumption, 2) as a source of employment, and 3) as a source of foreign exchange. Ten
out of twenty top world fish producers are Asian, with China contributing about 10 million tons
of fish, or 11.9% of the total world catch. These ten countries together account for almost 43%
of the world’s fish catch. Ten percent is produced by Southeast Asian countries, including
Thailand, Indonesia, the Philippines, and Vietnam (FAO, 1995).
However, as Mustapha and Kuperan (1997) show, fishing capacity has continued to increase.
"It appears that Asia may be making the same mistakes Europe, USSR, and North America
have made with regard to overcapitalisation in the fisheries. Unless the commercial fishing
industry and governments that regulate fishing capacity are prepared to reduce capacity and
develop a system of sustainable management for fish stocks, we are heading for a disaster of
greater proportion in Asia. (Mustapha, and Kuperan, 1997, P346-347). The reason for the
‘greater’ proportion is the greater number of fishers in Asia, the reliance of so many on fish
for their protein supply and the contribution of the industry to the economies.
Management of fisheries resources has been given little systematic attention by Asian
countries. Efforts at management were largely exercises in political management and had little
basis in the application of the biological, economic or social consequences of management
approaches. Or as the FAO report in 1995 stated, "experience indicates that the current
centralised state of management systems in many countries are not able to regulate fisheries
properly over the widely scattered fishing ground." (pg 96).
In talking about fishery management one need to distinguish between the different contexts
of management we are talking about, these are the commercial or industrial and the artisanal
fisheries and we can find both of these in the inland and the marine environment. While with the
former we may talk about a restricted number of players, in the latter we talk about many players,
multiple species and a wide variety of catching techniques.
In the commercial area the concept of ITQ would be feasible if a) the EEZ could be clearly
defined b) if there is adequate data on which to base TAC and c) if enforcement is feasible. As
is well known, all three conditions are hard to satisfy in the Southeast Asian situation, where we
find overlapping EEZs, little research and an inability to enforce. The NZ case study shows that
even for a developed country quota management systems can turn into an expensive option to
manage. As Hunt states "much lengthy and expensive research is required before Western style
management can be effected widely."(Hunt, 1998, p79). Enforcement of regulations is one of the
most costly and problematic features of fishery management programs and can account half or
more of the expenditures on fishery management. The current review of the NZ Fisheries Act
was initiated because of the management cost of the ITQ system.
Western style fishery management may as yet not have much to offer to the situation fishery
managers in South East Asia face. A typical statement making this case is the one by MacKay,
1005):
"Fishery management theory has concentrated on a top down approach. Biologists
produce models to analyze data collected from fisheries, which then provide possible
recommendations for state level managers. These managers then make recommendations to
policy makers who determine the regulations and quotas which are then transferred to the fishing
industry and enforcers…..In most developing countries where the fisheries are much more diverse
and complex, where data collection, analytical and enforcement capabilities and political will are
often very weak, this top down approach has little possibility of working. In fact in some cases,
the application of these approaches to developing country fisheries has led to the Tragedy of the
Commons. In many cases there have been traditional management systems which have broken
down under economic, political and population pressures. The fisheries have reverted to open
access and it is to these resources that many economic and political migrants are
flocking…..[therefore there is need for a new paradigm] … a decentralised
people/community-centred approach to resource management." (MacKay, 1995: 2)
This new paradigm of a decentralised people centred approach, has been taken up by several
Southeast Asian countries. Pomeroy (1995) discusses the experiences with community-based
management and co-management in the Philippines, Thailand, Malaysia, Indonesia and Vietnam.
All these examples show a commitment of governments to policies and programmes of
decentralisation and community-based resource management. Other countries are implementing
it for their inland fisheries. For example in Bangladesh the Department of Fisheries and NGOs
are working as partners to enable local communities, particularly people who depend on fishing
for their livelihood, to manage fisheries in more sustainable ways. This include developing
alternative and enhanced sources of income for the lean seasons and protecting access to the
fisheries for the many poor households who catch small fish for their own consumption. A
similar programme has been proposed for the management of the artisanal and family fisheries
in the Tonle Sap Lake in Cambodia. The report on the Cambodian fisheries echoed some of the
earlier sentiments re western fishery methods:
"The DOF (department of fisheries) has primary responsibility for the management of the
Tonle Sap fisheries, but its effectiveness has been undermined by weak institutional capacity,
including budgetary constraints and a limited technical staff. Effective management will require
greater involvement of fishermen and other local stakeholder groups in management activities.
This is particularly important in the small-scale fisheries (family and artisanal) where fishers land
their catch at several hundred points, making it unrealistic for the DOF to monitor. A
co-management approach would also encourage local support for management activities because
it provides the stakeholders with a better understanding of why certain actions have to be
implemented and invites their input into decisions affecting the fisheries. " (Draft Working Paper
NEP, 1996, P 15).
