Monday, November 19, 2012

ASSISTANT ATTORNEY GENERAL BREUER'S SPEECH ON FOREIGN CORRUPT PRACTICES ACT

FROM: U.S. DEPARTMENT OF JUSTICE
Assistant Attorney General Lanny A. Breuer Speaks at the American Conference Institute’s 28th National Conference on the Foreign Corrupt Practices Act

National Harbor, Md. ~ Friday, November 16, 2012

Thank you, Joe, for that kind introduction. This is the fourth year in a row that I have been privileged to address this conference.

I am told that I have been the longest serving Assistant Attorney General of the Criminal Division in nearly 50 years. And during my time as head of the division, I have spoken about our ambitious efforts in the United States to fight foreign bribery, perhaps more than on any other subject, and all over the world. I have traveled around the globe – from Russia and Romania, to Liberia and Ghana, from Sweden and France, to the Ukraine and the U.K. – to discuss our anti-corruption enforcement work. And just as I have done here, I have told those countries that combating corruption around the world is, and will remain, a priority of the United States.

This message resonates in every country, because everyone – from the fruit stand owner in Tunisia, to the oil rig worker in Nigeria, to the punk rock musician in Russia – knows how pernicious corruption can be; and we in the United States are in a unique position to spread the gospel of anti-corruption, because there is no country that enforces its anti-bribery laws more vigorously than we do. The Justice Department’s record of accomplishment in this area is a signature achievement of ours, and I’m delighted to have this occasion to address you once again.

Three years ago, I came here and told you that, building on the work of my predecessors, I was going to make fighting corruption, and expanding our enforcement of the Foreign Corrupt Practices Act, a critical piece of the Criminal Division’s mission. I think I’ve kept that promise. Since 2009, the number of prosecutors we have devoted to working on FCPA cases has approximately doubled; we launched a new initiative – the Kleptocracy Asset Recovery Initiative – through which we seize and forfeit the assets of corrupt leaders around the world; and we have also rebuilt the Public Integrity Section – which is one of the Department’s crown jewels.

As a result of our efforts over the past three-and-a-half years, robust FCPA enforcement has become part of the fabric of the Justice Department: Our global anti-corruption mission has seeped into the Criminal Division’s core. And there is no turning back. The FCPA is now a reality that companies know they must live with and adjust to; and this nation is better off for it.

The dramatic change in the way the corporate world thinks about the FCPA didn’t happen overnight. It is the product of years of work, by a talented corps of dedicated and tenacious prosecutors. This audience, perhaps more than any other I’ve addressed, knows our record. I’ve heard that there are even several blogs that keep track of each one of our cases, which I think is terrific.

I will point out just two statistics: First, since 2009, our FCPA Unit has entered into over 40 corporate resolutions, including nine of the top ten resolutions ever, as measured by the size of the penalty, resulting in over $2 billion in fines. Second, since 2009, we have secured convictions against over three dozen individuals. One corporate executive, the former president of Terra Telecommunications, was sentenced to 15 years in prison – the longest sentence ever imposed in an FCPA case.

Looking back at these cases, and thinking about the ones in the pipeline, I see a Criminal Division that is focused on the cases and investigations that matter. We are focused on bribes of consequence – ones that have a fundamentally corrosive effect on the way companies do business abroad. And our record of success has meant that corporate executives now actually believe – for good reason – that if they participate in a scheme to improperly influence a foreign official, they face the very real prospect of going to prison. That may be our single most important achievement.

Because the prosecutors handling FCPA cases for the Criminal Division are experienced, sophisticated lawyers, companies also know that we are always attempting to strike an appropriate balance between vigorous and responsible enforcement.

The most vivid, recent illustration is our prosecution of Garth Peterson. As a managing director of Morgan Stanley, Peterson conspired to circumvent Morgan Stanley’s internal FCPA controls in order to transfer a multi-million-dollar ownership interest in a Shanghai building to himself and a Chinese public official with whom he had a personal friendship. Morgan Stanley voluntarily disclosed Peterson’s conduct, cooperated with our investigation, and showed us that it maintained a rigorous compliance program, involving extensive training of bank employees – including Peterson – on the FCPA and other anti-corruption measures. So we decided not to bring any enforcement action against the bank. But Peterson had to face the music. He pleaded guilty to conspiring to evade Morgan Stanley’s internal FCPA controls, and is currently serving time in federal prison, in Edgefield, S.C.

