Egypt’s public prosecutor ordered deposed President Mohammed Mursi and 34 other Islamists to stand trial on charges including conspiring with foreign organizations to commit terrorist acts in Egypt and divulging military secrets to a foreign state.
In a statement, the prosecutor said that Mursi’s Muslim Brotherhood had committed acts of violence and terrorism in Egypt and prepared a “terrorist plan.”
The charge sheet called it “the biggest case of conspiracy in the history of Egypt”. It accused the Brotherhood of carrying out attacks on security forces in North Sinai after he was deposed on July 3.
It said the Brotherhood had hatched a plan dating back to 2005 that would send “elements” to the Gaza Strip for military training.
The trial appears to stem from an investigation into prison breaks during a 2011 uprising against strongman Hosni Mubarak, when Mursi and other Islamist prisoners escaped.
Prosecutors have alleged the jailbreaks were carried out by Palestinian and Lebanese groups, who had members imprisoned under Mubarak.
Mursi is already standing trial for inciting violence during protests outside the presidential palace a year ago when he was still in office. He was ousted in July by the army following mass protests against his rule.
The Egyptian authorities have launched a fierce crackdown on the Muslim Brotherhood since Mursi was removed from power, killing hundreds of his supporters during protests and arresting thousands more.
(Reuters, AFP, Al-Akhbar)
December 18, 2013
Posted by aletho |
Aletho News | Egypt, Mohamed Morsi, Muslim Brotherhood |
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BETHLEHEM – Israeli forces vacated the Bethlehem village of Arab al-Rashayida on Tuesday after conducting military drills in the area for several hours, locals said.
Fawaz al-Rashayida, head of the local village council, told Ma’an that 5,000 heavily armed Israeli soldiers arrived in the village at dawn on Tuesday.
Locals are used to Israeli forces performing drills on the outskirts of Arab al-Rashayida, but this is the first time they have raided homes and local institutions in the village, Fawaz al-Rashayida said.
The drills, which took place in between residential homes, caused damage to the village’s water grid, he added.
Israeli forces also issued demolition orders for six properties belonging to Ali Awda Mohammad Rashayid.
The population of Arab al-Rashayida is around 2,000 and the majority of residents live in cement houses, while others live in tents and dwellings made of steel and tin.
On Monday afternoon, Israeli forces deployed in a nature reserve east of Arab al-Rashayida known locally as al-Muteirda, displacing nearby families and declaring it a “closed military zone.”
During military drills, Israeli forces can enter Palestinian homes and involve Palestinian civilians in their operations without warning them that the raids are mere practice.
In November, Israeli human rights group Yesh Din said Israeli troops had been using a Muslim cemetery in Hebron as a location for military drills and practice.
Approximately 18 percent of the West Bank has been designated as a closed military zone for training, or “firing zone,” which is roughly the same amount of the West Bank under full Palestinian Authority control.
Over 5,000 Palestinians reside in the firing zones in 38 communities.
December 18, 2013
Posted by aletho |
Civil Liberties, Illegal Occupation, Militarism | Bethlehem, Human rights, Israel, Ma'an, Palestine, West Bank, Zionism |
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When Israel was established, its founders made sure to emphasize, in its Declaration of Independence, the universal values of Jewish tradition: “The State of Israel […] will promote the development of the country for the benefit of all its inhabitants; will be based on the precepts of liberty, justice and peace as envisaged by the prophets of Israel; will uphold the full social and political equality of all its citizens, without distinction of race, creed or sex; will guarantee full freedom of conscience, worship, education and culture; will safeguard the sanctity and inviolability of the shrines and Holy Places of all religions; and will dedicate itself to the principles of the Charter of the United Nations.” Later on, the Knesset voted to adopt the Universal Declaration of Human Rights. Furthermore, Israel is in the habit of calling itself “the only democracy in the Middle East”, and since its earliest days, its leaders were partial to the term “a light unto the nations.” As we mark Human Rights Day, we should examine whether Israel stands by the high rhetoric of its founders, and whether it fulfills the Declaration of Human Rights.
As every person living in Israel knows, assuming their eyes are open and their hearts are not blocked, Israel and the Universal Declaration of Human Rights have a rocky relationship. In the beginning of 2010, Gideon Sa’ar’s Ministry of Education decided to stop teaching the Declaration at schools (Hebrew), since it informs tender children of their right to convert to another religion and even, heaven forbid, live somewhere other than Israel. However, this is just a minor problem; reading the text of the Declaration shows that the Israeli occupation of the Palestinian territories violates 15 of its articles. Given that there are only 30 of them, that’s quite impressive.
Let us begin. The first violation comes with the first operative article of the Declaration, Article 2. It states, “Everyone is entitled to all the rights and freedoms set forth in this Declaration, without distinction of any kind, such as race, colour, sex, language, religion, political or other opinion, national or social origin, property, birth or other status. Furthermore, no distinction shall be made on the basis of the political, jurisdictional or international status of the country or territory to which a person belongs, whether it be independent, trust, non-self-governing or under any other limitation of sovereignty.” Only, as everyone knows, after “no distinction shall be made”, the text is irrelevant in the territories occupied by Israel. Article 2 is sort of an umbrella article; the following ones will note specific violations.
Article 3 of the Declaration states, “Everyone has the right to life, liberty and security of person.” Except that those living under Israeli rule in the West Bank are entitled to none of the above. The indictment rate for Israeli soldiers who have killed Palestinian non-combatants is negligible. Since 2000, only seven soldiers were put on trial and convicted for crimes involving the death of Palestinians; the number of Palestinian deaths since 2000 is estimated at over 5,000. IDF soldiers need no warrant to break into Palestinian homes; they are authorized to arrest them without any explanation, and from time to time enforce curfews on Palestinian towns and villages.
Next. Article 5 of the Declaration states, “No one shall be subjected to torture or to cruel, inhuman or degrading treatment or punishment.” Anyone familiar with the way our security services operate, or with the fact that, on many occasions, IDF soldiers beat up Palestinian detainees, knows that this article is often violated. Furthermore, it’s hard to see the standard procedure of blindfolding prisoners as anything but “degrading treatment.”
The fourth violation of the Declaration comes with Article 7: “All are equal before the law and are entitled without any discrimination to equal protection of the law.” Except, the whole essence of the occupation is creating two populations in the same region, with two different sets of rights and two different legal systems. Discrimination manifests itself not just in the laws themselves, but also through unequal enforcement. To put it mildly, the Jewish victim of a crime in the OPT is significantly more likely to see justice served than would a Palestinian living in a neighboring village. .
The fifth violation also comes from the legal world: “No one shall be subjected to arbitrary arrest, detention or exile,” declares Article 7. Except for the fact that the occupation forces maintain the right to hold a person in administrative detention, that is, held without charges and deprived of the right to defend himself in court. It’s hard to imagine a more “arbitrary arrest or detention” than that. Furthermore, from time to time Israel exiles Palestinians – in the last few years mostly from the West Bank to the Gaza Strip, but it used to exile them to Lebanon and other countries, not to mention the internal displacement looming over South Hebron residents.
Article 10 of the Declaration states that “Everyone is entitled in full equality to a fair and public hearing by an independent and impartial tribunal.” But it’s doubtful whether you can call our military courts “an independent and impartial tribunal” with a straight face. Their conviction rate is 99.7%. The British courts in India used to take pride in the large number of Indians who served there as judges; in Israel’s military courts, Palestinians naturally have nary a chance of being sentenced by a Palestinian. Israel once recruited police officers from among the occupied population, but it never imagined allowing them to sit in judgment. Israel’s military courts are a foreman’s court, conducted in the foreman’s language.
As far as the military courts are concerned, Article 11 of the Declaration is also troublesome: it says that, “Everyone charged with a penal offence has the right to be presumed innocent until proved guilty according to law in a public trial at which he has had all the guarantees necessary for his defence.” My emphasis. The military courts of Israel are notorious for allowing “secret evidence” presented to the judges by the prosecution, the content of which the defendant has no knowledge, nor is able to contradict. This means that the conviction of a defendant relies, at least in large part, on evidence that he has not had the opportunity to refute, and whose absurdities or lies he cannot expose. Such “secret evidence”, fabricated to the gills, was the crux of the Dreyfus Affair. The French court, when exonerating Captain Dreyfus, ruled that the admission of “secret evidence” is incompatible with the right of a person to a legal defense. Dreyfus would, in time, be decorated by the thankful Republic with its highest decoration, the Légion d’honneur, because “by defending his own honor, he defended the nation’s ” and prevented it from jailing an innocent man. It’s been almost 120 years since Dreyfus’ infamous court-martial, and the Israeli military courts are yet to absorb this simple lesson.
Article 12 states, “No one shall be subjected to arbitrary interference with his privacy, family, home or correspondence, nor to attacks upon his honour and reputation.” As noted above, Palestinians have no defense against arbitrary search of their homes. In fact, their houses sometimes serve as military training sites.
Onwards! Article 13 declares, “Everyone has the right to freedom of movement and residence within the borders of each state. Everyone has the right to leave any country, including his own, and to return to his country.” However, Israel enforces a rigid “permit regime” in the West Bank and the Gaza Strip, and it operates checkpoints which cut the West Bank into fragments. Our colleagues at Gisha can tell you more about just how fastidious Israel is about the right of Palestinians to move from the West Bank to the Gaza Strip and vice versa. Some Palestinians are even barred from travel outside the West Bank at all. And of course, residents of East Jerusalem, which though Israel may have forgotten, is part of what the world views as occupied territory and is contiguous with the West Bank, risk losing their ability to return to their homes should they leave for a few years – say, for familial, economic or educational reasons – even if they only leave to the West Bank.
Article 15 declares plainly that “Everyone has the right to a nationality.” We shan’t belabor that point. Article 17 also seems to be so simple as to be self-evident: “No one shall be arbitrarily deprived of his property.” It is, however, anything but. Ask the villagers whose land is slowly being devoured by illegal outposts; ask the residents of Dura al-Qara, whose land was confiscated in what the State now stammers is a “frozen military need”, and left unused.
While Article 19 states that “Everyone has the right to freedom of opinion and expression; this right includes freedom to hold opinions without interference and to seek, receive and impart information and ideas through any media and regardless of frontiers,” Israel has employed brutal censorship for years towards the occupied people/ The IDF responds harshly to protests across the West Bank, resulting in many of Yesh Din’s complaints of unwarranted injuries, and it still detains people from time to time for “holding inciting material.” The military orders in force in the West Bank effectively make every demonstration an illegal one. For this reason, Article 20 of the Declaration – ” Everyone has the right to freedom of peaceful assembly and association” – is dead letter in the West Bank.
Article 21 declares that “Everyone has the right to take part in the government of his country, directly or through freely chosen representatives. The will of the people shall be the basis of the authority of government.” Palestinians living in Areas B and C are effectively subjects of the Israeli government, which they never elected and which they have no way of electing or being elected to. Also, given that Israel forbids Hamas to participate in the Palestinian elections, which grant limited powers to a Palestinian government, and given that it maintains the right to detain Palestinian politicians as it sees fit, one can hardly speak of “the will of the people.”
But perhaps the most painful violation is that which should be most obvious: “Motherhood and childhood are entitled to special care and assistance. All children, whether born in or out of wedlock, shall enjoy the same social protection,” says Article 25. Anyone who has seen detained children, quite a few of them under the age of discretion; anyone who has compared the special rights given to accused minors in the Israeli system with the almost dearth of comparable rights granted to Palestinian minors in the military courts; and anyone who has observed our brave troops raiding a house at night, handcuffing a child and blindfolding him; and anyone who understands the psychological damage to children witnessing their parents brutally arrested at gunpoint at night in their beds knows just how the most obvious is anything but that in the territories under Israeli occupation.
