Saturday 30th of November 2024

a long history of american piracy........

Part I of a CAM investigation into the origins of the Ukraine War: U.S. and NATO involvement in the February 2014 Coup and Maidan Massacre, and their historical antecedents

As I write, the world is on the edge of nuclear and humanitarian crises after a year of the Ukraine “proxy” war with Russia. No single event can be seen as the sole cause, but the most dramatic lurch in the story was the “Revolution of Dignity” in Ukraine in November 2013 to February 2014, notably the horrific massacre of protesters and police in Maidan (Independence) Square on February 20, 2014.

 

By

 Jim Cole

 

Without dismissing the large sectors of Ukrainian society with legitimate grievances against corruption and stagnation, this was a bloody coup d’état, engineered largely by the U.S. over years with parts played by NATO puppets and local proxies. Viktor Yanukovych was elected in internationally recognized fair elections, and new elections were planned to occur within a year. But powerful interests and a large section of the public believed it could not wait as he could not be trusted. And he was chased out of the country like a hunted animal.

And, like all “color revolutions,” despite the underlying legitimate grievances, it was no true upheaval or revolution at all, it was simply local elites of the same class switching their allegiances to another external power. As Ukrainian political researcher Volodymyr Ishchenko describes, four groups gained power after the violent 2014 coup: “the oligarchic opposition, the NGOs, the far right and Washington-Brussels.”[1]

Many protesters congregated in Maidan Square from late November to February, sparked by the governments reticence to agree to the EU association agreement and its clauses on economic reform. Initially peaceful, the protests experienced periodic escalations in violence, often precipitated when things were settling down.

But it was the sniper attack of February 20, 2014, that was the crucial event that pushed things over the edge and led to the violent overthrow of the government, the consolidation of elements of fascist power in the government, and snowballed into the annexation of Crimea, a civil (and proxy) war in Donbas and the 2022 Russian “invasion” or “Special Operation Z,” depending on which side of the prism one is. The official and Western-implied view is that it was Yanukovych, or perhaps Russian-backed snipers, behind the massacre, yet those events received barely any coverage and no conclusive investigation or trial has occurred.

Who were the snipers? Who trained them? Who paid them? Who planned it? Who ordered it? Who benefited? Who covered it up and why?

 

The Liberal-Fascist Alliance: Imperial Terrorism

Before we look at the influence of U.S. soft power on events, it is essential to consider the history of U.S. support of fascist and nationalist groups during the Cold War, including the recruitment of hundreds of Nazis in the Reinhardt Gehlen organization to develop the German Bundesnachrichtendienst (BND)[2] and the use of diaspora Croatian and Ukrainian nationalists-fascists as spies and covert actors.[3]

This dual track of elite power—using both soft social democratic or liberal and hard fascist hands—is neither new nor a U.S. invention. For example, the murders of Rosa Luxemburg and Karl Liebknecht in 1919 by fascist Freikorps were pursuant to orders of Gustav Noske of the Social Democratic Party.[4]

Mark Twain was so taken aback at the “banditry” of Teddy Roosevelt, William Randolph Hearst and Henry Cabot Lodge’s vile lurch into global imperialism that he suggested the flag should be changed into black and white stripes with skull and crossbones replacing the stars.[5] One hundred and twenty years later, and perhaps as many million people killed in aggressions of regime change and counterinsurgency since, the comparison to piracy seems a quaint anachronism.

 

When your modus operandi is anti-communism, fascists are your best friends. In fact, the rabid anti-communism was and is itself a front for corporate imperialism, and its true aim was and is to crush any resistance, whether it is indigenous sovereignty or an uncooperative local elite.

In the recent post-war U.S. context, in parallel to the “left-hand” overt and covert support of center-left political actors—a sort of “democracy washing”—there were simultaneous “right-hand” covert recruitments of fascist militias across the world. In Europe (and Turkey), for example, there were (are?) the Operation Gladio-type military-intelligence “stay-behind operations” that also apparently practiced a “strategy of tension” terrorism under U.S.-NATO control.[6]

Similar imperial terror strategies of sabotage, death squads, torture and propaganda were also used in Asia (e.g., the CIA’s Edward Lansdale/General Thé’s terrorist bombing campaign in Saigon 1952–53,[7] Operation Phoenix in Vietnam and similar operations earlier in the Philippines and Indonesia), Latin America (e.g., funding, training and intelligence support for police, military and paramilitaries in Operation Condor counterinsurgency in the Southern Cone and death squads in Guatemala, Nicaragua and El Salvador) and the Middle East, such as Shah-era SAVAK torture and assassination and the use of so-called Mujahadeen, Muslim Brotherhood, al-Qaeda and ISIS-ISIL mercenary-terrorist groups in Afghanistan, Iraq and Syria.[8]

 

Lest we forget, the Homeland is no exception to imperial aggression, and counterinsurgency (including provocateurism and terror) was and is rife; the FBI’s COINTELPRO was the enemy of any group even hinting at challenging the power structure and would not hesitate to intimidate, incarcerate or assassinate (most often in overzealous police raids as in Fred Hampton’s case), especially when their targets got geopolitically wise; its PATCON agents (including a German BND agent)[9] riddled and provoked the right-wing militia movement in the 1990s; the CIA’s Operation CHAOS along with Army intelligence monitored hundreds of thousands of anti-war activists and infiltrated, rattled and incited thousands of organizations; and the FBI’s GOON squads terrorized and neutralized the American Indian Movement.[10] Once one understands that the priority is counterinsurgency—elite power protecting itself—and not public or national safety, the violence and illegality of these operations are indefensible. And this is perhaps only the tip of a vast and disturbing iceberg, not to mention the links almost always found, when one takes the time to dig, between intelligence agents and terrorist acts on even cursory research of an event.

Back to foreign policy: in the end, to win a client-state against the interests of the majority of its citizens, a final push of terror, shock and violence is often needed for both regime change and—once a state is a client—to protect the regime with counterinsurgency operations. Once the masses are terrorized and traumatized or disenfranchised, it is much easier to maintain the status quo, and the elites might consider the country “stabilized.”

But the goons and dragoons that do the dirty work of empire are largely only pawns, radicalized with weaponized nationalism to face killing and death without squinting in the service of empire. Meanwhile, safely a few steps detached and hidden behind the façade of liberalism or feigned benevolence and endless trails of front organizations, the power players keep their hands clean and faces out of sight. These psychotic puppeteers use their psychotic puppets as agents of chaos, division and terror against the masses and their enemies.

In Ukraine, you do not have to look far to see an 80-year history of U.S. meddling with fascist groups for their own ends. The oldest is the Organization of Ukrainian Nationalists (OUN) which was formed in the 1920s, made up the 14th Waffen SS Division during World War II, and its Bandera OUN-B branch. After OUN head Stepan Bandera was killed in 1959, Yaroslav Stetsko became its leader and, like many fascist-nationalist leaders across Eastern Europe, was chosen by U.S. intelligence—initially military intelligence, later the CIA—as their man to fight communism by any means necessary and, ultimately, like all of these brainwashed psychos, as a tool of U.S. imperialism.[11]

More recent groups are the Ukrainian National Assembly—Ukrainian People’s Self-Defense (UNA-UNSO), founded in the 1990; its 2013 offshoot, Right (Pravy) Sector, founded by Dmytro Yarosh; and Svoboda, formed from the OUN.

All of these ultra-nationalist groups and more were supported by U.S. politicians and agencies before the coup, were present at Maidan, and formed the leadership and majority of the “Maidan self-defense.” Svoboda—supported by the U.S.—had already gained 10% of the vote by 2012, no doubt thanks to a savvy political grooming of their leader and violent anti-Semite Oleh Tyahnybok.[12] After the coup, Svoboda and Right Sector leadership gained prominent positions in Poroshenko’s post-coup government. Svoboda’s new politicians, for example, included Oleksandr Sych as Vice Premier for Economic Affairs, co-founder Andriy Parubiy as Secretary of the Security and National Defense Committee, as well as ministers for education, agriculture, and the environment.[13]

 

One can also see “Gladio-B” parallels in the use of jihadists, mujahadeen and “moderate rebels” in the 1980s to the present, and some consider the training, funding and arming of neo-fascists more recently as a “Gladio-C.” (As a report by the Counter Extremism Project stated in an April 2020 report on Ukraine: “In 2019, right-wing extremism effectively replaced jihadi terrorism as the number one threat to internal/homeland security of the countries of the broader West.”)[14]

In many of these projects there have been accusations of assassination and terrorism, including “false-flag” operations that blame an atrocity or outrage on the target in order to increase state authority, destabilize and weaken enemies, precipitate invasion or intervention, drive the permanent war economy and marginalize left-wing (or more correctly, “non-aligned”) politics.

As Italian fascist and convicted bomber Vincenzo Vinciguerra said in 1992 of CIA-NATO Operation Gladio’s strategy of tension that killed hundreds in Italy in the 1970s and 1980s: “You were supposed to attack civilians, women children…innocent people outside of the political arena for one simple reason: To force the Italian public to turn to the state…turn to the regime and ask for greater security.”[15] It is the elite’s covert use of military, intelligence, police and paramilitary fascist might to maintain control in so-called liberal democracies.

 

As well as state terrorism, these sleeper cell “stay-behind networks” also perform sabotage operations, and there is no doubt that equivalent forces are still active and under CIA-DIA-NATO direction in most enemy states, including Russia and Belarus.[16] And it seems such cells were activated there before the Russian attack of February 24, 2022.

Mainstream media, particularly recently, claim Ukraine as a legitimate democracy, with the defense that the parliamentary vote is less right wing than other European nations. However, the continued co-opting of fascists into state power by other means, and reverence for fascist heroes such as Stepan Bandera, speaks of deeper roots. For example, in the early 1990s, officials from the Ukraine Defense Ministry attended an SS Galician Division reunion in Kyiv, whilst a similar reunion occurred in Lviv, endorsed by the city council and celebrated with the renaming of a street after Stepan Bandera, one that ironically had been called Peace Street.[17]

 

More recently, as part of a tsunami-level neo-liberal PR campaign, the fascist brown is liberally whitewashed by both internal players seeking political power and the external U.S. and EU power-brokers not wanting their pawns weakened. It is important to look for blips in this whitewashing to see behind the propaganda to the true power of fascists in Ukraine. When you rule by fear, you do not need to be large in number, only in the right positions to create, validate and use that fear.

The fact that Zelensky is Jewish is often mentioned by the naïve or deceptive as an obvious sign that “Ukraine can’t be that fascist.” But this ignores the strange bedfellows of money and power politics, particularly in a region that has been pumped full of aid, gas money, corrupted investment and propaganda for decades, and has long been a battleground between the U.S. and Russia as well as between a large minority of Ukrainians and Russia.

Behind Zelensky and many of the notorious nationalist-fascist militias in the Donbas war, such as the Azov Battalion, is Ihor Kolomoisky, the PrivatBank and Burisma-linked billionaire.

 

Not only is he accused by the U.S. Department of Justice of millions in fraud and embezzlement, but Federal Court records show a far greater level of embezzlement that triggered a recession in Ukraine: “Between 2006 and 2015, more than $4.45 billion was transferred without any apparent effort by the banks or the government to stem the movement of dollars as the oligarch and his partners acquired an enormous [U.S.] real estate portfolio.”[18] Yet, for the most part, the government, Deutsche Bank and mainstream media continue to look the other way. “He might be a totally corrupt oligarch with no morals, but he’s our guy!”

Apart from the shared source of income, Ukrainian politicians have had very real threats of assassination from the neo-fascists, and I believe they continue to take them seriously.

Like other post-Soviet countries, Ukrainian civic activists, largely working for or influenced by U.S. and EU-funded NGOs, can hold what can seem a paradoxical combination of nationalist, neo-liberal and pro-EU views.[19] For example, during the 2013-14 protests, the EuroMaidan press—a George Soros-funded media central to the movement—published a piece defending even clearly hard-line fascists such as Dmytro Yarosh and their violence as a necessary force for change. Paradoxical views, like cognitive dissonance, are a sign that you are being manipulated.

 

A sort of “my bully is the good bully” moral ambiguity, and a recipe for escalation and disaster. This willingness to co-opt extremism (or be co-opted by extremists) even extends to ISIS-trained Jihadi fighters of the Sheikh Mansur Brigade, who came fresh from Syria and were managed by the Right Sector in the war in Donbas.

Even more broadly, liberals seem not to grasp nor have memory of basic geopolitics, the “offensive realist” or realpolitik view as openly decreed by many prophets of U.S. imperial policy like Zbigniew Brzezinski, George Kennan, Robert Gates, Alexander Haig and the neocons of the Project for a New American Century (PNAC)—let alone the covert action, soft power and slick PR that hides realpolitik behind a façade of a surreal Disney-on-the-Deathstar show.