When we announced earlier this year that Garth Peterson had pleaded guilty, we took the unusual step of publicizing the fact that we were declining to bring a case against Morgan Stanley. Three days ago, I would have told you that our decision to make that declination public best illustrates our commitment to transparency. But, this past Wednesday marked an even more vivid example of that commitment.

Last year, I told you, in this room, that in 2012 we would release detailed guidance on the FCPA’s criminal and civil enforcement provisions. On Wednesday, keeping that promise, S.E.C. Director of the Division of Enforcement, Robert Khuzami, and I announced the release of A Resource Guide to the U.S. Foreign Corrupt Practices Act.

At roughly 120 pages, the Guide may be the most comprehensive effort ever undertaken by either the Justice Department or the SEC to explain our approach to enforcing a particular statute. I am extraordinarily proud of the lawyers and staff in the Criminal Division and at the SEC who worked on the Guide over the past year. In it, we analyze the central provisions of the Act and provide commentary and analysis for enterprises big and small – from small businesses doing their first transactions abroad to multi-national corporations with subsidiaries around the world.

Transparency is, of course, a worthwhile goal all by itself. We want U.S. businesses, foreign officials, non-governmental organizations and others to understand why we prosecute FCPA cases as vigorously as we do, and also how and why we make our charging decisions. But there are additional reasons why we strive to be so open in this area. The vast majority of companies doing business internationally want to get it right. They want to comply with the FCPA – and they know they may face Justice Department prosecutors and S.E.C. enforcement lawyers if they don’t. The Guide, which is perhaps the boldest manifestation of our transparent approach to enforcement, will help businesses that are unsure of their obligations, and should therefore improve compliance. Compliance officers and others have, over the years, worried out loud to me that their employees live in doubt. Does the cup of coffee they bought for a contracting official violate the FCPA? Will paying for a taxi for someone who might be a foreign official land them in prison? As you will see, the Guide addresses those questions and many others.

The Guide is the product of a remarkably close collaboration between the Criminal Division and the SEC’s Division of Enforcement. It could not have happened without the close partnership our two agencies have developed. And, as a non-neutral party, let me say that the Guide is simply an extraordinary piece of work. No guide will satisfy every constituency, and I would be surprised if the people in this room thought the Guide answered all of their questions. But, I think it’s fair to say that the Guide is one of the most comprehensive efforts ever by law enforcement to explain how and why we do what we do.

Thirty-five years after Congress passed the FCPA, we are in an important, and developing, era of foreign bribery enforcement. Countries across the globe are passing new anti-bribery legislation, or revising outdated laws. Russia, China, India, Sweden, the U.K. – the list goes on and on. More countries are also joining international bodies such as the OECD Working Group on Bribery. And we are cooperating with foreign law enforcement on FCPA cases more closely than ever before. In addition to our well publicized FCPA prosecutions, we have recently had our first Kleptocracy Initiative successes. In June, we successfully forfeited over $400,000 belonging to a corrupt former governor of a Nigerian oil-producing state; and since July we have secured restraining orders against more than $7 million in proceeds related to a different governor of another oil-producing state in Nigeria, including the proceeds from the sale of a penthouse unit in the Ritz-Carlton in Washington, D.C. Also, just this week, we announced the forfeiture of $2.1 million worth of property purchased with alleged bribes paid to the family of the former president of Taiwan. These are challenging, and extremely meaningful, cases. Our theory is simple: Corrupt leaders should not be allowed to use the United States as a safe haven for their ill-gotten gains; so, even if we cannot pursue you criminally in the United States – because we lack criminal jurisdiction, for example – we will pursue your assets.

As Assistant Attorney General, I am acutely aware that we have many urgent law enforcement priorities – fighting child exploitation, stemming the flow of narcotics from South America and elsewhere, stopping gang violence. I am here to tell you that fighting global corruption is just as urgent, and with the momentum of many countries behind us, now is the time to redouble our anti-corruption efforts. Because corruption – at home and abroad – has such corrosive effects, I have pledged to use every tool at our disposal to fight it. Not only does corruption undermine the public trust and weaken democratic institutions; it also creates gaps in government structures that organized criminal groups and terrorist networks can exploit. In short, corruption is a "gateway crime" that we must do everything we can, working with others around the globe, to stamp out.