Yet these many violations, we should remind you, are not a force of nature, do not stand of their own power; they are no ancient, unbreakable law; they are man-made, they are an act we fund, carried out by those we empower to act and whose actions we approve – admittedly, mostly by averting our eyes. But we can mend this; and we shall.
We shall overcome.
December 17, 2013
Posted by aletho |
Civil Liberties, Ethnic Cleansing, Racism, Zionism, Subjugation - Torture, Timeless or most popular | Gaza, Human rights, Israel, Palestine, Universal Declaration of Human Rights, West Bank, Zionism |
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Ecuadorean president Rafael Correa (photo by Miguel Ángel Romero/Ecuadorean presidency)
The Ecuadorian government released a statement on Monday announcing that the country would no longer be collaborating with USAID, a US agency for International development.
The Ministry for International Development (SETECI) released a statement explaining the decision to cut ties with USAID. “The last bilateral cooperation programme between Ecuador and the US was signed in 2007 and the projects resulting from this collaboration are now finishing. Given that we have not negotiated a new a agreement, SETECI has informed USAID that they cannot carry out any new projects, nor extend the deadlines of projects currently underway.” The statement added that cooperation would remain suspended “until our governments negotiate and sign a new bilateral cooperation agreement”.
According to the SETECI, since 2007, USAID had invested a yearly average of US$32mn in initiatives in Ecuador, the majority of which were implemented by local and international NGOs.
The United States ambassador in Quito also released a statement on the matter, indicating that over the last two years the two countries had unsuccessfully tried to negotiate “an agreement which would allow USAID’s work in Ecuador to continue”. The statement went on to say that due to the “indefinite freeze on USAID activities” implemented by the Ecuadorian government, the organisation would have to cancel four projects which looked to protect the environment and strengthen civil society, and which were currently underway.
In June 2012, Ecuadorian President Rafael Correa had threatened to expel USAID from Ecuador after accusing the organisation of giving financial support to opposition groups and getting involved in the country’s internal politics. At the time he said that other countries in the region were also considering ending relations with USAID.
In May 2013, Bolivian President Evo Morales expelled USAID from Bolivia, stating that the agency was conspiring against his government.
December 17, 2013
Posted by aletho |
Corruption | Bolivia, Ecuador, Evo Morales, Latin America, Politics of Ecuador, Rafael Correa, United States, United States Agency for International Development |
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Last Friday, after 13 months and 400 witness testimonies, the mega-lawsuit in Federal Court of Tucumán found 37 of 41 defendants guilty of crimes against humanity during the 1976-83 dictatorship in Argentina. In the historic trial, known as Jefatura II-Arsenales II, four civilians were among the accused: two were pardoned and two were convicted for their involvement in the dictatorship.
María Elena Guerra, a civilian and ex-police officer, and Guillermo Francisco Lopez Guerrero, a civil intelligence agent, joined a select few civilians who have been found guilty of crimes committed during the brutal seven-year military regime, in which some 30,000 people were kidnapped and killed or ‘disappeared’.
Since the trials were reopened in 2003, hundreds of members of the military have been sentenced to prison for crimes committed during the dictatorship. However, it was only in December last year that James Smart, a former government minister of the Province of Buenos Aires, became the first civilian to be convicted of crimes against humanity committed during the dictatorship. He was sentenced to life in prison for crimes committed in six clandesine detention centres.
These landmark rulings demonstrate how, after 30 years of democratic rule, the way Argentines, politicians, and the legal system examine crimes from this period has evolved, with the focus turning more recently to the role of businesses and civilians in the human rights atrocities of that period.
Human rights groups have long used the term ‘civic-military dictatorship’ to acknowledge the complicity and support of some civilian sectors. But the title has become increasingly common in recent years under the Cristina Fernández de Kirchner administration, opening the door for a number of emblematic trials investigating the role of these civilians, with the aim of bringing the impunity of the powerful to an end.
Causes of the Coup: A New Economic Model
Human rights groups argue that economic motives were behind the 24th March 1976 coup, saying it can no longer be argued that the objective was only to combat “subversion”. They believe so-called “captains of industry” collaborated with military leaders to perpetrate crimes against humanity for economic gain.
Last week, Banco de la Nación Argentina officially recognised Roberto Hugo Barrera as the 31st employee still missing – disappeared – after being kidnapped during the dictatorship. The institution has been an important player in the drive to highlight the economic motives behind the so-called ‘National Reorganisation Process’ implemented by the military junta.
Graciela Navarro, President of the Commission of the Banco de la Nación Personnel for Memory, Truth and Justice told The Argentina Independent that when identifying what occurred in 1976, it is first important to understand that there was no “war.”
“There were operations of some armed groups, but these were isolated. There was never a war here. It was always state terrorism,” she said, alluding to the still oft-used term ‘Dirty War’ by foreign press.
According to Navarro, certain civilian sectors used the military to implement a neo-liberal economic model. “It was necessary to implement an economic model of exclusion to benefit economic groups that utilised the Armed Forces as a instrument of social discipline – for repression, for fear, to deal with any resistance movement.
“The true causes of the coup were economic, because of this we say civic-military dictatorship,” she added.
Marta Santos, a former Central Bank employee and friend of one of the five known desaparecidos (missing) who worked at the institution, echoes this view.
“This dictatorship, this military force, needed the support of civilians in key parts of the state and in the private economy… In this sense we say that dictatorship was civic-military because it pursued neo-liberal economic interests of private [business] and the state,” says Santos, who today is part of a team working with the Central Bank to investigate if there are more unknown desaparecidos who worked there.
Civilians in Government
Santos says it is important to denounce civilian collusion with the military junta in the defence of democracy, to ensure these institutions can never again prop up a dictatorship. She names José Alfredo Martínez de Hoz as the prime example of civilian involvement.
Former president of the steel company Acindar – which operated one of the country’s first clandestine torture and detention centres on its premises in 1975 – Martínez de Hoz was economy minister from 1976 to 1981, in charge of ushering in a new economic paradigm based on the principles of neo-liberalism. During this period, it was common for businessmen close to the economy minister to assume key government roles, helping to fuse civil society to the military junta. His policies sowed the seeds for financial collapse, providing a brief period of prosperity but leading to a deep recession in 1981 and saddling the nation with a burdensome external debt that would cause problems long after the return to democracy.

José Martínez de Hoz – 1976
Martínez de Hoz was under house arrest when he died in March this year, being investigated for his alleged role in the kidnap of father and son, Federico and Miguel Gutheim. The family owned the cotton export company Sadeco, and were allegedly coerced into making business deals that favoured the dictatorship.
He was also linked to the kidnap of René Carlos Alberto Grassi, director de Industrias Siderúrgicas Grassi (a rival company of Acindar) and president of the Bank of Hurlingham, in September 1978. Grassi was held in Campo de Mayo for a year after his abduction, and eventually Industrias Siderúrgicas Grassi was absorbed by Acindar. One month before the abduction, Martínez de Hoz had asked to buy the Bank of Hurlingham and was declined.
From the early days of the dictatorship there was a strong repression of workers, but the kidnap of Grassi was significant; he did not pose a threat as an opposition force to the regime, his value was economic.
Martínez de Hoz was pardoned by Menem in 1990, though this was annulled 16 years later when the Gutheim case was reopened. Up until his death, he denied any involvement in the kidnappings and was a remorseless defender of the dictatorship-era economic policies.
The investigation of Martínez de Hoz is an early example of a civilian investigated for abuses committed during the reign of the military junta. In recent years, many more legal battles concerning civilian’s roles in the dictatorship have come to the surface.
Thirty Years of Reconstruction
Horacio Verbitsky, president of CELS and co-author of the 2013 book ‘Cuentas pendientes: los cómplices económicos de la dictadura’, which examines the links between economic powers and state repression, argues the economic influence of civilians who were complicit in the dictatorship continued throughout the first two decades of democracy. Verbitsky argues that economic powers could have endangered the stability of democracy, which limited the possibility of pursuing justice for their responsibility during the dictatorship.
Argentina’s first president after the return of democracy, Raúl Alfonsín, had the complex task of addressing human rights abuses in the face of a weak economy and massive external debt, which had ballooned from US$7.87bn in 1975 to US$43bn in 1982.
“It is not easy to build democracy in a setting where political culture and civic habits have been degraded by authoritarianism. Nor is it easy to build democracy in the midst of a deep economic crisis exacerbated by the need to repay a huge foreign debt that the old dictatorial regime had contracted and irresponsibly misspent,” Alfonsín said in 1992, after his term had ended prematurely in 1989.

Videla and other military chiefs are found guilty of crimes against humanity in 1985.
The neo-liberal economic paradigm that dominated the nineties – a time that corresponded with the amnesty offered to those responsible in the dictatorship – deepened the economic model launched in 1976, taking it to the economic and political crisis of 2001.
Graciela Navarro believes that since Nestor Kirchner took office in 2003 there have been two distinct periods relating to the last civic-military dictatorship, the first being the recovery of the memory of those who had been tortured or disappeared, and the end of impunity for military leaders. “When Cristina was elected,” Navarro believes, “it was possible to begin to examine the true causes of the coup, which were economic, and charge those who are responsible.
“The military has been judged,” adds Navarro, “but many civilians, if not them then their children, are owners of the large economic groups… this is difficult. These are the interests that Cristina is dealing with.”
Pending Cases
After years of impunity, Argentina’s legal system has begun to investigate the role of officials, powerful businessmen, and mulitnationals who may have collaborated with the military in state terrorism. According to the Centre for Legal and Social Studies (CELS), as of September 2013 there were a total of 261 civilians accused of involvement in the human rights abuses of the era.
Several high profile and emblematic cases involving civilians, and their business interests, are currently making their way through the legal system.
Papel Prensa: On 2nd November, 1976, three newspapers – Clarín, La Nación, and La Razón – obtained the majority shares in Papel Prensa, the company which produces newsprint for the industry, soon after owner, businessman and banker David Graiver, died in a plane crash in Mexico in August 1976. Graiver’s widow, Lidia Papaleo testified in 2010 that at that time she was stripped of the factory after receiving death threats against her and her young daughter. In March 1977, Papaleo was abducted and tortured until she was released on July 24, 1982.
The case concerning the sale of Papel Prensa was opened in August 2010 after President Fernández presented a report in the Casa Rosada titled “Papel Prensa: The Truth” denouncing the “illegal appropriation” of the business. Most recently, the case has been in the headlines after the discovery of official minutes from the dictatorship that mention Papel Prensa 13 times between September 1976 and November 1977.
According to Defence Minister Agustín Rossi, the minutes make it “clear that for the Junta, Papel Prensa was a part of the same theme as the detention of [ex-owners] the Graiver family… this appears clearly in the minutes.” Copies of the documents are now in the hands of Federal Judge Julián Ercolini, who has jurisdiction over the case.
Ledesma: Also working its way through the legal system is a case involving president of sugar company Ledesma, one of Argentina’s most powerful businesses, for his involvement in kidnappings during the ‘blackout night’, when over 400 people were kidnapped in the province of Jujuy following an electricity outage on 20th July, 1976.
President of Ledesma Carlos Blaquier and former general manager Alberto Lemos are accused of providing the vehicles that were used for transporting the victims. This month, the Federal Court of Salta confirmed that there is sufficient evidence that the company Ledesma collaborated in the kidnapping of their workers to dismantle the labour union. As a result, Blaquier and Lemos will be put on trial, which is set to begin in April 2014. The court upheld that Blaquier will be prosecuted as a “necessary participant” in twenty cases of illegal deprivation of liberty and Lemos is accused of being a “secondary participant” to the kidnappings.