They are trapped by their own privilege, a framing by corporate media, and in the naïve belief that their leaders practice what they preach as their billion-dollar PR campaigns turn darkness into light. I call it the “propagandascope.”

In this insane view, complete acquiescence to U.S./NATO/West/North—whatever you want to call the neo-liberal empire—is called “neutrality”; there are no other ways of living; history is over and resistance is futile. And because of its righteousness, its professed liberal values—its true sole value being elite profit motive—it is an inevitable and manifest destiny, as the unprecedented powerbrokers of the first American century, like the Dulles brothers and Henry Luce—all sons of Presbyterian ministers—believed. America, god and the free market.

Soft-Power Imperialism

“In a counterinsurgency situation the primary sources of insurgent strength are not a strong military organization and its technological industrial support, but the sources of discontent of the people within the nation, and thus, the people themselves.” — Special Operations Research Office, 1962 [20]

The greatest trick of empire is to hide in plain sight; the main aims of empire are to protect itself, neutralize its threats and to grow. Its main weapon for all of this is psychology—the appeal of virtue on one side, the threat of fear and anger on the other—and the most powerful form of this is the political use of atrocity to control the population.

After the exposures of clandestine imperialism of the CIA, et al., in the 1970s’ congressional investigations, and related whistleblowing from greats like Philip Agee (who incidentally offers an excellent, concise description of soft power in this 2005 interview), John Stockwell and Ralph McGehee, the CIA’s political action methods of imperialism evolved to overt soft power methods of NGOs, as neo-liberalism and spin took hold after the 1970s scandals and Vietnam failure.

The New Cold War started as the last one was ending, with a U.S. drive for global unipolar “benevolent” hegemony, later termed “full-spectrum dominance.” USAID began Ukraine projects in 1991 and recently described its interventions there as a 30-year partnership that “helped establish a vibrant and independent media, an active civil society, and a broader entrepreneurial class.”

This groundwork and astroturfing ensures that development is toward the American beacon and sphere of influence in terms of politics, economics, military, national security, civil society, labor, academia, culture and media; most importantly, it is intended that markets and resources (such as gas) are opened for U.S. and European multinational corporate exploitation.

As more and more soft-power influence has developed through countless and ever-multiplying USAID, State Department, National Endowment for Democracy (NED) as well as European and the “philanthropic” projects of George Soros [whose International Renaissance Foundation (IRF) has been in Ukraine since 1989] and Pierre Omidyar, events in Ukraine escalated under Obama and through State Department -eocons such as Victoria Nuland and their Military-Industrial connections.

Nuland is the ex-CEO of war hawk Democratic think tank Center for a New American Security (CNAS) and wife of PNAC co-founder Robert Kagan. Might as well call them all Republocrats or Demublicans, especially when it comes to imperial foreign policy.

Soft power includes political, diplomatic, cultural and media influence to co-opt civic and political leaders and capture the hearts and minds of the people. The darker side of this is sanctions, weaponizing aid (including IMF aid) as leverage as well as covert actions such as sabotage, provocateurism, assassinations and other “destabilizations” to create a society rotten-ripe for regime change. We will discuss the soft power apparatus developed in Ukraine in more detail in part II

Regime Change

 

Regime change requires an infiltration of society by the flow of (largely U.S. taxpayer) money to build infrastructure and cultural and political influence in a target state over years. In current USAID Orwellian parlance, these soft-power projects are called “stabilization and transition,” i.e., destabilization and regime change.

The local effect of each dollar and each project amplifies and is amplified by the level of public discontent, the weakness of local government and the level of opposition control of local and international media. Although color revolutions are largely an information war of hearts and minds, where the government is legitimate and has significant local support, brutal tactics of insurgency are ultimately needed for regime change.

The main strategies of regime change are:

  1. Soft power: Provide weaponized aid, development, humanitarian assistance and media to win public opinion, ideology and culture.
  2. Political co-opting: Co-opt and unite opposition, ideally including military leaders.
  3. Political grooming: Train and fund a new generation of overt agents of change, the future political leaders (e.g., the World Economic Forum’s “Young Global Leaders” program).
  4. Covert Action/Black operations: Train and fund covert agents of change (often fascist or extremist) to do the dirty work of insurgency and counterinsurgency.
  5. Narrative control: Develop a sympathetic media.
  6. Economic warfare: Diplomatic isolation, sanctions and sabotage to “make the economy scream.”[21]
  7. Mobilization: Organize mass protests and PR with media control, while also warning that “there will be blood.”
  8. Provocateurism: Goons and dragoons of power engineer provocation, confrontation, outrage and chaos and the soft arm controls the media analysis through immediate (social media), short (mainstream news) and long term (NGO reports and books).
  9. Assassination of key political leader or false flag targeting opposition leader or public citizens.
  10. Denial and cover-up via censorship, propaganda and narrative bias. It helps if you built the whole mediasphere.

Dominique Fonvielle, who spent 15 years as an analyst with France’s foreign secret service, Direction Générale de la Sécurité Extérieure (DGSE), described the following steps of regime change to German filmmaker Susanne Brandstaetter in 2003:[22]

  1. Identify opposition forces to destabilize ruling regime (need to be credible and influential)
  2. Effective propaganda to smear the ruling regime
  3. Prepare (convincing) future head of state and staff
  4. Create revolutionary milieu
  5. Spark a revolution/coup.

The methods of covert action for taking power with insurgency or securing power with counterinsurgency are ultimately the same: targeting a group of people to neutralize them by getting information, ruining their reputation and disrupting their function.

The U.S. foreign policy machinery is entirely geared to grind down countries that resist its drive for political and economic domination. Coups are planned well in advance and cost a lot of money.

A key mid-level operator of the Ukraine 2014 coup, Victoria Nuland, estimated that the U.S. had spent $5 billon on civic, political and media projects in Ukraine from 1991 to the end of 2013, and I presume this does not include astronomical budgets for military, paramilitary or covert actions; private oligarch NGOs like those of Soros, Omidyar, Gates and Thiel; nor does it include behind-the-scenes deals or the carrot-and-stick use of IMF and World Bank loans and diplomatic pressure on NATO allies that, regardless, aim to drive neo-liberal economic reform and the looting of public resources and infrastructure.

 

Nuland announced her figure proudly at a U.S.-Ukraine Foundation meeting in 2013, with a large Chevron sign next to her. Did Ukrainians on the street not see this? Or did they not see it for what it was?

The Americans have moreover completely deceived the Ukrainian people and the Ukrainian government with regard to the completely unrealistic victory of Ukraine in this war, in my opinion, because in any case the big loser in this war is Ukrainian population itself and also as a consequence Europe with all the crisis in which it was engulfed by the will of the politicians.


— Pierre de Gaulle, grandson of Charles de Gaulle, December 2022[23]

Like most regime-change operations, the 2014 coup involved a two-edged (Gladio) sword approach: one side soft, neo-liberal, political and “diplomatic”; the other side hard, dirty, bloody and fascist. The former co-opts the public’s genuine liberal aims and grievances against economic conditions, authoritarian tendencies and corruption. The latter is covert action; generally outsourced to local extremists and non-local private mercenaries, training and hiring extremists to do the dirty work when needed.

In Ukraine’s case, it is clear fascist extremists were involved by the prominent position as “Maidan security” provoking violence and in the post-coup government positions they were rewarded with after the coup. The far-right Svoboda (originally the “Socialist-Nationalist Party”), Right Sector, Azov Battalion and C14. The Azov Battalion, dismissed by NATO media as a minor aberration, post-coup became an official branch of the Ukraine Army numbering tens of thousands.

It is also clear fascists were involved in escalating the violence, and are proud of the muscle they flexed—C14 head Yevhen Karas recently proclaimed that the 2014 “Revolution of Dignity” would have been a “gay parade” if not for the instrumental role of neo-Nazis. The moderates and many liberal-progressive activists considered groups like Svoboda as the only party of action, making a deal with the devil, and some insisted at the time, such as the EuroMaidan Press (funded by Soros’s IRF) that the Nationalist fascists such as Dmytro Yarosh are needed to protect citizens from the state violence of leaders like Yanukovych; “Someone who is ready to risk his life so I can live in freedom and peace—can`t be a bad guy. It’s that simple.”[24]

Strange bedfellows (and tragic naïveté), indeed.

The fascist psychos and ultra-nationalist ideology also became emboldened as the “anti-terrorist operation” evolved into the Donbas war. The initial wave of regular Ukrainian soldiers lacked a desire, when it came to it, to kill their siblings and cousins in the east in 2014. And so, later in the year, Azov, et al., took over and the ideology was spread in parallel to the de-Russianizing of Ukrainian identity.[25]

Ultimately, for imperial advance, the nationalist extremists ready to die serve as a destabilization grenade, exploited by local and foreign oligarchs as henchmen to protect their interests and to destroy and bleed their enemies, who are conveniently many in form. For the foreign elite, if this chaos and terror also destroys the local population and country, so be it. As long as access to energy and other valuable resources at least does not fall into enemy hands, the military industry oligarchs can make billions off the endless war. Should peace come after all is destroyed, so be it; there are also billions to be made in rebuilding projects along with excellent PR opportunities.

False-Flag Attacks

There are many documented and admitted examples of false-flag attacks,[26] where an atrocity is used to provoke increased authority and loss of civil liberties, a military intervention or regime change. The basic profile is:[27]

  1. Highly emotive event: Spectacular and traumatic
  2. Media bonanza: Instant media saturation with widespread coverage
  3. Sham investigation: Case is quickly closed, with a scapegoat/patsy identified with group being demonized; and cover-up
  4. Political reaction: Dramatic government/group reaction:
    • a) Erosion of rights/civil liberties for “safety”
    • b) Military action or invasion
    • c) Regime change—fake revolution masqueraded as a democratic uprising.

As they are black operations ordered and sanctioned by powerful groups, with the media on their side, and strict compartmentalization and plausible deniability, evidence is hard to come by unless there are whistleblowers. Even then, such dark actors are easy to discredit, or can be silenced with threats, blackmail or assassination. It pays to look for:

  1. The desired intent before the event
  2. The reaction after the event
  3. Who wanted this?
  4. Who benefited? Which government, group, company or organization?
“Unknown Snipers”: False-Flag Crowd Assassination Precedents

If not enough people die, if not enough blood flows, the people will never stand up for themselves.


—Gheorghe Ratiu, head of domestic intelligence in Romania’s Departamentul Securității Statului “Securitate” 1986-1989[28]

There are many types of “big shock” atrocity that can provoke the reaction needed for a coup or military intervention, ranging from those that occur with no foreign manipulation other than the white propaganda that makes it well known, to false-flag black operations that create the event(s) and control the media interpretation. The effect is magnified by use of controlled media—the propaganda multiplier. Where there is no incident that can be publicized or propagandized to provoke outrage, the most effective provocation is a false flag, laying blame on the target government.

Whether or not instigated by an insurgent, opposition or external agent, poisonings, such as the Yuschenko poisoning and the “Orange Revolution”; assassinations, such as that of Rafic Hariri and the “Cedar Revolution” in Lebanon; bombings, such as Israel’s Lavon affair in Egypt, 1954; chemical attacks (e.g., Douma, Syria, April 2018); and other provocations and atrocities are used to achieve public and political momentum for regime change.

Protest provocation can be used by or against a host government, i.e., for counterinsurgency or insurgency, respectively. Regime-change (i.e., insurgent) protests are increased by soft-power means and PR, but uglier methods of agent provocateurs and paramilitaries are used to bring serious conflict, outrage and a sense of chaos and illegitimacy of the target government that can only be quenched by a volte-face or military intervention. However, to frame the atrocity in favor of insurgency/the opposition, the (majority) media must be under control, to fan the flames of justice or revenge and to manage a cover-up. This requires co-ordination of social media campaigns, local news networks and amiable/compliant international media, NGOs, commentators, foreign governments and academia to form a propaganda multiplier, which takes years of investment and development by the imperial government. We will discuss the Ukraine imperial mediasphere later.

But let’s first look at some historical events with similarities to what happened in February 2014 in Kyiv: paramilitaries, terrorists or mercenaries randomly firing on crowds to provoke insurgency.