Some practitioners and commentators see FCPA enforcement as no more than an esoteric area of the criminal law. But, for me, the global anti-corruption fight is so much more than that. During my tenure as Assistant Attorney General, I have seen people agitate for the rule of law during the Arab Spring. I have seen, first hand, how nations in upheaval are struggling to cope with corrupt leaders. I have spent time with our Justice Department prosecutors stationed abroad, who are fighting to establish rule-of-law programs in emerging democracies and contending with governments that are ill-equipped to resist corruption. And I have seen, first hand, people across the globe demanding more from their leaders. For me, our enforcement of the FCPA – as well as our Kleptocracy and capacity building work – is our way of ensuring not only that the Justice Department is on the right side of history, but also that it has a hand in advancing that history.

The idea that a company could get away with bribing foreign officials for the sake of corporate profits didn’t make sense 35 years ago. It doesn’t make sense today. As I have tried to convey to you in the four speeches I’ve delivered here, nothing is more important than curbing corruption around the world – and we must, and we will, continue to do everything we can to ensure that young people across the globe can dream big dreams without having to worry that a corrupt leader will extinguish them. It’s a critical mission, and one I’m very proud to be part of.

It has been my privilege to speak with you once again. Thank you.

U.S.-MYANMAR WORK TO COMBAT HUMAN TRAFFICKING

Photo:  Golden Buda.  From:  CIA World Factbook
FROM: U.S. DEPARTMENT OF STATE

United States-Myanmar Joint Plan on Trafficking in Persons
Media Note
Office of the Spokesperson
Washington, DC
November 18, 2012


The Governments of the Union of Myanmar and the United States; affirming their commitment to the global effort to combat human trafficking, a modern form of slavery that afflicts both of our nations; recognizing the requirements and provisions of the UN Protocol to Suppress, Punish, and Prevent Trafficking in Persons, Especially Women and Children, supplementing the 2000 UN Convention on Transnational Organized Crime; acknowledging the progress made by the Government of Myanmar in addressing sex trafficking and forced labor over the last two years, particularly:
The repealing of the 1907 Towns and Villages Acts, which provided legal condoning of the government officials’ use forced labor;
The enactment of the 2012 Wards and Village Tracts Administration Act, which explicitly criminalizes all forms of forced labor;
The forging with the International Labor Organization (ILO) of a time-bound, comprehensive action plan to tackle forced labor in Myanmar;
The opening of two additional border liaison offices on the Thai border to prevent cross-border trafficking;
The signing of a child soldiers action plan with the United Nations that calls for the release of child soldiers from the Burmese armed forces and access to military sites and prisons to inspect for the presence of child soldiers;
The opening, in collaboration with the Thai government, of five Myanmar Ministry of Labor-staff migrant help centers inside Thailand; and the more robust anti-trafficking efforts undertaken by the Ministry of Home Affairs-chaired Central Body on Trafficking in Persons (CBTIP), such as the abolishment of the mandatory detention time in government shelters for trafficking victims;

And recognizing that the Union of Myanmar’s anti-trafficking efforts will be enhanced through the sharing of technical knowledge and best practices from the United States and its partners in this global effort against trafficking in persons;

Declare as follows:

Objectives

1. The governments affirm that this joint plan provides a framework for joint action against all forms of trafficking in persons, including both sex and labor trafficking, whether committed across international borders or wholly within a country’s borders – through efforts to boost the capacity of Myanmar government officials and civil society partners in jointly identifying cases of forced labor, the illegal recruitment of child soldiers, and sex trafficking, including the sharing of best practices, and technical assistance and training provided by the United States government and partner entities.

2. The governments emphasize that this joint plan heralds a new era of Myanmar-United States cooperation in addressing this serious crime and human rights issue.

Areas of Cooperation

The Governments of the Union of Myanmar and the United States commit to areas of cooperation and measurable progress in increasing the capacity of Myanmar efforts to: identify trafficking offenses; investigate and prosecute trafficking offenders; provide victims with access to services in line with existing international guidelines; and to prevent Myanmar citizens from being subjected to sex trafficking or forced labor either within the country’s border or abroad.