Ford: During the dictatorship, the Ford Falcon became known as a vehicle commonly used by kidnappers. But the company is also accused of more direct involvement in the human rights abuses of the time.
In May, charges were laid against three ex-directors of Ford Motors Argentina for their role in the disappearance of 24 workers from the plant. Former plant manager Pedro Müller, ex-leader of labour relations Guillermo Galarraga, and ex-security chief Héctor Sibilla are accused of having given to military commanders in the area “personal data, photographs, and addresses” of workers at the factory between 24th March and 20th August, 1976.
The three men are also accused of having allowed the military to use the factory as a detention centre where they carried out the interrogation of the workers. According to Judge Alicia Vence, the workers were “tied up with their faces covered and beaten.”
Although 24 workers survived the kidnapping and torture, only twelve are still alive today. The formal legal process began in 2001 but the first reports of the events date back to 1984.
Mercedes Benz: The families of 17 workers from the Mercedes Benz plant who were kidnapped and tortured have bought a civil case against the parent company of the car maker, Daimler Chrysler, in the US. Mercedes-Benz Argentina is alleged to have identified workers who were kidnapped and sent to the clandestine torture centre, Campo de Mayo, during the dictatorship.
The investigation began in 2004 and has been rejected by US courts on previous occasions, with the US Supreme Court currently determining if the case falls under its jurisdiction. A decision is expected in the coming months on whether multinational corporations can be sued in US courts for alleged human rights abuses abroad.
In Argentina, the lawsuit for kidnapping and torture of the 17 workers, 14 of whom are still missing, was initiated by journalist Gabriela Weber in 2002 and in 2006 was transferred to Federal Court in San Martín under the charge of Judge Alicia Vence. So far no one has been formally charged or arrested.
The car maker is also accused of the appropriation of three children, and the adoption and substitution of identity of Paula Logares, the first grandchildren reclaimed by the Abuelas de Plaza de Mayo in 1987.
December 17, 2013
Posted by aletho |
Corruption, Deception, Subjugation - Torture, Timeless or most popular | Argentina, Cristina Fernández de Kirchner, Dirty War, José Alfredo Martínez de Hoz, Latin America, Raúl Alfonsín |
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Privacy International, which has done a very thorough job digging into the backgrounds of the many private companies involved in the surveillance “industry” around the world, has just released a promotional document from the American-Israeli Verint, a security company that provides NSA-level cell phone surveillance power to entities around the world.
[A] scaled down version of this system is also being sold by private surveillance contractors to the highest bidder. The company behind it? Israeli-American company Verint. Their Skylock technology claims to have the ability to “Remotely locate GSM and UMTS targets located anywhere in the world at cell level precision”.
The brochure Privacy Int’l obtained doesn’t go into detail as to how it achieves this, but what is shown is both impressive and disturbing.
From a brochure collected this year we have discovered one of the newest additions to Verint’s product line: mobile phone tracking on an international scale. Previously, mobile phone tracking required presence in the particular areas of interest, focusing on the tracking of phones through monitoring Base Stations (Cell Towers) and local networks to pinpoint location. In the past, if a law enforcement agency wanted location data they requested information from the relevant telecommunication firm operating in that specific territory. By way of an example, this would result in the UK not being able to obtain a French mobile phone’s location without help from the French. Now it would appear that Verint have bypassed the territoriality requirement.With this latest news, we know that location tracking has become borderless in the same way as communications surveillance. The ability to do this has likely come from a focus on international phone systems rather than domestic or regional networks which would never reach the worldwide nature of location tracking Verint is advertising.
Some details on Verint’s SKYLOCK offering are available online (under the name ENGAGE). While the brochure seems to indicate this is solely a military product (the brochure cover only lists “Military, Special Forces, Navy, Search and Rescue, Border Control” and the photos contained show only military personnel), the inside notes make it clear these products are available to “law enforcement” as well.
As Privacy Int’l points out, Verint’s offering operates “independently of local service providers,” meaning pretty much every legal obstacle is demolished. What no one knows is going on won’t hurt them. One product is targeted at satellite communications, but even considering that limited scope, it’s still very powerful.
Here’s what ENGAGE/SKYLOCK can do:
– Intercept voice calls and text messages
– Decrypt A5/1 and A5/2 encryptions with an embedded decipher
– Operate undetected leaving no electromagnetic signature
– Selectively downgrade UMTS traffic to GSM
Other ENGAGE products target wireless communications. Verint’s intercept-in-a-box can do all of the following.
– Actively and passively intercept WiFi communications based on: 802.11 a/b/g/n, 2.4Ghz, and 5GHz
– Active interception of mobile handsets, even when not intentionally connected to a WiFi network
– Intercept target communication at a distance with zero packet loss
– Choose from multiple active interception methods to overcome encryption of private communication
– Identify access points and intercept MAC addresses in the area
Verint also gives its purchasers the power to target phones using 3G networks, remotely activate cell phone mics, and block cellular communication.
The capabilities that were presumed to only be in the hands of national intelligence agencies now can be had by nearly anyone who can come up with the money. Powerful cell phone surveillance products are a growth market. Anything that can increase data and communication harvesting while simultaneously eliminating a majority of legal restrictions and oversight practically sells itself.
We may feel this sort of power is OK in the “right hands,” but we don’t get to decide which hands this ends up in. We may believe the NSA should be able to do this sort of thing (overseas, preferably), but that local law enforcement agencies should be forced to jump through warrant and subpoena hoops before tracking locations and intercepting communications. But ultimately it doesn’t matter what we prefer. That call is made by Verint and it’s in the business of selling surveillance products, not protecting the privacy of the world’s citizens.
December 17, 2013
Posted by aletho |
Civil Liberties, Corruption, Full Spectrum Dominance | National Security Agency, NSA, Privacy International, Verint, Verint Systems |
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With the help of physicians, pharmaceutical makers have made billions of dollars peddling medicines to treat attention deficit disorder, leading some experts, and even one pharmaceutical executive, to declare that the marketing push has gone too far.
Last year, sales of stimulant medication intended to treat attention deficit hyperactivity disorder (ADHD) reached $9 billion—a fivefold increase from a decade ago.
Today, 15% of high school students have been diagnosed with ADHD, with about 3.5 million of them on some sort of drug marketed to treat the disorder.
Dr. Keith Conners, who has spent decades trying to help children with ADHD, has questioned the increasing rates of diagnosis, calling them “a national disaster of dangerous proportions.”
“The numbers make it look like an epidemic. Well, it’s not. It’s preposterous,” Conners, a psychologist and professor emeritus at Duke University, told The New York Times. “This is a concoction to justify the giving out of medication at unprecedented and unjustifiable levels.”
The drug industry has worked for two decades to publicize ADHD and promote its remedies to doctors, educators and parents. As a result, the disorder is now the second most frequent long-term diagnosis made in children, just behind asthma.
Drugs such as Ritalin, Adderall, Concerta, Focalin, Vyvanse, Intuniv and Strattera have been promoted to help children, but along the way, the Food and Drug Administration has cited every major ADHD drug for false and misleading advertising since 2000.
Doctors also have been criticized for taking money from drug companies to publish research and deliver presentations that encourage colleagues to prescribe these drugs, which possess significant side effects and are regulated in the same class as morphine and oxycodone because of their potential for abuse and addiction.
Now, companies want to market the medications to adults to further expand revenue-making opportunities.
Roger Griggs, the pharmaceutical executive who introduced Adderall in 1994, objects to marketing stimulants to the general public because of the risks involved. He called the drugs “nuclear bombs” that should rarely be prescribed and carefully monitored by a treating physician, according to the Times.
To Learn More:
The Selling of Attention Deficit Disorder (by Alan Schwarz, New York Times)
Latest Condition Invented by Drug Companies…Low Testosterone (by Matt Bewig, AllGov)
Drug Companies Increase Profits by Creating Fear of Diseases (and Even Diseases) (by David Wallechinsky, AllGov)
December 17, 2013
Posted by aletho |
Science and Pseudo-Science | Adderall, Attention deficit hyperactivity disorder, Dexmethylphenidate, Food and Drug Administration |
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Myth: “‘Israel’ was a land without a people for a people without a land.”
History: Arab people have lived in Palestine for thousands of years. Who are the indigenous people of Palestine? All of them speak Arabic. They are mainly Sunni Muslim. There are a minority of Christians, Shiite Muslims, Jews, and Druze. European Jewish settlers began to steadily arrive in 1882 but there was never anything other than an overwhelming Arab majority until the “Nakba” (Arabic word for catastrophe) otherwise known as the establishment of the state of “Israel” in the spring of 1948.
Myth: The state of Israel had to be created as a response to the Holocaust.
History: Zionism is a kind of European colonialism that began in the late 1800’s long before the Holocaust in Europe. Zionism’s goal is and has always been to establish a Jewish state on land already inhabited by an indigenous Palestinian people. Zionism as a colonial project was explained by Vladimir Ze’ev Jabotinsky, one of its chief architects, in 1923: “We can talk as much as we want about our good intentions but they understand as well as we what is not good for them. They look upon Palestine with the same instinctive love and true fervor that any Aztec looked upon his Mexico or any Sioux looked upon his prairie… Thus we conclude that we cannot promise anything to the Arabs of the land of Israel or the Arab countries. Their voluntary agreement is out of the question. Zionist colonization even the most restricted, must either be terminated or carried out in defiance of the will of the native population. Thus colonization, can therefore continue and develop only under the protection of a force independent of the local population-an iron wall which the native population cannot break through. This is in toto our policy towards the Arabs. To formulate it any other way would only be hypocrisy.”
Nothing in Zionist policy toward Arabs has changed, but the language that is used to talk about these policies has.
Myth: Israelis just want to live in security and peace with their Arab neighbors.
History: In 1923, it was possible to talk openly about getting rid of the native population. Today the code words of “peace” and “security” are really a call for the end of Palestinian resistance to Zionist colonialism and genocide.
Jabotinsky’s “Iron Wall” has become a real Wall in Palestine which has the purpose of stealing more land from Palestinian people and destroying potential resistance to settlement by socially controlling Palestinian people. How did this happen?
In 1917, in the Balfour Declaration, the British government promised to support the establishment of a Jewish national home in Palestine when there were already Palestinian people living on this land. Between 1919 and 1936, the ruling British supported taking the land of tens of thousands of “fellahin” ( Palestinian villagers) and giving it to European Zionist settlers.
In response to the unfair transfer of Palestinian land to settlers, Palestinians resisted and called for a general strike from 1936 to 1939 accompanied by boycotts of all British and Zionist institutions. The strike was met with extreme physical force and resulted in a popular uprising. The uprising was eventually crushed, and the British imprisoned 5,000 Palestinians, executed 148 people and demolished 5,000 homes.
At the end of 1947, Zionists had acquired only 6.59% of the total land mass of Palestine. That year, the UN, which had an interest in cultivating Western European settlement in Palestine, voted to partition Palestine into a Jewish and Arab state. Palestinians and Arab states rejected this (at this time Jewish people would gain over 54% of the land by UN partition).
In 1948, Joseph Weitz , director of the Jewish National Land Fund and head of the 3rd “Transfer Committee” stated “ [we] must direct our war towards the removal of as many Arabs as possible from boundaries of our state.”