Syria 1982

Hama uprising, February 3, 1982: After years of terror campaigns and brutal reprisals, Muslim Brotherhood snipers ambushed a government soldier’s patrol and their commander, Abu Bakr (Umar Jawwad), declared Jihad against the Ba’athist Assad regime. The Defense Intelligence Agency (DIA) estimated a few months later that 2,000 died over the three-week battle, including soldiers, jihadists and civilians. [29] Many subsequently suggest much higher numbers, particularly of civilians. The jihadists, desiring an Islamic state, were well-funded and well-armed, with U.S. weapons, communications equipment and the backing of U.S.-allied Jordanians, Christian Lebanese and Iraqis. [30]

Although not firing on a protest and not obviously a false flag, it was a foreign-funded insurrection, and the foreign media blamed the Syrian government almost exclusively for the bloodshed, ignoring the opposition violence (a common theme). As the Defense Intelligence Agency (DIA; if you haven’t heard of them, the largest of intelligence agencies, it is because they are better at their job than the others) report stated in 1982: “Even if the plan were not successful the Hama rebellion could become a symbolic rallying point for future anti-government activities.” As in many other interventions before and since, extremists are used as a “battering ram” or “chaos agents” to foment regime change, and the association is either denied or whitewashed by the control of the media.

 

Romania 1989

Possibly along with the use of snipers in Moscow in 1993, Romania—December 1989—appears to be a rare example of a co-U.S. and Soviet black operation involving “unknown snipers” to get rid of Nicolae Ceaușescu’s regime blocking European reunification. Remember this was when team USA was negotiating “fixing” the Soviet economy and both sides viewed Ceaușescu as the main barrier to progress. It is telling that this was the most violent of the initial post-communist transitions.

More than 1,000 people died around late December 1989, most by random shootings including those by snipers, across the country, the vast majority after the Ceaușescus were arrested on December 22, 1989. The murderous chaos distracted from the coup itself and led to a desperate desire for stability and authority and quick international validation of and, ironically, sympathy for Ion Iliescu’s new National Salvation Front government.

The snipers were called “unknown terrorists” for years but the repeated recent prosecutions against the Consiliul Frontului Salvării Naționale (Council of the National Salvation Front, CFSN) regime that took power after the Romanian coup of 1989 indicate the local coup plotters had substantial support from Moscow, Budapest and Washington. Ion Iliescu (who became president), Gelu Voican Voiculescu, Iosif Rus and Emil (Cico) Dumitrescu have been repeatedly indicted for crimes against humanity for provoking the “psychosis” that led to the killings—a strangely evasive and medieval way to describe intentional massacre.[31]

A more accurate charge would be complicity (along with the U.S., Hungary and Soviets) in being psychos that ordered mass random assassinations, distributed weapons to anyone with a trigger finger and pumped the country full of fear-inducing propaganda in order to provoke more psychosis, i.e., false-flag state terrorism.

During the brief mock trial that preceded the Christmas Day 1989 executions of Nicolae and Elena Ceaușescu—which were simply accepted as an inevitable and natural course of events in the global media—there are interesting statements by an unidentified military “judge” and the “defendants” themselves about the identity of the “terrorists” still causing chaos around the country:[32]

UNIDENTIFIED SPEAKER: Mr. President, I would like to know something: The accused should tell us who the mercenaries are. Who pays them? And who brought them into the country?

PROSECUTOR: Yes. Accused, answer.

CEAUSESCU: I will not say anything more. I will only speak at the Grand National Assembly.

And, later:

CEAUSESCU: You as officers should know that the government cannot give the order to shoot. But those who shot at the young people were the security men, the terrorists.

ELENA CEAUSESCU: The terrorists are from Securitate.

PROSECUTOR: The terrorists are from Securitate?

ELENA CEAUSESCU: Yes.

The Ceaușescus are obviously not incriminating themselves in stating the terrorists are members of Securitate. Rather, coup plotters included members of the government, army and Securitate.

The new regime was promoted before and after the coup in Western media—particularly, of course, by Radio Free Europe—and CIA reports from 1982 and 1985 make it clear that Ion Iliescu was their chosen replacement for Ceaușescu years before the coup.[33]

And so—anointed by the interventionist god of free-market consumerism—he immediately took power on December 22nd, with his first statement that same day clearly stating the country’s new position as completely supportive of U.S./NATO and Soviet agendas, i.e., pro-free-market reform and European reunification.[34] Roadblock cleared. Although, just to keep the path completely clear, the terrorist destruction continued for another week.

On December 24, U.S. Ambassador to the Soviet Union Jack Matlock met with Soviet Deputy Foreign Minister Ivan Aboimov. They agreed they were both in favor of supporting the “new leadership of Romania”—only two days old and (one would imagine) ill-defined to them unless they are privy to magical foresight or privileged information.

Matlock’s main priority in the conversation was to know if the Soviets would intervene to support the new regime, in humanitarian or military aid, to which Aboimov replies in the affirmative. Matlock then asks if they would consider intervening militarily, to which he replied in the negative, stating that the Soviets gladly henceforth hand over Brezhnev’s policy of eastern sphere intervention to the Americans.[35]

This last point is focused on almost as a distraction in the literature as if it were a profound wisecrack, referring both to the shift to a unipolar world and a barb at the U.S. invasion of Panama. But more to the point is that it is clear from the transcript that they are completely on the same page regarding getting rid of Ceaușescu and bringing in the coup plotters, which means they must at least know who these people are, what they are planning and that they unreservedly approve of them. Matlock is likely focused on the intervention policy as it is a contingency of the strategy of insurgency tension to provoke international intervention. As it turns out, this was not required, perhaps as the horrendous chaos subdued any dissent or counterrevolution.

Susanne Brandstaetter’s excellent 2003 documentary, Checkmate: Strategy of a Revolution, exposes Western intelligence and U.S. State Department involvement in Romania 1989, with direct interviews with protesters, CIA agents, Romanian intelligence, CIA and French DGSE officers, as well as a revealing interview with Miklós Németh, Hungarian prime minister at the time. No wonder many Romanians have always suspected large foreign complicity.[36]

In it, Dominique Fonvielle says that paramilitaries were trained in Hungary and Germany, and were smuggled into the country in small groups to be ready for provocation of protests and “paramilitary actions” (presumably including sniper attacks).[37] There were also reports of Russian “tourists” entering in larger numbers in the days before the protests.[38]

Also in the film, Németh—somewhat coy and sheepish, yet also clearly enjoying the reminiscing and salacious topic—confirms there were paramilitary training camps with U.S. personnel in Austria, Germany and Hungary. More precisely, the ex-head of domestic Securitate, Gheorghe Ratiu states that they were U.S.-led camps providing training in provocateurism and guerrilla operations in Traiskirchen, Austria; Zirndorf, Germany [presumably the Pinder Barracks]; and Bicske and Budapest, Hungary. Most likely there were others.

Ratiu also claims in Checkmate that, from early in the protests in Bucharest, a faction of the army simply started handing out weapons to the general public, leading to many fear-induced shootings and killings between civilians, the army and Securitate. As with snipers, the purpose was to maintain fear and insecurity until the new authority of Ion Iliescu’s new US- and NATO-approved National Salvation Front government was in place. Pushing chaos on the public creates a pushback for authority. Although this chaos is often blamed on a “power vacuum,” this is a myth as Iliescu picked up the reins immediately after Ceaușescu was deposed, according to his co-conspirator and army chief (who, conveniently for his Hungarian handlers, spoke Hungarian), General Victor Stanculescu.

This is all pretty convincing. But if, like me, you prefer straight-talking witnesses and whistleblowers over mealy-mouthed diplomats and spooks—especially the brutal and perhaps not very bright militarist ones that do not even see what is wrong with violent imperialist intervention—we can look to Major Craisor-Constantin Ionita’s 2001 thesis submitted for a master’s degree in Military Studies at the U.S. Marine Corps Command and Staff College in Quantico, Virginia.[39]

Titled “The Influence of International Law Upon Military Operation on Urbanized Terrain (MOUT) During Romanian Revolution, December 1989,” it is an unexpected description of the revolution as a foreign-sparked coup by NATO, Hungary and (perhaps under a sense of naïve obligation to the U.S. as the new dictators of its mafia-neo-liberal future) Russia. Notably, he states that it was GRU Military Intelligence, not the KGB, that was involved in the Russian arm, which aligns with diplomatic cables of the time indicating that the KGB had (or would only give) terrible intelligence for Gorbachev during the “coup-volution.”[40]

Ionita, now a researcher at the National Defence University of Romania, contends that:

  • Large numbers of “tourists” came into Timisoara from Hungary and Yugoslavia just before the beginning of the revolution. They were former refugees who had received training for “diversionary operations.”
  • Gorbachev described his role in the Romanian Revolution and in the execution of the Ceaușescus in the media—particularly in the January-February 1990 issue of Europe magazine (Bruxelles).
  • “After the Gorbachev-Bush meeting at Malta (the beginning of December 1989), professional people from the GRU (Soviet Military Intelligence), were prepared to start a revolution in Romania’s principal cities. Their role was only as a spark to start the revolutionary fire, already existent in cities. The strategic objective was to overthrow [Ceaușescu]. The operational objectives were the Communist Party buildings in Romania’s principal cities.” “Only as a spark” is an interesting and ambiguous qualifier that I do not believe would stand up in any court of law.
  • International media played a key role, especially American Freedom Europe and Voice of America, and the British BBC with “a vigilant campaign against [Ceaușescu], carefully observing psychological and moral influence of Romanians living in cities.” Amplified by Hungarian media, they “tried to create a hostile mood against the communist regime, to encourage dissidents and to incite a revolt within cities.”
  • The CIA set up the “Trust Organization” in early December to encourage and support dissident movements in Eastern Europe, and destabilize the communist regimes in these countries, including Romania.
  • Meanwhile, NATO countries increased their embargo against those countries that did not implement democratic reform.
  • “At the same time of [Ceaușescu]’s attempted escape, three ‘dissident persons,’ selected by Moscow to replace him, were helped by ‘professionals’ to occupy T.V. and Radio central stations”—Ion Iliescu, a Gorbachev friend and future President, Nicolae Militaru, a GRU agent and future Minister of National Defense, and Petre Roman, future Prime Minister.
  • The terrorists’ plan was to sow confusion and get the military fighting the Securitate necessitating Warsaw Pact intervention. They also successfully disabled the air defense system.
  • Finally:

At the beginning of [the] revolution it was thought that foreign agents and spy agencies, who wanted to destroy the communist ideals, started and supported the people revolt in Timisoara. That assessment led to the right of the military personnel to use deadly force in self-defense, their unit’s defense and defense of buildings under protection against any hostile act. In the midst of crowd there were some 300-400 revolutionary professionals trained by foreign countries (USSR, Hungary, NATO countries) to increase the popular revolt. If the civilians used rocks, “Molotov cocktail” (incendiary bottles), chains, and metallic balls to seize administrative and political buildings, these professionals handled white and fire armament.[41] Due to their actions, soldiers were killed and soldiers opened fire against civilians.

 

On the contrary, CIA-friendly commentators still suggest it was fiercely loyal Securitate groups—particularly the Unitatea Specială de Luptă Antiteroristă (USLA) anti-terror squad—perhaps with the help of (always convenient) “Arab Terrorists,” who terrorized Bucharest for days, including attacks on embassies.[42] The main evidence supporting this is from UK, U.S. and Canadian embassy cables during the period and some declassified CIA reports that identify the terrorists as loyalists aiming for a Ceaușescu counterrevolution, despite his being deposed politically on December 22 and mortally on December 25. How this also squares with the strictly “need to know” basis of black operations, as well as the clear benefit of attacking prominent westerners in provoking and validating a crisis, is unclear.

Lastly, one wonders if the Hungarian-Bolivian terrorist, jackal, murderer, intelligence agent and ex-BBC journalist Eduardo Rózsa-Flores was involved in Romania 1989 as he was involved in false flags and murders, fighting for Croatia in the Yugoslavian civil war only a couple of years later. According to leaked Hungarian secret service files, the KGB and Hungarian secret service trained Rózsa-Flores was doing provocateurist work in Budapest in September 1989, and was planning a Romanian trip with anti-communist activist and director Roland Antoniewicz, who claims he was unaware of Rózsa-Flores’s undercover role.[43]

 

Venezuela 2002

Caracas April 11, 2002. Nineteen killed and scores injured, with a key part played by snipers (and some police loyal to Caracas mayor and U.S. puppet Alfredo Peña) firing at pro-government and opposition protesters as well as, at some points, police. This was a plan in the failed coup of military leaders, supported by the U.S., Venezuelan elite and anti-Chávez media [see Angel Palacio’s 2004 documentary Llaguno Bridge: Keys to a Massacre for more].[44]

 

That the violence was planned is apparently evidenced by the practice run recording for CNN’s Otto Neustaldt, where the generals denounced the violence that was yet to occur. Later that month, Venezuelan Congressman Roger Rondon accused Ambassador Charles Shapiro and two U.S. military attachés of involvement and stated that two foreign gunmen, one American and the other Salvadorean, were detained by security police but were “given some kind of safe conduct” and disappeared.[45]

Many other suspects were released during the short reign of the de facto government, including seven suspected snipers arrested in the Hotel Ausonia – and more than 60 pro-Chávez supporters were killed in the protests for his release, which received very little outcry in the mainstream and foreign press.

