Monday, March 5, 2012

The Elkhorn Manifesto

The Elkhorn Manifesto

The following article was originally published on kentucky.usmjparty.com which is now an archived website at the following address:

http://web.archive.org/web/20041208084352/kentucky.usmjparty.com/policy_elkhorn.htm

The “Kentucky Marijuana Party” at that time was organized by Robert Paehlke.  According to the archived webpage his contact information is as follows:

Robert Paehlke

email: chuck420@insightbb.com

phone: 859 835-4117

Robert Paehlke is a long time Marijuana activist and believes  it is time U.S. citizens rise up against the injustice of marijuana laws.

“We should no longer be silent about this issue and should make our views known by using the political system, and should keep up the fight until it is legalized”

An Open Letter to All Americans

The Real Reason the Government Won’t Debate Medical Cannabis and Industrial Hemp Re-legalization

Documented Evidence of a Secret Business and Political Alliance Between the U.S. “Establishment” and the Nazis – Before, During and After World War II – up to the Present.

PREFACE

Before the Gatewood Galbraith for Governor Campaign in 1991, few Kentuckians knew that the plant that the federal government had demonized for over 50 years as “Marijuana – Assassin of Youth,” was, in fact, Cannabis Hemp, the most traded commodity in the world until the mid-1800s, and our state’s number one crop, industry, and most important source of revenue, for over 150 years.

Today, thanks to the efforts of pioneer hemp researchers and public advocates such as Galbraith, Jack Fraizer, Jack Herer, Chris Conrad, Ed Rosenthal, Don Wirtshafter and others, the federal government’s unjustifiable suppression of our state’s right to develop our most valuable and versatile natural resource, is facing increasing opposition from an informed public. Hemp is now recognized as the number one agriculturally renewable raw material in the world, and perhaps the only crop / industry which can guarantee us industrial and economic independence from the trans-national corporations.

“Shadow of the Swastika” is a follow-up to my earlier work, “Cannabis Hemp: the Invisible Prohibition Revealed,” which I wrote and published in support of the Galbraith Campaign. Since publication of that booklet, there has been growing public acceptance of the evidence that Marijuana Prohibition was created in 1937, not to protect society from the “evils of the drug Marijuana,” as the Federal government claimed, but as an act of deliberate economic and industrial sabotage against the re-emerging Industrial Hemp Industry.

Previous investigations by hemp researchers have been limited to the suppression of free-market competition from the hemp industry, and focused on the activities of three prominent members of America’s corporate, industrial and banking establishment during the mid- to late-1930s:

WILLIAM RANDOLPH HEARST, the newspaper and magazine tycoon.

The expected rebirth of cannabis hemp as a less expensive source of pulp for paper meant his millions of acres of prime timberland, and investment in wood pulp papermaking equipment, would soon be worth much less. In the 1920s, about the same time as the equipment was developed to economically mass-produce raw hemp into pulp and fiber for paper, he began the “Reefer Madness” hoax in his newspaper and magazine publications.

ANDREW MELLON, founder of the Gulf Oil Corporation.

He knew that cannabis hemp was an alternative industrial raw material for the production of thousands of products, including fuel and plastics, which, if allowed to compete in the free-market, would threaten the future profits of the oil companies. As Secretary of the Treasury he created the Federal Bureau of Narcotics, and appointed his own future nephew-in-law, Harry Anslinger, as director. Anslinger would later use the sensational, and totally fabricated, articles published by Hearst, to push the Marijuana Tax Act of 1937 through Congress, which successfully destroyed the rebirth of the cannabis hemp industry.

A prominent member of one Congressional subcommittee who voted in favor of this bill was Joseph Guffey of Pennsylvania, an oil tycoon and former business partner of Andrew Mellon in the Spindletop oil fields in Texas.

THE DU PONT CHEMICAL CORPORATION,

which owned the patents on synthetic petrochemicals and industrial processes that promised billions of dollars in future profits from the sale of wood pulp paper, lead additives for gasoline, synthetic fibers and plastics, if hemp could be suppressed. At the time, du Pont family influence in both government and the private sector was unmatched, according to historians and journalists.

This publication, however, reveals documented historical evidence that the suppression of the hemp industry was only one key part of a much larger conspiracy in the 1930s, not only by the three corporate interests named above, but by many others, as well.

Congressional records, FBI reports and investigations by the Justice Department, during the 1930s and 1940s, have already documented evidence of this wider plot. A list of the corporations named include Du Pont, Standard Oil, and General Motors, all of which were proven to be conspiring with Nazi industrial cartels to eliminate competition world-wide and divide among themselves the Earth’s industrial resources and commercial markets, for profitable exploitation.

This conspiracy succeeded. It is now obvious that this lack of serious competition in the industrial raw materials market caused our present – and totally contrived – addiction to petrochemicals. Its success is directly responsible for the most troubling problems we now face in the 1990s; serious damage to our environment, concentration of economic and political power into fewer and fewer hands, and the weakening of the rights of individuals and states to determine their own futures.

It is more and more evident that, given the historical record, the structure of the New World Order is being built upon the Foundation of Marijuana Prohibition, and only the relegalization of free-market hemp competition can save us.

R. William Davis

July 4, 1996

Louisville, Kentucky

INTRODUCTION

To clearly understand the circumstances which existed during the 1930s and 1940s, and are the subject of this booklet, it would be helpful to first put the hemp / petrochemical conflict into historical perspective. The events which took place in the years leading up to World War II were a continuation of a struggle between agricultural and industrial interests that began before the American Revolution, a struggle which has yet to be decided, even today.

AGRICULTURE VS. INDUSTRY

The historical record, at least as it has been presented to us in the public school system, is that the Civil War was fought to end slavery. This is not the whole story. The truth of the matter is that it was also a clash between Northern industrialists and Southern agriculturists, over control of the expansion into the newly opened West.

In 1845, Abraham Lincoln wrote, “I hold it a paramount duty of us in the free states due to the union of the states, and perhaps to liberty itself, to let the slavery of other states alone.”

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Concerning the Western territories, he said “The whole Nation is interested that the best use shall be made of these territories. We want them for homes and free white people. This they cannot be, to any considerable extent, if slavery be planted within them.”

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Lincoln was caught in the middle between the Northern industrialists and the Southern agriculturists, who both wanted to dominate Western expansion because of the wealth it offered. The industrialists knew that the agriculturists depended on slavery because cotton, upon which Southern wealth was based, was very labor intensive and required the inexpensive labor that slavery provided. They knew that if the Western lands were declared “free states” then the Southern agriculturists would be unable to compete, and would be forced to leave Western expansion, and its potential profits, to the Northern industrialists.

Quoting “The Irony of Democracy,” by Thomas R. Dye and T. Harmon Zeigler,

“The importance of the Civil War for America’s elite structure was the commanding position that the new industrial capitalists won during the course of the struggle. . . . The economic transformation of the United States from an agricultural to an industrial nation reached the crescendo of a revolution in the second half of the nineteenth century.

“Civil War profits compounded the capital of the industrialists and placed them in a position to dominate the economic life of the nation. Moreover, when the Southern planters were removed from the national scene, the government in Washington became the exclusive domain of the new industrial leaders.”

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The Northern industrialists used this increased capital to build the system of transcontinental railways, linking the Northeast with both the South and West. The labor for this undertaking was from the Northeastern Establishment’s own source of cheap labor – recently freed slaves and poor immigrants from Europe and China – who suffered under living conditions which were often little better than those which existed under the Slave System just a few years before.

It was during the years between the Civil War and the beginning of the Twentieth Century that the Northern industrialists altered the role of the American government. Originally established by the Revolution to protect and preserve the lives, property and freedoms of all Americans from repressive government, it was transformed into an agency to protect the economic future of Northern industrialists.

“[T]he industrial elites,” according to Dye and Zeigler, “saw no objection to legislation if it furthered their success in business. Unrestricted competition might prove who was the fittest, but as an added precaution to insure that the industrial capitalists themselves emerged as the fittest, these new elites also insisted upon government subsidies, patents, tariffs, loans, and massive giveaways of land and other natural resources.”

(4)

The struggle between Western farmers and the railroads owned by the Northern industrialists is a good example. To protect their interests, citizens created “the Grange,” an organization which helped to enact state laws regulating the “ruthless aggression” of the railroads. In 1877, these laws were upheld by the Supreme Court in the Munn v. Illinois decision. But, a few years later, Justice Stephen A. Field changed the role, and the very definition, of the corporation. He gave a new interpretation to the Fourteenth Amendment that actually gave corporations legal status as citizens . . . as artificial persons.

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It was not long after this change in the interpretation of the Fourteenth Amendment that John D. Rockefeller, the father of the modern-day corporation, created the great Standard Oil Corporation which, by the late 1880s, gained control over 90% of all the oil refineries in America.

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The roots of 20th Century American politics can best be illustrated by the 1896 Presidential Election, won by Republican William McKinley by a landslide. The McKinley campaign was directed by Marcus Alonzo Hanna of Standard Oil and raised a $16,000,000 campaign fund from wealthy fellow industrialists, (an amount that was unmatched in Presidential campaigns until the 1960s). The major theme of the campaign, and one that would echo far into the future, was “what’s good for business is good for the country.”

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This emerging political and judicial misuse of power in America was feared by Thomas Jefferson who, in 1787, wrote, “I think our governments will remain virtuous for many centuries; as long as they remain chiefly agricultural; and this will be as long as there shall be vacant lands in any part of America. When they get piled upon one another in large cities as in Europe they will become corrupt as in Europe.”

(8)

It is important to remember that the American Revolution was a clash between the agriculturists in the colonies, and the British industrialists who controlled the government in England. Almost 100 years later the Civil War was fought as a continuation of the same basic struggle, but with the victory going back to the industrialists.

This began the erosion of the American government “of the people, for the people and by the people.” The buying of the 1896 Presidential Election, by Hanna of Standard Oil and the Northern industrial interests, was the next important step on the long road to the American government “of the corporation, for the corporation and by the corporation.”

A few years later, World War I would forge an even closer relationship between corporations and government in the United States, as well as around the world. Anthony Sampson, in his book “The Arms Bazaar,” notes that “the American companies, led by US Steel and du Pont, were transformed by war orders. US Steel, which had absorbed Carnegie’s old steel company, had made average annual profits in the four pre-war years of $105 million, while in the four war years they were $240 million; and du Pont’s average profit went up from $6 million to $58 million. . . .

“Certainly the arms companies had become much richer through the war, and there were widespread suspicions that they were actually trying to prolong it.”

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The bottom line is, of course, victory or profit, and in what proportions? To what lengths would this nation’s top industrial leaders go to secure their share of the profits before and during the next “war to end all war?”

NOTES: INTRODUCTION

1. American Political Tradition, Hofstadter, p. 109. (As reprinted in The Irony of Democracy, Thomas R. Dye and L. Harmon Zeigler, p. 72)

2. American Political Tradition, p. 113. (As reprinted in The Irony of Democracy, p. 72)

3. Irony of Democracy, p. 73

4. Ibid., p. 74

5. Ibid., p. 75

6. Ibid., p. 76

7. Ibid., p. 82

8. Ibid., p. 62

9. The Arms Bazaar, Anthony Sampson, p. 65

The Elkhorn Manifesto Part II

U.S. CORPORATIONS AND THE NAZIS

“A clique of U.S. industrialists is hell-bent to bring a fascist state to supplant our democratic government and is working closely with the fascist regime in Germany and Italy. I have had plenty of opportunity in my post in Berlin to witness how close some of our American ruling families are to the Nazi regime. . . .

“Certain American industrialists had a great deal to do with bringing fascist regimes into being in both Germany and Italy. They extended aid to help Fascism occupy the seat of power, and they are helping to keep it there.” – William E. Dodd, U.S. Ambassador to Germany, 1937.

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A large volume of documentary evidence exists that reveals that many of the richest, most powerful men in the United States, and the giant corporations they controlled, were secretly allied with the Nazis, both before and during World War II, even after war was declared between Germany and America. This alliance began with U.S. corporate investment during the reconstruction of post-World War I Germany in the 1920s and, years later, included financial, industrial and military aid to the Nazis.

On the pages which follow we will review which prominent Americans and corporations were involved, what aid and comfort they gave our nation’s enemies – treasonable offenses during time of war, and investigations into these matters which produced evidence of a US/Nazi corporate conspiracy to bring a fascist state to America, and eliminate competition in the industrial raw materials market in order to force world-wide dependence on oil-based petrochemicals.

WILLIAM RANDOLPH HEARST

Hearst, who was so concerned about the American public’s health and safety on the matter of marijuana use, apparently had no such fears when it came to Hitler and the Nazis. According to journalist George Seldes:

“. . . Hitler had the support of the most widely circulated magazine in history, “Readers Digest,” as well as nineteen big-city newspapers and one of the three great American news agencies, the $220-million Hearst press empire.

“. . . William Randolph Hearst, Sr., . . . was the lord of all the press lords in the United States. The millions who read the Hearst newspapers and magazines and saw Hearst newsreels in the nation’s movie houses had their minds poisoned by Hitler propaganda.

“It was . . . disclosed first to President Roosevelt [by Ambassador Dodd] almost on the day it happened, in September 1934, and it is detailed in the book “Ambassador Dodd’s Diary,” published in 1941, and again in libel-proof documents on file in the courts of the state of New York. William E. Dodd, professor of history [at the University of Chicago], told me about the Hearst sell-out . . .

“According to Ambassador Dodd, Hearst came to take the waters at Bad Nauheim in September 1934, and Dodd somehow learned immediately that Hitler had sent two of his most trusted Nazi propagandists, Hanfstangel and Rosenberg, to ask Hearst how Nazism could present a better image in the United States. When Hearst went to Berlin later in the month, he was taken to see Hitler.”

Seldes reports that a $400,000 a year deal was struck between Hearst and Hitler, and signed by Doctor Joseph Goebbels, the Nazi propaganda minister. “Hearst,” continues Seldes, “completely changed the editorial policy of his nineteen daily newspapers the same month he got the money.”

In the court documents filed on behalf of Dan Gillmor, publisher of a magazine named “Friday,” in response to a lawsuit by Hearst, under item 61, he states: “Promptly after this said visit with Adolf Hitler and the making of said arrangements . . . said plaintiff, William Randolph Hearst, instructed all Hearst press correspondents in Germany, including those of INS [Hearst's International News Service] to report happenings in Germany only in a ‘friendly’ manner. All of such correspondents reporting happenings in Germany accurately and without friendliness, sympathy and bias for the actions of the then German government, were transferred elsewhere, discharged, or forced to resign. . . .”

In the late 1930s, Seldes recounts, when “several sedition indictments [were brought by] the Department of Justice . . . against a score or two of Americans, the defendants included an unusually large minority of newspaper men and women, most of them Hearst employees.”

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ANDREW MELLON

“Thurman Arnold, as assistant district attorney of the United States, his assistant, Norman Littell, and several Congressional investigations, have produced incontrovertible evidence that some of our biggest monopolies entered into secret agreements with the Nazi cartels and divided the world up among them,” states Seldes in his book, “Facts and Fascism,” published in 1943. “Most notorious of all was Alcoa, the Mellon-Davis-Duke monopoly which is largely responsible for the fact America did not have the aluminum with which to build airplanes before and after Pearl Harbor, while Germany had an unlimited supply.”

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Alcoa sabotage of American war production had already cost the U.S. “10,000 fighters or 1,665 bombers,” according to Congressman Pierce of Oregon speaking in May 1941, because of “the effort to protect Alcoa’s monopolistic position. . .”

“If America loses this war,” said Secretary of the Interior [Harold] Ickes, June 26, 1941, “it can thank the Aluminum Corporation of America.”

“By its cartel agreement with I.G. Farben, controlled by Hitler,” writes Seldes, “Alcoa sabotaged the aluminum program of the U.S. air force. The Truman Committee [on National Defense, chaired by then-Senator Harry S. Truman in 1942] heard testimony that Alcoa’s representative, A.H. Bunker, $1-a-year head of the aluminum section of O.P.M., prevented work on our $600,000,000 aluminum expansion program.”

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DU PONT AND GENERAL MOTORS

General Motors is included here because, by 1929, the Du Pont Corporation had acquired controlling interest in, and had interlocking directorships with, General Motors.

Irenee du Pont, “the most imposing and powerful member of the clan,” according to biographer and historian Charles Higham, “was obsessed with Hitler’s principles.” “He keenly followed the career of the future Fuhrer in the 1920s, and on September 7, 1926, in a speech to the American Chemical Society, he advocated a race of supermen, to be achieved by injecting special drugs into them in boyhood to make their characters to order.” Higham’s book on this subject, “Trading with the Enemy: An Expose of the Nazi-American Money Plot 1933-1949,” is highly recommended.

Du Pont’s anti-Semitism “matched that of Hitler” and, in 1933, the Du Ponts “began financing native fascist groups in America . . .” one of which Higham identifies as the American Liberty League: “a Nazi organization whipping up hatred of blacks and Jews,” and the “love of Hitler”.

“Financed . . . to the tune of $500,000 the first year, the Liberty League had a lavish thirty-one-room office in New York, branches in twenty-six colleges, and fifteen subsidiary organizations nationwide that distributed fifty million copies of its Nazi pamphlets. . . .

“The Du Ponts’ fascistic behavior was seen in 1936, when Irenee du Pont used General Motors money to finance the notorious Black Legion. This terrorist organization had as its purpose the prevention of automobile workers from unionizing. The members wore hoods and black robes, with skulls and crossbones. They fire-bombed union meetings, murdered union organizers, often by beating them to death, and dedicated their lives to destroying Jews and communists. They linked to the Ku Klux Klan. . . . It was brought out that at least fifty people, many of them blacks, had been butchered by the Legion.”

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Du Pont support of Hitler extended into the very heart of the Nazi war machine as well, according to Higham, and several other researchers: “General Motors, under the control of the Du Pont family of Delaware, played a part in collaboration” with the Nazis.

“Between 1932 and 1939, bosses of General Motors poured $30 million into I.G. Farben plants . . .” Further, Higham informs us that by “the mid-1930s, General Motors was committed to full-scale production of trucks, armored cars, and tanks in Nazi Germany.”

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Researchers Morton Mintz and Jerry S. Cohen, in their book, “Power Inc.,” describe the Du Pont-GM-Nazi relationship in these terms:

“. . . In 1929, [Du Pont-controlled] GM acquired the largest automobile company in Germany, Adam Opel, A.G. This predestined the subsidiary to become important to the Nazi war effort. In a heavily documented study presented to the Senate Subcommittee on Antitrust and Monopoly in February 1974, Bradford C. Snell, an assistant subcommittee counsel, wrote:

“GM’s participation in Germany’s preparation for war began in 1935. In that year its Opel subsidiary cooperated with the Reich in locating a new heavy truck facility at Brandenburg, which military officials advised would be less vulnerable to enemy air attacks. During the succeeding years, GM supplied the Wehrmact with Opel “Blitz” trucks from the Brandenburg complex. For these and other contributions to [the Nazis] wartime preparations, GM’s chief executive for overseas operations [James Mooney] was awarded the Order of the German Eagle (first class) by Adolf Hitler.”