Between 1947 an d 1949, there were 45 reported massacres including the Yehida Massacre, Al-Sheikh Massacre, Beit Daras Massacre, Dahmesh Massacre, and the better known Deir Yassin Massacre in which more than 250 people were murdered (25 pregnant women were bayoneted in the abdomen and 52 children were beheaded) as well as the Dawayma Massacre in which 100 people were killed, including children who were murdered by fracturing their heads with sticks.
In 1948, 935,000 Palestinians (85% of the indigenous population of Palestine at that time) were forced off their land, in some cases at gunpoint, in other cases through massacres or threats of massacres like the massacre at Deir Yassin. As a result, 530 of an estimated 550 total villages were completely destroyed or depopulated. Over 78% of Palestinian land was confiscated for the establishment of a state for Jewish people. The “state of Israel” was established in May, 1948 and the colonial system put in place by the British was transferred to the new Zionist settler state.
Myth: “Israel” is a democracy.
History: A variety of racist laws were passed soon after the “state of Israel” was established. The Law of Return in 1950 grants the right of immigration to Jews born anywhere in the world. Non-Jewish native born Palestinians who fled the massacres in 1947 and 1948 are in most cases prevented from returning. The Absentee Property Law of the same year designated the personal property of Palestinians who fled during the terror campaign of 1948 as “absentee property” and this property was placed within the power of the Custodian of Absentee Property who would distribute this land to Jewish settlers. Palestinians’ capacity to have any personal property or wages was abolished during the first decade of this “democracy.”
Since the 1950’s, nationality and identity laws have defined a “Jewish nationality” with special privileges above the “Arab nationality” who is subject to a special regime of “security.” The Transfer of Property Law of 1950 and the Land Acquisition Act of 1953 accomplished the transfer of confiscated Palestinian villages and private property to the Development Authority for Jewish settlement. These Israeli laws of the 1950’s resemble Apartheid South Africa’s Natives Land Act of 1913 and the Native Urban Areas Act of 1923.
In 1967, the remainder of Palestine was invaded and occupied by the Zionists and another 350, 000 Palestinians fled or were
expelled. In the 1970’s, the “Judaization of the Galilee” (the term Zionists use to describe the ethnic cleansing of Palestinians
from this area for exclusively Jewish settlement) followed the same pattern of settlement familiar throughout historic Palestine:
–the confiscation of agricultural and grazing land in the areas surrounding Palestinian population centers;
–the freezing of growth in Palestinian villages by denying building and planning rights;
–the systematic demolition of Palestinian homes and businesses
–planned Jewish settlement aimed at breaking up the territorial continuity of Palestinian areas;
–the denial of access to basic services such as water (and the theft of that water); and
–policies aimed at preventing Palestinian economic subsistence and forcing dependence on settlers.
Through the “peace negotiations” of Oslo, the Geneva Accords, and the Road Map, Zionists have pursued a policy of stealing more land and striking genuine resistance to colonial settlement with crushing force.
Myth: The problem is an age old conflict between religious groups.
History: It is a conflict between the indigenous Palestinian people and the Europeans who came with guns to steal their land and resources. Zionism is a racist ideology with the aim of ethnically cleansing Palestine of its native population through systematic methods. The Palestinian people themselves are of multiple religions—all have suffered from Zionist racism and brutality.
Myth: Palestinian resistance fighters are extremist, anti-Semitic, and do not want to live in peace.
The myth of “religious conflict” is central in propagating the notion that “dialogue” between “Israelis” and Palestinians can resolve “the conflict” and that people need to develop “an understanding” of one another. It is meant to undercut any discussion about the reality—a racist regime that continues to colonize indigenous land. This myth asks Palestinians to “put the past behind them” and build “a shared future” with the people who continue to murder their families, steal their land and destroy their homes. It implies that Palestinians should concede their basic rights, dignity and homeland.
History: Palestinian people are fighting for their survival as a people against racism and genocide. Just as a New African should not be expected to make peace with a white racist, it is absurd to think that Palestinians should be motivated to make peace with their oppressors while Zionist colonizers still occupy Palestinian land. Palestinians have been legitimately resisting racism, colonization, and genocide since the 1920’s to the present day by any means necessary: general strikes, demonstrations, periods of non-cooperation, boycotts of Israeli products and services, refusal to obey military orders, refusal to vacate land confiscated for settlers, tax revolt, armed struggle, and martyrdom operations (called “suicide bombing” by Zionists).
Any form of resistance to the settlement program has been consistently met with severe and brutal repression: aerial bombardment, military checkpoints, the “Iron Fist” policy of crushing the bones of Palestinian children’s hands, collective punishment, torture and mass detention (over 600, 000 Palestinians have been detained since 1967). Zionist propaganda blames resistance fighters for increased repression against the Palestinian people. In reality, Palestinian resistance is the only barrier stopping the Zionists from completely fulfilling their mission to annihilate the Palestinian people as a whole.
December 17, 2013
Posted by aletho |
Deception, Ethnic Cleansing, Racism, Zionism, Timeless or most popular | Balfour Declaration, Deir Yassin massacre, Israel, Palestine, Zionism |
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This weekend I ran across a random copy of The Wall Street Journal and decided to see what passes for mainstream news these days. Reading it reminded me of the striking amount of terrorism propaganda being foisted upon the U.S. public. The numerous terrorism-related stories in that weekend edition of The Journal painted a confused and contradictory picture that reflects a difficulty in keeping the American public focused on terrorist threats and increasingly suspicious of their fellow citizens.
The weekend edition included five major stories about terrorism, including a shooting at a Colorado high school, the release of video from a hospital massacre in Yemen, and a review of how the Sandy Hook victims’ families are coping. In the most prominent spot, at the top left of the front page, readers found an alert for a major expose covering the Boston bombers. The fifth story was about the arrest of a Wichita man for plotting to blow up aircraft with a homemade bomb at the airport.
The new, Wichita story provides a good example of the challenges facing the FBI and corporate media in ongoing efforts to stoke the public fear. The suspect, like others in the last few years, had no previous history of terrorist activity and the FBI did everything for him.
Terry Lee Loewen was an avionics specialist at a private company working at the Mid-Continent Airport in Wichita. Allegedly, he tried to drive his car, loaded with explosives that the FBI had helped him make, onto the tarmac to cause “maximum carnage and death.” This man, whom neighbors called quiet and “normal” was supposedly working for al-Qaeda in the Arabian Peninsula.
The emerging story of Loewen includes a significant number of contradictory reports and unbelievable aspects. The official account is that Loewen decided to become a Muslim about six months ago and he immediately began devoting all his time to preparations for becoming a “lone wolf” suicide bomber. FBI-produced documents allegedly provide this 58-year old white man’s reasoning for his radical change of life course—“My only explanation is that I believe in jihad for the sake of Allah + for the sake of my Muslim brothers + sisters.”
Although Loewen did not enter a plea and his public defender and current wife would not comment, his ex-wife and son were contacted for interviews and neither of them had any idea about his new commitment to jihad and martyrdom. The son had spoken to his father in the last month yet, according to The Journal, “didn’t detect anything amiss” and “didn’t know about any turn toward Islam by his father.”
Although Loewen is being portrayed as a serious, jihadist Muslim, he had no known connection to any Muslim organization in Wichita or elsewhere. Apparently he was only an online Muslim and the FBI caught him making comments about his desire to wage jihad against his own country on behalf of the members of his new faith.
His neighbors couldn’t believe it and never saw anything suspicious about him or his current wife. And although his own son had no idea about it, and his ex-wife would never have predicted it, in his last six months he must have devoted every spare moment to his new mission. One might think that a new convert would take time to learn about his new religion and interact with at least one or two Muslims in his community. After all, doesn’t becoming a Muslim require more than just making a few online comments?
Not for Loewen, according to the FBI. Instead, one day he was just a solitary, radical Muslim and he immediately began spending all his free time “studying subjects like jihad, martyrdom operations, and Sharia law.” He also “studied the airport layout and took photos of access points, researched flight schedules and acquired components to make car bombs.” He was obviously very busy and totally committed.
FOX News reported that Loewen was inspired by Usama bin Laden. Investigators from the Wichita Joint Terrorism Task Force further claimed that Loewen “frequently expressed admiration for Anwar Al-Awlaki.” Republican Senator Jerry Moran of Kansas said that Loewen’s action reminded us that we must “reaffirm our commitment” to the War on Terror.
There are certainly suspicious things about Loewen. For one thing, he had another name—Terry L. Lane. How many readers of The Wall Street Journal just happen to have other names? And Loewen was cited in 2009 for a “a concealed-carry violation at the airport.”
Nonetheless, according to his ex-wife of 10-years, Loewen/Lane was “peaceful, easy-going, quiet man” who “didn’t like confrontation; he was never one to start a fight.” She said he had left his job at Hawker Beechcraft Air Services for a time, to work at Learjet across town. She didn’t know when he returned to Beechcraft. “He was happy. He was a normal human being,” she said. And although The Journal reported that the son had no idea about Loewen’s conversion to Islam, The Wichita Eagle reported that the son told his mother that Loewen had recently become a Muslim.
Other news sources report that the son said his dad was “always really calm and a loving man” and that he “had no idea how his father came to be the main suspect in a foiled terror plot.”
Therefore the news about Loewen/Lane and this alleged new terrorist plot includes many confusing reports and makes little or no sense. A 58-year old man with no connection to any Muslim organization just decided on his own to give up his entire life to become a jihadist. He forsook all other commitments to make a martyr of himself for the benefit of “brothers and sisters” who he had never met. His family and neighbors apparently knew nothing about it.
If we can learn anything from the incident it is that the next terrorist could be anybody—you, your father, your neighbor—anyone at all. And there won’t necessarily be any signs at all other than what the FBI provides about internet activity.
This brings us to the big expose that The Journal published on the Boston bombers. Readers might wonder about the coincidence of the reporter from The Journal just happening to be a relatively close friend of the Tsarnaev family, whose two sons were accused of the marathon attack. Ostensibly, that relationship was initiated because both the reporter and the family spoke Russian and the reporter was doing research on Chechens and “Russia’s Islamist insurgency.” But the friendship was clearly much more than that. Who could have predicted that chance relationship would come in so handy for a terrorism reporter from a major U.S. news source?
Anyway, the story about the Tsarnaevs presents more contradictions. For instance, the mother of the accused bombers is portrayed quite differently than we have seen before. The woman who suddenly became a terrorist suspect herself a week after she began claiming that her sons were controlled by the FBI has most often been seen as a strict Muslim woman dressed in very traditional garb. In The Journal’s new story, however, she is “a wide-eyed rapid talker with a low-cut dress and high heels who waved her arms and teased her black hair like the pop singer Cyndi Lauper.” And she ran a business on the side giving facials.
In this new light, mother Tsarnaev could be an office girl from Jersey, or the girl next door.
But those who read the whole story realize that there is a bigger purpose behind this spread on the Tsarnaevs and it is not to describe their dress habits. It is, in fact, to reveal that the Boston bombers were conspiracy theorists. Specifically, Tamerlan Tsarnaev and his brother were “filled with thoughts of conspiracy” including that “the Sept.11 attacks were organized by shadowy financial elites.”
We have seen this tactic before with other terrorism stories but never this blatantly. We are being told that not only can anyone be a terrorist, but it is more likely that anyone who questions the official accounts of terrorism is more likely to be a terrorist. How convenient for the military-terrorism-industrial complex. If such an approach takes hold in the minds of fearful citizens, there would be no stopping the architects of the War on Terror and no shortage of suspects to keep the whole thing rolling along.
