Abstract

This analysis contributes to a fast-growing body of literature on Sino-Western relations and the tension between economic and security interests. It takes Britain's China policy as a case study considering the Integrated Review 2021. It argues that London's stance towards Beijing has shifted – officially – from the so-called “golden era” to a complex phase of diplomatic–military tensions and scrutinised economic relations, principally because of US pressure. However, this shift de facto has not had a structural impact on the economic side of the relationship between London and Beijing. The article reaches this conclusion by framing its narrative through the lens of the economy-security conundrum at the heart of the Liberal International Order and through the lens of the New Cold War between the US and China. These two factors are crucial for understanding the change between Britain's China policy pre- and post-2016.

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