Specifically, the governments commit to:

A. Implement the ILO Action Plan on Forced Labor and the provisions of the new Wards and Village Tracts Administration Act by registering with Myanmar government authorities an increased number of alleged cases of forced labor, both through the ILO complaint mechanism and the government’s own enforcement authorities;

B. Expand CBTIP’s official responsibilities over human trafficking issues. Demonstrate progress in this regard by increasing the number of criminal investigations and prosecutions of those who are alleged to have committed forms of human trafficking to include forced labor and the unlawful recruitment and use of child soldiers;

C. Encourage greater civil society participation in anti-trafficking efforts throughout the country, including through more robust and structured partnerships – both at the policy and operational levels – between Myanmar authorities (law enforcement and social services) and a wide range of civil society organizations and faith institutions; and

D. Provide technical assistance, training, and the regular sharing of best practices in the areas of law enforcement investigations, victim/witness interviewing, victim assistance, and trafficking prevention, through U.S. government-funded programs to be closely coordinated with Myanmar government partners to ensure the most effective collaboration possible.

Bilateral Anti-Trafficking Dialogue and Participation

With the announcement of this joint plan, the Governments of the Union of Myanmar and the United States are opening a regular anti-TIP dialogue that will be structured to have at least annual meetings in either Myanmar or the United States, supplemented by regular ad hoc meetings at both senior and working levels throughout the year.

RECENT U.S. NAVY PHOTOS





FROM: U.S. NAVY, MH-60S SEA HAWK HELICOPER
An MH-60S Sea Hawk helicopter assigned to the Eightballers of Helicopter Sea Combat Squadron (HSC) 8, embarked aboard the aircraft carrier USS John C. Stennis (CVN 74), circles around a flare during a casting and recovery exercise. John C. Stennis is deployed to the U.S. 5th Fleet area of responsibility conducting maritime security operations, theater security cooperation efforts and support missions for Operation Enduring Freedom. The U.S. Navy is constantly deployed to preserve peace, protect commerce, and deter aggression through forward presence. Join the conversation on social media using #warfighting. U.S. Navy photo by Mass Communication Specialist 3rd Class Kenneth Abbate (Released) 121112-N-OY799-139




121113-N-XQ375-034 ARABIAN SEA (Nov. 13, 2012) Sailors assigned to a visit, board, search and seizure team from the guided-missile destroyer USS Jason Dunham (DDG 109) approach the Comoros-flagged cargo vessel Al Dahab for a flag verification. Jason Dunham is deployed to the U.S. 5th Fleet area of responsibility conducting maritime security operations, theater security cooperation efforts and support missions for Operation Enduring Freedom. (U.S. Navy photo by Mass Communication Specialist 2nd Class Deven B. King/Released)

ACUPUNCTURE AND BATTLEFIELD MEDICINE

Dr. John Baxter, middle, Pentagon Clinic Director and acupuncturist, assists a Beijing University of Chinese Medicine student with inserting acupuncture needles into fellow student, Minli Sun's ear Oct. 24, 2012 in Beijing, China. At the invitation of China's People Liberation Army, U.S. Air Force medical physicians, alongside their Chinese military and civilian counterparts, conducted the first-ever Medical Acupuncture Subject Matter Expert Exchange in Beijing Oct. 21-27, 2012. (U.S. Air Force courtesy photo)

FROM: U.S. AIR FORCE
AF, China's PLA physicians gather for first-ever acupuncture exchange
by Tech. Sgt. Matthew McGovern
Pacific Air Forces Public Affairs

11/16/2012 - BEIJING, China (AFNS) -- At the invitation of China's People Liberation Army, Air Force medical physicians, along-side their Chinese military and civilian counterparts, conducted the first-ever Medical Acupuncture and Battlefield Medicine Subject Matter Expert Exchange in Beijing, China, on Oct. 21-27.

The exchange, attended by seven U.S. representatives from the Air Force Medical Service, civilians from the National Intrepid Center of Excellence, and more than 30 PLA members, was an effort to help U.S.-China militaries increase mutual trust and understanding while sharing practices in traditional Chinese medicine.

"The sessions were friendly, informative and far-reaching in their scope," said Lt. Col. Gregory Sweitzer, Pacific Air Forces clinical quality and innovation chief from Joint Base Pearl Harbor-Hickam, Hawaii. "The enthusiasm and camaraderie that emerged from this exchange was clearly palpable and led to a series of discussions that extended outside the conference rooms and into the break room where genuinely enthusiastic inter-personal exchanges took place."