Du Pont-GM Nazi collaboration, according to Snell, included the participation of Standard Oil of New Jersey [now Exxon] in one, very important arrangement. GM and Standard Oil of New Jersey formed a joint subsidiary with the giant Nazi chemical cartel, I.G. Farben, named Ethyl G.m.b.H. [now Ethyl, Inc.] which, according to Snell: “provided the mechanized German armies with synthetic tetraethyl fuel [leaded gas]. During 1936-39, at the urgent request of Nazi officials who realized that Germany’s scarce petroleum reserves would not satisfy war demands, GM and Exxon joined with German chemical interests in the erection of the lead-tetraethyl plants. According to captured German records, these facilities contributed substantially to the German war effort: “The fact that since the beginning of the war we could produce lead-tetraethyl is entirely due to the circumstances that, shortly before, the Americans [Du Pont, GM and Standard Oil] had presented us with the production plants complete with experimental knowledge. Without lead-tetraethyl the present method of warfare would be unthinkable.”

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At about the same time the Du Ponts were serving the Nazi cause in Germany, they were involved in a Fascist plot to overthrow the United States government.

“Along with friends of the Morgan Bank and General Motors,” in early 1934, writes Higham, “certain Du Pont backers financed a coup d’etat that would overthrow the President with the aid of a $3 million-funded army of terrorists . . .” The object was to force Roosevelt “to take orders from businessmen as part of a fascist government or face the alternative of imprisonment and execution . . .”

Higham reports that “Du Pont men allegedly held an urgent series of meetings with the Morgans,” to choose who would lead this “bizarre conspiracy.” “They finally settled on one of the most popular soldiers in America, General Smedly Butler of Pennsylvania.” Butler was approached by “fascist attorney” Gerald MacGuire (an official of the American Legion), who attempted to recruit Butler into the role of an American Hitler.

“Butler was horrified,” but played along with MacGuire until, a short time later, he notified the White House of the plot. Roosevelt considered having “the leaders of the houses of Morgan and Du Pont” arrested, but feared that “it would create an unthinkable national crisis in the midst of a depression and perhaps another Wall Street crash.” Roosevelt decided the best way to defuse the plot was to expose it, and leaked the story to the press.

“The newspapers ran the story of the attempted coup on the front page, but generally ridiculed it as absurd and preposterous.” But an investigation by the Congressional Committee on Un-American Activities – 74th Congress, first session, House of Representatives, Investigation of Nazi and other propaganda – was begun later that same year.

“It was four years,” continues Higham, “before the committee dared to publish its report in a white paper that was marked for “restricted circulation.” They were forced to admit that “certain persons made an attempt to establish a fascist organization in this country . . . [The] committee was able to verify all the pertinent statements made by General Butler.” This admission that the entire plan was deadly in intent was not accompanied by the imprisonment of anybody. Further investigations disclosed that over a million people had been guaranteed to join the scheme and that the arms and munitions necessary would have been supplied by Remington, a Du Pont subsidiary.”

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The names of important individuals and groups involved in the conspiracy were suppressed by the committee, but later revealed by Seldes, Philadelphia Record reporter Paul French, and Jules Archer, author of the book, “The Plot to Seize the White House.” Included were John W. Davis (attorney for the J.P. Morgan banking group), Robert Sterling Clark (Wall Street broker and heir to the Singer sewing machine fortune), William Doyle (American Legion official), and the American Liberty League (backed by executives from J.P. Morgan and Co., Rockefeller interests, E.F. Hutton, and Du Pont-controlled General Motors).

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THE US/NAZI CARTEL AGREEMENT

“On November 23, 1937,” states Higham, “representatives of General Motors held a secret meeting in Boston with Baron Manfred von Killinger, who was . . . in charge of West Coast espionage [for the Nazis], and Baron von Tipplekirsch, Nazi consul general and Gestapo leader in Boston. This group signed a joint agreement showing total commitment to the Nazi cause for the indefinite future. . . .”

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Seldes describes the plotters as “the great owners and rulers of America who planned world domination through political and military Fascism” including “several leading American industrialists, members of the Congress of the United States, and representatives of large business and political organizations . . .”

He obtained the text of the agreement, and published it in his newsletter, “In Fact,” on July 13, 1942. The plan “goes much further than the mere cartel conspiracies of Big Business of both countries,” writes Seldes, “because it has political clauses and points to a bigger conspiracy of money and politicians such as helped betray Norway and France and other lands to the Nazi machine. The most powerful fortress in America is the production monopolies, but its betrayal would involve, as it did in France, the participation of some of the most powerful figures of the political as well as the industrial world.”

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STANDARD OIL OF NEW JERSEY (Now Exxon)

“On February 27, 1942,” according to Higham, “Arnold, with documents stuffed under his arms, . . . strode into the lion’s den of Standard at 30 Rockefeller Plaza. Just behind him were Secretary of the Navy Franklin Knox and Secretary of the Army Henry L. Stimson.” They confronted Standard official William Farish and “Arnold sharply laid down his charges” that “by continuing to favor Hitler in rubber deal and patent arrangements,” Standard Oil “had acted against the interests of the American government . . . suggested a fine of $1.5 million and a consent decree whereby Standard would turn over for the duration all the patents” in question.

“Farish rejected the proposal on the spot. He pointed out that Standard” was also selling the U.S. a “high percentage” of the fuel being used by the Army, Navy, and Air Force “making it possible for America to win the war. Where would America be without it?”

Blackmail? Yes, says Higham. And effective. Arnold was finally reduced to asking the oil company official “to what Standard Oil would agree. After all, there had to be at least token punishment. . . . Arnold, Stimson, and Knox soon realized they had no power to compare with that of Standard.”

The price Standard Oil “agreed” to pay for its crime? A modest fine of a few thousand dollars divided up among ten defendants. “Farish paid $1,000, or a quarter of one week’s salary, for having betrayed America.”

In New Jersey, charges of “criminal conspiracy with the enemy” were filed against Standard, then “dropped in return for Standard releasing its patents and paying the modest fine.” But Arnold, and his ally, Secretary of the Interior Harold Ickes, weren’t finished with Standard Oil just yet. They approached Senator Truman, chairman of the Senate Special Committee Investigating the National Defense Program. “With great enthusiasm Give “em Hell Harry embarked on a series of hearings in March 1942, in order to disclose the truth about Standard.”

Between the 26th and the 28th of March, 1942, Arnold “produced documents showing that Standard and Farben in Germany had literally carved up the world markets, with oil and chemical monopolies all over the map,” according to Higham.

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Mintz and Cohen describe the confrontation:

“Four months after the United States entered World War II, the Justice Department obtained an indictment of Exxon and its principal officers for having made arrangements, starting in the late 1920s with I.G. Farben involving patent sharing and division of world markets. Jersey Standard agreed not to develop processes for the manufacture of synthetic rubber; in exchange, Farben agreed not to compete in the American petroleum market. After war broke out in Europe, but before the attack on Pearl Harbor, executives of Standard Oil and Farben, at a meeting in Holland, established a “modus vivendi” for continuing the arrangements in event of war between the United States and Germany – although the arrangements interfered with the ability of the United States to make synthetic rubber desperately needed after it entered the war in December 1941. Rather than face a criminal trial, Exxon and the indicted executives entered no-contest pleas – the legal equivalent of guilty pleas – and were fined the minor sums which were the maximum amounts permitted by law. A few days later, on March 26, 1942, the Senate Special Committee Investigating the National Defense Program held a hearing at which Thurman Arnold, chief of the Antitrust Division, put into the record documents on which the [criminal] indictment had been based, including a memo from a Standard Oil official on the “modus vivendi” agreed to in Holland. After the hearing, the committee chairman, Harry S. Truman, characterized the arrangements as treasonable.”

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Another source book on this subject of US / Nazi corporate activities is “The Secret War Against the Jews,” by Mark Aarons and John Loftus. Here is their version of the events:

“Before the war Standard of New Jersey had forged a synthetic oil and rubber cartel with the Nazi-controlled I.G. Farben,” which “worked well until the United States joined the war in 1941. . . . Next to the Rockefellers, I.G. Farben owned the largest share of stock in Standard Oil of New Jersey. Among other things, Standard had provided Farben with its synthetic rubber patents and technical knowledge, while Farben had kept its patents to itself, under strict instructions from the Nazi government.”

Evidence which Thurman Arnold turned over to the Truman Committee, which Truman would declare “treasonous,” included “Standard’s 1939 letter renewing its agreement, which made it clear that the Rockefellers’ company was prepared to work with the Nazis whether their own government was at war with the Third Reich or not. Truman’s Senate Committee on the National Defense was outraged and began to probe into the whole scandalous arrangement, much to the discomfort of John D. Rockefeller, Jr. Suddenly, however, the whole matter was dropped.

“There was a reason for Rockefeller’s escape: blackmail. According to the former intelligence officers we interviewed on this point, the blackmail was simple and powerful: The Dulles brothers [John Foster, later Secretary of State, and Allen, later director of the CIA] had one of their clients threaten to interrupt the U.S. oil supply during wartime.”

When confronted by Arnold on the Standard – Farben arrangement “Standard executives made it clear that the entire U.S. war effort was fueled by their oil and it could be stopped. . . . The American government had no choice but to go along if it wanted to win the war.”

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July 13, 1944, Ralph W. Gallagher, attorney for Standard Oil, filed a lawsuit against the U.S. government’s seizure of the contested patents. “On November 7, 1945, Judge Charles E. Wyzanski gave his verdict,” according to Higham. “He decided that the government had been entitled to seize the patents. Gallagher appealed. On September 22, 1947, Judge Charles Clark delivered the final word on the subject. He said, “Standard Oil can be considered an enemy national in view of its relationships with I.G. Farben after the United States and Germany had become active enemies.” The appeal was denied.”

(15)

One aspect of this Standard – I.G. Farben relationship, revealed in testimony during the Patents Committee hearings, chaired by Senator Homer T. Bone in May 1942, is of interest to those who seek direct evidence of a conspiracy by big oil companies to suppress development of synthetic substitutes to petrochemical products such as industrial chemicals, aircraft lubricants and fuel, all of which can be made from hemp:

“On May 6th, John R. Jacobs, Jr., of the Attorney General’s department, testified that Standard had interfered with the American explosives industry by blocking the use of a method of producing synthetic ammonia. As a result of its deals with Farben, the United States had been unable to get the use of this vital process even after Pearl Harbor. Also, the United States had been restricted in techniques of producing hydrogen from natural gas and from obtaining paraflow, a product used for airplane lubrication at high altitudes. . . .”

On August 7th, “Texas oil operator C.R. Starnes appeared to testify that Standard had blocked him at every turn in his efforts to produce synthetic rubber after Pearl Harbor. . . .”

On August 12th, “John R. Jacobs reappeared in an Army private’s uniform (he had been inducted the day before) to bring up another disagreeable matter: Standard had also, in league with Farben, restricted production of methanol, a wood alcohol that was sometimes used as motor fuel.” (16)

The restriction against methanol production apparently did not apply to the Nazis, however. “As late as April 1943,” Higham reveals, “General Motors in Stockholm [Sweden] was reported as trading with the enemy. . . . Further documents show that, as with Ford, repairs on German army trucks and conversion from gasoline to wood-gasoline production were being handled by GM in Switzerland.”

(17)

The use of hemp as a source of methanol was known to the Nazis, revealed in the pamphlet “The Humorous Hemp Primer,” published in Berlin, also in 1943. This document, recently re-published in the 1995 edition of “Hemp and the Marijuana Conspiracy: The Emperor Wears No Clothes,” by veteran hemp conspiracy researcher Jack Herer, states that:

“Crops should not only provide food in large quantities, they can provide raw materials for industry. . . . Among such raw materials of especially high value is hemp . . .

“The woody part of this large plant is not to be thrown out, since it can easily be used for surface coatings for the finest floors. It also provides paper and cardboard, building materials and wall paneling. Further processing will even produce wood sugar and wood gas. . . .

“Anyone who grows hemp today need not fear a lack of a market, because hemp, as useful as it is, will be purchased in unlimited amounts.”

(18)

The Nazis obviously considered hemp a vital war material that could be used to produce methanol, or “wood gas,” at the same time, in 1943, that Du Pont-controlled General Motors in Switzerland was “converting from gasoline to wood-gasoline production.” This, taken into consideration along with the earlier statement that Standard Oil-I.G. Farben had “restricted production of methanol” and the GM-Standard Oil-I.G. Farben joint venture, Ethyl, Inc., whose profitability depended on the production of lead-tetraethyl for oil-based petrochemical gasoline – in direct competition with the alternative methanol, or “wood gas,” certainly opens new avenues of investigation into the existence of a conspiracy against hemp as an alternative, and competing, industrial raw material, by these very same corporations which sold America out to the Nazis for profit and control of world resources and markets.

“Just after Pearl Harbor,” writes Seldes, “the Assistant Attorney General, Mr. Thurman Arnold, issued a sensational report of the sabotage of the national [war production] program, the first report naming the practices which were later to be referred to as the treason of big business in wartime. Said Mr. Arnold:

“Looking back over 10 months of defense effort we can now see how much it has been hampered by the attitude of powerful basic industries who have feared to expand their production because expansion would endanger their future control of industry.

“Anti-trust investigations during the past year have shown that there is not an organized basic industry in the United States which has not been restricting production by some device or other in order to avoid what they call “ruinous overproduction after the war”.”

(19)

By “ruinous overproduction,” of course, they meant free-market competition. So, to question the existence of an industrial conspiracy against competition, during the 1930s and 1940s, is pointless. It has long been totally documented by volumes of evidence, available in the public record. And among this list of convicted corporate conspirators are murderers, racists, pro-Nazi collaborators, blackmailers and American Fascists who plotted at least one armed take-over of the U.S. government. And the list is not yet complete.

THE FORD MOTOR COMPANY

Henry Ford, writes Higham, “admired Hitler from the beginning, when the future Fuhrer was a struggling and obscure fanatic. He shared with Hitler a fanatical hatred of Jews.”

“Ford’s book “The International Jew” was issued in 1927. A virulent anti-Semitic tract, it was still being distributed in Latin America and the Arab countries as late as 1945. Hitler admired the book and it influenced him deeply. Visitors to Hitler’s headquarters at the Brown House in Munich noticed a large photograph of Henry Ford hanging in his office. Stacked high on the table outside were copies of Ford’s book. As early as 1923,” when Hitler heard that Ford was planning to run for President, he “told an interviewer from the “Chicago-Tribune,” “I wish that I could send some of my shock troops to Chicago and other big American cities to help”.”

As late as 1940, Ford Motor Company “refused to build aircraft engines for England and instead built supplies of the 5-ton military trucks that were the backbone of German army transportation.”

(20)

The Ford Motor Company was also aware of the potential of hemp as an alternative industrial resource, devoting many years research to the subject.

In a 1989 ABC Radio broadcast, Hugh Downs reported that in the 1930s, “the Ford Motor Company also saw a future in biomass fuels. Ford operated a successful biomass conversion plant that included hemp at their Iron Mountain facility in Michigan. Ford engineers extracted methanol, charcoal fuel, tar, pitch, ethyl acetate, and creosote – all fundamental ingredients for modern industry, and now supplied by oil-related industries. . . . Henry Ford’s experiments with methanol promised cheap, readily-available fuel.”

(21)

As reported in “Popular Mechanics” in December, 1941, Ford’s research represented “an industrial revolution in progress . . . a revolution in materials that will affect every home.”

(22)

So, it is possible, even likely, that Ford and General Motors conversion “from gasoline to wood-gasoline production” for Nazi Germany, as earlier reported by Higham, involved at least some consideration of hemp as a resource, if not actual production of “wood-gas” from hemp. After all, Ford had already committed several years and significant research dollars to the subject.

The implication of methanol fuel patents, hemp industry research and production facilities, all in the hands of this cabal of Nazi-allied American corporations, during a proven period of anti-competition conspiracies, and wartime blackmail against the U.S. government, should provide additional support for the hemp conspiracy theories. The fact is that Nazi Germany recognized hemp as a vital war material – one which, just before America’s entrance into World War II, was positioned to compete in the free-market against the products controlled by the Pro-Nazi American corporations. Unrestricted expansion of United States industrial hemp production threatened not only the profits of these treasonous corporations, but the degree of their control over America’s production of vital war materials.

This view of hemp, not as a “dangerous drug” but as a vital war material, was acknowledged by the Kentucky Legislature a little over 100 years before the Japanese sneak attack on Pearl Harbor. In 1841, according to Professor James F. Hopkins, author of “A History of the Hemp Industry in Kentucky,” published by the University of Kentucky Press in 1951:

“When the farmers of Woodford County [KY] assembled in October, 1841, to consider a program of hemp production for the navy, they only went as far as to express an opinion that the government should employ a rope spinner in Kentucky for the purpose of converting the fiber into yarns, which could be transported much more cheaply and safely than the bulky raw material. The Committee on Agriculture of the Kentucky House of Representatives inquired into the matter early in 1842 . . .

“Both houses of the General Assembly sent to the Senators and Congressmen from Kentucky a request that they use their “best exertions” to have established in the state one or more agencies for the inspection and manufacture of hemp for the navy. A select committee of Congress, appointed to consider the resolutions from Kentucky, reported three resolutions of its own: that the navy be directed to construct a factory at Louisville “for the purpose of depositing and manufacturing . . . such hempen fabrics of domestic water-rotted hemp as the public service may require”; that inspectors be appointed to test the fiber that might be offered for sale; and that, after due notice to the public, purchase of the necessary amount of fiber be made at the factory. The Committee contended that its plan would build up during peacetime a source of hemp which would be vitally important in case of war, encourage American agriculture and manufactures, and decrease the unfavorable balance of trade.”

(23)

[NOTE: For many years we Kentuckians have had a good deal of our heritage and history buried beneath a thick layer of propaganda from a source of power and control in this country which knows neither honor nor justice. Now, we are learning the truth. Our history as a state built upon the foundation of a long- and dishonestly- outlawed industry endures.]

INTERNATIONAL TELEPHONE AND TELEGRAPH

Even after Pearl Harbor, ITT was working for the Nazis, reports Higham: “. . . the German army, navy, and air force contracted with ITT for the manufacture of switchboards, telephones, alarm gongs, buoys, air raid warning devices, radar equipment, and thirty thousand fuses per month for artillery shells used to kill British and American troops.”

ITT also “supplied ingredients for the rocket bombs that fell on London,” and other devices as well, without which “it would have been impossible for the German air force to kill American and British troops, for the German army to fight the Allies in Africa, Italy, France, and Germany, for England to have been bombed, or for Allied ships to have been attacked at sea.”