 

 

Thailand 2010

April 10, 2010: “Red shirt”/United Front for Democracy Against Dictatorship protesters, supporters of Dubai-based, U.S.-backed billionaire ex-prime minister Thaksin Shinawatra, convened at Bangkok’s “Democracy Monument.” Mysterious gunmen embedded with the protesters used sniper fire and grenades to create chaos and kill six soldiers and a colonel. Thai troops returned fire: 25 died and 840 were injured.

CNN initially did not report that protesters were armed, then conceded two months later that there were “men in black firing automatic weapons on April 10.”[46] The international spokesman for the redshirts admitted in a Reuters interview about the recent “vibrant”(!) protests, that the men armed with AK47s and M16s in black were ”a secret unit within the army that disagrees with what’s going on.”[47]

And he continues, apparently without irony, “Without them, the black-clad men, there would have been a whole lot more deaths and injuries.” Although these violent and soft “change agents” appear local, the insurgent opposition movement is U.S.-backed as Thailand is too close to China for Washington’s liking. It will take a leak to discover exactly how but there are countless examples from which to extrapolate.

 

Syria 2011

March 17-18, 2011: The violence in Syria started in a small town near the Jordanian border, Daraa, with a series of demonstrations and reports of snipers killing both demonstrators and security forces. The vast majority of Western media (CNNNYTAl JazeeraAP, etc.) ignored the police/security force deaths and reported most all deaths as civilian. In fact, as reported by IsraeliLebanese and Indian news sites, most of the initial deaths were police, and multiple government buildings and the SyriaTel phone company building were also torched.

This bias set the tone for the rest of the reporting on Syria that followed, continuing to deny that there was an Islamist armed insurrection, let alone that they were supporting it with the aim of weakening Assad [48] and instead blaming provocateurism on “secret police” trying to foment a reaction to allow a larger crackdown. Similar events followed over the next month, with snipers firing on crowds “in the coastal cities of Banias, Jabla and Lattakia, in the central industrial city of Homs and in towns close to Damascus, Harasta, Daraya and Duma.” The effect described by one witness was that “Anger is rising, the street is boiling.”

An Al Jazeera correspondent reported at one incident in Douma in April 2011 that “it was an incredibly chaotic scene, and it seems as though pretty much everyone down here in the southern part of the country is now carrying weapons. It is unclear who was firing at whom, that’s part of the confusion.[49] Yet no media were acknowledging that there was an armed insurrection occurring, who they were, where the weapons came from or where their bullets were going.

Was it foreign-backed armed terrorists or “government snipers” killing soldiers and civilians? Or both? The fact that the DIA stated in a 2012 Department of Defense Information Report that their intent was to destabilize Syria and install an Islamic state in eastern Syria—and hence why they continue to fund, arm and train Islamist extremists to this day—suggests the snipers were most likely a U.S. strategy of regime change, escalating the ongoing conflict that has so far caused half a million deaths, millions injured and more than six million refugees.

 

Yemen 2011

March 18, 2011 (the same day as the violence in Daraa, Syria), 53 protesters were killed in Sanaa, Yemen, and hundreds injured, by rooftop snipers.[50] Did President Saleh al-Ahmar think his U.S.-Saudi backing would allow him to get away with such an insane “crackdown” on protests? Or were these insurrectionist snipers? Why such a complete non-reaction from the U.S. and West, when the same month they declared war on Libya, to “protect [Libyan] civilians and meet their basic needs”? Such is the difference between a client and non-client state. It is always telling where the media projects its amnesic newsfeed gaze.

One “Western official” quoted in the UK’s Telegraph in 2011 said, “It is not in the West’s best interests to see this degenerate into a Libya-style conflict that would play into the hands of Islamist militants, which is why it would be better for Saleh to go sooner rather than later.” Well, Saleh indeed soon went, but the degeneration occurred regardless, to cause a war and a humanitarian disaster as the Houthis rose to power.

 

Nicaragua 2018

Nicaragua has been a focus of U.S. ire ever since the Sandinistas came to power in 1979. The U.S. tried to push things again in 2018, in an extremely volent but failed coup attempt, also backed by the Catholic Church and local elite trade groups, focusing on youth groups, social media and the “propaganda multiplier” and some provocative protesting, sabotage and terror involving paid delinquents. There are also accusations of police violence and Sandinista thuggery, though it seems the deaths were near equal in terms of pro- and anti-government members of the public and at least 20 police were killed in 2018.

Opposition groups, for example, used criminal goons to man the hundreds of tranque checkpoints that besieged towns, abducted, tortured and murdered Sandinistas, set large fires, attempted to blow up stolen fuel tank trucks in towns and—like the CIA-organized trucker strike in Chile in the early 1970s that “made the economy scream”[51]—cut off trade for months.

Riding a wave of soft-power foreign-funded NGOs and anti-government media, the violence escalated quickly, starting with student protests on April 18th sparked—somewhat obscurely—by changes in social security reforms: “a 1% rise in worker contributions, the 3.5% rise in employer contributions (over time) and a 5% cut in the benefit which was also a trade-off for expanded medical coverage.”[52]

Snipers were certainly involved. As lleana Lacayo told Amnesty International: “Most of the deaths that occurred in the country…are carefully aimed shots, a single shot fired with precision at the head or jugular or chest, they are shots that aim to kill and they are fired by professionals.”[53]

The Nicaraguan Center for Human Rights (CENIDH) reported in May that 36 people died of gunshot wounds between April 19 and May 2, and 22 of these were by head, neck or chest shots. Opposition media reported that, between April 19 and July 3, there were 309 deaths, and 127 (41.5%) of these deaths were due to direct, single shots to the head, neck and chest.[54] And, as Barbara Moore states in the LA Progressive:

Specific, eye-witness accounts of sniper use by the opposition have been shared with me and according to the same source even the government has withheld some information for the sake of relations with neighboring countries [namely, El Salvador]. That transnational gang members were involved in the attempt to destabilize the country was confirmed in June, but the extent to which that was the case is not yet known.[55]

There are other reports of snipers targeting police. For example, on July 8, two police officers—Faber López Vivas and Hilario de Jesús Ortiz Zavala—were killed and two others wounded by sniper fire in Jinotepe. [56] A U.S. resident reported to Barbara Larcom of the Alliance for Global Justice:

Our neighbor here…,whom we have known for years, is a member of the antiriot police. He told us that the day the roadblocks/barricades were removed … he was one of [a number] who were the first to step outside the police station. There was only one way out. When they stepped out, there was a sniper on top of [named] building who was waiting for them and began picking them off, one by one. He was the only one who wasn’t shot and had to try and drag his friends out of harm’s way. One was killed, and the others luckily survived but with major injuries…. After the fighting they were able to capture several people. He said many of them were foreign gang members, mostly from El Salvador.….He also said that early on in the protesting they would be receiving fire from protesters and meanwhile, they could see someone firing on the protesters from behind.[57]

The vast majority of the violence by local and mainstream international media was blamed on Nicaraguan police, claiming they fired indiscriminately into crowds and that they armed pro-government mobs. Amnesty International claimed in its May 2018 report that the government had “a strategy of indiscriminate repression with intent to kill not only in order to completely smash the protests, but also to punish those who participated in them.”[58] Yet there is ample evidence of extreme violence and murder committed by the protesters that was ignored by even “progressive” international media.

 

A key event, very similar to the events in Venezuela in 2002, was the pro- and anti-government marches with separate routes in Managua on Mother’s Day, May 30. Before the marches, as in Caracas 2002, opposition leaders repeatedly stated in the media that violence and deaths would occur. Only after the marches, when a group of opposition protesters ventured off route toward the Sandinista post-march concert, did violence occur. Setting up a roadblock near Dennis Martínez National Stadium, they encountered police and gunfire began. Eight died, including two Sandinistas.

One report on this day by a collaboration among the Argentine Forensic Anthropology Team (EAAF), the Interdisciplinary Group of Independent Experts (GIEI), and the Organization of American States (OAS) involved a model with forensic and acoustic analysis of social media by the spooky New York Times-friendly SITU Research consultancy—whose involvement in official narrative Maidan massacre research we will discuss in Part III.

In tandem with many NGOs and “independent experts”—if you are bored, try a game where you search each expert in this report and see if you can find one without a direct link to USGOs or NGOs—SITU concluded, despite the lack of evidence identifying the shooters,[59] that police snipers were responsible for the death of three of the protesters during the clashes and that this was “part of the systematic repression of civilian demonstrations.”[60]

This analysis omitted any media incriminating opposition protesters, despite the mass of such media and other evidence of protester violence. It also ignores shooting at Sandinistas and the well-reported presence of opposition protester weapons and guns as well as the possibility of a false flag as in Caracas 2002.

One has to dig into the middle of the full (500-page) GIEI report to read, “Lastly, these scenes show the presence of four armed individuals among the protesters, but the National Police and the pro-government media did not report any attacks perpetrated by protesters during these initial moments.”[61] It is worth noting that the report, which discusses violence from April 18 to May 30, 2018, mentions multiple instances of witnesses reporting unidentified snipers.

Other “Unknown Snipers”

Other examples include Lithuania 1992; Russia 1993, when Yeltsin’s counterrevolution made use of snipers; Iran 2009; Kyrgyzstan June 2010; Tunisia January 2011; and Egypt and Libya, also in 2011.[62]

During the siege of Sarajevo 1992-1996, there were multiple false-flag attacks, including cease-fire shelling, bombing and sniper fire. Recently declassified Canadian UN cables, for example, state that Bosniak and foreign Mujahadeen fighters (flown in by the United States) were “not above firing on their own people or UN areas.”[63] In a very different context, although only one person died, the still “unsolved” case of the murder of British police officer Yvonne Fletcher outside the Libyan Embassy in London in 1984 also appears to fit the prototype of an intelligence-linked false-flag murder during protests by an “unknown sniper.” Around the same time, the Operation Gladio-linked Brabant random murders in supermarkets in Belgium in 1982-1985 appear to be state false-flag terrorism that killed dozens.

 

State Terror, Imperialism and Control

All events personal and political can be understood as a dynamic of power. The problem is—as we have discussed and as the above examples of state terror make clear—power hides itself masterfully, not least as it protects itself in counterinsurgency and projects itself in insurgency.

What it hides most are its most effective tools: covert action including propaganda, terrorism, assassination and sexual blackmail; and its sole purpose, the amoral pursuit of elite greed. In the face of such barbaric political reality, one has to consider case-by-case whether a terrorist attack, mass killing or shooting—whether the weapon is a bomb, gun, knife, poison, vehicle or saboteur’s wrench—serves a directly or indirectly useful political purpose, not least for imperial propaganda. As ex-Securitate domestic chief Gheorghe Ratiu said, if there is a political desire for regime change, there must be sufficient blood and outrage for the public to want it.[64] If there is not, it must be created, in reality or in the minds of the public via the media. Blood that is the sacrificial fuel for Martin Luther’s “wheels of history”; blood that shocks, paralyzes and traumatizes, creating the martyrs of progress, progress toward the manipulative, threatening but comforting arms of elite power.

Reviewing the above cases, some patterns emerge. Lots of effort, time and money is needed both to nurture the network of dissidents and opposition prior to a push for regime change and to ensure the media coverage is controlled during and after the event. The imperial strategy for regime-change insurgency (“revolution,” if you believe them) is essentially the same as the strategy for counterinsurgency, i.e., it centers on soft-power networks, political training, propaganda and control of media, galvanized by a strategy of tension precipitated by provocateurs and paramilitary guerrilla tactics such as random snipers. We can call them the strategies of insurgent and counterinsurgent tension.

Inside the client-states of the empire, atrocity—including torture, assassination and random terror and fear—is used for counterinsurgency and control. This has been well documented in the U.S.-installed, trained and controlled Latin American and Asian military regimes as well as in the client-states of Europe since the Second World War. Italy’s “years of lead” of the 1970s and 1980s have been well-documented as a part of U.S.-controlled counterinsurgency via NATO-CIA’s Operation Gladio, also involving elements of other elite supranational networks such as Le Cercle and local elite networks like the Masonic Propaganda 2 group.[65]

Hundreds were killed in bombings and shootings, the socialist left was neutralized, marginalized, co-opted and vilified and Aldo Moro was assassinated as he tried to bridge social democrat and democratic socialist parties, all to push the politics to the center right, within the supranational neo-liberal empire under U.S. control through the CIA and NATO (with some history of MI6 and DIA involvement). Anyone who suggests there was any national sovereignty motivating these machinations is delusional or deceptive.