The exchange was held at three separate locations: a military hospital, university of medicine and a traditional Chinese medicine clinic. The different venues allowed the group to explore each other's acupuncture techniques, operational medicine issues, and acupuncture research. The group also focused on ways acupuncture remedies hypertension, diabetes, obesity, stroke, chronic pain, as well as gynecological complaints.

At the military hospital, where the Americans were greeted with prominently displayed U.S. and China banners and multiple cameramen, discussions included acupuncture treatment of battlefield injuries, post-traumatic stress disorder, traumatic brain injury, and treatment of pain associated with amputations.

"We were treated very graciously (by our Chinese counterparts) and our hope is that we can have future exchanges in acupuncture and other medical exchanges with the PLA and civilian counterparts to learn more from them and them from us," said Sweitzer.

The Chinese physicians formed a similar opinion regarding the exchanges.

"The exchange (facilitated) Sino-U.S. friendship, enhanced relations, and I hope communications," said Col. Lou Yongchang, PLA air force aviation medicine branch director.

Sweitzer remained optimistic about further relations with the Chinese experts.

"We believe this visit truly enhanced U.S.-China military-medical relations, particularly with regard to the provision and utilization of acupuncture in our respected militaries. In fact, our group has already identified some prospective topics and workshops that could provide the framework for a second U.S.-China exchange," said Sweitzer.

Pacific Air Forces conduct subject matter exchanges throughout the pacific to collaborate with other professionals and assist with communications across various military disciplines. Dialogue and exchanges are designed to promote stable military-to-military relationships by reducing misunderstanding, misperception, and miscalculation through increased communication and interaction

 

U.S. PRESIDENT OBAMA VISITS THE KINGDOM OF THAILAND



President Barack Obama, with Secretary of State Hillary Rodham Clinton and Ambassador Kristie Kenney, left, meet with King Bhumibol Adulyadej of the Kingdom of Thailand, at Siriraj Hospital in Bangkok, Thailand, Nov. 18, 2012. (Official White House Photo by Pete Souza)

FROM: THE WHITE HOUSE

The first nation on the itinerary for
President Obama's Asia trip is Thailand -- America's oldest friend on the continent, with diplomatic ties stretching back nearly 180 years.

Though his stop to the country lasted for less than one full day, the President visited a Buddhist temple at the Wat Pho monastery, met with Thai King Bhumibol Adulyadej, held a joint press conference with Thai Prime Minister Yingluck Shinawatra, and enjoyed a dinner hosted by the prime minister at the Government House in Bangkok.

Before the dinner, President Obama toasted the character and strength of the Thai people.

"Everything that I’ve felt -- your dignity, your resilience, your friendship, your warmth -- that is the foundation of our alliance," he said. "It’s why you were the first Asian nation to reach out to America after we won our independence. It’s why in Asia, to this day, we can say Thailand is our oldest friend. And we are extraordinarily proud of that friendship, and we are especially pleased to see the excellent leadership that, Madam Prime Minister, you are providing as you continue this country’s path of democracy, freedom and development."

Sunday, November 18, 2012

SEC SAYS IT RECEIVED OVER 3000 WHISTLEBLOWER TIPS OVER THE PAST YEAR


SEC Headquarters.  Credit:  Wikimedia Commons  
FROM: U.S. SECURITIES AND EXCHANGE COMMISSION 

Washington, D.C., Nov. 15, 2012 — Over the past year, the Securities and Exchange Commission received more than 3,000 whistleblower tips from all 50 states and from 49 countries, according to the agency's
2012 Annual Report on the Dodd-Frank Whistleblower Program released today.

The report, which is required by the Dodd Frank Wall Street Reform and Consumer Protection Act, summarizes the activities of the SEC's Office of the Whistleblower.

"In just its first year, the whistleblower program already has proven to be a valuable tool in helping us ferret out financial fraud," said SEC Chairman Mary L. Schapiro. "When insiders provide us with high-quality road maps of fraudulent wrongdoing, it reduces the length of time we spend investigating and saves the agency substantial resources."