(24)

In 1938, “following a series of meetings with Luftwaffe chief Herman Goring, [ITT founder and chairman Sosthenes] Behn encouraged ITT’s Lorenz subsidiary to purchase 28 percent of the Focke-Wulf firm, manufacturer of the bombers that were to sink so many Allied ships during the war,” according to researcher and author Jim Hougan.

(25)

Anthony Sampson, in “The Sovereign State of ITT,” reports on what is perhaps the most bizarre aspect of the US/Nazi corporate partnership, war reparations:

“. . . ITT now presents itself as the innocent victim of the Second World War, and has been handsomely recompensed for its injuries. In 1967, nearly thirty years after the events, ITT actually managed to obtain $27 million in compensation from the American government, for war damage to Focke-Wulf plants – on the basis that they were American property bombed by Allied bombers.”

(26)

The Foreign Claims Settlement Commission was responsible for this payment to ITT, and other U.S. corporations as well.

Bradford Snell reports that “After the cessation of hostilities, GM and Ford demanded reparations from the U.S. Government for wartime damages sustained by their Axis facilities as a result of Allied bombing. By 1967 GM had collected more than $33 million in reparations and Federal tax benefits for damages to its warplane and motor vehicle properties in formerly Axis territories . . . Ford received a little less than $1 million, primarily as a result of damages sustained by its military truck complex at Cologne.”

(27)

ALLEN DULLES: ARCHITECT OF THE US-NAZI NETWORK

Contemporary history records Allen Dulles as one of America’s top spymasters, from his early days in the Office of Strategic Services (OSS) in World War II, to his position as Director of the Central Intelligence Agency (CIA) in the 1950s and early 1960s (until President John F. Kennedy fired him over the Bay of Pigs disaster in 1961), and finally to his membership on the controversial Warren Commission, which investigated President Kennedy’s assassination. Until recently, his pivotal role in promoting a U.S. corporate relationship with the Nazis was little known. Loftus and Aarons describe the post-World War I role of Allen, and his brother, John Foster, in the following terms:

“We first turn to Dulles’s creation of international finance networks for the benefit of the Nazis. In the beginning, moving money into the Third Reich was quite legal. Lawyers saw to that. And Allen and his brother John Foster were not just any lawyers. They were international finance specialists for the powerful Wall Street law firm of Sullivan & Cromwell. . . .

“The Dulles brothers were the ones who convinced American businessmen to avoid U.S. government regulation by investing in Germany. It began with the Versailles Treaty, in which they played no small role. After World War I the defeated German government promised to pay war reparations to the Allies in gold, but Germany had no gold. It had to borrow the gold from Sullivan & Cromwell’s clients in the United States. Nearly 70 percent of the money that flowed into Germany during the 1930s came from investors in the United States, many of them Sullivan & Cromwell clients. . .

“Foster Dulles, as a member of the board of I.G. Farben, seems to have had little difficulty in getting along with whoever was in charge. Some of our sources insist that both Dulles brothers made substantial but indirect contributions to the Nazi party as the price of continued influence inside the new German order. . . .”

(28)

NOTES: U.S. CORPORATIONS AND THE NAZIS

1. Facts and Fascism, George Seldes, p. 122

2. Trading with the Enemy, Charles Higham, p. 167

3. Even the Gods Can’t Change History, Seldes, pp. 140-144

4. Facts and Fascism, p. 68

5. Ibid., p. 262

6. Trading with the Enemy, pp. 162-165

7. Ibid., p. 166

8. Power, Inc., Morton and Mintz, pp. 497-499

9. Trading with the Enemy, pp. 163-165

10. The Plot to Seize the White House, Jules Archer, Hawthorn Books, 1973 (Quoted from It’s A Conspiracy, National Insecurity Council, EarthWorks Press, 1992, pp. 179-184)

11. Trading with the Enemy, pp. 167-168

12. Facts and Fascism, pp. 68-70

13. Trading with the Enemy, pp. 45-46

14. Power, Inc, pp. 499-500

15. The Secret War Against The Jews, Aarons and Loftus, pp. 44-65

15. Trading with the Enemy, pp. 61-62

16. Ibid., pp. 49-52

17. Ibid., p. 176

18. The Emperor Wears No Clothes, Jack Herer, pp. 127-130

19. One Thousand Americans, Seldes, pp. 142-143

20. Trading with the Enemy, pp. 154-156

21. Ain’t Nobody’s Business If You Do, p. 734

22. Popular Mechanics Magazine, Vol. 76, No. 6, Dec. 1941

(The Emperor Wears No Clothes, 1995 edition, p. 199)

23. A History of the Hemp Industry in Kentucky, Professor James F. Hopkins,

University of Kentucky Press, 1951

24. Trading with the Enemy, p. 99

25. Spooks, Jim Hougan, pp. 423-424

26. The Sovereign State of ITT, Anthony Sampson, p. 47

(Power, Inc., pp. 500-501)

27. GM and the Nazis, by Bradford C. Snell, Ramparts Magazine, June 1974, pp. 14-16 (Democracy for the Few, Michael Parenti, pp. 91-92)

28. The Secret War Against the Jews, pp. 55-60

The Elkhorn Manifesto Part III

THE NEW WORLD (DIS)ORDER

“Among us today a concentration of private power without equal in history is growing.”

President Franklin Delano Roosevelt

(1)

“The first truth is that the liberty of a democracy is not safe if the people tolerate the growth of private power to a point where it becomes stronger than their democratic state itself. That, in essence, is fascism – ownership of government by an individual, by a group, or by any other controlling power.

As mentioned earlier, the secret U.S./Nazi corporate alliance during World War II was the result of substantial American investment in post-World War I Germany. In order to protect these investments, and the accumulating profits, the U.S. multinational corporations remained an important part of the Nazi war machine until the final defeat of Germany in 1945. What effect did the end of World War II have on this faction of American Nazi collaborators?

In this section we will review the evidence, much of it from recently de-classified documents, which this pro-Nazi faction, rather than facing charges of high treason, became an integral part of the United States national security apparatus, extending its fascist influence in both foreign and domestic policies and, in effect, creating what has been referred to as America’s “Invisible Government.” The excuse, of course, was Communism.

THE BUGGING OF WALL STREET

Aarons and Loftus’ research, which documents the Dulles brothers’ pro-Nazi activities, did not go unnoticed. “Before his death, former Supreme Court Justice Arthur Goldberg granted one of the authors an interview. Justice Goldberg had served in U.S. intelligence during World War II. Although he said little in public, he had collected information on the Dulles boys’ activities over the years. His verdict was blunt. ‘The Dulles brothers were traitors.’ They had betrayed their country, by giving aid and comfort to the enemy in time of war.”

(2)

Much of what is now known about the activities of the Dulles brothers and other American Nazi collaborators in banking and industry came as a result of a top-secret joint U.S.-British intelligence program known as the Ultra Project. “Prior to the United States’ entry into the war,” write Loftus and Aarons, “Roosevelt permitted British intelligence to wiretap American targets.

“According to our sources in the intelligence community, the area of coverage included a good bit of the New York financial district, several floors of Rockefeller Plaza, part of the RCA Building, two prominent clubs, and various shipping firms. . . .

“The wiretap unit reported to Sir William Stephenson, a Canadian electronics genius better known by his code name, “Intrepid.” From his headquarters in the Rockefeller building, Stephenson’s job was to identify U.S. companies that were aiding the Nazis.”

(3)

“Several months before the United States declared war,” continue Loftus and Aarons, “Bill Donovan invited Allen Dulles to head up the New York branch of the Office of the Coordinator of Information (COI), President Roosevelt’s new intelligence agency and the precursor to the Office of Strategic Services (OSS). Its primary mission was to collect information against the Nazis and their collaborators. In other words, Dulles was asked to inform on his own clients in New York. . .

“Roosevelt had approved his selection as head of the COI Manhattan branch because he wanted Dulles where the British wiretappers could keep an eye on him. . . .

“One floor below Dulles was Stephenson’s wiretap shop. Inside Dulles’s operation was one of Roosevelt’s spies, Arthur Goldberg . . .” who, “confirmed . . . that Dulles’s appointment was a setup. . . .

“Roosevelt was giving Dulles enough rope to hang himself. From Stephenson’s Manhattan wiretaps, it is known that Dulles was continuing to work with his German business clients, who wanted to remove Hitler and install a puppet of their own who would make peace with the West while forging an alliance against Stalin. It was to be a kinder, gentler Third Reich, favorably disposed to American financial interests. . . .

(4)

“The wiretap evidence against Dulles originally was collected by a special section of Operation Safehaven, the U.S. Treasury Department’s effort to trace the movement of stolen Nazi booty towards the end of the war. Roosevelt and Treasury Secretary Henry Morganthau had set up Dulles by giving him the one assignment – intelligence chief in Switzerland – where he would be most tempted to aid his German clients with their money laundering.”

Roosevelt had one thing in mind: “The sudden release of the Safehaven intercepts would force a public outcry to bring treason charges against those British and American businessmen who aided the enemy in time of war.” Among the targets were Allen Dulles, Henry Ford, and other U.S. industrialists.

(5)

The plan failed, however, due to Dulles being “tipped off . . . that he was under surveillance” in time to cover his tracks. One possible source of the leak was Vice President Henry Wallace, “who constantly shared information with his brother-in-law, the Swiss minister in Washington during the war.”

“Wallace,” the authors reveal, “gave many details of his secret meetings with Roosevelt to the Swiss diplomat.” The problem was that, at the time, the Nazis “had recruited the head of the Swiss secret service.”

It is, perhaps, no coincidence that Roosevelt dropped Wallace during the 1944 election, choosing instead Senator Harry S. Truman as his new running mate.

(6)

THE ENEMY OF MY ENEMY

“After the Nazis” 1943 defeat at Stalingrad,” write Loftus and Aarons, “various Nazi businessmen realized they were on the losing side and made plans to evacuate their wealth. The Peron government in Argentina was receiving the Nazi flight capital with open arms, and Dulles helped it hide the money. . . .

“The Guinness Book of Records lists the missing Reich bank treasure [estimated at $2.5 billion dollars] as the greatest unsolved bank robbery in history. Where did it go? . . . .

“According to our source, the bulk of the treasure was simply shipped a very short distance across Austria and through the Brenner Pass into Italy. Dulles’s contacts were waiting at the Vatican. The German-Vatican connection was how Allen Dulles and the Nazi industrialists planned to get away with it. . . .”

(7)

The effort was successful, according to the authors, who state that the “vast bulk of the wealth of the Nazi empire” which “disappeared before the end of World War II” reappeared “within a decade in the hands of the same men who financed Hitler’s war against the Jews. Allen Dulles’s clients were not defeated, only inconvenienced.” The authors identify two of Dulles’s accomplices as James Jesus Angleton and his father, Hugh Angleton. The Angletons were members of X-2, the OSS counterintelligence branch in Italy, in 1943.

Like Dulles, Hugh Angleton was financially involved with Axis powers. He was the European representative for National Cash Register in Italy before the war and business associate of Dulles. When World War II broke out, the authors write,

“. . . Angleton was crushed financially as all his investments were in enemy hands. “Like Dulles’s clients, he wanted his money back. Like Dulles, Hugh offered his services to the OSS.” With high-placed contacts in Mussolini’s Interior Ministry, Hugh was accepted and “promoted rapidly in U.S. intelligence. He became second in command to Colonel Clifton Carter, the OSS commander in Italy at the end of World War II.”

(8)

Perhaps the most controversial information which is now emerging with the release of recently declassified documents concerning World War II, is the role of the Vatican, both in its pre-war German investments, and its role in helping Nazi war criminals escape justice after the war. Concerning the Vatican-German investments, Loftus and Aarons are quite clear:

“That the Vatican encouraged such investments and even donated money to Hitler himself cannot be denied. A German nun, Sister Pascalina, was present at its creation. In the early 1920s she was the housekeeper for Archbishop of the Vatican-Nazi connection . . . Eugenio Pacelli, then the papal nuncio in Munich. Sister Pascalina vividly recalls receiving Adolf Hitler late one night and watching the archbishop give Hitler a large amount of Church money.”

In addition, Eugenio Pacelli  “later convinced the Vatican to invest millions of dollars in the rising German economy, money from the Vatican’s land settlement that ended the Pope’s claim of sovereignty over territory outside the walls of Vatican City. It was Pacelli who negotiated the Concordat with Germany and then had to deal with the consequences of his own mistakes when he became pope on the eve of World War II.

“The Vatican and the Dulles brothers had the same problem. Once their money was in Hitler’s hands, how would they get it back?”

The authors interviewed “a former colonel in U.S. Military Intelligence who specialized in tracing enemy assets. He claimed that only a tiny portion of the Reichbank’s gold ingots actually reached the Vatican Bank, while the rest was held in cooperative banks in Belgium, Liechtenstein, and especially Switzerland.” It was only necessary to transfer the paperwork on the gold, not the gold itself. Since, by that time, Dulles knew his telegraph communications were being monitored by the British wiretap operation in New York, he instead used couriers to “ensure absolute secrecy in moving the foreign currency and the ownership documents out of Switzerland . . . special agents of the Vatican who had diplomatic immunity to move back and forth across both Nazi and Allied lines. . . .”

(9)

“. . . . The Vatican’s eminence grise for Balkan intelligence, the Bosnian-Croat priest Krunoslav Draganovic, was involved in transporting large quantities of Nazi booty, especially gold bullion, from Austria to the safety of the Holy See with the help of the Dulles-Angleton clique in Rome. Some of the booty was transported in truck convoys run by British troops. Other shipments were carried in U.S. Army jeeps provided to Father Draganovic so that he could conduct “pastoral visits” on behalf of the Vatican.

“Another ardent Nazi propagandist and agent, Slovenian bishop Gregory Rozman, was sent to Bern with the help of Dulles’s friends in U.S. intelligence. Declassified U.S. intelligence files confirm that Bishop Rozman was suspected of trying to arrange the transfer of huge quantities of Nazi-controlled gold and Western currency that had been discreetly secreted in Swiss banks during the war. For a few months the Allies prevented Rozman from gaining access to this treasure, but then the way was mysteriously cleared. In fact, the Dulles-Vatican connection had fixed it, and before too long the bishop obtained the loot for his Nazi friends, who were hiding in Argentina.

“Such instances turned out to be only the tip of the iceberg. It has long been acknowledged that it was Allen Dulles who tipped off General Patton about the buried German treasure that lay in the path of the U.S. Third Army. Patton explicitly urged General Eisenhower to conceal as much of the gold as possible, but his advice was refused.

“Our sources claim that Dulles and his colleagues exerted a great deal of influence to ensure that Western investments in Nazi Germany were not seized by the Allies as reparations for the Jews. After all, much of “Hitler’s Gold” had originally belonged to the bankers in London and New York. The . . . captured Nazi loot went underground. . . .

“In the cause of anticommunism, and to retrieve its own investments in Germany, the Vatican agreed to become part of Dulles’s smuggling window, through which the Nazis and their treasure could be moved to safety.”

(10)

On April 12th, 1945, Roosevelt died, and Truman became President. May 7th, Nazi Germany surrendered after the suicide of Adolf Hitler. September 2nd, Japan surrendered.

World War II finally ended, but at the cost of more than 35,000,000 lives, over half that amount civilians. The death toll for the United States was 294,000.

(11)

The Elkhorn Manifesto Part IV

A PLEDGE BETRAYED

“Dulles and some of his friends volunteered for postwar service with the government not out of patriotism but of necessity,” according to Loftus and Aarons. “They had to be in positions of power to suppress the evidence of their own dealings with the Nazis. The Safehaven investigation was quickly stripped from Treasury . . . and turned over to the State Department. There Dulles’s friends shredded the index to the interlocking corporations and blocked further investigations.

“Dulles had this goal in mind: Not a single American businessman was ever going to be convicted of treason for helping the Nazis. None ever was, despite the evidence. According to one of our sources in the intelligence community, the U.S. Army Counter Intelligence Corps had two large “Civilian Internment Centers” in Occupied Germany, code named “Ashcan” and “Dustbin.” The CIC had identified and captured a large number of U.S. citizens who had stayed in Germany and aided the Third Reich all through World War II. The evidence of their treason was overwhelming. The captured German records were horribly incriminating.

“Yet Victor Wohreheide, the young Justice Department attorney responsible for preparing the treason trials, suddenly ordered the prisoners’ release. All of the Nazi collaborators were allowed to return to the United States and reclaim their citizenship. At the same time, another Justice Department attorney, O. John Rogge, who dared to make a speech about Nazi collaborators in the United States was quickly fired. However, the attorney who buried the treason cases was later promoted to special assistant attorney general.

“Dulles and his clients had won. The proof is in the bottom line. Forty years after World War II, Fortune magazine published a list of the hundred richest men in the world. There were no Jews on the list. The great fortunes of the Rothschilds and Warburgs had been diminished to insignificance by the Depression, the Nazis, and World War II.

“Near the top of the list were several multibillionaires who had been prominent members of Hitler’s inner circle. A few even had served time in Allied prisons as Nazi war criminals, but they were all released quickly. The bottom line is that the Nazi businessmen survived the war with their fortunes intact and rebuilt their industrial empires to become the richest men in the world. Dulles’s clients got away with it. President Roosevelt’s dream of putting the Nazis’ moneymen on trial died with him.”

England also failed to see justice done, according to the authors: “The British authorities in Germany ordered the U.S. Army to release all of the VIP British Nazis and hand over the evidence against them. Even before Roosevelt’s death, Churchill had already begun to withdraw from his commitment to prosecute Nazis.” The reason?” Too many British industries might be seized as Nazi fronts. Too many upper-class collaborators might have to be prosecuted. The Germans were defeated, and the Soviets were now the enemy.

“Funding for British war crimes investigations suddenly dried up. Nazi bankers such as Herman Abs were released from prison to work as economic advisers in the British zone of Germany. The history of British “efforts” to punish Nazis after the war is aptly summarized in Tom Bower’s book, “The Pledge betrayed”. . . .

“The pattern was repeated all over the remnants of the Third Reich. Despite direct orders from President Truman and General Eisenhower, I.G. Farben, the citadel of the Nazi industrialists, was never dismantled. Dulles’s clients demanded, and received, Allied compensation for bomb damage to their factories in Germany. Only a few of the top Nazis were executed. Most of the rest were released from prison within a few years. Others, would go virtually unpunished. No one ever investigated the Nazi sympathizers in Western intelligence that had made it all possible.”

(12)

As we have seen, the American industrialists who did business with the Nazis were in no way inconvenienced by war crimes trials, and even received compensation for damages to their Nazi war plants. Some Nazi industrialists were charged and convicted by the Nuremberg war crimes trials but, in their book, “The American Establishment”, authors Leonard and Mark Silk observe that in the late 1940s “the United States and its leaders faced an agonizing moral problem in coming to terms with those German industrialists who had willingly done business with the Nazis and who were now just as willing to do business with the Americans in the reconstruction of Germany. The problem was dramatized when those German industrialists who had been convicted of war crimes at Nuremberg were all released from Landsberg prison in early 1951, their sentences commuted by the American High Commissioner [of German Occupation], John J. McCloy.