Similar Gladio/“stay-behind” operations are known in all NATO countries, for example, the “strategy of tension” random Brabant killings of Belgium in 1982-1985 and the horrific Baron Benoit de Bonvoisin, Michel Nihoul, Paul Vanden Boeynants and Marc Dutroux pedophile-murder-blackmail network both appear linked to the Belgian Gladio network.

 

Although the latter involved the largest national scandal in modern Belgian history, culminating in the White March of more than 300,000 grieving and outraged citizens in Brussels on October 20, 1996, the elite criminals completely squashed any investigation, via typical counterinsurgency measures of media control, co-optation, smearing, obstruction, distraction, threats and murder. On this scale, one can only sense that the price is the Belgian soul.

If Gladio is new to you, I recommend starting with Arthur Rowse’s 1994 article in CovertAction Quarterly (No. 49) entitled “Gladio: The Secret U.S. War to Subvert Italian Democracy”; Philip Willan’s Puppetmasters: The Political Use of Terrorism in Italy (1991/2002); Allan Francovich’s stunning 1992 three-part BBC documentary; and Daniele Ganser’s pivotal 1995 book NATO’s Secret Armies: Operation GLADIO and Terrorism in Western Europe; and exploring other elements on the Wikispooks website and elsewhere (with a caution for limited hangouts).

More recently, continuous with the near ubiquitous links to intelligence seen in “terror attacks,” the former commissioner of Spanish Police, José Manuel Villarejo, stated in the country’s high court in 2021 that the vehicle attacks of Barcelona in summer 2017, which killed 13 and wounded 130, were intended by the National Intelligence Center (CNI), to give Catalonia “a little scare” before their independence referendum.[66]

We will not explore the common debate of state terror as to whether the elite’s political-military-intelligence apparatus made it happen or let it happen on purpose, or as blowback (unintended consequences) or errors of surveillance in anti-terror infiltration operations (i.e., a “sting-gone-wrong”). In this case and in many others, it seems the terror is intentional and has many political benefits, not least a fearful and divided populace, leaving us mere pawns on the devil’s chessboard.

The ultimate dark lessons of the above examples are that state terrorism is a real and powerful tool of imperial insurgency and counterinsurgency; it has been used in many countries (including inside the U.S.) for many years; and, although the empire has supranational elements, even wealthy client-states of the U.S. have ultimately been at the behest of their Atlantic master, largely via networks of the military and intelligence. Regime change and strategy of tension counterinsurgency operations involve countless examples of well-documented state terrorism.

They require atrocity, the ultimate psyop of control; provocation to desperate pleas for external or internal justice and protection from or by authority depending on who the perceived threat is.

Whether or not an atrocity is a false-flag provocateurist covert action, the cause and details, as far as much of the public is concerned, are effectively irrelevant next to the control of the media by those in power, who prescribe or sanction the acceptable analysis.

As this is amplified in the emotive moments after an atrocity, and forges in the public’s psychic framework, it then enters legacy and is lost to imperialist amnesia, even where vague lingering doubt remains. Any subsequent critical analysis is then fighting against fixed or disappearing neural (and digital) networks and suffocating in the mounting layers of silt from the dirty, rich and ceaseless river of propaganda.

 

 

 

READ MORE:

https://covertactionmagazine.com/2023/04/02/ukraine-2014-the-tipping-point-of-terror/

 


SEE ALSO: 

https://yourdemocracy.net/drupal/node/43171

 

the price of self-righteous, self-exoneration .....

 

 

 

MAKE A DEAL PRONTO BEFORE THE SHIT HITS THE FAN:

 

 

NO NATO IN "UKRAINE" (WHAT'S LEFT OF IT)

THE DONBASS REPUBLICS ARE NOW BACK IN THE RUSSIAN FOLD — AS THEY USED TO BE PRIOR 1922. THE RUSSIANS WON'T ABANDON THESE AGAIN.

CRIMEA IS RUSSIAN — AS IT USED TO BE PRIOR 1954

A MEMORANDUM OF NON AGRESSION BETWEEN RUSSIA AND THE USA.

 

EASY.

 

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the heartland explained...

 

 

https://www.tandfonline.com/doi/abs/10.1080/14650040802578658

 

The US Grand Strategy and the Eurasian Heartland in the Twenty-First Century

 

Pages 26-46 | Published online: 21 Feb 2009

 

 

Emre İşeri 

 

 

 

 

From an offensive realist theoretical approach, this paper assumes that great powers are always looking for opportunities to attain more power in order to feel more secure. This outlook has led me to assert that the main objective of the US grand strategy in the twenty-first century is primacy or global hegemony. I have considered the US grand strategy as a combination of wartime and peacetime strategies and argued that the Caspian region and its hinterland, where I call the Eurasian Heartland, to use the term of Sir Halford Mackinder, has several geo-strategic dimensions beyond its wide-rich non-OPEC untapped hydro-carbon reserves, particularly in Kazakhstan. For my purposes, I have relied on both wartime strategy (US-led Iraq war) and peacetime strategy of supporting costly Baku-Tbilis-Ceyhan (BTC) to integrate regional untapped oil reserves, in particular Kazakh, into the US-controlled energy market to a great extent. This pipeline's contribution to the US grand strategy is assessed in relation to potential Eurasian challengers, Russia and China. The article concludes with an evaluation of the prospects of the US grand strategy in the twenty-first century.

 

 

INTRODUCTION

From an offensive realist theoretical approach, this paper assumes that great powers, for my purposes the US, are always looking for opportunities to attain more power in order to feel more secure. In other words, great powers have a natural inclination to maximise their power. One of the main reasons for this analytical footing is based on my observation that this theory has a great deal of explanatory power for understanding US foreign policy in the post-9/11 period. This outlook has led me to assert that the main objective of US grand strategy is primacy or global hegemony.

Even though the region surrounding the Caspian Sea, where I call the Eurasian Heartland 1 , is not a target of the ‘war on terror’, political control of this region's hydrocarbon resources and their transportation routes has several geo-strategic dimensions beyond energy considerations. From the perspective of US policy-making elites 2 , the Caspian region's geo-strategic dimensions for the United States are not restricted to energy security issues; they have implications for the grand strategy of the United States in the twenty-first century. In that regard, the US not only aims to politically control regional energy resources, in particular Kazakh oil, but also check potential challengers to its grand strategy such as China and Russia. One should note that analysis of grand strategies of those states is beyond the scope of this article, therefore, they are treated as potential challengers, rather than great powers, and their positions in the Caspian energy game has been elaborated in that sense.

In the first part of the paper, I will talk about my offensive realist theoretical approach. In addition to its assumptions, its limitations will be noted. In the second part, I will define the concept of grand strategy as the combination of wartime and peacetime strategies and analyse US grand strategy in the twenty-first century in that respect. In the third part, geo-strategic dimensions of the Eurasian Heartland for the US grand strategy will be analysed in relation to Eurasian challengers. The significance of politically controlling Kazakh oil resources will also be underlined. In the fourth part, Russia's interests and policies on Caspian hydro-carbon resources will be analysed in relation to US interests. In the fifth part, China's energy needs and its Caspian pipeline politics will be analysed in relation to US-controlled international oil markets. It will be concluded by indicating the significance of ensuring stability of the international oil markets for the success of US grand strategy in the twenty-first century.

 

OFFENSIVE REALISM

The offensive realist point of view contends that the ultimate goal of states is to achieve a hegemonic position in the international order. Hence, offensive realism claims that states always look for opportunities to gain more power in order to gain more security for an uncertain future. Until and unless they become the global hegemon, their search for increased power will continue. Offensive realism has been based on five assumptions: (1) The system is anarchic; (2) All great powers have some offensive military capabilities; (3) States can never be certain about other states' intentions; (4) States seek to survive; and (5) Great powers are rational actors or strategic calculators.

My approach is closer to the offensive realist position mainly because of my supposition that, particularly after September 11, US behaviour conforms to the prognostications of offensive realist arguments. With the rhetoric of the ‘war on terror,’ the US-led wars in Afghanistan and Iraq were apparent products of an offensive realist objective, namely to underpin the United States' sole super power status in the post−Cold War global order.

I assume that there is a direct link between the survival instincts of great powers and their aggressive behaviour. In that regard, we agree with Mearsheimer that “Great powers behave aggressively not because they want to or because they possess some inner drive to dominate, but because they have to seek more power if they maximize their odds of survival.” 3

One should be aware, however, that this power maximisation strategy has some limits. Structural limitations prevent states from expanding their hegemony to the entire globe. Hence, it is nearly impossible in today's world to become a true global hegemon. In order to make our point more tangible, we need to first take a look at the meaning of hegemon in relation to great powers: 

A hegemon is a state that is so powerful that it dominates all other states in the system. No other state has the military wherewithal to put up a serious fight against it. In essence, a hegemon is the only great power in the system. A state that is substantially more powerful than the other great powers in the system is not a hegemon, because it faces, by definition, other great powers. 4

 

Pragmatically, it is nearly impossible for a great power to achieve global hegemony because there will always be competing great powers that have the potential to be the regional hegemon in a distinct geographical region. Clearly, geographical distance makes it more difficult for the potential global hegemon to exert its power on potential regional hegemons in other parts of the world. On the one hand, the ‘global hegemon’ must dominate the whole world. On the other hand, the ‘regional hegemon’ only dominates a distinct geographical area, a much easier task for a great power. For instance, the United States has been the regional hegemon in the Western hemisphere for about a century, but it has never become a true global hegemon because there have always been great powers in the Eastern hemisphere, such as Russia and China, which have potential to be regional hegemons in their geographical are. Since US policy-making elites have acknowledged that ‘stopping power of sea’ 5 restricts the US from projecting a sufficient amount of power in the distinct continent of Eurasia to become the global hegemon, they have been preparing their strategies to prevent emergence of regional hegemonies that have potential to challenge US grand strategy.

 

US GRAND STRATEGY IN THE TWENTY-FIRST CENTURY

Paul Kennedy's definition of ‘grand strategy’ that includes both wartime and peacetime objectives: “A true grand strategy was now to do with peace as much as (perhaps even more than) war. It was about the evolution and integration of policies that should operate for decades, or even for centuries. It did not cease at a war's end, nor commence at its beginning.” 6 Put simply, grand strategy is the synthesis of wartime and peacetime strategies. Even though they are separate, they interweave in many ways to serve the grand strategy.

Since the United States, which is the hegemonic power of capitalist core countries, has dominance over the global production structure, it is in its best interest to expand the global market for goods and services. For instance, free trade arrangements usually force developing (i.e., “third-world”) countries to export their raw materials without transforming them into completed products that can be sold in developed markets. Therefore, the global free market has long been the most viable strategy for acquiring raw materials in the eyes of the US policy-making elites. This is what Andrew J. Bacevich refers to when he talks about the US policy of imposing an ‘open world’ or ‘free world’ possessed with the knowledge and confidence that “technology endows the United States with a privileged position in that order, and the expectation that American military might will preserve order and enforce the rules.” 7 In other words, the principal interest of the US is the establishment of a secure global order in a context that enables the US-controlled capitalist modes of production to flourish throughout the globe without any obstacles or interruptions. This is also simply the case for the openness of oil trade. “In oil, as more generally, the forward deployment of military power to guarantee the general openness of international markets to the mutual benefit of all leading capitalist states remains at the core of US hegemony. An attempt to break this pattern, carve out protected spaces for the US economy and firms against other ‘national’ or ‘regional’ economies would undercut American leadership.” 8 Since the US imports energy resources from international energy markets, any serious threat to these markets is a clear threat to the interests of the United States. As Leon Fuerth indicates, “The grand strategy of the United States requires that it never lose the ability to respond effectively to any such threat.” 9

With the end of the presidency of Bill Clinton, George W. Bush took office in January 2001. People with backgrounds and experience in the oil industry dominated his cabinet's inner circle. Vice President Dick Cheney had served as the chief executive of the world's leading geophysics and oil services company, Halliburton, Inc. National Security Advisor Condoleezza Rice (who later became the US Secretary of State) had served on the board of Chevron Corporation. As a Texan, George W. Bush himself had far-reaching oil experience, and Commerce Secretary Don Evans had served 16 years as the CEO of Tom Brown Inc., a large, independent energy company now based in Denver, after working for 10 years on its oil rigs. As William Engdahl has succinctly explained, “In short, the Bush administration which took office in January 2001, was steeped in oil and energy issues as no administration in recent US history had been. Oil and geopolitics were back at center stage in Washington.” 10

In the early days of the Bush administration, Vice President Dick Cheney was assigned the task of carrying out a comprehensive review of US energy policy. He presented the result, known as the National Energy Policy Report (NEPR) of May 2001, 11 to President Bush with the recommendation that energy security should immediately be made a priority of US foreign policy. In the NEPR, the growing dependency of the United States on oil imports for its energy needs was emphasised, and this was characterised as a significant problem. The National Energy Policy Report read, in part, “On our present course, America 20 years from now will import nearly two of every three barrels of oil – a condition of increased dependency on foreign powers that do not always have America's interests at heart.” 12 In other words, as William Engdahl sardonically observed, “A national government in control of its own ideas of national development might not share the agenda of ExxonMobil or ChevronTexaco or Dick Cheney.”13 In 2010, the United States will need an additional 50 million barrels of oil a day, 90 percent of which will be imported and thus under the control of foreign governments and foreign national oil companies. Therefore, given its strategic importance for a country's economy, it can be plausibly argued that oil (including its price, its flow, and its security) is more of a governmental matter than a private one. Despite the area's political and economic instabilities, the Middle East's untapped oil reserves are still the cheapest source of oil in the world; furthermore, they amount to two thirds of the world's remaining oil resources.