December 16, 2013
Posted by aletho |
Deception, False Flag Terrorism, Islamophobia, Mainstream Media, Warmongering | Al-Qaeda in the Arabian Peninsula, FBI, Federal Bureau of Investigation, Mid-Continent Airport, Osama Bin Laden, Wall Street Journal, Wichita |
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Israeli political and military leaders of all levels have been issuing almost daily threats against Hezbollah while claiming that the Israeli army stands fully ready to confront – and even crush – Hezbollah. So, why don’t they destroy Hezbollah now?
Recently, Israel began to step up its verbal threats, “flexing the muscles” of its military. Hardly a day passes without a statement, report, or interview coming from the Jewish state raising alarm about Hezbollah’s military capabilities but affirming at the same time the “might” of the Israeli armed forces and their preparedness for any future conflict involving Hezbollah.
Israeli military commanders have all put their two cents in. The Israeli top brass seem to suffer from a curious case of overconfidence, prompting observers to wonder why Tel Aviv has not already proceeded to wage war and end Hezbollah once and for all, with victory so close at hand given Israel’s allegedly full readiness and unmitigated superiority.
The most recent statement on Hezbollah came from Yuval Steinitz, Israel’s intelligence minister. Steinitz was keen to affirm that Hezbollah does not have chemical weapons, and that it had not obtained any, prior to the deal to dismantle Syria’s arsenal being reached.
Steinitz may have been clarifying remarks made earlier by a senior Israeli officer, who said that it could be neither confirmed nor denied whether Hezbollah had acquired part of Syria’s chemical weapons – an issue that aggravates the concerns Israelis have regarding the losses to be expected in the event of a confrontation with Hezbollah.
In recent days, Tel Aviv resumed its campaign against Hezbollah, raising many questions about its aims with regard to timing. Usually, these Israeli campaigns, often instigated by the Israeli army spokesperson, seek to ramp up the perception of Israel’s deterrence vis-à-vis Hezbollah to dissuade it from carrying out any operations, or to warn it against responding if Tel Aviv decides to launch an attack.
The question is: Does this weeks-long campaign seek to achieve one of these goals, or both?
Colonel Asher Ben-Lulu, commander of the Israeli army’s Kfir infantry brigade, stressed the army was ready to face the worst and most complex scenarios involving Hezbollah, though he acknowledged, “The smartest and most formidable enemy we face is Hezbollah, whether at the level of intelligence, combat techniques, or military doctrine.” In an interview with Maariv, Ben-Lulu said, “Hezbollah is a smart enemy. It possesses a network of underground tunnels and has professional fighters and state-of-the-art combat techniques.”
Regarding scenarios for a future conflict with Hezbollah, Ben-Lulu warned, “The conflict will not involve convoys of armored vehicles or legions of soldiers, but [will involve] guerilla warfare and hostilities originating from civilian areas.” The Israeli colonel then stressed the need for additional troops on the ground, and said that the Kfir brigade would be suitable for the job.
Ben-Lulu continued, “The next war will see forces brought in to control the areas where rockets are launched. We at the Kfir brigade train on combat behind enemy lines to inflict heavy losses on the enemy.”
The commander then remarked that Israel’s enemies, especially Hezbollah, are fully aware of Israel’s air superiority, intelligence capabilities, and precise firepower, and said, “Hezbollah will operate underground, will not rely on communications, and will try to invalidate our superiority as a conventional army.”
In the same vein, Raafat Halabi, commander of the Israeli army’s Herev (Sword) battalion, said that his unit was prepared to move from “zero to one hundred” in a matter of seconds. In an interview with the website Israel Defense, the officer in charge of the Druze battalion specialized in combat in Lebanon revealed that preparations had been stepped up recently, with the build-up focusing on training and increased readiness for contingencies along the northern front. He said, “We must be ready in a matter of seconds.”
“Hezbollah members patrol the border in four-wheel drives or disguised as shepherds, who are sometimes seen carrying scopes,” he added.
Concerning whether Hezbollah’s intervention in Syria serves the interests of the Israeli army, Halabi said, “On the one hand, this hurts Hezbollah. But nevertheless, it allows its fighters to accumulate operational experience on how to carry out attacks.” Halabi reckoned that “offensive combat is new to Hezbollah, which has so far played on the defensive.”
Herev’s commander then pointed out that the members of his unit are frequently posted along different border positions with Lebanon to maintain their readiness, saying that in the next war, they will spend a long time inside Lebanese territory and reach the areas where Hezbollah’s rocket-launching platforms are deployed.
According to Israel Defense, a specialized military affairs website, the Herev battalion has developed new techniques to fight Hezbollah. Israel Defense indicated that the Northern Command in the Israeli army is currently considering transferring Herev’s techniques to other units that must also be ready for war.
The website also stated that the soldiers in the battalion were training to fight inside Lebanon in a third Lebanon war and to defend settlements in the Galilee, as Hezbollah Secretary General Hassan Nasrallah had promised “surprises” in any future conflict, for example, in the form of a Hezbollah incursion into northern Israel.
December 16, 2013
Posted by aletho |
Ethnic Cleansing, Racism, Zionism, Mainstream Media, Warmongering | Hezbollah, Israel, Lebanon, Syria, Yuval Steinitz |
1 Comment
The United States and Iran
By SASAN FAYAZMANESH | March 17, 2008
It is now nearly three decades since the Unites States adopted the policy of dual containment of Iran and Iraq. While much has been written about the containment of Iraq, there has been very little in-depth analysis of this policy when it comes to Iran. In a book that is going to be released on March 31, 2008, entitled The United States and Iran: Sanctions, Wars and the Policy of Dual Containment (Routledge), I attempt to address this shortcoming by investigating when and why the US policy of containment of Iran came about, how it evolved, and where it stands today.[1] To the extent that Israel has been involved in US policy making, the study will also include the role that Israel has played in the containment of Iran. Also, since the fate of Iran has been inextricably linked to that of Iraq, occasionally the investigation will overlap with the containment of Iraq.
The policy of dual containment of Iran and Iraq originated during the Carter Administration, but it was not until the Clinton Administration that the expression “dual containment” became popular. Despite its widespread use, the meaning of the expression is not crystal clear; different individuals have had different interpretations of “containment” of Iran and Iraq. For some, it has meant keeping the two countries militarily, economically, and politically in check. This was the case with Iraq between 1990-when Saddam Hussein invaded Kuwait and United Nations sanctions were imposed on Iraq-and 2003-when the US invaded Iraq for the second time and occupied the country. In the case of Iraq, it was hoped initially that economic pressures through extensive United Nations sanctions, as well as some limited military actions, would create discontent and lead to “regime change.” But since sanctions did not result in the overthrow of Hussein, Iraq was not exactly contained. The 2003 US invasion and occupation of Iraq showed that containment could go beyond sanctions and limited military operations; it could involve outright invasion of a country to achieve the desired goals.
To this day, the US military adventure in Iraq has not been successful, and the future of Iraq and its government remains uncertain. In this sense, some may argue that Iraq has not been contained. But a few might disagree with this conclusion. For these individuals Iraq has already been contained, since the country has been economically ruined, militarily shattered, and politically disintegrated. For decades to come, Iraq will not be able to rise from the ashes and challenge the US and Israel; and this, in the opinion of these individuals, is a successful containment. Such a view might appear to be too cynical to be held by anyone. But, as I have argued in my book, the attitude of many US and Israeli officials toward the Iran-Iraq war indicates that this view did actually exist. Some American and Israeli officials wished to see Iran and Iraq destroy one another in a costly and protracted war. They helped to prolong the war and make sure that neither side had a decisive victory. The horrendous eight-year war, which resulted in a massive loss of human life and severe economic losses, was therefore viewed as a kind of containment. The same view of containment seems to exist today among many so-called neoconservatives who, after pushing for the Iraq invasion, show no remorse for the resulting carnage and advocate bombing Iran.
Whatever the interpretation of the dual containment of Iran and Iraq, one aspect of this policy has been to use war, or threats of war, to bring about the desired change. Another has been to rely on sanctions. US unilateral sanctions against Iran started shortly after the 1979 Revolution and continued throughout the Iran-Iraq war. In this period many of the imposed sanctions were intended to prevent Iran from winning the war against Hussein’s Iraq. But it was also hoped that sanctions would bring about popular dissatisfaction in Iran and result in the overthrow of the new government. Such sanctions continued and became even more intensified after the Iran-Iraq war, particularly in the 1990s. Yet, even though these sanctions did harm the Iranian economy, they did not bring about the intended “regime change.” The failure was attributed to the unilateral nature of these sanctions, and therefore multilateral sanctions, imposed through the United Nations, were sought. So far three such sanctions have been passed against Iran. Whether these sanctions will have the desired results and, eventually, would do to Iran what has been done to Iraq is hard to predict. But it is even harder to make any predictions about the future without knowing the past. It was in the spirit of documenting the history, in order to better understand the present and the future, that The United States and Iran Sanctions, Wars and the Policy of Dual Containment was written. An outline of the book is as follows.
The origin of the dual containment policy, as mentioned above, goes back to the Carter Administration. There is plenty of evidence to suggest that individuals within the Carter Administration, contrary to their denials, gave Hussein the green light to invade Iran and assisted him after the invasion. It was hoped that the war would not only lead to the resolution of the so-called hostage crisis, but that it might lead to the overthrow of the Iranian government and the restoration of the old order, where the Shah of Iran maintained a symbiotic relationship with the US and Israel. However, assisting Hussein in his war against Iran did not mean that the US was planning to establish a long-term relationship with him. Befriending Hussein was temporary; and while the US was helping the Iraqi government, the Israelis were selling arms to Iran with the full knowledge of the US. Indeed, the Carter Administration itself was considering the possibility of providing Iran with military spare parts as well. This was the beginning of the policy of dual containment, when the US, playing the role of a double agent, tried to make sure that neither side would achieve a decisive victory in the Iran-Iraq war.
The dual containment policy continued in the 1980s under the Reagan and George H. W. Bush Administrations. But while the US assisted Hussein covertly during the Carter period, it did so overtly during the Reagan Administration, despite the official US policy of remaining neutral in the war. The support also became more vigorous. US officials tried to prevent Iran from winning the war against Hussein by providing him with intelligence, weapons, and extension of credit. They also established full diplomatic relations with Hussein’s government, lifted trade sanctions against Iraq, and imposed new economic sanctions against Iran. In addition, the Reagan Administration closed its eyes to the use of chemical weapons by Iraq in the war, and, indeed, supplied Saddam Hussein with chemical compounds that had multiple uses, including making poison gas. Subsequently, with the Iranian military victories, the US entered the war against Iran directly to assure that Hussein was not defeated. With this direct US intervention, in 1988 Iran was forced to accept a humiliating ceasefire, especially after the USS Vincennes affair. In the end, the Reagan Administration had managed by means of indirect and direct war to defeat Iran for all practical purposes and contain it. Yet the policy of dual containment demanded that not only Iran but also Iraq be emasculated as a potential challenger. Therefore, while helping Hussein, the US also sold arms to Iran, mostly with the help of the Israelis, in what came to be known as the “Iran-Contra scandal.” Furthermore, the US administration provided both Iran and Iraq with deliberately distorted or inaccurate intelligence data on the other’s capabilities. More importantly, with the end of the Iran-Iraq war-and the emergence of Iraq militarily stronger at the end of the war than at the beginning-the US turned its attention toward containing Iraq. This was accomplished through manufactured sensational news and incidents, as well as a sudden US interest in the “gross violation of international law” by Iraq during the Iran-Iraq war. The final incident was Iraq’s invasion of Kuwait after the US gave confusing messages to Hussein. Following this invasion, the US tried to contain Iraq by means of a war, UN economic sanctions, and limited military operations.
