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Foreign Policy Watch: India-Iran

[7th January 2026] The Hindu OpED: At a crossroads: On Iran’s unrest, its re-engagement with the world

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[UPSC 2018] In what ways would the ongoing US-Iran Nuclear Pact Controversy affect the national interest of India? How should India respond to this situation?

Linkage: It falls under GS II-Effect of policies and politics of developed countries on India’s interests, focusing on sanctions, energy security, strategic autonomy, and West Asia stability. Iran’s unrest and economic collapse show how the U.S.-Iran nuclear dispute disrupts regional stability and directly affects India’s energy security and connectivity interests.

Mentor’s Comment

Iran is witnessing its most serious internal crisis since the 2022-23 unrest, marked by economic collapse, mass protests, and renewed geopolitical pressure. The current phase of instability is unfolding in the immediate aftermath of a brief but intense war with Israel and amid heightened U.S. coercive posturing. This editorial examines how domestic economic fragility, external pressures, and governance constraints have converged to place Iran at a critical crossroads. Here repression risks deepening instability, and reform coupled with global re-engagement remains the only viable exit.

Why in the News?

Iran is facing its largest nationwide protests since the 2022-23 Mahsa Amini unrest, triggered initially by a strike by Tehran shopkeepers on December 28 against the sharp collapse of the Iranian rial. What makes this moment significant is the convergence of economic freefall, post-war vulnerability, and overt foreign signalling, including claims by Israel’s Mossad of field-level presence and explicit U.S. threats of force. At least 12 protest-related deaths have been reported within a week, underscoring the scale and volatility of the crisis.

Introduction

Iran’s current unrest is not an episodic protest cycle but a manifestation of structural economic decay and political rigidity. The collapse of the rial, runaway food inflation, declining oil revenues, and daily power outages have eroded regime legitimacy. While President Masoud Pezeshkian has signalled limited social relaxation, especially on morality policing, his administration remains constrained on economic reform and national security. The state’s reliance on repression and attribution of unrest to foreign interference risks aggravating an already combustible situation.

What triggered the current wave of protests?

  1. Currency Collapse: Sharp fall in the Iranian rial since the June 2025 war directly affected traders and households, triggering the initial strike.
  2. Economic Shock Transmission: Trader unrest rapidly expanded into nationwide protests, indicating deep-rooted economic distress beyond urban commercial classes.
  3. Continuity with Past Unrest: Represents the largest mobilization since the Mahsa Amini-led protests of 2022-23, signalling unresolved grievances.

How severe is Iran’s current economic crisis?

  1. Food Inflation: Reached 64% in October, the second highest globally after South Sudan, indicating acute cost-of-living stress.
  2. Currency Devaluation: Rial has lost 60% of its value since the June 2025 war, eroding savings and purchasing power.
  3. Oil Export Decline: 2025 oil exports fell by ~7% compared to the 2024 average, tightening fiscal space.
  4. Energy Shortages: Daily power outages have become routine, reflecting infrastructure stress and governance failure.

How is post-war geopolitics amplifying domestic instability?

  1. War Aftermath: The unrest comes six months after a 12-day Iran-Israel war, which already strained Iran’s economy and security apparatus.
  2. Israeli Signalling: Mossad publicly claimed operational presence “in the field” with protesters, intensifying regime paranoia.
  3. U.S. Threat Posture: U.S. President Donald Trump warned on January 2 that the U.S. was “locked and loaded” to use force if protesters were killed.
  4. External Pressure Effect: Foreign threats have reinforced regime defensiveness while worsening civilian suffering.

How is the Iranian state responding internally?

  1. Repression: Security warnings against “rioters” and reported deaths indicate reliance on coercive control.
  2. Limited Social Relaxation: President Pezeshkian has relaxed morality police enforcement, signalling tactical social easing.
  3. Economic Paralysis: The President admitted in December that the government was “stuck” and incapable of performing “miracles”.
  4. Blame Externalisation: Default regime response continues to attribute crises to foreign interference.

Why is repression proving counterproductive?

  1. Cycle of Crisis: Economic deterioration combined with repression is reinforcing instability rather than restoring order.
  2. Public Anger Reservoir: Years of shrinking economic opportunity and erosion of political and personal freedoms have accumulated latent discontent.
  3. Ideological Fatigue: Religion and nationalism are no longer sufficient buffers against economic hardship.
  4. Legitimacy Erosion: Persistent hardship weakens the regime’s social contract and coercive credibility.

What path does the editorial suggest forward?

  1. Domestic Reform: Calls for tackling corruption and initiating meaningful economic reform.
  2. Empowering Moderates: Urges external actors to engage and empower President Pezeshkian, not undermine him.
  3. Re-engagement with the World: Emphasises that isolation and coercion deepen instability.
  4. Strategic Restraint: Warns against threats issued on Israel’s behalf, which harden regime paranoia.

Value Addition: Regional and Global Political Impact of Iran’s Imbroglio

Impact on the Middle East

  1. Regional Power Balance: Weakens Iran’s capacity to project influence across Iraq, Syria, Lebanon, and Yemen, altering the regional balance vis-à-vis Israel and Gulf Arab states.
  2. Proxy Network Stress: Economic strain constrains Iran’s ability to sustain allied non-state actors, increasing volatility and fragmentation within proxy theatres.
  3. Escalation Risks: External pressure combined with internal unrest raises incentives for diversionary foreign policy actions, heightening conflict risks in the Gulf and Levant.
  4. Israel-Iran Confrontation: Mossad’s public signalling and Iran’s internal vulnerability increase the likelihood of covert and overt escalatory cycles.
  5. Gulf Security Architecture: Reinforces security anxieties among Gulf Cooperation Council states, accelerating defence alignment and external security dependence.

Impact on India

  1. Energy Security: Iran’s instability and sanctions-related disruptions affect global oil supply dynamics, exposing India to price volatility and import uncertainty.
  2. Connectivity Projects: Political instability undermines strategic projects such as Chabahar port, affecting India’s access to Afghanistan and Central Asia.
  3. Strategic Autonomy: Intensified U.S.-Iran tensions constrain India’s diplomatic space, complicating balanced engagement with West Asia, Israel, and the U.S.
  4. Diaspora and Trade: Regional instability increases risks for Indian diaspora, remittances, and trade flows across the Gulf region.
  5. Regional Stability Interest: Sustained unrest weakens India’s vision of a stable West Asia essential for economic and maritime security.

Impact on the Global Order

  1. Sanctions Fatigue: Highlights the limits of coercive economic tools, demonstrating how prolonged sanctions can erode civilian welfare without political moderation.
  2. Norms of Intervention: U.S. threats of force linked to internal unrest blur lines between humanitarian concern and strategic coercion.
  3. Energy Markets: Iran-related instability contributes to structural volatility in global energy markets, affecting inflation and growth worldwide.
  4. Multipolar Contestation: Iran’s crisis becomes another arena for great-power signalling, deepening geopolitical fragmentation.
  5. Authoritarian Resilience Debate: Raises questions about the sustainability of repression-led governance under prolonged economic stress.

Conclusion

Iran’s current unrest reflects a convergence of economic collapse, governance rigidity, and external pressure. Continued reliance on repression and isolation risks deepening internal instability and regional spillovers. Sustainable stability lies in economic reform, political accommodation, and calibrated international re-engagement rather than coercive containment.

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