Thus, governmental intervention by the United States was required to secure the supply of Middle East oil to world markets. William Engdahl correctly notes that “with undeveloped oil reserves perhaps even larger than those of Saudi Arabia, Iraq had become an object of intense interest to Cheney and the Bush administration very early on.” 14 Iraq's authoritarian regime under Saddam Hussein was pursuing the idea of ‘national development,’ according to which state institutions would have full control over the extraction, production, and sale of oil. According to Michael Hirsh, “State control guarantees less efficiency in the exploration for oil, and in the extraction and refinement of fuel. Further, these state-owned companies do not divulge how much they really own, or what the production and exploration numbers are. These have become the new state secrets.” 15 From the perspective of US policy-making elites, the Iraqi oil reserves were too large and too valuable to be left to the control of Iraqi state-owned companies, hence, a regime change in Iraq was required.

“Several slogans have been offered to justify the Iraq War, but certainly one of the most peculiar is the idea proffered by Stanley Kurtz, Max Boot, and other neoconservative commentators who advocate military action and regime change as a part of their bold plan for democratic imperialism.” 16 [Emphasis added.] However, it is dubious to what extent this neoconservative plan serves the purposes of American grand strategy. George Kennan, former head of policy planning in the US State Department, is often regarded as one of the key architects of US grand strategy in the post-war period. His candid advice to US leadership should be noted: 

We have about 50 percent of the world's wealth, but only 6.3 percent of its population. In this situation, we cannot fail to be the object of envy and resentment. Our real task in the coming period is to devise a pattern of relationships, which will permit us to maintain this position of disparity. To do so, we will have to dispense with all sentimentality and daydreaming; and our attention will have to be concentrated everywhere on our immediate national objectives. We should cease to talk about vague and unreal objectives such as human rights, the raising of the living standards, and democratization. The day is not far off when we are going to have to deal in straight power concepts. The less we are then hampered by idealistic slogans, the better. 17 [Emphasis added.]

 

As Clark observes, “While the US has largely been able to avoid ‘straight power concepts’ for five decades, it has now become the only vehicle for which it can maintain its dominance. Indeed, Kennan's term ‘straight power’ is the appropriate description of current US geopolitical unilateralism.” 18 Thus, the US's unilateral aggressive foreign policy in the post-9/11 period has led me to argue that the ultimate objective of US grand strategy is ‘primacy’ among competing visions 19 and what I understand from primacy is global hegemony or leadership. This aggressive strategy of the US to expand its hegemony to the globe was outlined in The National Security Strategy of the United States of America, published by the Bush Administration in September 2002, and it has come to be publicly known as the Bush Doctrine to form ‘coalitions of the willing’ under US leadership.

The United States has long maintained the option of pre-emptive actions to counter a sufficient threat to our national security … the case for taking anticipatory action to defend ourselves, even if uncertainty remains as the time and place of the enemy's attack. To forestall or prevent such hostile acts by our adversaries, the United States will, if necessary, act pre-emptively. 20

Those elements of the doctrine that scholars and analysts associated with empire-like tendencies were on full display in the build-up to the unilateral invasion of Iraq by the United States in 2003.

As Pepe Escobar notes, “The lexicon of the Bush doctrine of unilateral world domination is laid out in detail by the Project for a New American Century (PNAC), founded in Washington in 1997. The ideological, political, economic and military fundamentals of American foreign policy – and uncontested world hegemony – for the 21st century are there for all to see.” 21 The official credo of PNAC is to convene “the resolve to shape a new century favorable to American principles and interests”. 22 The origin of PNAC can be traced to a controversial defence policy paper drafted in February 1992 by then Secretary of Defense Paul Wolfowitz and later softened by Vice President Dick Cheney which states that the US must be sure of “deterring any potential competitors from even aspiring to a larger regional or global role” 23 without mentioning the European Union, Russia, and China. Nevertheless, the document Rebuilding America's Defenses: Strategies, Forces and Resources for a New Century 24 released by PNAC gives a better understanding of the Bush administration's unilateral aggressive foreign policy and “this manifesto revolved around a geostrategy of US dominance – stating that no other nations will be allowed to ‘challenge’ US hegemony”. 25

From this perspective, it can be assumed that American wartime (the US-led wars in Afghanistan 26 , and Iraq) and peacetime (political support for costly Baku-Tbilisi-Ceyhan pipeline project) strategies all serve the US grand strategy in the twenty-first century. A careful eye will detect that all of these strategies have a common purpose of enhancing American political control over the Eurasian landmass and its hydrocarbon resources. As Fouskas and Gökay have observed,

As the only superpower remaining after the dismantling of the Soviet bloc, the United States is inserting itself into the strategic regions of Eurasia and anchoring US geopolitical influence in these areas to prevent all real and potential competitions from challenging its global hegemony. The ultimate goal of US strategy is to establish new spheres of influence and hence achieve a much firmer system of security and control that can eliminate any obstacles that stand in the way of protecting its imperial power. The intensified drive to use US military dominance to fortify and expand Washington's political and economic power over much of the world has required the reintegration of the post-Soviet space into the US-controlled world economy. The vast oil and natural gas resources of Eurasia are the fuel that is feeding this powerful drive, which may lead to new military operations by the United States and its allies against local opponents as well as major regional powers such as China and Russia. 27

At this point the question arises, what is the geo-strategic dimensions of the Eurasian Heartland and its energy resources for the US grand strategy in the twenty-first century?

 

GEO-STRATEGIC DIMENSIONS OF THE EURASIAN HEARTLAND

The Heartland Theory is probably the best-known geopolitical model that stresses the supremacy of land-based power to sea-based power. Sir Halford Mackinder, who was one of the most prominent geographers of his era, first articulated this theory with respect to ‘The Geographic Pivot of History’ in 1904, and it was later redefined in his paper entitled, Democratic Ideals and Reality(1919), in which “pivotal area” became “the Heartland.” According to Mackinder, the pivotal area or the Heartland is roughly Central Asia, from where horsemen spread out toward and dominated both the Asian and the European continents. While developing his ideas, Mackinder's main concern was to warn his compatriots about the declining naval power of the United Kingdom, which had been the dominant naval power since the age of the revolutionary maritime discoveries of the fifteenth century. He proceeded to expand on the possibility of consolidated land-based power that could allow a nation to control the Eurasian landmass between Germany and Central Siberia. If well served and supported by industry and by modern means of communication, a consolidated land power controlling the Heartland could exploit the region's rich natural resources and eventually ascend to global hegemony. Mackinder summed up his ideas with the following words: “Who rules East Europe commands the Heartland: Who rules the Heartland commands the World-Island (Europe, Arab Peninsula, Africa, South and East Asia), who rules the World-Island commands the World.” 28

The Heartland Theory provided the intellectual ground for the US Cold War foreign policy. Nicholas Spykman was among the most influential American political scientists in the 1940s. Spykman's Rimlands thesis was developed on the basis of Mackinder's Heartland concept. In contrast to Mackinder's emphasis on the Eurasian Heartland, Spykman offered the Rimlands of Eurasia – that is, Western Europe, the Pacific Rim and the Middle East. According to him, whoever controlled these regions would contain any emerging Heartland power. “Spykman was not the author of containment policy, that is credited to George Kennan, but Spykman's book, based on the Heartland thesis, helped prepare the US public for a post war world in which the Soviet Union would be restrained on the flanks.” 29 Hence, the US policy of containing the USSR dominated global geopolitics during the Cold War era under the guidance of ideas and theories first developed by Mackinder. In the 1988 edition of the annual report on US geopolitical and military policy entitled, The National Security Strategy of the United States of America, President Reagan summarised US foreign policy in the Cold War era with these words: 

The first historical dimension of our strategy … is the conviction that the United States' most basic national security interests would be endangered if a hostile state or group of states were to dominate the Eurasian landmass – that part of the globe often referred to as the world's heartland … since 1945, we have sought to prevent the Soviet Union from capitalizing on its geostrategic advantage to dominate its neighbours in Western Europe, Asia, and the Middle East, and thereby fundamentally alter the global balance of power to our disadvantage. 30

 

From Reagan's assessment of US foreign policy during the Cold War, with its emphasis on the significance of the Eurasian landmass, we can draw some inferences about US policy in the post-Cold War era, albeit with a slight twist. During the Cold War era, it was the USSR that the United States had endeavoured to contain, but now it is China and to a lesser extent Russia. And, once again, the Eurasian landmass is the central focus of US policy-making elites.

The imprint of Mackinder on US foreign policy has also continued in the aftermath of the demise of the geopolitical pivot, the USSR. “Mackinder's ideas influenced the post-Cold War thesis – developed by prominent American political scientist Zbigniew Brzezinski – which called for the maintenance of ‘geopolitical pluralism’ in the post-Soviet space. This concept has served as the corner-stone of both the Clinton and Bush administration's policies towards the newly independent states of Central Eurasia.” 31

Extrapolating from Mackinder's Heartland theory, I consider the Caspian region and its surrounding area to be the Eurasian Heartland. In addition to its widespread and rich energy resources, the region's land-locked central positioning at the crossroads of the energy supply routes in the Eurasian landmass have caused it to receive a lot of attention from scholars and political strategists in recent times. Until the dissolution of the USSR in 1991, this region had been closed to interaction with the outside world, and therefore, to external interference. Since then, the huge natural resources of the region have opened it up to the influence of foreign powers, and the Caspian region has therefore become the focal point of strategic rivalries once again in history. This has led several scholars and journalists to call this struggle to acquire Caspian hydrocarbon resources the ‘New Great Game,’ 32 in reference to the quests of the Russian and British empires for dominance over the region in the nineteenth century.

Without a doubt, the growing global demand for energy has fostered strategic rivalries in the Caspian region. Oil's status as a vital strategic commodity has led various powerful states to use this vital resource and its supply to the world markets as a means to achieve their objectives in global politics. For our purposes, I shall focus on the geo-strategic interest of the United States in the Caspian region.

The United States, which politically controls the Gulf oil to a great extent, is not actually energy-dependent on oil from the Caspian region. Hence, US interests in the Caspian region go beyond the country's domestic energy needs. The political objective of the US government is to prevent energy transport unification among the industrial zones of Japan, Korea, China, Russia, and the EU in the Eurasian landmass and ensure the flow of regional energy resources to US-led international oil markets without any interruptions. A National Security Strategy document in 1998 clearly indicates the significance of regional stability and transportation of its energy resources to international markets. “A stable and prosperous Caucasus and Central Asia will help promote stability and security from the Mediterranean to China and facilitate rapid development and transport to international markets of the large Caspian oil and gas resources, with substantial U.S. commercial participation.” 33

In line with the acknowledgement of the increasing importance of the Caspian region, Silk Road Strategy Act 34 has put forward the main features of the US's policies towards Central Asia and the Caucasus. As Çağrı Erhan asserts, Silk Road Strategy Act has been grounded on the axis of favouring economic interests of the US and American entrepreneurs and this main line is supplemented with several components such as ensuring democracy and supporting human rights that conform to an American definition of globalisation. 35 As a matter fact, a 1999 National Security Strategy Paper emphasised economic issues and referred to the Baku-Tbilisi-Ceyhan Pipeline Project Agreement and Trans-Caspian Gas Pipeline Declaration on November 19, 1999.