“. . . . Whatever the motivation,” the authors continue, “the blanket release of the convicted industrialists was taken within Germany – and by them – as a sign that businessmen were not to be seriously blamed for their involvement in matters for which others were hanged or suffered long imprisonment.”

(13)

The motivation for the mass release of imprisoned Nazi war criminals is described in the book, “The New Germany and the Old Nazis,” by T.H. Tetens, an expert in German affairs.

Tetens observes that in “1950, when Washington showed its eagerness to create a new German army of 500,000 men, the SS [at that time reorganized into a neo-Nazi front group called HIAG, which stands for "mutual assistance," a so-called veterans organization], together with the old Wehrmacht officers, started an all-out campaign for the immediate release of all war criminals. It was a superbly organized blackmail action, enjoying wide support from the public, from all parties, and carried toward success by Dr. Adenauer’s astute maneuverings.

“The Chancellor suggested an inconspicuous way to solve the problem with “parole,” “sick leave,” and other roundabout methods. The more the U.S. High Commission in Germany showed leniency, however, the stronger the pressure became: either “all so-called war criminals are released or there will be no German army.” American diplomats followed Dr. Adenauer’s plan to feed the nationalistic monster piecemeal. Every few days we quietly released one or two more from prison – the Krupps, the I.G. Farben directors, and dozens of former Wehrmacht Generals. On friendly advice from Washington, the British and the French, extremely reluctant, had to follow suit. When the supply dried up, there remained behind bars only the SS, the mass murderers from Dachau, Belsen, and Buchenwald, and the toughs from the Waffen SS who had massacred American, British, and Canadian prisoners of war. This put High Commissioner John McCloy in a most embarrassing position. . . .”

Tetens explains how Chancellor Adenauer helped High Commissioner McCloy and the U.S. State Department avoid this embarrassment: Adenauer “suggested the formation of a review board, with three German members sitting in and having equal voice in making recommendations. The whole procedure was to be shrouded in secrecy, and it was decided that the names of those released should not be revealed to the public. In this way the last few hundred “poor devils”, those SS mass killers and sadists, were quietly set free within two or three years.”

(14)

Christopher Simpson, in his extensively documented book on the subject of U.S. recruitment of Nazis, “Blowback,” goes into more detail of the backgrounds of those released:

“The beneficiaries of this act included, for example, all of the convicted concentration camp doctors; all of the top judges who had administered the Nazis’ “special courts” and dozens of similar cases. In addition, “McCloy’s clemency decisions for the Landsberg inmates set in motion a much broader process that eventually freed hundreds of other convicted Nazi war criminals over the next five years. . . . By the winter of 1950-1951 the most senior levels of the U.S. government had decided to abrogate their wartime pledge to bring Nazi war criminals to justice. . . . in the interests of preserving West German military support for American leadership in the cold war. While nazism and Hitler’s inner circle continued to be publicly condemned throughout the West, the actual investigation and prosecution of specific Nazi crimes came to a standstill.”

(15)

One case merits special attention: Sepp Dietrich, “the organizer of the Fuehrer’s bodyguard. Dietrich carried out Hitler’s personal murder assignments” and, Tetens continues, “was in charge of the liquidation of the Jewish population in the city of Kharkov. During the Battle of the Bulge his troops committed the Malmedy massacre, killing more than 600 military and civilian prisoners, among them 115 American G.I.s. He was sentenced to death, and the sentence was later commuted to life imprisonment. In 1955 he was one of the last ‘poor devils’ quietly released from prison and greeted by the Bonn government with the homecoming pay of 6,000 marks.”

(16)

In a “New York Times” article published February 1, 1951, one prominent American expressed support for the reduction of sentences for those responsible for the mass murder of the 600 unarmed prisoners of war at Malmedy, describing the decision as “extremely wise.” The American was Senator Joseph McCarthy, Republican from Wisconsin.

Tetens observes that, despite the wide-spread fear by “the French, the British, and the smaller European countries” of a re-militarized Germany, “the outbreak of the Korean War (June 1950) brought a total change. The provisions which banned all military and veterans’ organizations lost all their meaning and were no longer enforced. Western Germany was allowed by the Allies to set up its own General Staff, camouflaged under the name Blank Office. Supported by Bonn and tolerated by the United States, a nation-wide network was created to reactivate the experienced officers and the man power of the old Wehrmacht. The short period of 1950-51 must be marked as the time when Hitler’s old officers, SS leaders, and [Nazi] party functionaries returned to power and influence.”

(17)

Tetens’ comment that the Nazi’s return to power in Germany was “tolerated by the United States” was a historical understatement. By the time Tetens’ book was published in 1961, hundreds of convicted Nazi war criminals had already been smuggled out of Germany to avoid prosecution at the war crimes trials at Nuremberg, recruited by, and on the payroll of several U.S. government agencies, including the Army CIC, the OSS, and the Office of Policy Coordination within the State Department.

Over the past fifty years, it is now documented, these Americanized fugitive Nazi war criminals have been involved in, and in many cases in charge of, many U.S. government covert operations — international weapons smuggling, drug cartels, Central American death squads, right wing anti-communist dictatorships, LSD mind control experiments — the Republican National Committee’s Ethnic Heritage Councils, and the Presidential campaigns of Richard Nixon, Ronald Reagan, and George Bush.

THE GEHLEN ORGANIZATION

Probably the most influential Nazi to come to work for the United States intelligence agencies during the Cold War was named Gehlen.

“Reinhard Gehlen,” writes author Christopher Simpson, “Hitler’s most senior military intelligence officer on the eastern front, had begun planning his surrender to the United States at least as early as the fall of 1944.” Of “several hundred” high-ranking Nazi officers who switched sides at the end of World War II, Gehlen “proved to be the most important of them all.

“In early March 1945 Gehlen and a small group of his most senior officers carefully microfilmed the vast holdings on the USSR in the . . . military intelligence section of the German army’s general staff. They packed the film in watertight steel drums and secretly buried it in remote mountain meadows scattered through the Austrian Alps. Then, on May 22, 1945, Gehlen and his top aides surrendered to an American Counter-intelligence Corps [CIC] team.”

(18)

According to Tetens: “. . . [Gehlen] immediately asked for an interview with the commanding officer . . .” and offered the United States “his intelligence staff, spy apparatus, and the priceless files for future service.”

Gehlen was sent to Washington and his offer was taken. “The Pentagon-Gehlen agreement,” states Tetens, “in practice guaranteed the continuation of the all-important Abwehr division of the German General Staff. Hundreds of German army and SS officers were quietly released from internment camps and joined Gehlen’s headquarters in the Spessart Mountains in central Germany. When the staff had grown to three thousand men, the Bureau Gehlen opened a closely guarded twenty-five-acre compound near Pullach, south of Munich, operating under the innocent name of the South German Industrial Development Organization. . . .

“Within a few years the Gehlen apparatus had grown by leaps and bounds. In the early fifties it was estimated that the organization employed up to 4,000 intelligence specialists in Germany, mainly former army and SS officers, and that more than 4,000 V-men (undercover agents) were active throughout the Soviet-bloc countries. Gehlen’s spy network stretches from Korea to Cairo, from Siberia to Santiago de Chile. . . . When the Federal Republic [of West Germany] became a sovereign state in 1955, the Bureau Gehlen was openly recognized as the official intelligence arm of the Bonn government.”

(19)

How important was the Gehlen Org, as it became known, to the history of the Cold War? Simpson’s research documents that it was perhaps the most significant element of all:

“. . . . The Org became the most important eyes and ears for U.S. intelligence inside the closed societies of the Soviet bloc. “In 1946 [U.S.] intelligence files on the Soviet Union were virtually empty,” says Harry Rositzke, the CIA’s former chief of espionage inside the Soviet Union. “. . . . Rositzke worked closely with Gehlen during the formative years of the CIA and credits Gehlen’s organization with playing a “primary role” in filling the empty file folders during that period. . . .”

“Gehlen had to make his money by creating a threat that we were afraid of,” says Victor Marchetti, formerly the CIA’s chief analyst of Soviet strategic war plans and capabilities, “so we would give him more money to tell us about it.” He continues: “In my opinion, the Gehlen Organization provided nothing worthwhile for the understanding or estimating Soviet military or political capabilities in Eastern Europe or anywhere else.” Employing Gehlen was “a waste of time, money, and effort, except that maybe he had some CI [counter- intelligence] value, because practically everybody in his organization was sucking off both tits.”

(20)

By “sucking off both tits” Marchetti is referring to the fact that Gehlen’s elaborate operation was penetrated by Soviet spies at the very time it was our most important source of intelligence upon which the Cold War was based. In fact, the Communists had infiltrated Nazi intelligence long before Gehlen switched sides.

TRIPLE CROSS

“In each generation,” write Aarons and Loftus,”Soviet intelligence created “anti-Communist” emigre front groups, ostensibly to foment revolution and topple Bolshevism. The front groups attracted support from the West. Considerable financial assistance was supplied and close ties forged with various Western intelligence services. This enabled the Communist double agents running the front groups to co-opt the legitimate emigre opposition, splinter their leadership and provoke them into premature and poorly organized rebellions which were easily defeated. More importantly, the false front groups were a vehicle for long-term Soviet penetration of Western society. . . .”

The authors identify one of these groups as the Narodny Trudovoi Soyuz (NTS), or the People’s Labour Alliance. The NTS represented itself as a group of anti-communist “moles” inside the Kremlin and, in the 1920s, recruited a Communist agent named Prince Anton Vasilevich Turkel. Turkel, who actually worked for Soviet Military intelligence (GRU), went on to penetrate French, Japanese, Italian, British, German, and even the Vatican intelligence services before the end of World War II.

“After World War II, Turkel worked for West German intelligence (the Gehlen Org), collaborated with many of the spy services of NATO, including the American Military Intelligence Service (MIS – for offensive intelligence), the US Army Counter Intelligence Corps (CIC – for defensive purposes), the ultra-secret State Department Office of Policy Co-ordination and the Central Intelligence Agency. . .”

(21)

“Just before World War II began,” according to the authors, “an Austrian Jew named Richard Kauder created a secret intelligence network, code named MAX.” Kauder, using the name of [Max] Klatt – Turkel’s intelligence chief ["Unholy Trinity," Aarons and Loftus, p. 166] – “worked exclusively for Admiral Wilhelm Canaris, the German spy chief who collaborated with the Vatican and the British to topple Hitler during the war [the group known as the Black Orchestra].”

The Nazis thought the Max network was made up of “so-called Fascist Jews” who “were willing to spy against the Soviet Union, not for the glory of the Third Reich but to save themselves and their families from the concentration camps.” The Max network was supposed to have had “the only communication link to a secret network of “White” Russian Fascists inside the Kremlin [Turkel's NTS], who had supposedly infiltrated Stalin’s military headquarters prior to World War II.” But, the authors continue, “the Max network was not made up of Fascist Jews. They were, in fact, Communist Jews who risked their lives inside the heart of the Third Reich’s intelligence service.”

The Max network actually misled the Nazis, feeding them false intelligence on the capabilities and intentions of the Soviet Union, leading “the Nazi divisions into a series of death traps on the Eastern front.” The Max double-agents were responsible for the Nazis defeats at Stalingrad, “the giant battle of Kursk where Hitler’s tank divisions were slaughtered. The final sting,” continue the authors, “was to mislead Germany into believing that the Red army was on the verge of collapse in 1944, when in fact the Soviets were preparing for the most massive onslaught of the war.

“It would not be an exaggeration to say that the “Fascist Jews” of the Max network did more to defeat the German army than all the Western intelligence services combined. Seventy percent of all Hitler’s divisions were destroyed on the Eastern front, largely as a result of the misleading intelligence supplied by Max.”

(22)

When Gehlen was recruited by the United States, Allen Dulles ordered the ex-Nazi spymaster to “revive the Max network.” Gehlen already had plans to do just that, intending “to make Turkel’s Max network the centerpiece of his new West German intelligence agency. As soon as a Republican president was elected in the United States, Dulles intended to take over the CIA and make Gehlen and Turkel the heart of his anti-Soviet network. The Soviets, of course, were delighted as they watched Dulles and Gehlen attempt to plant a Communist spy ring in the heart of Western intelligence. . . .

“. . . [E]ventually, in 1956, the Allies decided that the whole thing had been a giant Soviet-controlled operation. Dozens of operations, hundreds of agents, thousands of innocent civilians had been betrayed. . . .

“. . . [T]hree years after Dulles became head of CIA in 1953, his pet “Fascist,” Turkel, broadcast the CIA codes to start the Hungarian uprising prematurely. Thousands of innocent Hungarians rushed on to the streets of Budapest to start the revolution. Instead of American paratroopers dropping supplies, they found Soviet tanks waiting in the suburbs.”

By 1959, the collapse of Dulles’s spy network was almost total: “U.S. Military Intelligence admitted to the National Security Council that it did not have a single network of couriers or safe houses left in Communist territory, apart from East Germany. Dulles’s Nazi “freedom fighters” had sold him out.”

(23)

COLD WARRIORS

It was Harry Rositze who best described the attitude of the United States military-intelligence establishment after the end of World War II: “Any bastard as long as he was anti-Communist.” Rositze, the “former head of secret operations inside the USSR” for the CIA, was correct.

(24)

We have seen that many Nazis – including those who committed atrocities – returned to positions of power and influence inside Germany after the war. Unknown until fairly recently was the extent of Nazi recruitment by U.S. intelligence agencies and political organizations, in the 1940s and 1950s.

Perhaps the most publicized program of Nazi recruitment is that of Project Paperclip, which involved the collection of Nazi rocket scientists and facilities, all of which were later incorporated into the U.S. Space Program. Klaus Barbie’s employment by the U.S. State Department in the 1940s is another well-known incident. Barbie, head of the Gestapo in Lyons, France, was known as the “Butcher of Lyons” and was sought by the French Government for atrocities committed against French Resistance fighters captured by the Nazis. Barbie was recruited as a U.S. intelligence “asset” in 1947 by one branch of the State Department’s Counter-intelligence Corps (CIC), while another branch, the Operation Selection Board, a joint U.S./British project, was trying to put him in prison for war crimes.

Eventually, according to Aarons and Loftus, “Barbie’s employment (and protection) by the Americans began to reach French newspapers and politicians at least as early as 1948. They, in turn brought increasing pressure on the U.S. government through publicity and eventually through official notes requesting Barbie’s extradition from Germany. That, in the final analysis, is why the CIC chose to provide Barbie with a new identity and safe passage to Argentina in 1951, while thousands of other ex-Nazis who had been “of interest” to the CIC at one time or another have simply lived out their lives in Germany. If the CIC had dumped Barbie when the French government began requesting his extradition, he would have had plenty of compromising things to say about the CIC. . .”

(25)

But when Barbie was eventually captured by Bolivian authorities in the early 1980s, and returned to France to face charges of war crimes, the U.S. government was forced to conduct an investigation into the Barbie affair. The official position? “. . . [T]his investigation concluded that the United States had indeed protected Barbie in Europe and engineered his escape but that Barbie was the only such Nazi who had been assisted in this fashion.”

(26)

As documented previously, this statement was false. Hundreds, perhaps thousands, of Nazis were employed by the several U.S. agencies, from the CIC to the CIA, and used in covert operations overseas, as our first line of defense against Communism. Others, equally as guilty of wartime atrocities, were brought into the United States for domestic political purposes. This aspect of the U.S.-Nazi connection is well-documented, and deserves closer attention by the mainstream press.

One of the first researchers to reveal the connections between the U.S. government and the Nazis, was a lady named Mae Brussell of Carmel, California. Her career as a conspiracy researcher and host of the weekly radio program “World Watchers International” began with the Kennedy assassination. “In ferreting out every morsel from the Warren Report,” writes Jonathan Vankin, author of the book “Conspiracies, Cover-ups and Crimes,” “supplementing her research with untold amounts of reading from the “New York Times” to “Soldier of Fortune,” Brussell discovered not merely a conspiracy of a few renegade CIA agents, Mafiosi, and Castro haters behind Kennedy’s death, but a vast, invisible institutional structure layered into the very fabric of the U.S. political system.

“Comprising the government within a government were not just spies, gangsters, and Cubans, but Nazis. Mae found that many of the commission witnesses — whose testimony established Oswald as a lone nut” — had never even spoken to Oswald, or knew him only slightly. The bulk of them were White Russian emigres living in Dallas. Extreme in their anti-Communism, they were often affiliated with groups set up by the SS in World War II — Eastern European ethnic armies used by the Nazis to carry out their dirtiest work.

“Brussell also discovered an episode from history rarely reported in the media, and not often taught in universities. Those same collaborationist groups were absorbed by United States intelligence agencies. They hooked up with the spy net of German General Reinhard Gehlen, Hitler’s Eastern Front espionage chief.”

“This is a story of how key Nazis . . . anticipated military disaster and laid plans to transplant nazism, intact but disguised, in havens in the West,” wrote Mae Brussell in 1983. She didn’t author too many articles, but this one, “The Nazi Connection to the John F. Kennedy Assassination” (in “The Rebel,” a short-lived political magazine published by “Hustler” impresario Larry Flynt), was definitive, albeit convoluted.

“It is a story that climaxes in Dallas on November 22, 1963, when John Kennedy was struck down,” Brussell’s article continued. “And it is a story with an aftermath — America’s slide to the brink of Fascism.”

Mae Brussell quit broadcasting her radio show in Spring of 1988, after receiving a death threat from a “man who is said to have identified himself as “a fascist and proud of it.”

The last project she worked on, before her death from cancer on October 3, 1988, writes the author, “was a study of Satanic cults — within the U.S. military. The hidden fascist oligarchy had progressed far beyond the need for patsies like Oswald. They were now able, Brussell asserted, to hypnotically program assassins.

“Satanic cults are the state of the art in brainwashing. With drugs, sex, and violence, they strip any semblance of moral thought. They are perfect for use in creating killers. The United States military, Brussell found, was using them.”

(27)

NOTES: THE NEW WORLD (DIS)ORDER

1. One Thousand Americans, George Seldes, p. 5-6

2. The Secret War Against the Jews, Loftus and Aarons, p. 71

3. Ibid., pp. 73-74

4. Ibid., pp. 75-76

5. Ibid., p. 77

6. Ibid., p. 78

7. Ibid., pp. 79-80

8. Ibid., pp. 82-83

9. Ibid., pp. 84-85

10. Ibid., pp. 85-86

11.Tragedy and Hope, Prof. Carrol Quigley, p. 827

12.Secret War Against the Jews, pp. 100-102

13. The American Establishment, Leonard and Mark Silk, p. 249

14. The New Germany and the Old Nazis, T.H. Tetens, pp. 99-102

15. Blowback: America”s recruitment of Nazis and its effects on the Cold War, Christopher Simpson, pp. 191-192

16. The New Germany and the Old Nazis, p. 103

17. Ibid., pp. 112-113

18. Blowback, pp. 40-41

19. The New Germany and the Old Nazis, pp. 42-43

20. Blowback, pp. 54-55

21. Unholy Trinity, Mark Aarons and John Loftus, pp. 151-152

22. The Secret War Against the Jews, pp. 135-136

23. Ibid., pp. 151-152

24. Blowback, p. 159

25. Ibid., pp. 187-189

26. Ibid., pp. 192-193

27. Conspiracies, Cover-ups and Crimes, Jonathan Vankin, pp. 101-104

The Elkhorn Manifesto       Part V

RICHARD MILHOUSE NIXON

In this section we will explore the Nazi connections of Richard Nixon. To do so we must return to the years just after the end of World War II and, of course, a man named Dulles.