The US policy of the dual containment cannot be understood without understanding the role that Israel has played in it. Following the 1979 Revolution in Iran, which ended a cozy and symbiotic relation between the Jewish state and the Shah, Israel started a campaign against the new Iranian government. However, once the Iran-Iraq war started, Israel began to sell arms to Iran. This was not because Israel was against the US policy of dual containment and the devastation of Iran and Iraq in a costly and protracted war, but because Israel wished to see Iraq contained before Iran. As a result, while the US was aiding Iraq, Israel was selling arms to Iran, and, eventually, got the US to sell arms to Iran in the infamous Iran-Contra scandal. When put in historical context the Iran-Contra affair does not appear as an aberration or isolated incident. It was part of the policy of helping to contain both countries. At the end of the Iran-Iraq war, however, Israel, like the US, largely concentrated on containing Iraq. In so doing, Israel contributed greatly to the propaganda campaign against Saddam Hussein before Iraq was invaded by the US. After the imposition of UN sanctions against Iraq in 1990 and the first US invasion of Iraq, Israel turned its attention toward containing Iran. With the help of its lobby groups in the US, particularly the American Israel Public Affairs Committee (AIPAC), Israel concentrated on strengthening US economic sanctions against Iran. In this pursuit, Martin Indyk, the head of the Washington Institute for Near East Policy, an AIPAC affiliate, became instrumental. The meteoric rise of Martin Indyk to power in the Clinton Administration allowed him to carry on the policy of dual containment-which he took credit for devising-primarily by means of increasing sanctions against Iran. In this policy Iran was accused of three misbehaviors: sponsoring terrorism worldwide; opposing Middle East peace efforts; and developing weapons of mass destruction. Once formulated, these alleged misbehaviors became the rationale for maintaining and strengthening US sanctions against Iran. Indeed, during the Clinton Administration Israeli lobby groups became the major underwriters of US foreign policy toward Iran.
Besides Martin Indyk there were other individuals in the Clinton Administration who helped develop the Iran sanctions policy. One such individual was Secretary of State Warren Christopher, who had a particular animosity toward Iran since his hostage negotiation days. This animosity came in handy for Indyk and the Israeli lobby groups in implementing their sanctions policy against Iran. But this was not all; there was also a competition between a predominantly Republican Congress and a Democratic Administration as to which was more hostile to Iran and thus faithful to Israel. In this competition, the role of Senator Alfonse D’Amato in trying to pass sanctions acts against Iran is examined in my book. One major act, the Iran-Libya Sanctions Act (ILSA)-which imposed secondary sanctions on foreign companies that would make new investments of at least $40 million in Iran-becomes a focus of my study. With the passage of ILSA, however, the US sanctions policy started to fall apart. Not only did many countries around the world defy it, the US corporate lobbies, too, began to organize to oppose various Israeli lobby groups. In this regard, I examine the role of some heavyweights that the corporate lobby brought forth to oppose the sanctions-such as two former national security advisors, Zbigniew Brzezinski and Brent Scowcroft-the formation of an umbrella lobby organization called USA*ENGAGE, various individuals or lobbyist groups working with the Iranian government who started to organize, and a number of US Congressmen who were lobbied by the corporations to oppose the passage of further unilateral sanctions against Iran. All this, as well as the appointment of a new Secretary of State, Madeleine Albright, who tilted more toward the corporate lobby, resulted in an incoherent and inconsistent US policy toward Iran at the end of the Clinton era, a policy that tried to reconcile the irreconcilable aims and interests of Israel and the US corporations. It is worth noting that during the Clinton Administration the Mujahedin-e-Khalq-e-Iran (MEK), an Iranian exile group, became a convenient tool in the hands of strange bedfellows-namely Iraq, the US, and Israel-in a campaign to overthrow the Iranian government. Even though in 1997, as a result of some shifts in US foreign policy, the US State Department put MEK officially on the list of terrorist organizations, the group operates relatively freely in the US to this day.
The end of the Clinton era ushered in a new phase in the US policy of containment of Iran. The 2000 US presidential election brought uncertainty concerning the future policies of the Bush Administration toward the Middle East in general and Iran in particular. The fact that the new administration was top heavy with former oil executives added to this uncertainty. Yet, in spite of the uncertainty, Israel correctly perceived that the policy would be made more by the neoconservative forces within the new administration-such as Paul Wolfowitz and Richard Perle-than anyone else, including those in the State Department. Wolfowitz and Perle-who were on the Board of Advisors of the Washington Institute for Near East Policy, an offshoot of AIPAC-had advocated, at least since 1992, the use of military force against Iraq. But Israel was more interested in containing Iran rather than Iraq and was hoping that the neoconservative forces, particularly those within the administration, would achieve that goal. The events of September 11, 2001 played a determining role in both containments. The neoconservative forces got what they had wished for when it came to invading Iraq. But as far as Iran was concerned, the initial reaction of the US State Department after 9/11 was to start a courtship dance with Iran, a dance that Israel, its lobby groups, and its neoconservative allies, in and out of the administration, watched with a great deal of trepidation. A concerted campaign was waged by Israeli officials, including Binyamin Netanyahu and Ariel Sharon, to end the dance. The US was warned by these officials not to cozy up to Iran. Such warnings, as well as the puzzling Karine-A affair, managed to end the US State Department’s attempt to approach Iran. The death of the rapprochement was made official by President Bush in his “axis of evil” speech on January 29, 2002, a speech in which Iran was accused, along with Iraq and North Korea, of aggressively pursuing weapons of mass destruction and exporting terror. In the end, Israel, its various lobby groups, and its neoconservative allies changed the direction of US policy toward Iran as conceived by the US State Department. A case had to be made as to why Iran should be targeted. Israel put forward a list of allegations against Iran that included everything from Iran’s involvement in the Karine-A affair to pursuing missiles capable of striking Israel with chemical and biological weapons, dispatching its Revolutionary Guards to foment anti-Israel activity in Lebanon, and being on schedule to develop a nuclear bomb by 2005. Yet even though Israel had made its case for targeting Iran, and wished to see Iran attacked before Iraq, it had to settle for second-best: wait until after the invasion of Iraq to contain Iran. Thus, in an interview with The Times (London) on November 5, 2002, Sharon stated that he considered Iran to be the “centre of world terror,” and “that as soon as an Iraq conflict is concluded, he will push for Iran to be at the top of the ‘to do’ list.”
How was Iran pushed to the top of the US’s “to do” list? As in the case of Iraq, Iran’s alleged development of weapons of mass destruction became the rallying point for targeting the country. The first step in the process came in late summer 2002, when, in a dramatic press conference, a representative of MEK revealed the construction of a uranium enrichment facility and a heavy water production plant in Iran, neither of which had been reported to the International Atomic Energy Agency (IAEA). The actual source of the revelation appears to have been Israel, which passed the information to MEK. Once these constructions were disclosed, the US and Israel started to build a case for reporting Iran to the United Nations Security Council and for the imposition of sanctions. How the case proceeded is narrated in my book. Before that, however, the origin of Iran’s nuclear program is discussed. It is argued that the US and Israel had no problems with Iran’s nuclear program when the Shah of Iran was in power. Indeed, the US helped the Shah with nuclear technology and encouraged him to build nuclear power plants. Subsequently, the Shah signed an agreement to purchase two reactors from Germany to be installed at Bushehr. The construction of these power plants began in 1975, but after the 1979 Iranian Revolution the Germans left the country without completing the project. In 1995 Iran signed a formal agreement with Russia to finish the Bushehr reactor. But Russia continuously postponed the completion of the reactor and delivery of nuclear fuel. Given Russia’s foot-dragging, as well as the numerous US sanctions imposed on Iran, it appears that Iran had engaged in a number of nuclear-related activities not reported to the IAEA, including building the two structures that were disclosed by MEK. Even though, technically speaking, the construction of these facilities did not violate the Nuclear Non-Proliferation Treaty (NPT)-to which Iran is a signatory-it provided the perfect excuse to the US and Israel to argue that Iran was clandestinely developing nuclear weapons. Such claims, however, were not new. They were heard as early as 1984, when a neoconservative argued that Iran might be only two years away from acquiring nuclear weapons. Following this claim there were numerous others concerning the impending development of nuclear weapons by Iran. Indeed, in the 1990s a number of sources associated with Israel claimed that Iran had already purchased three or four nuclear warheads from the former Soviet republic of Kazakhstan. That allegation and subsequent assertions concerning Iran developing nuclear arsenals all proved to be false. But the guessing game continued well into the late 1990s and early 2000s. With each day passing and no nuclear weapons or even evidence of development of such weapons showing up, the ever-changing prediction of doomsday appeared to attract little attention until the revelation of the two unreported nuclear-related facilities in Iran. Once this revelation was made, Israel could push for Iran to be at the top of the US’s “to do” list.
The road was being paved to report Iran to the Security Council. The 2003 IAEA report mentioned certain failures by Iran to disclose information. It also encouraged Iran to sign the “Additional Protocol” to the IAEA Safeguards Agreements. But the report did not show any smoking gun and, therefore, was not the report that the US and Israel needed to contain Iran. Nevertheless, the report left a number of open questions that made the US and Israel hopeful about taking Iran before the Security Council. For example, why was Iran developing a facility to produce heavy water, building a uranium enrichment facility, manufacturing uranium metal, hesitant to allow IAEA inspectors visit an electric workshop and take environmental samples? The last question, in particular, made the US and Israel contend that Iran was hiding something, and this could be an indication of a nuclear weapons program. In the end, this allegation proved to be incorrect. However, such allegations continued to be made until Iran was reported to the Security Council. In addition to making false claims, the US and Israel intensified their psychological warfare against Iran, threatening a preemptive military strike on her nuclear facilities. Such threats made the Europeans, particularly France, Britain, and Germany (EU 3), worry and start negotiating with Iran in October of 2003 to sign the “Additional Protocol,” stop nuclear enrichment, and provide full disclosure of its nuclear program. The Iranian government capitulated and signed an agreement in December 2003, even though the Iranian parliament refused to ratify the “Additional Protocol.” The US and Israel, however, continued their pressure on Iran by making false claims and portraying Iran as a threat to Israel and the world at large. Pressure mounted in summer of 2004 to report Iran to the Security Council. The EU 3 made a last-ditch effort to stop Iran’s enrichment activities. The result was the November 2004 Paris Agreement, which asked Iran to suspend all enrichment-related and reprocessing activities voluntarily and temporarily in exchange for some vague and, for all practical purposes, undeliverable economic promises. The US gave this agreement guarded approval but made it clear that it was a kind of “good-cop, bad-cop arrangement,” where the Europeans and Americans were working together but playing different roles.