We are focusing particular attention on investment in Caspian energy resources and their export from the Caucasus region to world markets, thereby expanding and diversifying world energy supplies and promoting prosperity in the region. A stable and prosperous Caucasus and Central Asia will facilitate rapid development and transport to international markets of the large Caspian oil and gas resources, with substantial U.S. commercial participation. 36

In that context, the US finds it necessary to establish control over energy resources and their transportation routes in the Eurasian landmass. Therefore, from the US's point of view, the dependence of the Eurasian industrial economies on the security umbrella provided by the United States should be sustained. To put it clearly, US objectives and policies in the wider Caspian region are part of a larger “grand strategy” to underpin and strengthen its regional hegemony and thereby become the global hegemon in the twenty-first century.

Zbigniew Brzezinski, the former national security advisor to President Jimmy Carter, has repeatedly emphasised the geo-strategic importance of the Eurasia region. He claimed that the United States' primary objective should be the protection of its hegemonic superpower position in the twenty-first century. In order to achieve this goal, the United States must maintain its hegemonic position in the balance of power prevailing in the Eurasia region. He underscored the vital geo-strategic importance of the Eurasian landmass for the United States in his 1997 book entitled, The Grand Chessboard: American Primacy and Its Geostrategic Imperatives

Eurasia is the world's axial supercontinent. A power that dominated Eurasia would exercise decisive influence over two of the world's three most economically productive regions, Western Europe and East Asia. A glance at the map also suggests that a country dominant in Eurasia would almost automatically control the Middle East and Africa. With Eurasia now serving as the decisive geopolitical chessboard, it no longer suffices to fashion one policy for Europe and another for Asia. What happens with the distribution of power on the Eurasian landmass will be of decisive importance to America's global primacy and historical legacy. 37

 

Therefore, Brzezinski called for the implementation of a coordinated US drive to dominate both the eastern and western rimlands of Eurasia. Hence, he asserts that American foreign policy should be concerned, first and foremost, with the geo-strategic dimensions of Eurasia and employ its considerable clout and influence in the region. In that regard, Peter Gowan summarises the task of the US grand strategy in the twenty-first century with these words,

US Grand Strategy had the task of achieving nothing less than the shaping of new political and economic arrangements and linkages across the whole Eurasia. The goal was to ensure that every single major political centre in Eurasia understood that its relationship with the United States was more important than its relationship with any other political centre in Eurasia. If that could be achieved, each such centre would be attached separately by a spoke to the American hub: primacy would be secured. 38

In order to accomplish that task, the US has the requirement to politically control Eurasian energy resources, in particular oil.

Since the invention of Large Independent Mobile Machines (LIMMs) such as cars, planes and tractors, they have incrementally begun to shape our lives in many ways. LIMMs enable us to do what we do, they make us have jobs, they make the water flow, and they make supermarkets full of food. To put it simply, LIMMs have become the main elements of international economic activities. “For a society in which LIMMs play a central role no other energy resource is efficient as oil. It is compact and easy to use, in its natural state it is located in highly concentrated reservoirs, and it can be transformed into a usable energy product rapidly, cheaply and safely.” 39 To put it simply, oil is the lifeblood of modern economies and the US relies on the international energy market to ensure its security.

As Amineh and Houweling observe, “Oil and gas are not just commodities traded on international markets. Control over territory and its resources are strategic assets.” 40 This is particularly the case for the Caspian region, which is located at the centre of the Eurasian Heartland, and whose potential hydro-carbon resources has made it a playground for strategic rivalries throughout the twentieth century, and will likely continue to do so in the twenty-first century. As the Washington-based energy consultant, Julia Nanay, has observed, “New oil is being found in Mexico, Venezuela, West Africa and other places, but it isn't getting the same attention, because you don't have these huge strategic rivalries. There is no other place in the world where so many people and countries and companies are competing.” 41

The demise of the USSR marked the emergence of the Caspian region as a new energy producer. Until that time, the importance of the region as an energy source had not been appreciated with the exception of Baku, which enjoyed an oil boom for a few decades in the late nineteenth century. Even though there are disagreements on the extent and quantity of potential energy resources in the region, and thus on its geo-strategic significance, a consensus does exist on the fact that the region's economically feasible resources would make a significant contribution to the amount of energy resources available to world energy markets. The principal reason for this consensus emerges from Kazakhstan's rich oil reserves at the age of volatile high oil prices.

With its geopolitical positioning at the heart of Central Asia, Kazakhstan is one of the largest countries in Eurasia. It is sharing borders with two potential Eurasian great powers Russia and China. Apart from its significant geopolitical location, Kazakhstan has massive untapped oil fields in Kashagan (the largest oil discovery in the past 27 years) and Tengiz (discovered in 1979 to be comparable in size to the former), with its little domestic consumption and growing export capacity. “Its prospects for increasing oil production in the 2010–20 time frame are impressive, given the recognized potential offshore in the North Caspian. Production estimates for 2010 range upward of 1.6 mmbpd, and by 2002 Kazakhstan could be producing 3.6 mmbpd.” 42

Kazakhstan views the development of its hydrocarbon resources as a cornerstone to its economic prosperity. However, Kazakhstan is land-locked. In other words, Kazakhstan cannot ship its oil resources. Therefore, it is required to transport its oil through pipelines, which would cross multiple international boundaries. Thus, “one thing that is now confusing to foreign oil company producers in Kazakhstan is the ultimate US strategy there with regard to exit routes. If the goal is to have multiple pipelines bypassing Russia and Iran, any policy that would encourage additional oil shipments from the Caspian across Russia, beyond what an expanded CPC can carry and existing Transneft option, works against the multi-pipeline strategy and further solidifies Kazakh-Russia dependence.” 43 In addition to Russia, China also considers Kazakh oil resources as vital to its energy security as elaborated below.

“Therefore, the countries of Central Asian region represent a chess board, harkening back to Brzezinski's imagery, where geopolitical games are conducted by great powers, mainly the United States, Russia, and China. And Kazakhstan is at the center of this game.” 44 Hence, Kazakhstan has become the focal point of strategic rivalries in twenty-first century.

Since Kazakhstan's untapped oil reserves at the Eurasian Heartland have great potential to underpin stability of US controlled international energy market, these resources play a viable role for the US grand strategy. For the stability of a worldwide market space, Kazakh oil development and its flow to the international energy market, just like Iraqi oil, plays a viable role. In that regard, it is not a surprise to acknowledge that George W. Bush created the National Energy Policy Development Group (NEPD) commonly known as the Cheney Energy Task Force's report on May 2001, 45 which recommends initiatives that would pave the way for Kazak oil development. US Senator Conrad Burns indicates, “Kazakh oil can save the United States from energy crisis” and avert the US's long dependence on Middle East oil. 46 He also argues that Caspian oil could be very important both for strengthening world energy stability and providing international security by noting the importance of the Baku-Ceyhan pipeline project for the export of Kazakh oil. Hence, Kazakhstan could become a major supplier of oil in the international energy market, whereby it would alleviate the disastrous consequences of coming global peak oil to the US.

The non-OPEC character of Kazakh oil is also a fringe benefit to the US`s interests in diversifying the world`s supply of oil in order to underpin stability of its internal oil market. “Non-OPEC supplies serve as a market baseload, consistently delivering the full level of production of which those resources are capable. Clearly, diversifying and increasing these non-OPEC sources provides a more secure core of supplies for the United States and other consumers to rely upon.” 47 Thus, “the question is not OPEC versus non-OPEC. Rather, the issue to address is how to continue encouraging non-OPEC supply growth and diversity, preferably with the involvement of international oil companies (or IOCs, including US oil companies).” 48 Hence, non-OPEC Kazakh oil development and its secure flow to Western markets would enhance stability of the international energy market.

One should also note that US interests in Kazakh oil development and this secure export is not restricted to oil. It also provides political leverage to the US in the Eurasian landmass. The flow of landlocked Kazakh oil to the international energy market though BTC would not only bypass Russia and Iran`s influence in the region, but also shift Kazakhstan's security orientation towards the US and would open the channels of cooperation in the war on terror. Thus, joining Kazakh wide, rich oil reserves to the BTC will accelerate this pipelines' geo-strategic importance. Hence, BTC`s fringe benefit to the US will be “to project power into the Caspian/Central Asian arena in order to check Russian, Chinese and Islamist influences (Iran in particular).” 49

In that regard, rivalry over regional energy resources and their export routes are only a part of a multi-dimensional strategic game to politically control the Eurasian landmass. “Although new strategic developments might determine the choice, but the export options for Caspian oil in 2020 remain the same: the old North to Russia, South to Iran, West to South Caucasus and Turkey, East to China, or Southeast to India.” 50 For our purposes, we will analyse Russian, Chinese and European interests in Caspian hydrocarbon resources.

 

RUSSIA

Russia has been playing an important role in the Caspian region. It has a significant influence in the region as the largest trading partner for each newly independent state, and the principal export route for regional energy resources. Thus, analysis of Caspian energy and its development should take Russian policy dimension into consideration.

“Russian policy toward the development of the energy resources of the Caspian Basin is a complex subject for analysis because it nests within several broader sets of policy concerns.” 51 These policy concerns could be classified under three dimensions: First, Russia's relations with the US, which has been actively pursuing its interests in the region. Second, Russia's relations with former Soviet states or its so-called ‘near abroad’. Third, Russian policy toward its own domestic sector should be considered.

Before analysing Russian policy on Caspian energy resources, one should take a closer look at her monopoly over existing pipeline routes. Russia had provided the only transportation link through Baku-Novorossiysk pipeline and most of the rail transportation from the region until the opening of an ‘early oil’ pipeline from Baku, Azerbaijan to Supsa, Georgia in April 1999. Currently, the Russian route is the most viable option for Kazakhstan and Turkmenistan to export their oil reserves to the world markets. With the completion of the Chechen bypass pipeline, Azerbaijan commenced exporting its oil reserves through Russian territory in the second half of 2000. Moreover, completion of the Caspian Pipeline Consortium (CPC) pipeline has led to the flow of Kazakh oil exports from the Tengiz oilfield to the Russian Black Sea port of Novorossiysk. Russia has been developing its own oil fields and expanding its existing pipeline system in the Caspian region. State owned oil company Lukoil, gas company Gazprom, and pipeline network operator Transneft were the principal tools at the hands of Russian diplomats. In June 2002, conclusion of a wide range of agreements with Kazakhstan marked a decisive victory for Russia over Kazak oil export channels. As indicated below, this set of agreements also opened the way for Kazakhstan to link its oil resources to the Burgas-Alexandroupolis pipeline. Meanwhile, Russians have been looking for ways to increase their Caspian oil exports. In that regard, Moscow has ambitious plans to increase the total capacity of its pipeline network around the Caspian.

To make it straight, Moscow considers maintaining its monopoly over the flow of Caspian energy resources would lead Russia not only to gain political leverage over European countries with ever-increasing energy needs, but also regain its political dominance over the newly independent countries. In that regard, not only American physical presence but also US-origin oil companies' investments at the ‘back garden’ of Russia are perceived as a vital threat to Russian national security. This is simply the case for the US-sponsored Baku-Tbilisi-Ceyhan pipeline project. “The Russian government has always understood that this pipeline was part of the broader US strategy to cut all links with Moscow among the former Soviet states in the Caucasus, building a new economic infrastructure that would dissuade the Caucasus group from ever renewing these ties.” 52

Moscow anticipates that sooner or later the US will project Turkey as a regional energy hub for the export of hydrocarbon resources of the Middle East and Central Asia to Europe. Therefore, the US has supported an East-West energy corridor and pushed forward several pipeline projects bypassing Russia such as BTC, BTE, and NABUCCO. Moscow perceives the US's insistence on an East-West energy corridor as a strategy to isolate Russia strategically from the EU. At the end of the day, Russia graphed its famous energy weapon and developed an energy strategy to break this process. Thus, Russia has been pushing ahead the trans-Balkan project known as the Burgas-Alexandroupolis oil pipeline. The pipeline will be 280 kilometres long and carry oil from the Bulgarian port of Burgas on the Black Sea to Greece's Alexandroupolis on the Aegean. The $1 billion project has significant geo-political implications that go beyond exporting Caspian region hydrocarbon resources to Europe. First, the Russian project will undermine the US attempt to dictate the primacy of the BTC as the main Caspian export pipeline to Western markets. Second, Russia considers the Burgas-Alexandroupolis pipeline as an extension of the Caspian Pipeline Consortium (CPC) that already connects the oilfields in western Kazakhstan with the oil terminal at Novorossiisk . Thus, Kazakhstan will continue to depend on Russia to export the bulk of its oil to the Western market, even if BTC will be linked to Astana. Finally, the Burgas-Alexandroupolis pipeline will lessen the amount of Caspian oil required to be exported through the Odessa-Brody pipeline in Ukraine. Through the Odessa-Brody pipeline, Poland and Ukraine had been expecting to have direct access to the Caspian oil reserves; however, it looks like their hopes to bypass Russia will not be realised. Thus, Moscow has revealed to Washington that it will not let Ukraine gravitate towards the US orbit.