The irony of Nixon’s political career ending with a cover-up can only be appreciated with the knowledge that this turbulent career also began with one. Loftus and Aarons state that:

“According to several of our sources among the “old spies,” Richard Nixon’s political career began in 1945, when he was the navy officer temporarily assigned to review . . . captured Nazi documents.” The documents in question revealed the wartime record of Karl Blessing, “former Reichsbank officer and then head of the Nazi oil cartel, Kontinentale Ol A.G. “Konti” was in partnership with Dulles’s principal Nazi client, I.G. Farben. Both companies had despicable records regarding their treatment of Jews during the Holocaust. After the war Dulles not only “lost” Blessings Nazi party records, but he helped peddle a false biography in the ever-gullible “New York Times.”

The authors’ sources reveal that not only did Dulles help cover up his Nazi client’s record, he “personally vouched for Blessing as an anti-Nazi in order to protect continued control of German oil interests in the Middle East. Blessing’s Konti was the Nazi link to Iben Saud [King of Saudi Arabia] and Aramco [the Arabian- American Oil Company]. If Blessing went down, he could have taken a lot of people with him, including Allen Dulles. The cover-up worked, except that U.S. Naval Intelligence scrutinized a set of the captured Konti records.”

According to the “old spies,” Allen Dulles made a deal with the young navy officer who was reviewing the Konti files – Richard Nixon. Nixon would help Dulles bury the Konti files. In return, Allen Dulles “arranged to finance [Nixon's] first congressional campaign against Jerry Voorhis.”

(1)

Dulles’s support for Nixon paid off in 1947 when, as the freshman congressman from California, he “saved John Foster Dulles considerable embarrassment by privately pointing out that confidential government files showed that one of Foster’s foundation employees, Alger Hiss, was allegedly a Communist. The Dulles brothers took Nixon under their wing and escorted him on a tour of Fascist “freedom fighter” operations in Germany, apparently in anticipation that the young congressman would be useful after Dewey became president.” [He would be useful anyway, despite the fact that incumbent President Truman won reelection in 1948, defeating Dewey.]

(2)

After Truman’s victory, write the authors, “Nixon became Allen Dulles’s mouthpiece in Congress. Both he and Senator Joseph McCarthy received volumes of classified information to support the charge that the Truman administration was filled with “pinkos.” When McCarthy went too far in his Communist investigations, it was Nixon who worked with his next-door neighbor, CIA director Bedell Smith, to steer the investigations away from the intelligence community.

“The CIA was grateful for Nixon’s assistance, but did not know the reason for it. Dulles had been recruiting Nazis under the cover of the State Department’s Office of Policy Coordination, whose chief, Frank Wisner, had systematically recruited the Eastern European emigre networks that had worked first for the SS, then the British, and finally Dulles.

“The CIA did not know it, but Dulles was bringing them to the United States less for intelligence purposes than for political advantage. The Nazis’ job quickly became to get out the vote for the Republicans. One Israeli intelligence officer joked that when Dulles used the phrase “Never Again,” he was not talking about the Holocaust but about Dewey’s narrow loss to Truman. In the eyes of the Israelis, Allen Dulles was the demon who infected Western intelligence with Nazi recruits.

“In preparation for the 1952 Eisenhower-Nixon campaign, the Republicans formed an Ethnic Division, which, to put it bluntly, recruited the “displaced Fascists” who arrived in the United States after World War II. Like similar migrant organizations in several Western countries, the Ethnic Division attracted a significant number of Central and Eastern European Nazis, who had been recruited by the SS as political and police leaders during the Holocaust. These Fascist emigres supported the Eisenhower-Nixon “liberation” policy as the quickest means of getting back into power in their former homelands and made a significant contribution “in its first operation (1951/1952).”"

The authors point out that “over the years the Democrats had acquired one or two Nazis of their own, such as Tscherim Soobzokov, a former member of the Caucasian SS who worked as a party boss in New Jersey. But in 90 percent of the cases, the members of Hitler’s political organization went to the Republicans. In fact, from the very beginning, the word had been put around among Eastern European Nazis that Dulles and Nixon were the men to see, especially if you were a rich Fascist . . .”

(3)

This relationship between Richard Nixon and the Nazis developed because both he and Allen Dulles “blamed Governor Dewey’s razor-thin loss to Truman in the 1948 presidential election on the Jewish vote. When [Nixon] became Eisenhower’s vice president in 1952, Nixon was determined to build his own ethnic base.

“Vice President Nixon’s secret political war of Nazis against Jews in American politics was never investigated at the time. The foreign language-speaking Croatian and other Fascist emigre groups had a ready-made network for contacting and mobilizing the Eastern European ethnic bloc. There is a very high correlation between CIA domestic subsidies to Fascist “freedom fighters” during the 1950s and the leadership of the Republican party’s ethnic campaign groups. The motive for under-the-table financing was clear: Nixon used Nazis to offset the Jewish vote for the Democrats.

“In 1952 Nixon had formed an Ethnic Division within the Republican National Committee. “Displaced Fascists, hoping to be returned to power by an Eisenhower-Nixon “liberation” policy signed on” with the committee. In 1953, when Republicans were in office, the immigration laws were changed to admit Nazis, even members of the SS. They flooded into the country. Nixon himself oversaw the new immigration program. As vice president, he even received Eastern European Fascists in the White House. After a long, long journey, the Croatian Nazis had found a new home in the United States, where they reestablished their networks.

“In 1968 Nixon promised that if he won the presidential election, he would create a permanent ethnic council within the Republican party. Previously the Ethnic Division was allowed to surface only during presidential campaigns. Nixon’s promise was carried out after the 1972 election, during [George] Bush’s tenure as chairman of the Republican National Committee. The Croatian Ustashis became an integral part of the campaign structure of Republican politics, along with several other Fascist organizations.”

(4)

The authors describe Nixon’s pro-Nazi activities in no uncertain terms: “Nixon himself personally recruited ex-Nazis for his 1968 presidential campaign. Moreover, Vice President Nixon became the point man for the Eisenhower administration on covert operations and personally supervised Allen Dulles’s projects while Ike was ill in 1956 and 1957.”

(5)

One of the Nazis recruited by candidate Nixon was Laszlo Pasztor, described by Aarons and Loftus as “the founding chair of Nixon’s Republican Heritage Groups council” who, “during World War II . . . was a diplomat in Berlin representing the Arrow Cross government of Nazi Hungary, which supervised the extermination of the Jewish population.

“[A]fter Nixon won [the 1968 Presidential Election], he approved Pasztor’s appointment as chief organizer of the ethnic council. Not surprisingly, Pasztor’s “choices for filling emigre slots as the council was being formed included various Nazi collaborationist organizations.” The former Fascists were coming out of the closet in droves.

“The policy of the Nixon White House was an “open door” for emigre Fascists, and through the door came such guests as Ivan Docheff, head of the Bulgarian National Front and chairman of the American Friends of the Anti-Bolshevik Bloc of Nations (ABN). . . . an organization dominated by war criminals and fugitive Fascists. Yet Nixon welcomed them with open arms and even had Docheff to breakfast for a prayer meeting to celebrate Captive Nations Week.”

(6)

“During Nixon’s “Four More Years” campaign in 1971-1972, Laszlo Pasztor again played a key role in marshaling the ethnic vote. No longer a marginal player on the fringes, now he held a key position as the Republican National Committee’s nationalities director. . . .

“The Republican leadership cannot claim ignorance as a defense. [Syndicated Columnist Jack] Anderson’s famous expose of Nixon’s Nazis appeared in “The Washington Post” at the same time as the November 1971 convention. Among those mentioned was Laszlo Pasztor, “the industrious head of the GOP ethnic groups, [who] was never asked about his wartime activities in Hungary by the four GOP officials who interviewed him for his job.” It was too embarrassing for Nixon to admit that Pasztor had been a ranking member of a Fascist government at war with the United States.

“. . . . It is one thing to promote obscure Eastern European Fascist movements in the Republican party. It is quite another to let the German Nazis have a major influence. After 1953, the Republican administration changed the rules, and even members of the Waffen SS could immigrate to the United States as long as they claimed only to have fought the Communists on the Eastern Front.”

(7)

The Republican/Nixon attraction to Nazism was also observed by Robert J. Groden and Harrison Edward Livingstone, authors of the book, “High Treason,” dealing with the Kennedy Assassination. Groden and Livingstone write: “Nixon surrounded himself with what was known as the Berlin Wall, a long succession of advisors with Germanic names: We recall at the top of his “German General Staff” as it was also known, Haldeman, Erlichman, Krogh, Kliendienst, Kissinger (the Rockefellers’ emissary) and many others.

“The selection of German names was no accident. Many of the brighter staff people close to Nixon came to him from the University of Southern California, and the University of California at Los Angeles, where there were fraternities that kept alive the vision of a new Reich. America has for a long time harbored this dark side of its character, one of violence and the Valhalla of Wagner and Hitler.

“But Gordon Liddy was the one in whose mind “Triumph of the Will” was the most alive. Some of these men would watch the great Nazi propaganda films in the basement of the White House until all hours of the night, and drink, in fact, get drunk with their power, with blind ambition, as one of them wrote.”

(8)

“According to several of our sources in the intelligence community who were in a position to know,” continue Loftus and Aarons, “the secret rosters of the Republican party’s Nationalities Council read like a Who’s Who of Fascist fugitives. The Republican’s Nazi connection is the darkest secret of the Republican leadership. The rosters will never be disclosed to the public. As will be seen in Chapter 16 dealing with George Bush, the Fascist connection is too widespread for damage control.

“According to a 1988 study by Russ Bellant of Political Research Associates, virtually all of the Fascist organizations of World War II opened up a Republican party front group during the Nixon administration. The caliber of the Republican ethnic leaders can be gauged by one New Jersey man, Emanuel Jasiuk, a notorious mass murderer from what is today called the independent nation of Belarus, formerly part of the Soviet Union. But not all American ethnic communities are represented in the GOP’s ethnic section; there are no black or Jewish heritage groups. . . .

“The truth is that the Nazi immigrants were “tar babies” that no one knew how to get rid of. Dulles had brought in a handful of the top emigre politicians in the late 1940s. They in turn sponsored their friends in the 1950s. By the 1960s ex-Nazis who had originally fled to Argentina were moving to the United States. . . .”

(9)

It is clear that, even before the break-in at the Democratic Party Headquarters on June 17, 1972, the Republicans were on the brink of having their pro-Nazi activities over the past four decades become a matter of mass-media attention. After the Watergate Break-in, as the Congressional Hearings began to reveal the slush-funds, money-laundering, illegal corporate campaign contributions, the political sabotage of the 1972 Presidential election process, the involvement of ITT and the Nixon Administration into the assassination of Salvador Allende, the democratically elected president of Chile, and many other aspects of Nixonism, the floodgates of truth were about to open. Only one thing averted this wholesale learning of the truth by the American people: Nixon’s resignation and subsequent pardoning by his hand-picked successor, Gerald Ford.

NOTES: RICHARD MILHOUSE NIXON

1. The Secret War Against the Jews, p. 221

2. Ibid., pp. 221-222

3. Ibid., pp. 222-223

4. Ibid., pp. 122-123

5. Ibid., pp. 224-225

6. Ibid., pp. 297-298

7. Ibid., pp. 298-299

8. High Treason, Robert J. Groden and Harrison Edward Livingstone, pp. 417-418

9. The Secret War Against the Jews, pp. 300-301

GEORGE HERBERT WALKER BUSH

Like Richard Nixon, George Bush was a strong anti-marijuana/hemp president, escalating the so-called “war on drugs” begun by Nixon. And, like Nixon, George Bush was deeply involved with supporting the Nazis in the Republican’s closet. In fact, support for the Nazis was a Bush family tradition which goes back more than six decades and, once again, to Allen Dulles.

Loftus and Aarons write: “The real story of George Bush starts well before he launched his own career. It goes back to the 1920s, when the Dulles brothers and the other pirates of Wall Street were making their deals with the Nazis. . . .”

THE BUSH-DULLES-NAZI CONNECTION

“George Bush’s problems were inherited from his namesake and maternal grandfather, George Herbert “Bert” Walker, a native of St. Louis, who founded the banking and investment firm of G. H. Walker and Company in 1900. Later the company shifted from St. Louis to the prestigious address of 1 Wall Street. . . .

“Walker was one of Hitler’s most powerful financial supporters in the United States. The relationship went all the way back to 1924, when Fritz Thyssen, the German industrialist, was financing Hitler’s infant Nazi party. As mentioned in earlier chapters, there were American contributors as well.

“Some Americans were just bigots and made their connections to Germany through Allen Dulles’s firm of Sullivan and Cromwell because they supported Fascism. The Dulles brothers, who were in it for profit more than ideology, arranged American investments in Nazi Germany in the 1930s to ensure that their clients did well out of the German economic recovery. . . .

“Sullivan & Cromwell was not the only firm engaged in funding Germany. According to “The Splendid Blond Beast,” Christopher Simpson’s seminal history of the politics of genocide and profit, Brown Brothers, Harriman was another bank that specialized in investments in Germany. The key figure was Averill Harriman, a dominating figure in the American establishment. . . .

“The firm originally was known as W. A. Harriman & Company. The link between Harriman & Company’s American investors and Thyssen started in the 1920s, through the Union Banking Corporation, which began trading in 1924. In just one three-year period, the Harriman firm sold more than $50 million of German bonds to American investors. “Bert” Walker was Union Banking’s president, and the firm was located in the offices of Averill Harriman’s company at 39 Broadway in New York.

“In 1926 Bert Walker did a favor for his new son-in-law, Prescott Bush. It was the sort of favor families do to help their children make a start in life, but Prescott came to regret it bitterly. Walker made Prescott vice president of W. A. Harriman. The problem was that Walker’s specialty was companies that traded with Germany. As Thyssen and the other German industrialists consolidated Hitler’s political power in the 1930s, an American financial connection was needed. According to our sources, Union Banking became an out-and-out Nazi money-laundering machine. . . .

“In [1931], Harriman & Company merged with a British-American investment company to become Brown Brothers, Harriman. Prescott Bush became one of the senior partners of the new company, which relocated to 59 Broadway, while Union Banking remained at 39 Broadway. But in 1934 Walker arranged to put his son-in-law on the board of directors of Union Banking.

“Walker also set up a deal to take over the North American operations of the Hamburg-Amerika Line, a cover for I.G. Farben’s Nazi espionage unit in the United States. The shipping line smuggled in German agents, propaganda, and money for bribing American politicians to see things Hitler’s way. The holding company was Walker’s American Shipping & Commerce, which shared the offices at 39 Broadway with Union Banking. In an elaborate corporate paper trail, Harriman’s stock in American Shipping & Commerce was controlled by yet another holding company, the Harriman Fifteen Corporation, run out of Walker’s office. The directors of this company were Averill Harriman, Bert Walker, and Prescott Bush. . . .

“. . . In a November 1935 article in Common Sense, retired marine general Smedley D. Butler blamed Brown Brothers, Harriman for having the U.S. marines act like “racketeers” and “gangsters” in order to exploit financially the peasants of Nicaragua. . . .

“. . . A 1934 congressional investigation alleged that Walker’s “Hamburg-Amerika Line subsidized a wide range of pro-Nazi propaganda efforts both in Germany and the United States.” Walker did not know it, but one of his American employees, Dan Harkins, had blown the whistle on the spy apparatus to Congress. Harkins, one of our best sources, became Roosevelt’s first double agent . . . [and] kept up the pretense of being an ardent Nazi sympathizer, while reporting to Naval Intelligence on the shipping company’s deals with Nazi intelligence.

“Instead of divesting the Nazi money,” continue the authors, “Bush hired a lawyer to hide the assets. The lawyer he hired had considerable expertise in such underhanded schemes. It was Allen Dulles. According to Dulles’s client list at Sullivan & Cromwell, his first relationship with Brown Brothers, Harriman was on June 18, 1936. In January 1937 Dulles listed his work for the firm as “Disposal of Stan [Standard Oil] Investing stock.”

“As discussed in Chapter 3, Standard Oil of New Jersey had completed a major stock transaction with Dulles’s Nazi client, I.G. Farben. By the end of January 1937 Dulles had merged all his cloaking activities into one client account: “Brown Brothers Harriman-Schroeder Rock.” Schroeder, of course, was the Nazi bank on whose board Dulles sat. The “Rock” were the Rockefellers of Standard Oil, who were already coming under scrutiny for their Nazi deals. By May 1939 Dulles handled another problem for Brown Brothers, Harriman, their “Securities Custodian Accounts.”

“If Dulles was trying to conceal how many Nazi holding companies Brown Brothers, Harriman was connected with, he did not do a very good job. Shortly after Pearl Harbor, word leaked from Washington that affiliates of Prescott Bush’s company were under investigation for aiding the Nazis in time of war. . . .

“. . . The government investigation against Prescott Bush continued. Just before the storm broke, his son, George, abandoned his plans to enter Yale and enlisted in the U.S. Army. It was, say our sources among the former intelligence officers, a valiant attempt by an eighteen-year-old boy to save the family’s honor.

“Young George was in flight school in October 1942, when the U.S. government charged his father with running Nazi front groups in the United States. Under the Trading with the Enemy Act, all the shares of the Union Banking Corporation were seized, including those held by Prescott Bush as being in effect held for enemy nationals. Union Banking, of course, was an affiliate of Brown Brothers, Harriman, and Bush handled the Harrimans’ investments as well.

“Once the government had its hands on Bush’s books, the whole story of the intricate web of Nazi front corporations began to unravel. A few days later two of Union Banking’s subsidiaries — the Holland American Trading Corporation and the Seamless Steel Equipment Corporation — also were seized. Then the government went after the Harriman Fifteen Holding Company, which Bush shared with his father-in-law, Bert Walker, the Hamburg-Amerika Line, and the Silesian-American Corporation. The U.S. government found that huge sections of Prescott Bush’s empire had been operated on behalf of Nazi Germany and had greatly assisted the German war effort.” (1)

EDWIN PAULEY

“Try as he did,” continue the authors, “George Bush could not get away from Dulles’s crooked corporate network, which his grandfather and father had joined in the 1920s. Wherever he turned, George found that the influence of the Dulles brothers was already there. Even when he fled to Texas to become a successful businessman on his own, he ran into the pirates of Wall Street.