The US and Israel intensified their threats of a preemptive strike against Iran in 2005. By now the argument had changed from not allowing Iran to develop nuclear weapons to not even tolerating Iran having knowledge of nuclear enrichment. At the same time there were reports that the US might support EU negotiations with Iran and accept the so-called carrot and stick approach. Even though this was no more than the bad cop joining the good cop, Israel and its lobby groups were opposed to any shift in US policy and waged a campaign against it. In Iran, too, there was opposition to the Paris Agreement, especially after the US gave the agreement its tacit blessing. The opposition became stronger with the election of Mahmoud Ahmadinejad as President of Iran, a man who was demonized by a massive US and Israeli disinformation campaign as soon as he took office. After protesting that the Paris Agreement was turning a voluntary and temporary halt in uranium enrichment activities into a permanent freeze and that the EU had not kept its part of the bargain, Iran ended the agreement. The campaign to report Iran to the Security Council by the IAEA gained momentum and a resolution to this effect was passed; however, the question of the timing of when the matter would be referred to the Security Council was left open. A number of events speeded up the process of referral. One such event was Ahmadinejad quoting Ayatollah Khomeini as saying that the occupying regime of Jerusalem must disappear from the page of time. The statement was translated in both Israel and the US as “wipe Israel off the map,” and was used in a massive campaign to portray Iran as Nazi Germany and Ahmadinejad as another Hitler poised to commit a holocaust. Another was the claim by American intelligence officials that they had discovered a stolen laptop showing Iran’s attempt to design a nuclear warhead. The contents of the laptop were shown to IAEA inspectors, but, IAEA officials doubted the authenticity of the material, and believed that much of the intelligence provided by the US and other intelligence services had proved to be wrong. Numerous assertions, even though false, made any compromise solution impossible. In the end, a relentless effort by the US and Israel to bring Iran before the Security Council and impose UN sanctions against her paid off in early 2006. The IAEA was forced to issue an early update brief followed by a full report on Iran’s compliance with the earlier resolution. But even before the full report was issued, the five permanent members of the Security Council and Germany reached an agreement, and soon afterwards the US obtained the necessary vote to refer Iran to the Security Council. Iran, in turn, ended all voluntary cooperation with the IAEA.
Accusations and threats by US and Israel continued against Iran even after Iran’s referral to the Security Council. As the US allocated more funds to bringing “democracy” to Iran, AIPAC mounted another “largest ever policy conference” aimed at bringing about the harshest possible sanctions against Iran. Frantic efforts by those uneasy about imposing UN sanctions, including the Director General of the IAEA, failed as most US policy makers followed the lead of Israel and its allies in the US. The Security Council issued in late March 2006 a draft statement asking Iran to halt all enrichment activities, and ordered the Director General of the IAEA to report in 30 days on Iran’s compliance. This was not exactly the harsh resolution that the US and Israel were hoping for. The US pushed for the passage of a UN Chapter 7 resolution against Iran that could result in the use of military force against her. In this effort, parallels were continuously drawn between Iran and Nazi Germany and Ahmadinejad and Hitler. Iran’s alleged hidden nuclear programs were reported and talks of pre-emptive military attacks by either the US, Israel, or both were heard. In this atmosphere even the most outrageous tales would become credible news. One such story was an alleged new law in Iran that would force the Iranian Jewish population to wear yellow insignia. Even though the “news” proved to be a complete fabrication, it for some time and enabled many political figures around the world, particularly Americans, to condemn and demonize Iran. The US, however, still had to get the reluctant Russians and Chinese on board to impose sanctions against Iran. A new strategy was adopted: the US would join the EU 3 in negotiating with Iran if Iran halted all enrichment activities. The Bush Administration knew full well that this offer would not be accepted by Iran and was, indeed, worried about a possible positive response by Iran. The US gambit paid off, and the “carrot and stick” package offered was ultimately rejected by Iran. The US wielded more sticks, including financial sanctions to paralyze the Iranian banking system. Security Council Resolution 1696 was passed in July 2006, demanding that Iran suspend all enrichment-related and reprocessing activities and that the Director General of the IAEA give a report by the end of August 2006 on Iran’s compliance. If Iran did not comply, according to Resolution 1696, UN sanctions would be imposed. The stage was set for the imposition of the first set of UN sanctions against Iran.
The August 2006 IAEA report indicated that Iran was not complying with UN Resolution 1696. The report was followed by Iran’s adversaries calling for immediate imposition of sanctions. Any compromise offered, including a temporary suspension of uranium enrichment by Iran, was ruled out by the US and Israel. The US further tightened its financial sanctions against Iran, and Israel raised, once again, the specter of Iran becoming another Nazi Germany determined to commit another holocaust. The campaign to impose UN sanctions against Iran was beginning to bear fruit. Draft resolutions for such sanctions began to circulate in November 2006. War drums beat intensely and there was again talk of a possible military strike by Israel against Iran’s nuclear facilities. US pressure mounted for adopting a sanction resolution. The push resulted in Security Council Resolution 1737 in December of 2006, the first UN sanction resolution against Iran. The resolution demanded that Iran halt all enrichment-related and reprocessing activities and suspend work on all heavy water-related projects. It asked all states to take the necessary measures to prevent the supply, sale, or transfer of all items, materials, equipment, goods, and technology which could contribute to Iran’s enrichment related, reprocessing, or heavy water-related activities, or to the development of nuclear weapon delivery systems. It also asked all states to exercise vigilance regarding the entry into or transit through their territories of individuals engaged in Iran’s proliferation-sensitive nuclear activities or the development of nuclear weapon delivery systems. In addition, the resolution provided a list of certain Iranians and asked all states to freeze their funds, other financial assets, and economic resources.
Moreover, the resolution established a sanctions committee to monitor Iran’s compliance with the resolution and collect information from countries about their trade with Iran. Finally, the resolution asked the Director General of the IAEA to provide a report in 60 days on Iran’s compliance. Resolution 1737 was the crown jewel of the US-Israeli policy of containment of Iran. More than a quarter of a century of US unilateral sanctions against Iran, many underwritten by forces close to Israel, had not contained Iran. Even though this resolution was too weak to contain Iran, it was hoped that future resolutions would do the job. Iran shrugged off the sanctions and reduced its cooperation with the IAEA. The US levied more accusations against Iran and engaged in more provocative acts. Israel continued to call Iran an existential threat. In early 2007 there were fears that a war with Iran might become inevitable. In the end, however, the threats of war were used to set the stage for the second round of UN sanctions against Iran.
After an IAEA report indicating Iran’s non-compliance with Resolution 1737, the US and Israel pushed for another resolution. The result was Security Council Resolution 1747 in March 2007, which extended previous sanctions. The resolution called upon all states to exercise vigilance and restraint regarding the entry into or transit through their territories of certain Iranians engaged in or associated with Iran’s proliferation-sensitive nuclear activities. In addition, it provided another list of Iranian entities involved in nuclear or ballistic missile activities and entities whose funds or assets shall be frozen. Among these was one of the largest banks in Iran. Resolution 1747 also stated that Iran shall not supply, sell, or transfer any arms or related materiel. Furthermore, it called upon all states to exercise vigilance and restraint in the supply, sale, or transfer of any battle tanks, armored combat vehicles, large caliber artillery systems, combat aircraft, attack helicopters, warships, missiles, or missile systems. Finally, the resolution asked all states and international financial institutions not to enter into new commitments for grants, financial assistance, and concessional loans to the Iranian government. As in the previous case, the resolution asked the Director General of the IAEA to prepare a report within 60 days as to whether Iran had complied with the demands of Resolutions 1737 and 1747. Iranian officials were defiant and shrugged off the effect of the resolutions. Yet Resolutions 1737 and 1747 put great pressure on Iran economically and politically, setting the stage for further, and harsher, resolutions to follow.
The next Security Council sanction resolution against Iran did not materialize until nearly a year after Resolution 1747. On March 3, 2008, the Security Council passed its third sanction resolution against Iran, Resolution 1803.[2] The new resolution tightens two previously passed sanction acts by 1) asking states to exercise “vigilance and restraint” against a new set of Iranian nationals purportedly involved in “proliferation-sensitive nuclear activities or the development of nuclear-weapon delivery systems”; 2) extending the freezing of the financial assets of persons or entities allegedly “supporting” the above mentioned activities; 3) calling upon states to “exercise vigilance over the activities of financial institutions in their territories with all banks domiciled in Iran, in particular with Bank Melli and Bank Saderat”; and 4) continuing to block the import and export of allegedly “sensitive nuclear material and equipment.”
Resolution 1803 also added a new provision to the previous sanction acts: it called upon states to “inspect cargo to and from Iran of aircraft and vessels owned or operated by Iran Air Cargo and Islamic Republic of Iran Shipping Line, provided ‘reasonable grounds’ existed to believe that the aircraft or vessel was transporting prohibited goods.” This new provision is one of the most dangerous provisions in all the resolutions that have been passed so far by the Security Council against Iran. The term “Reasonable grounds” is ambiguous. What is reasonable or unreasonable is in the eye of the beholder. Thus, theoretically, any adversary of Iran can now stop an Iranian aircraft or vessel to inspect it because it is “believed” there is “reasonable grounds” for such an inspection. If the Iranian vessel refuses inspection, all hell could break loose.
The new provision was probably one of the reasons why four non-permanent members of the Security Council, Indonesia, Libya, South Africa and Vietnam, tried in vain to stop, revise or at least slow down the passage of Resolution 1803. At the end, however, under pressure from the US and its allies, three of the four countries caved in and went along with the resolution. The fourth, Indonesia, abstained. US and its allies, who wanted unanimous vote against Iran in the Security Council, and wished for a much harsher resolution, declared victory nevertheless. But this was not enough. A day after, US, France and Britain tried to introduce another resolution against Iran at the meeting of the IAEA. This time, however, Russia, China and a number of countries belonging to the Non-Aligned Movement (NAM) stopped the effort and argued that given the action by the Security Council a day earlier, a new resolution against Iran would be superfluous.
All this happened against the backdrop of two major reports undermining the necessity of passing a third sanction resolution against Iran. The first was the November 2007 National Intelligence Estimate (NIE) report, entitled “Iran: Nuclear Intentions and Capabilities.”[3] The “Key Judgments” portion of the report that was made public stated:
We judge with high confidence that in fall 2003, Tehran halted its nuclear weapons program; we also assess with moderate-to-high confidence that Tehran at a minimum is keeping open the option to develop nuclear weapons. We judge with high confidence that the halt, and Tehran’s announcement of its decision to suspend its declared uranium enrichment program and sign an Additional Protocol to its Nuclear Non-Proliferation Treaty Safeguards Agreement, was directed primarily in response to increasing international scrutiny and pressure resulting from exposure of Iran’s previously undeclared nuclear work.
The report, of course, claimed that Iran had exerted “considerable effort from at least the late 1980s to 2003 to develop such [nuclear] weapons.” But the assertion that such efforts had been halted in 2003 not only removed the rationale for the US and Israel to wage a military campaign against Iran but it apparently slowed down the attempt to pass a third sanction act through the Security Council. Indeed, the resolution which passed recently was supposed to have been passed in early summer of 2007. But almost immediately after the conclusion of the NIE report became public the US government, as well as its allies, belittled or even dismissed its value, and, in so doing, made the passage of a new sanction resolution against Iran appear to be urgent.
The second report that undermined the urgency of the 3rd round of UN sanctions was the IAEA report.[4] The summary of the report stated that
The Agency has been able to continue to verify the non-diversion of declared nuclear material in Iran. Iran has provided the Agency with access to declared nuclear material and has provided the required nuclear material accountancy reports in connection with declared nuclear material and activities. Iran has also responded to questions and provided clarifications and amplifications on the issues raised in the context of the work plan, with the exception of the alleged studies. Iran has provided access to individuals in response to the Agency’s requests. Although direct access has not been provided to individuals said to be associated with the alleged studies, responses have been provided in writing to some of the Agency’s questions.
The summary also stated that the “Agency has been able to conclude that answers provided by Iran, in accordance with the work plan, are consistent with its findings.” But, the summary also added, the “one major remaining issue relevant to the nature of Iran’s nuclear programme is the alleged studies on the green salt project, high explosives testing and the missile re-entry vehicle.” According to the report, the documents related the allegations were only shown to Iran in February, as late as just a few days before the IAEA report. Iran the report states, “maintained that these allegations are baseless and that the data have been fabricated.” The Agency, the report stated, is examining the allegations and the statements provided by Iran.