In 1990, the Philippines embarked on the Philippine Fisheries Sector Program. The program
is well described in Ablaza-Baluyet (1995), and the specific plans, project and activities were
noted as:
- Fisheries Resource and Ecological Assessment
- Coastal resource management; and integrated community based approach
- Research and Extension
- Law Enforcement
- Credit
- Infrastructure (Ablaza-Baluyet, 1995: 161-162)
The FSP is supported by other national initiatives that promote the co-management of coastal
fisheries. Foremost among the other initiatives was the decentralisation under the Local
Government Code. This led the way for co-management of the fisheries. To achieve
community based management and co-management (of coastal resources and fisheries) is going
to take time. Ablaza-Baluyet (1995) write:
"However, while gaining acceptance for the concept [sustainable coastal resource
management] was relatively easy, the problems of formulating and implementing clearly defined,
equitable, and enforceable controls on access to the resource have been extremely difficult, and
remain intractable at the moment. There is a clear indication that the implementation of control
measures, such as catch quotas, limited entry to fishing grounds, and a reduction in fishing
licences, according to ecological criteria, can be achieved only after a very long process of
building a more open entrepreneurial economy, and after a strong political base has been forged
to support the administrative and biotechnical aspects of integrated CRM. Given the
sociopolitical intricacies of local government in the Philippines, developing such a scenario will
take longer than the five year time frame of FSP implementation" (Ablaza-Baluyut, 1995:
169)
That this is so, is obvious from the casual reading of failure and success stories. A
discussion paper by Abregana et al. (1996) discusses the legal challenges for local management
of marine resources in the Philippines, while analysing a case situation in Bias Bay Negros
Oriental. One of the difficulties is the overlapping jurisdictions of government departments. Also
the conflict between commercial fishers and their entry into the 15 kms commercial zone is a
major problem (which in many ways is not dissimilar to the conflict between recreational and
commercial fishers in NZ).
There are successful efforts, for example in the Philippines, where communities together
with municipalities are taking things in hand and manage fisheries, such as Banate, and Ajuy and
others. But then at the same time we read about the lack of any community support to fight
dynamite fishing in Carles. When one then also read the terribly sad story on "The Betrayal
of Maqueda Bay" (Penaranda, 1995), it is obvious that there is still a long way to go.
Balland and Plateau (1996) describe several other examples of community based fishery
management (e.g. in Japan) and the FAO review (1999) describes an example in Sri Lanka. The
Review however concludes: "Most of the other examples of Community Based Management
existing throughout Sri Lanka in the past have now disappeared. The contributing factors have
included increased mobility of the fishers owing to the motorisation of vessels, the influx of
displaced persons from conflict-affected zones in the north of the country, and some loss of
cohesion within the coastal communities. Pomeroy et al (1997) describes a quantitative
evaluation of community based coastal resource management at six sites in the Central Visayas
Regional Project-1. The results show that in the eyes of the fishers, the programmes were a
success, and this after all is the most important thing as "this will influence their subsequent
behavior; hence the potential sustainability of the project." (p. 113). An interesting finding was
that fishers like their occupation and would not necessarily change to another job, suggesting that
the development of supplemental, rather than alternative, occupations may be the most effective
strategy. "These supplemental activities could be spread over a larger number of fishers, reducing
rather than eliminating their fishing activity, and probably having as great an effect, or greater,
as trying to attract (or force) fishers to some alternative form of employment." (ibid, p. 118)
This creation of alternative activities to diminish fishing pressure and to protect the
remaining natural coastal ecosystems may be very difficult, as McManus (1995)
writes:
"The latter have consistently proven to be difficult to design and initiate, given
the limited resources of each municipality, their dominance by wealthy families, difficulties in
societal transitions, rampant illiteracy and its effects on trainability, the needs for active market
development, the lack of government funds and the bureaucratic hindrances to the effective
application of existing funds to the problems at hand."(McManus, 1995: 34).
All of this shows that many individuals and institutions currently in that market have a large
stake in maintaining the status quo of unsustainable development. Fishers harvesting their catch
from an exploited fishery are loathe to undertake any reduction in harvests, even if the reduction
is necessary to conserve the stock and return to population to a healthy level. The traders, the
suppliers of dynamite and even law enforcement personnel (the Police in the Philippines or the
Navy in Cambodia) all have a stake in maintaining the status quo. The principal of inertia applies
to politics as fully as to physical bodies; a body at rest will tend to stay at rest unless a significant
outside force is introduced.
From all these examples we can learn that successful CBRM has the following elements
(MacKay, 1995: 7):
- a clear definition of who the community is
- clear institutional structures of authority and governance
- specification of use rights
- rules and regulations re catch and technologies
- monitoring and enforcement and legitimation
In many ways these elements do not differ much from the principles for success we learned
from the NZ experience. This may not mean the introduction of quotas for the inshore fishery.
Such a policy appears less suitable in a ‘social’ fishery. However there is no reason why
quotas could not be considered for the commercial fishery. Ultimately, however, it is not so
much the policy instrument that is going to make the difference but the ability to bring changes
in values and attitudes and an ability to enforce and implement whatever the policy instruments
chosen.
Partial closure and marine reserves (Holland, 1995), seasonal closures, licences, artificial
reefs (Munro and Balgos, 1995), quotas can all play a role in a centralised or co-management
fisheries. There is now enough experience with all of them and the role they can play depends
on the fishery, the country and the institutional framework that can be put into place and
enforced.
There is no single answer to what optimal fishery management implies. The principles
mentioned above are very generic. Sustainable fishing must ultimately imply a fishery that will
last biologically. If this should also imply economic efficiency is a question each country will
have to answer for itself in light of its social and cultural values. For that reason the experience
of other countries may/ or may not help in the final definition of what is an optimal fishery
management system for Southeast Asian countries.
As a final comment, I have presented this paper on the principle that it is better to have heard
about the NZ experience and then decide it to be relevant or not to the SEA situation, then not
to have heard it and perhaps lose the opportunity to learn something from the experience of
others, however small the lessons may be.
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