“One of Allen Dulles’s secret spies inside the Democratic party later became George Bush’s partner in the Mexican oil business. Edwin Pauley, a California oil man, was . . . one of Dulles’s covert agents in the Roosevelt and Truman administrations . . . a “big business” Democrat. . . .”

Among the key posts held by Pauley were: treasurer of the Democratic National Committee, director of the Democratic convention in 1944 and, after Truman’s election, Truman appointed him the “Petroleum Coordinator of Lend-Lease Supplies for the Soviet Union and Britain.”

Just after the end of World War II, “in April 1945 Truman appointed Pauley as the U.S. representative to the Allied Reparations Committee, with the rank of ambassador,” as well as “industrial and commercial advisor to the Potsdam Conference, “where his chief task was to renegotiate the reparations agreements formulated at Yalta.” As one historian noted, the “oil industry has always watched reparations activities carefully.” There was a lot of money involved, and much of it belonged to the Dulles brothers’ clients.”

At the same time, report Loftus and Aarons,

“the Dulles brothers were still shifting Nazi assets out of Europe for their clients as well as for their own profit. They didn’t want the Soviets to get their hands on these assets or even know that they existed. Pauley played a significant role in solving this problem for the Dulles brothers. The major part of Nazi Germany’s industrial assets was located in the zones occupied by the West’s forces. As Washington’s man on the ground, Pauley managed to deceive the Soviets for long enough to allow Allen Dulles to spirit much of the remaining Nazi assets out to safety. . . .

“Pauley, a key player in the plan to hide the Dulles brothers’ Nazi assets, then moved into another post where he could help them further. After successfully keeping German assets in Fascist hands, Pauley was given the job of “surveying Japan’s assets and determining the amount of its war debt.” Again, it was another job that was crucial to the Dulles clique’s secret financial and intelligence operations.”

(2)

After Pauley retired from government work he went back to being an independent oil man. Loftus and Aarons state that: “In 1958 he founded Pauley Petroleum which: . . . teamed up with Howard Hughes to expand oil production in the Gulf of Mexico.

“Pauley Petroleum discovered a highly productive offshore petroleum reserve and in 1959 became involved in a dispute with the Mexican Government, which considered the royalties from the wells to be too low.

“According to our sources in the intelligence community, the oil dispute was really a shakedown of the CIA by Mexican politicians. Hughes and Pauley were working for the CIA from time to time, while advancing their own financial interests in the lucrative Mexican oil fields. Pauley, say several of our sources, was the man who invented an intelligence money-laundering system in Mexico, which was later refined in the 1970s as part of Nixon’s Watergate scandal. At one point CIA agents used Pemex, the Mexican government’s oil monopoly, as a business cover at the same time Pemex was being used as a money laundry for Pauley’s campaign contributions. As we shall see, the Mexican-CIA connection played an important part in the development of George Bush’s political and intelligence career. . . .

“Pauley, say the “old spies,” was the man who brought all the threads of the Mexican connection together. He was Bush’s business associate, a front man for Dulles’s CIA [Allen Dulles was CIA director then], and originator of the use of Mexican oil fronts to create a slush fund for Richard Nixon’s various campaigns. . . .

“Although it is not widely known, Pauley, in fact, had been a committed, if “secret,” Nixon supporter since 1960. It should be recalled that Nixon tried to conceal his Mexican slush fund during the Watergate affair by pressuring the CIA into a “national security” cover-up. The CIA, to its credit, declined to participate. Unfortunately, others were so enmeshed in Pauley’s work for Nixon that they could never extricate themselves. According to a number of our intelligence sources, the deals Bush cut with Pauley in Mexico catapulted him into political life. In 1960 Bush became a protege of Richard Nixon, who was then running for president of the United States. . . .

“The most intriguing of Bush’s early connections was to Richard Nixon, who as vice president had supervised Allen Dulles’s covert planning for the Bay of Pigs [invasion]. For years it has been rumored that Dulles’s client, George Bush’s father, was one of the Republican leaders who recruited Nixon to run for Congress and later convinced Eisenhower to take him on as vice president. There is no doubt that the two families were close. George Bush described Nixon as his “mentor.” Nixon was a Bush supporter in his very first tilt at politics, during his unsuccessful run for the Senate in 1964, and turned out again when he entered the House two years later.

“After Nixon’s landslide victory in 1972, he ordered a general house cleaning on the basis of loyalty. “Eliminate everyone,” he told John Ehrlichman about reappointments, “except George Bush. Bush will do anything for our cause.” . . . According to Bush’s account, the president told him that “the place I really need you is over at the National Committee running things.” So, in 1972, Nixon appointed George Bush as head of the Republican National Committee.

“It was Bush who fulfilled Nixon’s promise to make the “ethnic” emigres a permanent part of Republican politics. In 1972 Nixon’s State Department spokesman confirmed to his Australian counterpart that the ethnic groups were very useful to get out the vote in several key states. Bush’s tenure as head of the Republican National Committee exactly coincided with Laszlo Pasztor’s 1972 drive to transform the Heritage Groups Council into the party’s official ethnic arm. The groups Pasztor chose as Bush’s campaign allies were the emigre Fascists whom Dulles had brought to the United States. . . .

“. . . Nearly twenty years later, and after expose’s in several respectable newspapers, Bush continued to recruit most of the same ethnic Fascists, including Pasztor, for his own 1988 ethnic outreach program when he first ran for president.

“According to our sources in the intelligence community,” state the authors, “it was Bush who told Nixon that the Watergate investigations might start uncovering the Fascist skeletons in the Republican party’s closet. Bush himself acknowledges that he wrote Nixon a letter asking him to step down. The day after Bush did so, Nixon resigned.

“Bush had hoped to become Gerald Ford’s vice president upon Nixon”s resignation, but he was appointed U.S. ambassador to the UN. Nelson Rockefeller became vice president and chief damage controller. He formed a special commission in an attempt to preempt the Senate’s investigation of the intelligence community. The Rockefeller Commission into CIA abuses was filled with old OPC [Dulles's Office of Policy Coordination] hands like Ronald Reagan, who had been the front man back in the 1950s for the money-laundering organization, the Crusade for Freedom, which was part of Dulles’s Fascist “freedom fighters” program.”

(3)

In 1988, Project Censored, a news media censorship research organization, awarded the honor of “Top Censored story” to the subject of George Bush. The article revealed “how the major mass media ignored, overlooked or undercovered at least ten critical stories reported in America’s alternative press that raised serious questions about the Republican candidate, George Bush, dating from his reported role as a CIA “asset” in 1963 to his Presidential campaign’s connection with a network of anti-Semites with Nazi and fascist affiliations in 1988.” (4)

NOTES: GEORGE HERBERT WALKER BUSH

1. The Secret War Against the Jews, pp. 357-361

2. Ibid., pp. 362-364

3. Ibid., pp. 365-371

4. The 1993 Project Censored Yearbook: The News That Didn’t Make The News – And Why, Project Censored; Dr. Carl Jensen, Director., pp. 230.

The Elkhorn Manifesto    Part VI     CONCLUSION

If, before you finished reading this publication, you ever wondered why the U.S. federal government refuses to consider the medicinal and industrial value of cannabis hemp, despite widespread and growing support from the public, medical experts, industry leaders, and a growing number of state legislators across this nation – you now have the answer.

For the past several generations, Americans have been systematically deceived about the true nature of cannabis hemp. Many Americans have died – victims of political murders. Millions have been imprisoned, their children and their property taken away, their futures destroyed. The history of my own state – Kentucky – and others as well, have been “sanitized,” rewritten, our heritage deleted, our citizens defrauded and impoverished to bury the truth.

And if, before you finished reading this publication, you ever wondered why the U.S. federal government would train and finance Central American death squads; or why, while waging the so-called “war on drugs,” the U.S. federal government would operate cocaine and heroin smuggling operations around the world, bringing in tons of drugs to places like Mena, Arkansas; or why the U.S. federal government would “spread democracy” throughout the world by assassinating democratically elected politicians – both at home and abroad – replacing them with right-wing dictators and training their secret police in the latest techniques of torture, terrorism, and mind control; or why the U.S. federal government would conduct deadly medical and radiation experiments on unsuspecting citizens – including pregnant women, the mentally impaired, and children – you now have the answer.

The last question is “what are we going to do about it?”

BIBLIOGRAPHY (By section)

INTRODUCTION

* The Irony of Democracy: An Uncommon Introduction to American Politics – Second Edition, By Thomas R. Dye and L. Harmon Zeigler – Duxbury Press, CA. 1972

* The Arms Bazaar: From Lebanon to Lockheed – By Anthony Sampson – The Viking Press, NY. 1977

U. S. CORPORATIONS AND THE NAZIS

* Facts and Fascism – By George Seldes (Assisted by Helen Seldes) – Sixth Edition – In Fact, Inc., NY. 1943

* Trading with the Enemy: An Expose of the Nazi-American Money Plot 1933-1949 – By Charles Higham – Delecorte Press, NY. 1983

* Even the Gods Can’t Change History: The Facts Speak for Themselves – By George Seldes – Lyle Stuart, Inc., NJ. 1976

* Power, Inc.: Public and Private Rulers and How to Make Them Accountable – By Morton Mintz & Jerry S. Cohen – Viking Press, NY. 1976

* The Plot to Seize the White House – By Jules Archer – Hawthorn Books, 1973

* It’s A Conspiracy!: The Shocking Truth About America’s Favorite Conspiracy Theories – By Michael Litchfield/The National Insecurity Council – EarthWorks Press, CA. 1992

* The Secret War Against The Jews: How Western Espionage Betrayed The Jewish People – By John Loftus and Mark Aarons – St. Martin”s Press, NY. 1994

* HEMP & the Marijuana Conspiracy: The Emperor Wears No Clothes – By Jack Herer (Editors: C. Conrad, L. & J. Osburn, E. Komp, and J. Stout)

* H.E.M.P. (Help Eliminate Marijuana Prohibition), CA. 1995

* One Thousand Americans – By George Seldes – BONI & GAER, NY. 1947

* Ain’t Nobody’s Business If You Do: The Absurdity of Consentual Crimes in a Free Society – By Peter McWilliams – Prelude Press, CA. 1993

* A History of the Hemp Industry in Kentucky – By Professor James F. Hopkins – University of Kentucky Press, Lexington, KY. 1951

* Spooks: The Haunting of America – The Private Use of Secret Agents – By Jim Hougan – First Bantam Edition – William Morrow and Co., NY. 1979

* The Sovereign State of ITT – By Anthony Sampson – Stein and Day, NY. 1973

* Democracy for the Few – By Michael Parenti – Fourth Edition – St. Martin”s Press, NY. 1983

THE NEW WORLD (DIS)ORDER

* Tragedy and Hope: A History of the World in Our Time – By Carroll Quigley, Second Printing – Wm. Morrison, NY. 1974

* The American Establishment – By Leonard Silk & Mark Silk, First Discus Printing – Avon Books (by arrangement with Basic Books), NY. 1981

* The New Germany and the Old Nazis – By T.H. Tetens – Random House, NY. 1961

* Blowback: America’s Recruitment of Nazis and Its Effect on the Cold War – By Christopher Simpson – Weidenfeld & Nicolson, NY. 1988

* Unholy Trinity: The Vatican, the Nazis, and Soviet Intelligence – By Mark Aarons & John Loftus, First U.S. Edition – St. Martins Press, NY. 1992

* Conspiracies, Cover-Ups and Crimes: From JFK to the CIA Terrorist Connection – By Jonathan Vankin – Bantam Doubleday Dell Publishing Group, Inc., NY. 1992

RICHARD MILHOUSE NIXON

* High Treason: The Assassination of President John F. Kennedy and the New Evidence of Conspiracy – By Robert J. Groden and Harrison Edward Livingstone, Berkley Edition – Berkley Books, NY. 1990

GEORGE HERBERT WALKER BUSH

Censored: The News That Didn’t Make the News – And Why – By Carl Jensen – Shelburne Press, Inc., NY. 1993

Kentucky Marijuana Party Mission Statement

The KYMJP seeks to remove all penalties for adults 21 and over who choose to consume cannabis in a responsible manner.

“We demand an end to the war on productive and otherwise law abiding citizens by the powers that be who claim to protect us.”

“We demand the right to use any medication our healthcare providers and we deem fit without government interference.”

We demand the release of all people imprisoned on marijuana charges and that their criminal records be expunged.

We demand that all property seized in marijuana raids be returned to the rightful owners at once.

We demand that our law enforcement officers make more efficient use of our tax dollars and use the resources they have at their disposal to go after violent criminals and crimes that actually have victims.

We demand the right to grow marijuana for personal consumption, just as alcohol can be brewed at home legally so long as it is not sold untaxed.

We demand that you stop treating us like second class citizens for consuming something that is less dangerous than alcohol and tobacco, both of which are legal and cause numerous deaths each year. Cannabis has never caused one.

The Kentucky Marijuana Party

SB 129 Medical marijuana, Legislative Concerns

February 29, 2012

Now that Kentucky's Senate has proposed a bill allowing for the medical use of marijuana, Senate Bill 129 The Gatewood Galbraith Memorial Medical Marijuana Act filed by State Senator Perry Clark, legislators will have to seriously consider the proposal. I'm pretty sure the majority of Kentucky's legislators have not done this before. In truth, one can find out everything known about marijuana, good and bad, by going to two sources. The Marijuana Policy Project, MPP, has in it's library an extensive list of studies, reports, state by state comparisons and general knowledge regarding marijuana and especially information on medical marijuana. MPP can be accessed at MPP.org, click on issues and a list of the various aspects of marijuana will come up. The other clearing house for all things marijuana is The National Organization for the Reform of Marijuana Laws, NORML, which also has an extensive library which can be accessed at NORML.ORG. One can get a ton of government information from the Drug Enforcement Administration or the Office of National Drug Control Policy, the Drug Czar's office but with the governments 40 year history of misinformation about marijuana and the current government pronouncement that there is no medical value to marijuana, anything they say on the subject is certainly suspect.
Currently 16 states and the District of Columbia have medical marijuana and all of Kentucky's neighbors are currently working on their own medical marijuana laws. This means that medical marijuana has passed 16 senate and 16 house judicial, public safety and health and human services committees. In addition Congress, in voting to allow the District of Columbia to have medical marijuana, may have inadvertently allowed it for the whole country!
What might be the concerns of legislators considering medical marijuana? Certainly teen access to marijuana would be a concern. So far studies have shown a decrease in teen use in states with medical marijuana laws, regulation making it harder for teens to acquire. Another concern might be drugged driving. Laws are currently in place regarding DUI, however, on an anecdotal level, I read the paper every day and watch the local news. In the last 10 years I have only seen 1 story of a marijuana caused accident on the news and the story changed 2 days after it ran. On top of that, an estimated 22 million people in America smoke marijuana on a regular basis. If driving is a problem with marijuana, where are all the reports of marijuana related accidents? Some concerns were raised in California about increased crime in neighborhoods where marijuana pharmacies and facilities are located. Studies on the issue showed that because of the facilities' security measures, cameras and such, crime in the vicinity of these facilities is lower because they are there. Kentucky has an extremely bad problem with prescription drugs and especially opioid pain killers like oxycontin. As a legislator my concern would be how medical marijuana laws impact this problem. So far studies show that medical marijuana users decrease their use and dependence on prescription drugs. Veterans in Medical marijuana states have reported stopping pain meds completely when using marijuana or only needing minimal amounts to cope with their conditions. Finally as a legislator considering medical marijuana for my state I would be concerned about Federal raids on state medical marijuana facilities. One can only rely on the Justice Department's word that they only raid facilities that are not in compliance with state law. Given the challenges to prohibition policy with 6 states having full legalization on the ballot in November, the government might have to finally reconsider prohibition entirely.
On the pro side of the ledger medical marijuana has alleviated the pain and suffering of thousands of patients, and created thousands of jobs in states with controlled distribution like California, Colorado and Michigan to name a few. It creates large sums of revenue for the State, has decreased costs for police and courts, has spread a wave of economic activity thru the states that have it and decreased the use of prescription painkillers.
As a legislator, (if I were one), would I vote to allow medical marijuana in Kentucky?
Given all available information I would have to vote a resounding yes!

CONTINUE READING HERE…

Tuesday, February 28, 2012

Open Seeds: Biopiracy and the Patenting of Life by grtv

 

Open Seeds: Biopiracy and the Patenting of Life

by grtv

As the world begins to digest the implications of intellectual property for online censorship, another IP issue threatens an even more fundamental part of our daily lives: our food supply. Backed by legal precedent and armed with seemingly inexhaustible lobbying funds, a handful of multinationals are attempting to use patents on life itself to monopolize the biosphere.

Find out more about the process of patenting life and what it means for the food supply on this week's GRTV Backgrounder.

Transcript and sources:

The oft-neglected legal minefield of intellectual property rights has seen a surge in public interest in recent months due to the storm of protest over proposed legislation and treaties related to online censorship.[1] One of the effects of such legislation as SOPA and PIPA and such international treaties as ACTA is to have drawn attention to the grave implications that intellectual property arguments can have on the everyday lives of the average citizen.

As important as the protection of online freedoms is, however, an even more fundamental part of our lives has come under the purview of the multinational corporations that are seeking to patent the world around us for their own gain. Unknown to a large section of the public, a single US Supreme Court ruling in 1980 made it possible for the first time to patent life itself for the profit of the patent holder.

The decision, known as Diamond v. Chakrabarty, centered on a genetic engineer working for General Electric who created a bacterium that could break down crude oil, which could be used in the clean-up of oil spills.[2] In its decision, Supreme Court Chief Justice Warren Burger ruled that:

“A live, human-made micro-organism is patentable subject matter under 35 U.S.C. § 101”

With this ruling, the ability to patent living organisms, so long as they had been genetically altered in some novel way, was established in legal precedent.

The implications of such a monumental ruling are understandably wide-reaching, touching on all sorts of issues that have the potential to change the world around us. But it did not take long at all for this decision’s effects to make itself felt in one of the most basic parts of the biosphere: our food supply.

In the years following the Diamond v. Chakrabarty decision, an entire industry rose up around the idea that these new patent protections could foster the economic incentive for major corporations to develop a new class of genetically engineered foods to help increase crop yields and reduce world hunger.

The first commercially available genetically modified food, Calgene’s “Flavr Savr” tomato, was approved for human consumption by the Food and Drug Administration in the US in 1992 and was on the market in 1994.[3] Since then, adoption of GM foods has proceeded swiftly, especially in the US where the vast majority of soybeans, corn and cotton have been genetically altered.