According to M. K. Bhadrakumar, former Indian ambassador to Turkey, “A spectacular chapter in the Great Game seems to be nearing its epitaph.” 53 In that regard, Russia's influence over Kazakhstan has been enhanced with the signing of the Burgas-Alexandroupolis pipeline project on March 15, 2007 contrary to Western media reports speculating on Russia's declining influence on Kazakhstan.

Besides its pipeline initiatives, Russia prefers to play a zero-sum game through its national oil companies (NOCs) to produce Caspian hydrocarbon resources. In that regard, the US's initiatives to develop regional resources in a more efficient manner do not attract much attention from Russian diplomats who rely on ‘relative gains’ rather than ‘absolute gains’. 54 In order for cooperation to flourish between them, the US should find a way to convince Moscow that Russian NOCs do not have the technological and financial resources to develop hydrocarbon reserves, whereby Russia will need Western oil companies, preferably American-origin ones, to produce its hydrocarbon reserves. Apart from regional hydrocarbon resource development, the US needs Russian help to foster peace and stability in Eurasia. It looks like a modus vivendi can be reached only if Russia adopts free market principles and considers absolute rather than relative gains . However, there are no clear signals in that respect.

 

CHINA

China has incrementally given the Caspian region increasing geo-strategic importance since the end of the Cold War. According to Guo Xuetang, “As the US established a military presence in Central Asia and the United States carried out preventive military activities against China in East and South Asia by strengthening the US-Japan alliance, deploying more strategic submarines and other deterrent weapons, and ingratiating with the Indians to counterbalance China's rising power, China's leadership has faced tougher geopolitical competition over Central Asia.” 55

Since the mid-1990s, energy security has gradually become an important concern for China as domestic energy supplies have failed to meet domestic demand. China is the third largest coal producer and second largest consumer in the world. Thus, this shortfall arises from a shortage of energy in the forms required. Dramatic growth of the use of road transport in China has also accelerated the demand for oil products. Therefore, domestic oil production has failed to keep pace with the demand, whereby China became dependent on imported oil in 1995. With this trend of growing oil demand, domestic production will soon reach its peak point. Apparently, energy supply security, and the availability of oil in particular, has become an increasingly urgent concern for the ruling Chinese Communist Party. Despite the fact that there are several interrelated and independent variables to calculate China's future oil demands, “a consensus seems to exist that annual demand is likely to rise from a present level of around 230 million tonnes to 300 million tonnes by 2010 and at least 400 million tonnes by 2020, though unexpectedly low rates of economic growth would reduce demand to below these levels. Over this period China's share of world oil consumption will probably rise from its current level of about 6% to as high as 8–10%.” 56

Hence, China has been looking for ways to build pipeline routes to export Caspian oil reserves eastwards while the United States has been looking to export Caspian energy westwards. Dekmeijan and Simonian have observed that “as an emerging superpower with a rapidly expanding economy, China constitutes one of the potentially most important actors in Caspian affairs.” 57Its rapidly increasing energy demands and declining domestic energy supplies indicate that China is increasingly becoming dependent on energy imports. According to Dru C. Gladney, “Since 1993, China's own domestic energy supplies have become insufficient for supporting modernization, increasing its reliance upon foreign trading partners to enhance its economic and energy security leading toward the need to build what Chinese officials have described as a ‘strategic oil-supply security system’ through increased bilateral trade agreements.” 58 In that regard, China, as the second largest oil consumer after the United States, has defined its energy security policy objectives in a manner “to maximise domestic output of oil and gas; to diversify the sources of oil purchased through the international markets; to invest in overseas oil and gas resources through the Chinese national petroleum companies, focusing on Asia and the Middle East; and to construct the infrastructure to bring this oil and gas to market.” 59

For our purposes, China's objective to diversify the sources of imported oil from the Caspian region plays a vital role. As Speed, Liao, and Dannreuther have observed, “Since the mid-1990s official and academic documents in China have proclaimed the virtues of China's petroleum companies investing in overseas oil exploration and production in order to secure supplies of Chinese crude oil, which could then be refined in China.” 60 In that regard, China has begun to make generous commitments, the largest of which were in Kazakhstan. According to these scholars, “At the heart of this strategy lies the recognition that China is surrounded by a belt of untapped oil and gas reserves in Russia, Central Asia and the Middle East.” 61 In the Kazakh region, there is high potential for further hydrocarbon discoveries.

The target for China's oil industry is to secure supplies of 50 million tonnes per year from overseas production by 2010. The fulfilment of this objective is directly related to China's involvement in strategic rivalries over the Caspian basin energy resources. Due to the emergence of Japan as a competitor for Russian hydrocarbon resources and Russia's indecisiveness about the Siberian pipeline, which would export high amounts of Russian crude oil to China, former Soviet members, in particular Kazakhstan, have emerged as more viable options. 62

China made generous commitments through its state-owned oil company, CNPC, to actualise the West-East energy corridor. This is particularly the case for the commitments made in Kazakhstan to develop two oilfields in Aktunbinsk and an oil field in Uzen. One should note that this pipeline has crucial political dimensions that supersede the significance of its commercial returns. As William Engdahl indicates, “the pipeline will undercut the geopolitical significance of the Washington-backed Baku-Tbilisi-Ceyhan oil pipeline which opened amid big fanfare and support of Washington.” 63 Thus, it would be plausible to assert that, to use a similar phrase to the one of Mackinder's, who controls the export routes, controls the energy resources, who controls the energy resources, controls the Eurasian Heartland. However, these arguments are valid only to a certain extent.

One should also note that, as Dru C. Gladney has stated, “the pipeline is important for the United States but hardly a vital concern… . The United States is interested in the stability and economic development of the region and in ensuring that a mutually beneficial relationship is established with the Central Asian republics. Because the Central Asian region of the CIS shares borders with China, Russia, and Iran, these newly independent states are important to the United States with or without oil.” 64 Another point that should be kept in mind is that “alternate sources of hydrocarbons for China would mean decreasing reliance on the Middle East as a sole source, thus decreasing competition in the region and the potential for tensions in the Persian Gulf.” 65 One should be clear on the point that so far as pipeline initiatives would promote the establishment of free-market democracies, the United States would welcome them on the condition that the oil flow would not be in substantial amounts. Gladney concludes, “In this regard, a pipeline to China could help to bring Kazakhstan into the global economy, as well as to wean it from sole dependence on Russia.”66 Hence, it will contribute to the US grand strategy in the twenty-first century.

 

CONCLUSION

From an offensive realist perspective, I have argued that the principal objective of US grand strategy in the twenty-first century is global hegemony. I have underlined that a true grand strategy is a combination of wartime and peacetime strategies, therefore, I asserted that American wartime (the US-led wars in Afghanistan, and Iraq) and peacetime (political support for the costly BTC pipeline project) strategies all serve the US grand strategy in the twenty-first century. I have also argued that the region surrounding the Caspian basin plays a vital role the US grand strategy. In that regard, I preferred to call that area, to use term of Sir Halford Mackinder, the Eurasian Heartland. I have demonstrated that this area has significant untapped non-OPEC oil reserves, particularly in Kazakhstan, that will underpin stability of US-controlled international oil markets. Interests and policies of Russia and China, two main Eurasian challengers of US grand strategy in the twenty-first century, are also analysed. It is concluded by noting that as long as the Caspian region's untapped oil reserves are developed in a manner contributing to regional stability and economic development, there is not much cause for concern over the success of the US grand strategy in the Eurasian Heartland.

Nevertheless, one should bear in mind that unless the US finds a way to stabilise international oil markets and decrease the price of oil, the success of the US grand strategy in the twenty-first century is dubious. Volatile high oil prices not only hurt the proper functioning of US-controlled international economic structure, but also make it more difficult for the US to manipulate oil producers (i.e., Russia and Iran) and consumers (i.e., China and India) in order to serve its grand strategy.

 

Notes

 

Professor Emre İşeri is a full-time member of the Department of International Relations, Yaşar University, İzmir. He is also an associate member of the Editorial Board of the Journal of Global Faultlines.

 

 

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NOTE: When discussing the number of death in Ukraine with Zelensky supporters and Putin haters, it is important to see that they do not DO NOT UNDERSTAND (do not want to understand) the difference between civilian deaths (around 10,000 — including those killed by the Ukrainian army), and the number of dead Ukrainian soldiers (up to 450,000 according to the latest figure by military analyst Scott Ritter). War is a horrible thing. Zelensky was about to make an agreement last year in early April, but that idiot Boris Johnson, sent by Joe Biden and NATO prevented any agreement. NATO/US/EU/UK is responsible for all the UKRAINIAN deaths SINCE THEN (early April 2022).

 

Of course the PUTIN HATERS won't even try to understand this. 

 

John Joseph Mearsheimer is an American political scientist and international relations scholar, who belongs to the realist school of thought. He is the R. Wendell Harrison Distinguished Service Professor at the University of Chicago. He has been described as the most influential realist of his generation.

 

Mearsheimer was born in December 1947 in Brooklyn, New York City. When he was eight, he moved with his family to Croton-on-Hudson, a suburb in Westchester County.  When he was 17, Mearsheimer enlisted in the US Army. After one year as an enlisted member, he obtained an appointment to the US Military Academy at West Point, which he attended from 1966 to 1970. After graduation, he served for five years as an officer in the US Air Force.

 

In 1974, while he was in the Air Force, Mearsheimer earned a master's degree in international relations from the University of Southern California. He entered Cornell University and in 1980 earned a Ph.D. in government, specifically in international relations. From 1978 to 1979, he was a research fellow at the Brookings Institution in Washington, DC. From 1980 to 1982, he was a postdoctoral fellow at Harvard University's Center for International Affairs. During the 1998–1999 academic year, he was the Whitney H. Shepardson Fellow at the Council on Foreign Relations in New York.

 

Since 1982, Mearsheimer has been a member of the faculty of the Department of Political Science Faculty at the University of Chicago.  He became an associate professor in 1984 and a full professor in 1987 and was appointed the R. Wendell Harrison Distinguished Service Professor in 1996. From 1989 to 1992, he served as chairman of the department. He also holds a position as a faculty member in the Committee on International Relations graduate program, and he is a co-director of the Program on International Security Policy.

 

Mearsheimer's books include Conventional Deterrence (1983), which won the Edgar S. Furniss Jr. Book Award; Nuclear Deterrence: Ethics and Strategy (co-editor, 1985); Liddell Hart and the Weight of History (1988); The Tragedy of Great Power Politics (2001), which won the Lepgold Book Prize; The Israel Lobby and U.S. Foreign Policy (2007); and Why Leaders Lie: The Truth About Lying in International Politics (2011). His articles have appeared in academic journals like International Security and popular magazines like the London Review of Books. He has written op-ed pieces for The New York Times, the Los Angeles Times, and the Chicago Tribune.

 

Mearsheimer has won several teaching awards. He received the Clark Award for Distinguished Teaching when he was a graduate student at Cornell in 1977, and he won the Quantrell Award for Excellence in Undergraduate Teaching at the University of Chicago in 1985. In addition, he was selected as a Phi Beta Kappa Visiting Scholar for the 1993–1994 academic year. In that capacity, he gave a series of talks at eight colleges and universities. In 2003, he was elected to the American Academy of Arts and Sciences.   He is the recipient of the American Political Science Association's 2020 James Madison Award, which is presented every three years to an American political scientist who has made distinguished scholarly contributions. The Award Committee noted that Mearsheimer is "one of the most cited International Relations scholars in the discipline, but his works are read well beyond the academy as well."

 

Mearsheimer's works are widely read and debated[according to whom?] by 21st-century students of international relations. A 2017 survey of US international relations faculty ranks him third among "scholars whose work has had the greatest influence on the field of IR in the past 20 years."

 

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NOTE: THIS VIDEO WAS MADE DURING TRUMP ADMINISTRATION......

 

 

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When We Put People First in US Politics

In this week’s Economic Update, Prof. Wolff presents updates on the failures of GOP and Democrats to face or solve major crises; layoffs and stock buybacks by US hi-tech companies; a new study of "food insecurity" in LA county. The second half of the show is dedicated to a discussion of how US history of the 1920s and 1930s shows the possibility of a progressive political shift and upsurge in the US today.

 

 

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