The allegations apparently refer to the content of the “stolen laptop” that the US had in its possession and supposedly showed Iran’s plans to build a nuclear warhead.[5] The content of this mysterious laptop had resurfaced a number of times before and its authenticity questioned by a number of sources, including IAEA’s own experts. For example, on February 22, 2007, the Guardian reported that, according to “informed sources” at the IAEA, “most of the tip-offs about supposed secret weapons sites provided by the CIA and other US intelligence agencies have led to dead ends when investigated by IAEA inspectors.” The report quoted an IAEA “diplomat” as saying: “Most of it has turned out to be incorrect. . . They gave us a paper with a list of sites. [The inspectors] did some follow-up, they went to some military sites, but there was no sign of [banned nuclear] activities.” The report then referred to the mysterious “stolen laptop” that the US had in its possession and supposedly showed Iran’s “plans to build a nuclear warhead.” As the report pointed out, in “July 2005, US intelligence officials showed printed versions of the material to IAEA officials, who judged it to be sufficiently specific to confront Iran.” But the report pointed out that IAEA officials doubted the authenticity of the laptop. “First of all,” the Guardian quoted one such official as saying, “if you have a clandestine programme, you don’t put it on laptops which can walk away [Moreover, the] data is all in English which may be reasonable for some of the technical matters, but at some point you’d have thought there would be at least some notes in Farsi. So there is some doubt over the provenance of the computer.” A similar report appeared on February 25, 2007, in the Los Angeles Times under the heading “U.N. Calls U.S. Data on Iran’s Nuclear Aims Unreliable.” The report quoted a “senior diplomat at the IAEA” as saying: “Since 2002, pretty much all the intelligence that’s come to us [by way of the CIA and other Western spy services] has proved to be wrong.” This report, too, pointed out that some IAEA officials doubted the authenticity of the laptop story.
Had IAEA officials changed their minds? Was there more to this report than had been divulged before? Or was the intense pressure exerted on the IAEA by the US and its allies, including repeated calls by the US and Israel to remove the IAEA Director, Dr. ElBaradei, resulted in the IAEA changing its position about the authenticity of the allegations? Given the number of false claims made by the US and its allies-which I have documented in my book-and given the intense pressure that the IAEA has been under to produce results agreeable to Iran’s adversaries, one cannot help but to suspect that story of the mysterious laptop might be another fabrication.
Whatever the nature of the US allegations, one thing is certain: even if the threat of military attack against Iran by the US, Israel or both has subsided for the time being, sanctioning of Iran has not. US unilateral sanctions, as well UN multilateral sanctions, are being intensified. Iran is clearly feeling the pain of numerous sanctions. It is, however, uncertain whether this pain is sufficient for Iran to relinquish its “inalienable right” to “develop research, production and use of nuclear energy for peaceful purposes without discrimination,” as guaranteed under Article IV of the Nuclear Non-Proliferation Treaty. The fact that after three rounds of UN sanctions Iran is still cooperating with the IAEA shows that Iran is bending under the pressure. But even if Iran does forfeit its right and capitulates, it is uncertain whether the US and Israel would stop their attempts to contain Iran. If containment means the destruction of any country that stands in the way of US and Israel, the fate of Iran might be similar to that of Iraq; ultimately an excuse will be found to do to Iran what was done to Iraq. The advocates of the dual containment policy, particularly those who had argued that Iran should be contained before Iraq, have been relentless. They will not stop until they achieve the ultimate containment of Iran.
Notes
[1] This essay is based on the Introduction of my book: http://www.routledgemiddleeaststudies.com/books/The-United-States-and-Iran-isbn9780415773966
[2] The text of Resolution 1803 is available at: http://www.counterpunch.org/2008/sc9268.doc.htm
[3] The text of the report is available at: http://www.dni.gov/press_releases/20071203_release.pdf
[4] The text of the report is available at: http://www.iaea.org/Publications/Documents/Board/2008/gov2008-4.pdf
[5] For more details about the “laptop” see my book, The United States and Iran, and a recent article by Gareth Porter, “Iran Nuke Laptop Data Came from Terror Group,” February 29, 2008: http://ipsnews.net/news.asp?idnews=41416.
Sasan Fayazmanesh is chair of the Department of Economics at California State University, Fresno. He can be reached at: sasan.fayazmanesh@gmail.com
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December 16, 2013
Posted by aletho |
Book Review, Economics, Ethnic Cleansing, Racism, Zionism, Timeless or most popular, Wars for Israel | Carter Administration, Iran, Iran-Iraq, Iraq, Israel, Reagan Administration, Saddam Hussein, United States |
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I’m a huge fan of peace studies as an academic discipline that should be spread into every corner of what we call, with sometimes unclear justification, our education system. But often peace studies, like other disciplines, manages to study only those far from home, and to study them with a certain bias.
I recently read a book promoting the sophisticated skills of trained negotiators and suggesting that if such people, conversant in the ways of emotional understanding, would take over the Palestine “peace process” from the aging politicians, then … well, basically, then Palestinians would agree to surrender their land and rights without so much fuss. Great truths about negotiation skills only go so far if the goal of the negotiation is injustice based on misunderstanding of the facts on the ground.
I recently read another book discussing nonviolent resistance to injustice and brutality. It focused on a handful of stories of how peace was brought to various poor tribes and nations, usually through careful, respectful, and personal approaches, that appeased some tyrant’s ego while moving him toward empathy. These books are valuable, and it is good that they are proliferating. But they always leave me wondering whether the biggest war-maker on earth is left out because war isn’t war when Westerners do it, or is it, rather, because the military industrial complex requires a different approach. How many decades has it been since a U.S. president sat down and listened to opponents of militarism? Does the impossibility of such a thing remove it from our professors’ consideration?
Here in Virginia’s Fifth District, a bunch of us met with our then-Congressman Tom Perriello a few years back and sought respectfully and persuasively to bring him to oppose and stop funding the war on Afghanistan. Perriello was and is, in some quarters, considered some sort of “progressive” hero. I’ve never understood why. He did not listen. Why? We had majority opinion with us. Was it because we lacked the skills? Was it because of his sincere belief in so-called humanitarian wars? Or was it something else? The New York Times on Friday reported on the corruption of the organization where Perriello was hired immediately upon his electoral defeat. The Center for American Progress takes funding from weapons companies and supports greater public funding of weapons companies. The Democratic National Committee gave Perriello’s reelection campaign a bunch of money just after one of his votes for a bill containing war money and a bank bailout (he seemed to oppose the latter). White House officials and cabinet secretaries did public events with Perriello in his district just after his vote.
I know another member of Congress who wants to end wars and cut military spending, but when I ask this member’s staff to stop talking about social safety net cuts as if they only hurt veterans rather than all people I can’t even make my concern — that of glorifying veterans as more valuable — understood. It’s like talking to a brick military base.
My friend David Hartsough was one, among others, who spoke with President John Kennedy when he was President, urged him toward peace and believed he listened. That didn’t work out well for President Kennedy, or for peace. When Gorbachev was ready to move the Soviet Union toward peace, President Ronald Reagan wasn’t. Was that because of sincere, well-meaning, if misguided notions of security? Or was it senility, stupidity, and stubbornness? Or was it something else? Was it a system that wouldn’t allow it? Was something more than personal persuasion on the substance of the matter needed? Was a new way of funding elections and communicating campaign slogans required first? Would peace studies have to revise its approach if it noticed the existence of the Pentagon?
Of course, I think the answer is some of each. I think reducing military spending a little will allow us to be heard a little more clearly, which will allow us to reduce military spending a little further, and so on. And part of the reason why I think it’s both and not purely “structural” is the opposition to war that brews up within the U.S. military — as it did on missile strikes for Syria this past summer. Sometimes members of the military oppose, protest, or even resist wars.
Another type of book that has proliferated madly is the account of military veterans’ activism in the peace movement during the Bush presidency — with always a bit on what survived of that movement into the reign of the Nobel Peace Laureate Constitutional Law Professor President. I’ve just read a good one of these books called Fighting For Peace: Veterans and Military Families in the Anti-Iraq War Movement by Lisa Leitz. This book, as well as any of them, provides insights into the difficulties faced by military and veteran peace activists, and military family member peace activists, as well as the contributions they’ve made. I’ve become an associate (non-veteran) member of Veterans For Peace and worked for that group and with other groups like Iraq Veterans Against the War and Military Families Speak Out because of the tremendous job they’ve done. The non-military peace movement needs to work ever harder at welcoming and encouraging and supporting military and veteran peace activism. And vice versa.
Different risks are involved. Different emotions are involved. Would you march against a war if it might ruin your own or a loved one’s career? To stretch the definition of war-maker a little, would you take a job with Lockheed-Martin if you oppose war? What if you oppose war but your child is in the military — would you be proud of his or her success and advancement into an elite murder team? Should you not be proud of your child?
The contributions of military and former military peace activists have been tremendous: the throwing back of medals, the memorials and cemeteries erected in protest and grief, the reenactment of war scenes on the streets, the testimony confessing to crimes no one wants to prosecute. New people have been reached and opinions changed. And yet, I want to say there is a downside.
Most peace activists have never been in the military. Most books about peace activists are about the military ones. This distorts and diminishes our understanding of what we’re doing. Most victims in our wars — and I mean statistically almost all of them — are on the other side, but most writing done about victims is about the U.S. military ones (assuming aggressors are victims). The giant cemeteries representing the dead in Iraq are orders of magnitude too small to be accurate. This severely distorts our understanding of one-sided slaughters, allowing the continuation of the myth of war as a contest between two armies.
Eliminating war would logically involve eliminating the war-making machine, but veteran and military opponents of war, more often than others, want the military preserved and used for good ends. Is that because it makes sense or because of personal identification? Nationalism is driving wars, but military peace activists tend, more than others, to favor “good patriotism” or “true patriotism.” Must a peace movement that ought to celebrate international law and cooperation follow that lead?
Leitz quotes Maureen Dowd claiming that veterans have “moral authority” to oppose war, unlike — apparently — those who have opposed war for a longer period of time or more consistently. Imagine applying that logic to some other offense, such as child abuse. We don’t suggest that reformed child abusers have the greatest moral authority to oppose child abuse. What about shoplifting? Do reformed shoplifters have the greatest authority to oppose shoplifting? I think that in any such situation, the former participants have a particular type of perspective. But I think there’s another valuable perspective in those who have opposed a crime. Some veterans, of course, were in the military before I was born and have worked for the abolition of war longer than I’ve breathed. I don’t think their past diminishes them in any way. I also don’t think it does what Dowd thinks it does.
Dowd’s idea may be that some wars are good and some bad, so we should trust those who’ve taken part in wars to make the distinction. I’d disagree with the conclusion even if I agreed with the premise. I don’t think it’s a premise the peace movement should accept. Peace is as incompatible with some wars as it is with all wars.
Accounts like Fighting for Peace bring out the segregation of military from civilian culture in the United States, a product of standing armies and standing foreign bases. I once spoke on a panel with a Democratic veteran candidate for Congress who thankfully lost but who advocated for everyone joining the military so that everyone would be familiar with what the military was. I have another proposal: everyone join civilian life, close the bases, dismantle the weapons, disassemble the ships, put solar panels on the runways, and give the Pentagon a new role to play. I think it would make a fine roller skating rink.
In the meantime, we should try to understand and work with each other to reduce the military, and that requires doing so without promoting it or joining it.
December 16, 2013
Posted by aletho |
Book Review, Militarism, Timeless or most popular | Iraq War, Military Families Speak Out, Syria, Tom Perriello, United States |
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