By 1997, the problems inherent in the patenting of these GM crops had already begun to surface in Saskatchewan, Canada. It was in the sleepy town of Bruno that a canola farmer, Percy Schmeiser, found that a variety of GM canola known as “Roundup Ready” had infected his fields, mixing with his non-GM crop.[4] Amazingly, Monsanto, the agrichemical company that owned the Roundup Ready patent, sued Schmeiser for infringing their patent. After a years-long legal battle against the multinational that threatened to bankrupt his small farming operation, Schmeiser finally won an out-of-court settlement with Monsanto that saw the company agree to pay for the clean-up costs associated with the contamination of his field.

In India, tens of thousands of farmers per year commited suicide[5] in an epidemic labeled the GM genocide.[6] Sold a story of “magic seeds” that would produce immense yields, farmers around the country were driven into ruinous debt by a combination of high-priced seeds, high-priced pesticides, and crop failure. Worst of all, the GM seeds had been engineered with so-called “terminator technology,” meaning that seeds from one harvest could not be re-planted the following year. Instead, farmers were forced to buy seeds at the same exorbitant prices from the biotech giants every year, insuring a debt spiral that was impossible to escape. As a result, hundreds of thousands of farmers have committed suicide in the Indian countryside since the introduction of GM crops in 1997.

As philosopher, quantum physicist and activist Vandana Shiva has detailed at great length, the effect of the invocation of intellectual property in enabling the monopolization of the world’s most fundamental resources was not accidental or contingent.[7] On the contrary, this is something that has been self-consciously designed by the heads of the very corporations who now seek to reap the benefit of this monopolization, and the monumental nature of their achievement has been obscured behind bureaucratic institutions like the WTO and innocuous sounding agreements like the Agreement on Trade-Related Aspects of Intellectual Property Rights.

Although the deck appears to be stacked in favour of the giant multinationals and their practically inexhaustible access to lobbying and legal funds, the people are by no means incapable of fighting back against this patenting of the biosphere.

In India itself, where so much devestation has been wrought by the introduction of genetically engineered crops, the people are fighting back against the world’s most well-known purveyor of GMO foods, Monsanto. The country’s National Biodiversity Diversity Authority has enabled the government to proceed with legal action against the company for so-called biopiracy, or attempting to develop a GM crop derived from local varieties of eggplant, without the appropriate licences.[8]

Although resistance to the patenting of the world’s food supply should be applauded in all its forms, what is needed is a fundamental transformation in our understanding of life itself from a patentable organism to the common property of all of the peoples who have developed the seeds from which these novel GM crops are derived.

This concept, known as open seeds, is being promoted by organizations around the globe, including Dr. Vandana Shiva’s Navdanya organization.[9]

PLEASE CONTINUE READING HERE...

Sunday, January 2, 2011

Missoula District Court: Pot case ‘mutiny’ leaves ripples for other drug cases


By GWEN FLORIO of the Missoulian missoulian.com | Posted: Sunday, January 2, 2011 6:30 am |




Call it the Pot Shot Heard 'Round the World.


Oh, wait. Somebody already did that.


The Examiner online news site - one of many news organizations that picked up on the story of a Missoula jury pool that dug in its heels last month at the prospect of trying a case involving "a couple of buds" of marijuana - put a variation of that headline on its story.


Others likewise had fun with it. "The Great Montana Marijuana Mutiny," the Wall Street Journal's legal blog termed it.


"Where There's Smoke, There's Change," pronounced the Toronto Star.


And Huffington Post declared in a possible first that "Sanity Broke Out in Missoula, Montana, Today."


Headline hijinks aside, the jury pool's action - and the reaction to it - has serious ramifications for continued prosecution of low-level nonviolent drug crimes, not just in Missoula County but around the country.


"It was almost like a slap in the face to the system," said John Zeimet, of the moment on Dec. 16 when he watched his fellow prospective jurors, one after another, tell Missoula County District Judge Dusty Deschamps that not only were they disinclined to convict, but wondered aloud why taxpayer money was being wasted on the case.


"The people stood up and spoke out."


The story "hit a nerve" around the country, said Ethan Nadelmann, executive director of the national Drug Policy Alliance that advocates drug law reform.


"It shows the emperor-has-no-clothes dimension to what happened. It's an expression of what many people feel - that marijuana possession should no longer be illegal," he said.


A Gallup Poll released Oct. 28 showed 46 percent of all Americans favor legalizing marijuana use. "A new high," Gallup called it, representing a huge generational shift from the 1960s and '70s, when 8 in 10 people queried by Gallup opposed its legalization.


In the 2010 poll,


58 percent of those in the western United States support legalization. The poll has a margin of error of 4 percentage points.


Count Deschamps among that 58 percent.


The judge and former Missoula County attorney said he's "more or less" convinced that marijuana should be legalized in some form, despite being "much alarmed at what I consider to be rampant abuse of what I think was a well-intentioned initiative" - that being the 2004 statewide voter initiative that legalized medical marijuana in Montana. Deschamps also voted for that initiative.


"We've seen some downside in the medical marijuana thing, but I'm reasonably convinced that, over the years, I haven't seen very many criminals go out and commit horrible crimes under the influence of marijuana. Alcohol is 10 times the problem marijuana is, a hundred times."


Zeimet, a 53-year-old truck driver from Huson, also thinks marijuana ought to be legalized, and - like many other members of the Dec. 16 jury pool - objected to the expense of trying Teuray Cornell on a drug possession charge.


"It upset a lot of people," he said. "You're wasting the people's time and the city's time and money to do something silly and stupid like this."


*****


CONTINUE READING THRU THIS LINK


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Wednesday, December 29, 2010

DEA Position on Marijuana report (July 2010),


Tuesday, December 28, 2010





The DEA Listed Me #2!!!




The holidays have been very happy for me and everyone here at Quick Trading. Not only has Celeb Stoner listed Marijuana Grower's Handbook as the Best Cultivation Book of 2010, but I also recently received a copy of the DEA Position on Marijuana report (July 2010), and found that they named me second under Biggest Threats: The Legalization Lobby.

It reads:

"Ed Rosenthal, senior editor of High Times [they are a little out-of-the loop], a pro-drug magazine, once revealed the legalization strategy behind the "medical" marijuana movement. While addressing an effort to seek public sympathy fo glaucoma patients, he said, "I have to tell you that I also use marijuana medically. I have latent glaucoma which has never been diagnosed. The reason why it's never been diagnosed is because I have been treating it." He continued, "I have to be honest, there is another reason why I do use marijuana... and that is because I like to get high. Marijuana is fun." "


First, I would like to thank the DEA for their acknowledgement of my work. I appreciate my high ranking on your list, and while I am a supporter and respect the work of Marijuana Policy Project (MPP), what do I have to do to become #1?

Drug Czar Kerlikowske and the DEA have ignored my requests to put my tens of thousands of deputized volunteers to work. They are ready with their portable hazardous waste incinerators and thermal papers to destroy all of the marijuana produced in and coming across our borders.

So, this award to me is bittersweet. That's ok though, I prefer my chocolate that way too. Retweet this button on every post blogger




2 comments:







Eapen said...


The position paper from the DEA is available here:
http://www.justice.gov/dea/marijuana_position_july10.pdf

Yours Truly,
Eapen Thampy
Americans for Forfeiture Reform









Sunday, December 26, 2010

INTERIM LEGISLATIVE COMMITTEE'S PROPOSALS TO CHANGE MEDICAL MARIJUANA


MM4.jpg



Newshawk: Herb
Pubdate: Sat, 25 Dec 2010
Source: Missoulian (MT)
Copyright: 2010 Missoulian
Contact: oped@missoulian.com
Website: http://www.missoulian.com/
Details: http://www.mapinc.org/media/720
Author: Charles S. Johnson

INTERIM LEGISLATIVE COMMITTEE'S PROPOSALS TO CHANGE MEDICAL MARIJUANA
LAW WIDE-RANGING

HELENA - Here are the highlights of an interim legislative
committee's major proposal to revise the state's Medical Marijuana
Act and create a regulatory structure for the industry.

Rep. Diane Sands, D-Missoula, has introduced the bill on behalf of
the Children, Families, Health and Human Services Interim Committee
that she chaired. Here are its key provisions, according to a summary
by legislative researcher Sue O'Connell:

. Creates a state licensing and regulatory structure for medical
marijuana businesses.

The Revenue Department would be in charge of regulation, while the
Department of Public Health and Human Services would continue to
register patients qualified to use medical marijuana.

Parolees, probationers and individuals under youth court supervision
may not receive cards.

. Creates a tiered licensing system for people growing and selling
medical marijuana.

A provider would be an individual who grows or obtains medical
marijuana for registered cardholders and is limited to working with
five or fewer cardholders.

A medical marijuana dispensary may sell marijuana to more than five
cardholders.

A medical marijuana-infused products manufacturer may make products,
such as edible products or tinctures.

A medical marijuana grower may grow marijuana for a dispensary or
infused products manufacturer. This grower must also have a license
for one of those other businesses.

. Establishes requirements for people applying for a license to grow
and sell medical marijuana. Applicants must submit fingerprints for a
national criminal history background check. They may not have felony
convictions of any kind, nor be on probation or parole or be under
youth court supervision.

Applicants may not be licensed if they owe taxes, child support or
student loans.

Applicants must disclose the names of all people affiliated with the
business and those with financial interests in the business.

The bill would require regular monitoring of license holders.
Licensees must provide quarterly reports on sales, revenues and other
items. The Revenue Department may inspect the business premises and
audit its records.

. Gives local government the authority to regulate. A local
government may establish zoning regulations, business licensing
requirements and building codes and standards, but may not ban
medical marijuana within its boundaries.

. Establishes new requirement for physicians. It creates a definition
of standard of care and requires physicians to meet the standard when
providing a written certification for use of medical marijuana. They
must have an office in the state and not located where medical
marijuana is grown, stored or distributed.

It prohibits physicians from having any financial ties to a medical
marijuana business if they provide written certifications for medical
marijuana.

. Revises the existing law to clean up gray areas. It requires that
applicants for medical marijuana registry cards and business licenses
be Montana residents. A proof of residency would be required for
applicants using medical marijuana cards. There would be a two-year
residency requirement for people applying for licenses to grow or
sell the product.

Two physician certifications are necessary to get a card for chronic
pain. A person with cancer, glaucoma, HIV or AIDS may receive a card
when the symptoms of the condition are seriously affecting the
person's health status.

It increases from 1 ounce to 2 ounces the amount of usable marijuana
a person may possess, but caps purchases at 2 ounces per month. The
current law has no limits on the frequency of purchases.

It prohibits the smoking of medical marijuana in public.

It repeals the so-called "affirmative defense" that people could
raise in court, even if they weren't registered to use or grow
medical marijuana or had more than the allowable amount.

For News, Recipes, and Medical Info
Come visit us at http://www.letfreedomgrow.com




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Friday, December 17, 2010

Medical pot industry sets its sights on Capitol Hill

Medical pot industry sets its sights on Capitol Hill

By Rob Hotakainen
McClatchy Newspapers

WASHINGTON — The cannabis industry has flexed its muscles in 15 states where it's legal to smoke marijuana for medical purposes. Now the industry is ready to go to work in Washington.

A new trade group, called the National Cannabis Industry Association, is an attempt to bring together sellers, growers and manufacturers and to promote pot on Capitol Hill.

"Our intent is to be the go-to organization in Washington for this industry," said Aaron Smith, the group's executive director.

For the past five years, Smith worked as the California director of the Marijuana Policy Project.

"Coming out of California and expanding into this national field is pretty exciting," he said. "There's been a lot of enthusiasm.... It's pretty clear that the medical marijuana industry is becoming recognized more and more by the mainstream as a fully legitimate part of the economy."

Even though California voters last month rejected a ballot initiative to legalize marijuana for all adults, Smith said it was just a matter of time before the drug was fully legalized.

"Legalization is looking inevitable," he said. "It didn't happen in 2010, but it's likely to happen in 2012.... It's going to be relatively soon we're going to see states move from medical marijuana into broader legal markets. And the federal government needs to catch up. Frequently the American people are ahead of the Congress."

But Smith will have a hard time finding many

marijuana advocates in Congress.

On Wednesday, the House of Representatives voted 400-4 to back a resolution sponsored by California Republican Rep. Wally Herger that calls on authorities to get tougher with those who cultivate marijuana on federal land.

In a speech on the House floor, Herger said the presence of Mexican marijuana cartel operations in national forests in Northern California "poses a serious threat to our public safety and use of our public lands."

Democratic Rep. Steve Kagen of Wisconsin called medical marijuana "a misnomer," adding: "There is nothing safe about smoking. There is nothing safe about smoking an illicit product called marijuana."

Smith said the association officially formed this month, putting together a 23-member board that includes leaders in the cannabis industry, who represent dispensaries, operators, publications and insurance providers, among others.

The association's first target will be a federal law that prohibits marijuana use even if states have legalized it. The law has resulted in confusion amid overlapping jurisdictions, with state authorities enforcing state laws and federal officials enforcing federal laws.

But President Obama's administration has been easing up. Last year, Attorney General Eric Holder ordered federal prosecutors to back away from cases against medical marijuana patients and to focus on higher-level traffickers or money launderers.

"I'd like to see that codified by Congress, to become the law of the land, not just an executive order," Smith said. "This industry's biggest challenges are the obstacles presented by federal law, so that's why we're focusing on the change to federal law first and foremost."

With Republicans poised to take control of the House, Smith said: "I can't say that I'm super optimistic, but we'll definitely be pushing the message of federalism, which the Republicans should listen to. All we're really asking for is to allow the states to essentially make up their own minds on marijuana policy."

Smith noted that the issue of medical marijuana has bipartisan appeal: Republican candidates won a clean sweep in Arizona last month, but voters still approved the use of medical marijuana.

"This is not a left issue," he said. "This is a mainstream issue, and Republicans should embrace it."

Read more: http://www.kansas.com/2010/12/13/1631040/medical-pot-industry-sets-its.html#ixzz18P0oNofX

Move over, Big Pharma and Big Oil, Big Marijuana is here!

Move over, Big Pharma and Big Oil, Big Marijuana is here

Posted on December 12, 2010 by Beyond The Curtain

http://beyondthecurtain.files.wordpress.com/2010/12/legalizemarijuana.jpg?w=447&h=447

Daniel Tencer
The Raw Story

Legalization ‘looking inevitable,’ spokesman says

If there’s one group of people who get their way in Washington, it’s lobbyists.

Now, advocates of marijuana legalization may have a reason to cheer that political reality: They’re getting their own marijuana lobby group.

And just Big Pharma and Big Oil lobby for greater leeway for their businesses, so too will Big Marijuana push for their industry to be given the freedom to succeed.

Aaron Smith, executive director of the newly formed National Cannabis Industry Association, says that marijuana legalization is “looking inevitable.”

Smith told McClatchy news service: “It’s pretty clear that the medical marijuana industry is becoming recognized more and more by the mainstream as a fully legitimate part of the economy.”

Legalization “didn’t happen in 2010, but it’s likely to happen in 2012,” he added. “It’s going to be relatively soon we’re going to see states move from medical marijuana into broader legal markets. And the federal government needs to catch up. Frequently the American people are ahead of the Congress.”

The NCIA notes that 15 states have now legalized medical marijuana, providing the lobby group with a legal base from which to operate and collect funding. And just as Big Pharma and Big Oil frame their demands through the prism of American jobs, so too will the National Cannabis Industry Association argue that legalizing marijuana will put thousands of Americans to work.

“The ever-expanding list of state-sanctioned medical cannabis providers and ancillary businesses have easily become a multi-billion dollar industry in the United States, generating thousands of good jobs and paying tens – if not hundreds – of millions in taxes,” Smith said in a statement last month. “These businesses have clearly earned the right to strong representation on the national stage and recognition as a true force for economic growth.”

According to McClatchy, the lobby group’s first target will be a federal law that upholds marijuana prohibition in states that have legalized it. But the news service notes it could be an uphill battle: By a margin of 400 to 4, House representatives recently voted in favor of a resolution calling for tougher laws against those who grow pot on federal land.

And the US’s most high-profile political battle for marijuana legalization — California’s Proposition 19 — lost by a margin of 57 to 43 in last month’s vote. The defeat for pot activists came after US Attorney General Eric Holder said he would continue enforcing federal marijuana laws in the state regardless of how Californians voted.

Smith sounded an ambivalent note about his lobby group’s prospects in the coming Republican-dominated House, suggesting that framing the argument as a states’ rights issue — each state should decide its own pot policies — should appeal to federalist Republicans.

“I can’t say that I’m super optimistic, but we’ll definitely be pushing the message of federalism, which the Republicans should listen to,” he told McClatchy. “All we’re really asking for is to allow the states to essentially make up their own minds on marijuana policy.”

Cancer: There are natural cures and treatments available! December 16th, 2010

CANCER. It’s a word that scares the pants off of us, but it doesn’t have to. There are simple, effective and inexpensive natural treatments available that we can do ourselves in the comfort of our own homes; and with amazing results! Just because the medical establishment doesn’t recognize them doesn’t mean they don’t work. Remember, each cancer patient earns the pharmaceutical about 0,000. Do you think they want you to know about something natural that they can’t profit from? Here is an excerpt from the following web site: http://www.mnwelldir.org/docs/fraud/chemo.htm

“Most telling, according to Ralph Moss in his book Questioning Chemotherapy, is that in a good number of surveys, chemotherapists have responded that they would neither recommend chemotherapy for their families nor would they use it themselves. One of our advisors, Dr Dan Harper, reported to us about an unpublished cohort study in which it was revealed that only 9% of oncologists took chemotherapy for their cancers.

Let’s hear from a couple of physicians and doctors who have not yet succumb to the heavy hand of the cancer industry:

“…as a chemist trained to interpret data, it is incomprehensible to me that physicians can ignore the clear evidence that chemotherapy does much, much more harm than good.” – Alan C Nixon, PhD, former president of the American Chemical Society.

Walter Last, writing in The Ecologist, reported recently: “After analysing cancer survival statistics for several decades, Dr Hardin Jones, Professor at the University of California, concluded “…patients are as well, or better off untreated.” Jones’ disturbing assessment has never been refuted.

Professor Charles Mathe declared: “If I contracted cancer, I would never go to a standard cancer treatment centre. Cancer victims who live far from such centres have a chance.”

“Many medical oncologists recommend chemotherapy for virtually any tumor, with a hopefulness undiscouraged by almost invariable failure,” Albert Braverman MD 1991 Lancet 1991 337 p901 “Medical Oncology in the 90s.

“Most cancer patients in this country die of chemotherapy. Chemotherapy does not eliminate breast, colon, or lung cancers. This fact has been documented for over a decade, yet doctors still use chemotherapy for these tumors,”  Allen Levin, MD UCSF The Healing of Cancer.

“Despite widespread use of chemotherapies, breast cancer mortality has not changed in the last 70 years,” Thomas Dao, MD NEJM Mar 1975 292 p 707.

Additionally, Irwin Bross, a biostatistician for the National Cancer Institute, discovered that many cancers that are benign (though thought to be malignant) and will not metastasize until they are hit with chemotherapy. In other words, he’s found that many people who’ve been diagnosed with metastatic cancer did not have metastatic cancer until they got their chemotherapy.”

Pretty scary stuff! Anyway, let’s get on with the natural treatments I have found:

One of the most effective treatments is the grape juice cure
. It is said that the grape juice treatment can cure lung cancer in two weeks, prostate cancer in about a month, and is also effective against of leukemia (cancer of the blood).
Here is the simple and easy to do treatment:

Go to your local natural food or health food store and purchase a supply of natural, unprocessed dark concord grape juice. Begin with a 24 oz. bottle of this dark concord grape juice the first thing in the morning. Do not eat until Noon. Take a couple of swallows every 10 or 15 minutes; don’t drink it all at once! By noon you should have finished the 24 oz bottle.

After 12 o’clock, carry on with the rest of the day as you normally would, but do not eat anything after 8 o’clock in the evening. Food seems to carry away the curative agent in the grape juice, which may be magnesium, so stick to the fast between 8 P.M. and Noon the following day.

Keep this up every day for 2 weeks to one month.

Another natural therapy for cancer is vitamin B-17. Vitamin B-17 is found in most fruit seeds, with the highest concentration in apricot seeds. Its components make it vital for our survival without cancer. It is said that eating just seven of the soft, bitter inside of apricot seeds per day will nearly guarantee a cancer free life. You can also purchase B-17 supplements at your local heath food store. Use it in conjunction with lots of vitamin C!

And one of the most amazing of all is the hemp treatment. I don’t condone the use of hemp only because it is currently illegal, but many people have been cured of cancer by using this simple plant that anyone can grow in their back yard. Kinda makes one wonder why it is illegal…

Anyway, one of my heroes is a man named Rick Simpson, who is a fellow Canadian. He has been treating and curing people of cancer for years using hemp oil, and the recipe for making and using it is posted on his web site. I strongly recommend you visit his site here: http://www.phoenixtears.ca

One of the least expensive, popular and controversial treatments is the maple syrup and baking soda treatment. It is actually a natural form of chemotherapy without any harmful side effects, provided that you monitor your pH levels (read more below).

It is a known fact that cancer thrives in an acidic (pH) environment in the body, but cannot survive in an alkaline (pH) environment. Every cancer patient and every health care practitioner should know that oral intake of sodium bicarbonate offers an instant and strong shift of blood pH into the alkaline. The effect is so strong that athletes can notice the difference in their breathing almost immediately, as more oxygen is carried throughout the system and more acids are neutralized.

This treatment is a combination of pure, 100% maple syrup and simple baking soda. It is very important not to use baking soda which has had aluminum added to it (as many brands do). Try Bob’s Red Mill Aluminum-Free Baking Soda or other natural baking soda brands.

When mixed and heated together, the maple syrup and baking soda bind together. You see, cancer needs sugar to thrive and grow, and this treatment “tricks” the cancer cells into self-destructing. The maple syrup is gobbled up by cancer cells (which consume 15 times more glucose than normal cells), and the baking soda (which is very alkaline), is dragged into the cancer cell by the maple syrup and forces a rapid shift in pH, killing the cell.

Here is the simple treatment: Simply mix 3 parts organic maple syrup with 1 part aluminum-free baking soda (Red Mill Brand or similar). Stir on low heat (not over 120 degrees) for 10 minutes, and take 1 to 3 tsp per day for 1 to 2 months. Change your diet to a natural and whole food diet. Do NOT eat meat, and especially no sugar!! Use Stevia as a sweetener instead,and avoid aspartame at all costs! Also, do not consume any white flour or products containing white flour. Use whole grain, natural flour instead. (Do not use pancake syrup; this only works with pure, natural maple syrup!).

Important: If you are using this treatment, please make sure to check your body’s pH levels regularly using pH strips you can purchase at the drug store. The human body must maintain a pH level of 7.4 or else it can cause other serious problems. If you choose this method, please have a naturopathic doctor monitor your pH levels and overall health during treatment!

Let’s not lose site of the fact that cancer is big business for the pharmaceutical industry. They do not want you to know about the alternatives out there, and they will use scare tactics to discourage you from trying them.

Disclaimer: I am not a doctor and I have not had any medical training. I am just a person who has researched this topic a great deal and simply wish to share what I have learned with you. My hope is that it will give you the incentive to do some research yourself and then educate others about what you have learned. The only way we can truly be free is if we rely on ourselves to find the truth and not rely on others who have vested interests in presenting us with their version of the “truth”.

Please visit the website www.noguff.com for some amazing information and a list of links at the bottom of the page.

—————————————————————-
About the author:
Rick Ivanoff is a songwriter, publisher and recording artist with an avid interest in natural cures and alternative technologies.

Rick Ivanoff is a songwriter, publisher and recording artist with an avid interest in natural cures and alternative technologies. Visit his web sites:

http://www.rickivanoff.com

http://www.noguff.com

http://www.trytheseoffers.com

Medical marijuana: City of Mesa clears way for new ‘Mormon Trail’

by Pamela Powers on Dec. 11, 2010, under 2010 elections, Arizona, Drugs, medical marijuana, nanny state

Back in the early 1980s, I interviewed an old rancher who lived in Dragoon, Arizona for a feature story about rural Cochise County.

His 1800s stone ranch house was decorated with rustic furniture, a smattering of family heirlooms, and a large collection of old glass bottles. Being somewhat of an antique buff myself, I remarked at the variety of old bottles he had collected. As I photographed him, his house, and the bottle collection, I asked where he had gotten them all.

“This house is on the Mormon Trail,” he explained. “I found them all on my property.”

“The Mormon Trail?” I inquired– thinking it was a migration route like the Oregon Trail or Cornado’s Trail.

The grizzled old rancher chuckled, “The Mormon Trail is the route the Mormons took from St. David to the bars in Willcox. They didn’t want their family members or church elders in St. David to know they had been drinking in Willcox, so they dropped the evidence– the alcohol bottles– along the Mormon Trail as they rode their horses back home.”

I was reminded of the old rancher’s story this morning when I read Mesa seeks to seclude shops selling medical pot in today’s Arizona Daily Star.

In an attempt to legislate morality and control the temptation of the evil weed– even though it has been approved only for medical purposes– Mesa’s city council is considering highly restrictive zoning laws. Here is an excerpt from the Star (with emphasis added).

Mesa won’t let medical-marijuana shops open in most of its commercial districts, with city leaders saying they don’t want the substance sold near neighborhoods or in prominent locations.

Instead, the shops will be forced to industrial areas and just one kind of commercial use.
The city is taking a different approach from most other Arizona cities, which so far have been restricting the shops to commercial zones. The city staff had proposed that kind of regulation, but members of the City Council feared that would put the stores at the corner of major intersections.

The stores will be restricted from most areas in the city, as they must be at least a mile from each other, 2,400 feet from rehab facilities, 1,200 feet from churches and schools, and 500 feet from day-care facilities or preschools.

A map prepared by the city shows only slivers of land where the shops could open.

This is folly, and obviously another example of Arizona’s nanny state leanings. Once the Arizona Department of Health Services sets up the system for licensing dispensaries, caregivers, and medical providers, medical marijuana sales will begin in Arizona. It will be legal– even for Mesans– to purchase medical marijuana with a doctor’s recommendation.

The Mesa city fathers should learn a lesson from the Mormon Trail story. If people want or need drugs– legal or otherwise– they will find a way to obtain then, even if it means driving to an industrial district of their lily-white city or (heaven forbid) driving into Phoenix.

This entry was posted on Saturday, December 11th, 2010 at 10:38 am and is filed under 2010 elections, Arizona, Drugs, medical marijuana, nanny state. Tags for this post: Arizona, medical marijuana, Mesa, nanny state. You can follow any responses to this entry through the RSS 2.0 feed. You can leave a response, or trackback from your own site.

Wednesday, December 15, 2010

J.R. will discuss his LSD trips with you...

Addiction Inbox


MAPS Sponsors Psychedelic Confab

Posted: 01 Dec 2010 11:45 AM PST

And J.R. will discuss his LSD trips with you.
The Multidisciplinary Association of Psychedelic Studies (MAPS) has put together a roster of very big psychedelic guns, as well as a few surprises, for its mini-conference on December 12-13 in Los Angeles. On tap for the convocation are such luminaries as Stanislav Grof of Holotropic Breathwork fame; as well as Charles Grob, professor of Psychiatry and Pediatrics at the UCLA School of Medicine and a psychedelic research of long standing who recently studied the effects of psilocybin on death anxiety in terminal cancer patients.
“Catalysts: The Impact of Psychedelics from Consciousness to the Clinic, and from Culture to Creativity” will feature presentations and discussions on “psychedelic science, the current state of psychedelic research, and clinical applications for therapeutic use.”
Other experts among the scientists, physicians, psychologists, writers, and artists expected to attend include Rick Doblin, the founder of MAPS, who has specialized in research on MDMA (Ecstasy) as a treatment for posttraumatic stress disorder. Another scheduled attendee, James Fadiman, was introduced to the field of psychedelic drugs by his Harvard undergraduate advisor Richard Alpert, who later became well known as Baba Ram Dass. Fadiman holds the distinction of being the last LSD researcher to be shut down by the U.S. government, when he was at San Francisco State University in 1972.
Also in attendance will be Julie Holland, an assistant professor of psychiatry at NYU School of Medicine, and the author of “Ecstasy: A Complete Guide,” and Clare Wilkins, director of the Pangea Biomedics Ibogaine Clinic in Mexico.
Special Bonus Appearance:
I can’t imagine that anyone under the age of 55 is likely to know who Larry Hagman is. Long ago, he was on a camp TV show about a Texas oil bazillionaire with nasty habits. Not only was he a big TV star, he was also old enough to have been around when LSD psychotherapy came to the couches of Hollywood analysts for a brief period in the 1960s and attracted some other odd ducks like Cary Grant and James Coburn. Hagman, Star of TV’s “Dallas” and “I Dream of Jeannie,” will discuss his experiences with LSD psychotherapy.
Earlier, he talked about his experiences in a 2003 interview with Rick Doblin, published in the MAPS journal and excerpted below:
Before I tried LSD, I'd been going to a psychologist for a couple of years…. I had been addicted to tobacco and Bontril, a mild form of amphetamine, doctor-prescribed of course….
I was backstage at a performance one time with Crosby, Stills & Nash and I was talking about it to David Crosby. David said, well, shit, man, here. He handed me a handful of little pills. I said what the fuck? He says this is LSD. It was the best going around at that time. This was before Blue Cheer and Windowpane. This was the original Owsley. He gave me about 25 pills. I said, well, how much should I take? He says, well, don't take more than one….
… my first acid trip was the most illuminating experience of my life. I would highly recommend it for people who study and prepare for it and who are not neurotic or psychotic. I don't know what it would do to psychotic people. I know what it does to neurotic people who can't handle that. They get terrified and do crazy things like jumping out of windows and stuff like that. That's happened to a couple of friends of mine.
Graphics Credit: http://en.wikipedia.org/wiki/Larry_Hagman

World AIDS Day

Posted: 01 Dec 2010 03:09 AM PST

Testing, Testing.

Guest Post By Kevin Fenton, M.D., Ph.D., FFPH, Director, National Center for HIV/AIDS, Viral Hepatitis, STD, and TB Prevention, Centers for Disease Control and Prevention (CDC).

Every year on December 1, we commemorate World AIDS Day to bring attention to the tremendous impact of the HIV epidemic in the United States and around the world. In observance of World AIDS Day, today CDC launched a special report, CDC Vital Signs on HIV Testing in the United States, in recognition of the pivotal role that HIV testing plays in our national HIV prevention strategy.

Some highlights of the CDC Vital Signs report on HIV testing include:

    •    In 2009, an estimated 82.9 million Americans ages 18-64—45% of this age group—reported they had been tested for HIV.

    •    At least 1 in 3 Americans who test positive for HIV is tested too late in his or her infection to get the full advantage of life-saving treatment.

    •    Gay, bisexual, or other men who have sex with men have the highest rates of HIV, but a 2008 study conducted in 21 major US cities, found that about 40% had not been tested in the past year.

    •   African Americans made up more than half of HIV diagnoses in 2008, but 2 in 5 African Americans have never been tested.

CDC recommended in 2006 that HIV testing become a routine part of medical care, including testing of all adolescents and adults at least once, testing at least annually for persons at increased risk, and testing of women during each pregnancy. Since that time, HIV testing has increased, and more people are being tested for HIV than ever before. However, many challenges remain: 55% of Americans ages 18 to 64 still have never been tested, according to CDC Vital Signs. And of the estimated 1.1 million people living with HIV in the United States, 1 in 5 do not know they are infected.

More needs to be done. HIV testing is vitally important because it can save lives. For anyone who is infected, it is important to know his or her HIV status in order to access effective life-extending treatment, avoid HIV transmission to partners, and have a better quality of life.

Treatment for HIV is most effective before symptoms develop. It can do much to slow the infection that leads to AIDS and death. Without treatment a person infected with HIV will develop AIDS in about 10 years. With early treatment a 25-year-old adult can survive on average 39 more years.
According to the Vital Signs report, nearly one-third (32%) of the people found with HIV in 2007 were diagnosed late. This means that they likely had HIV for a long time without knowing it because they developed AIDS soon (less than one year) after their HIV test.

Health care providers play a critical role in stopping the spread of HIV as most HIV testing is conducted in health care settings. It is important that patients listen to their doctors and it is important that doctors and other health care providers speak openly and honestly with patients about HIV, and offer routine testing per CDC recommendations.

CDC also plays a critical role. We are committed to strengthening our efforts against the epidemic and working with partners to increase HIV testing. CDC continues to expand its efforts in areas where the burden of disease is greatest. We recently announced an expansion of a successful HIV testing initiative to reach more hard-hit populations, including African Americans, Latinos, men who have sex with men and injection drug users. In 2010, CDC provided more than $60 million to support HIV testing efforts in 30 of the hardest hit jurisdictions in the United States.

In addition, CDC provides funds to all health departments and more than 130 community-based organizations to implement HIV prevention programs, including HIV testing. We are also working to get messages out about testing through the Act Against AIDS  campaign. Of critical importance, the National HIV/AIDS Strategy, recently released by the White House, provides a new opportunity to refocus and intensify federal, state, and local HIV testing efforts.

Now more than ever, effective HIV prevention is a critical public health priority for the U.S. and the world, and HIV testing to identify those infected is a vital component of that effort. Working together, we can increase HIV testing. Everyone needs to know how important HIV testing is – it is a simple measure that can literally save the health and lives of hundreds of thousands of Americans and help to bring an end to this tragic epidemic.

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SchapelleGate: A Christmas Message For Schapelle

SchapelleGate: A Christmas Message For Schapelle: "As Schapelle faces up to her SEVENTH Christmas suffering in a squalid Indonesian prison cell, we are creating something to try to lift her ..."

Friday, December 3, 2010

N.Y.C. Misdemeanor Defendants Lack Bail Money

By MOSI SECRET
Published: December 2, 2010

Thousands of people arrested on low-level crimes in New York City spend days languishing in jail, not because they have been found guilty but because they are too poor to post bail, according to a report to be released on Friday.

 

The report, which examines the bail conditions for people charged with nonfelonies like smoking marijuana in public, jumping a subway turnstile or shoplifting, found that the overwhelming majority of defendants in cases in which bail was set at $1,000 or less were unable to pay and were sent to jail, where they remained, on average, for more than two weeks.

The report comes as the number of arrests for low-level misdemeanors, often referred to as quality-of-life crimes, is rising.

Human Rights Watch, an advocacy group that most often focuses on abuses abroad, obtained data on nonfelony defendants arrested in the city in 2008. In more than three-quarters of the 117,064 cases, defendants were released on their own recognizance.

In 19,137 cases from that year, bail was set at $1,000 or less. The report found that 87 percent of the defendants in those cases did not post bail and went to jail to await trial. They remained for an average of 15.7 days.

“Here we are locking people up for want of a couple of hundred dollars,” said Jamie Fellner, senior counsel with the domestic program of the advocacy group.

“Pretrial liberty should not be conditioned on the size of your bank account,” Ms. Fellner said.

The report raised the possibility that many of the poorer defendants pleaded guilty at arraignment for sentences with no jail time, simply to avoid being behind bars while awaiting trial.

“The client is placed with a choice of staying out of jail and being on Rikers Island and fighting their case,” said Robin Steinberg, the director of the Bronx Defenders, a nonprofit group that provides legal representation to Bronx residents charged with crimes. “Almost anybody would plead guilty. It creates a pressure on poor people in the criminal justice system for them to plead guilty without regard to whether they were guilty or not guilty.”

Arraignments in New York are a speedy affair, with prosecutors, defense lawyers, other advocates and judges working to ensure that defendants get their day in court — or just a few moments, really — within 24 hours of arrest, as state law requires.

Someone from the New York City Criminal Justice Agency, a nonprofit organization, interviews those arrested in the booking cells, gathering criminal histories and basic biographical and employment history to present to the prosecutor, defense lawyer and judge. The prosecutor requests a bail amount, and the judge makes a determination.

Some of those involved in the process take issue with the findings of the report.

Jerome E. McElroy, the executive director of the Criminal Justice Agency, which provided some of the data for the report, said there were complicating factors that the study had not taken into account.

“In many instances,” Mr. McElroy said, “there may be another open case, and that may be why the person is not released on their own recognizance.”

He also said that gathering information about a defendant’s financial situation in a five-minute jail interview was a tall order.

“It is not really possible for us to get reliable information on a person’s financial condition before the arraignment,” Mr. McElroy said. “At the present time, we don’t do that. If we did, by virtue of simply asking the defendant, and the court wanted some further verification of the reliability of the answer given by the defendant, I don’t know how we could do that.”

Melissa C. Jackson, the supervising judge for Manhattan in New York City Criminal Court, said state law already required that judges take into account a defendant’s financial situation when determining bail, and she disagreed with the assertion that judges would set high bail as a form of pretrial sentencing.

“It’s really counterintuitive because those judges are going to be handling the cases all the way through,” she said. “Why would they want a heavier caseload? That to me is a purely political take on what is really a complicated judicial decision.”

Judge Jackson said the main reason judges set high bails was that in the past, defendants had failed to appear in court.

Prosecutors also disputed the contention that they requested high bail amounts to pressure destitute defendants into pleading guilty.

“Pressure to get a defendant to plea is not a factor in setting bail in Staten Island,” said Daniel M. Donovan, that county’s district attorney.

“We have an assistant prosecutor who in about 30 seconds has to come up with a dollar figure that that young person believes is adequate,” Mr. Donovan said.

“We don’t get to interview the defendant; we have to make a determination without substantiating any of the information before us,” he said.

The district attorney of Brooklyn, Charles J. Hynes, said the report dealt with an important issue.

“My office is committed to request bail only when it will ensure a defendant’s return to court to face criminal charges, and never solely on the basis of the defendant’s inability to pay,” he said in a statement.

A version of this article appeared in print on December 3, 2010, on page A27 of the New York edition.