Among other things, the report notes:
The SEC made its first award under the new program to a whistleblower who helped the SEC stop an ongoing multi-million dollar fraud. The whistleblower received an award of 30 percent of the amount collected in the SEC's enforcement action, which is the maximum percentage payout allowed by law.
The SEC received 3,001 tips, complaints, and referrals from whistleblowers from individuals in all 50 states, the District of Columbia, and the U.S. territory of Puerto Rico as well as 49 countries outside of the United States.
The most common complaints related to corporate disclosures and financials (18.2 percent), offering fraud (15.5 percent), and manipulation (15.2 percent).
There were 143 enforcement judgments and orders issued during fiscal year 2012 that potentially qualify as eligible for a whistleblower award. The Office of the Whistleblower provided the public with notice of these actions because they involved sanctions exceeding the statutory threshold of more than $1 million.

Under the Dodd-Frank Act, the SEC can pay financial awards to whistleblowers who provide high-quality, original information about a possible securities law violation that leads to a successful SEC enforcement action with more than $1 million in monetary sanctions. The SEC is authorized to pay the whistleblower 10 to 30 percent of the sanctions collected. Awards are paid from the Investor Protection Fund established by Congress to fund payments.

Information on eligibility requirements, directions on how to submit a tip or complaint, instructions on how to apply for an award, and answers to frequently asked questions are available at:
www.sec.gov/whistleblower.

President Obama Meets with Congressional Leadership | The White House

President Obama Meets with Congressional Leadership | The White House

TWO MEN AND COMPANY CHARGED WITH RATTLESNAKE TRAFFICKING


Photo Credit:  Wikimedia.
FROM: U.S. DEPARTMENT OF JUSTICE
Tuesday, November 13, 2012
Two Florida Men and Company Charged in Philadelphia with Rattlesnake Trafficking

Robroy MacInnes, 54, of Fort Myers, Fla., Robert Keszey, 47, of Bushnell, Fla., and Glades Herp Farm Inc., were charged in a two-count indictment today in federal court in Philadelphia, announced Ignacia S. Moreno, Assistant Attorney General of the Justice Department’s Environment and Natural Resources Division and Zane David Memeger, U.S. Attorney for the Eastern District of Pennsylvania. The indictment charges MacInnes, Keszey and the Florida business they co-own, Glades Herp Farm, with conspiracy to traffic in endangered and threatened reptiles, as well as charging MacInnes and Glades with trafficking in protected timber rattlesnakes in violation of the Lacey Act.

According to the indictment, between 2007 and 2008, the defendants collected protected snakes from the wild in Pennsylvania and New Jersey, purchased protected eastern timber rattlesnakes that had been illegally collected from the wild in violation of New York law, and transported federally threatened eastern indigo snakes from Florida to Pennsylvania. The indictment also charges that defendants MacInnes and Glades violated the Lacey Act by purchasing illegal eastern timber rattlesnakes and having the snakes transported to Florida.

The eastern timber rattlesnake is a species of venomous pit viper native to the Eastern United States, and is considered endangered in New Jersey and threatened in New York. It is also illegal to possess an eastern timber rattlesnake without a permit in Pennsylvania. The eastern indigo snake, the longest native North American snake species, is listed as threatened by both Florida and Federal law.

The Lacey Act, one of the oldest statutes in the United States, prohibits interstate trafficking in wildlife known to be illegally obtained. The maximum penalty for conspiring to commit offenses and for violations of the Lacey Act is up to five years in prison and a $250,000 fine for each violation.

The allegations in the indictment are mere accusations and all persons are presumed innocent until and unless proven guilty beyond a reasonable doubt in a court of law.

This case is being investigated by the U.S. Fish and Wildlife Service, Office of Law Enforcement. The case is being prosecuted by Patrick M. Duggan of the Environmental Crimes Section of the Justice Department’s Environment and Natural Resources Division and Assistant U.S. Attorney Mary Kay Costello of the U.S. Attorney’s Office for the Eastern District of Pennsylvania.

Background Briefing With a Senior State Department Official

Background Briefing With a Senior State Department Official

THE AIR FORCE GREEN DEMOLITION PROJECT


Heavy equipment sits idle during a break in the demolition of Bldg. T-609 Nov. 5. The project is on going through Nov. 9. (U.S. Air Force Photo/Dennis Rogers)
FROM: U.S. AIR FORCE
 
Demolition highlights Schriever's green side
by Scott Prater
Schriever Sentinel

11/8/2012 - SCHRIEVER AIR FORCE BASE, Colo. -- Contractor crews smashed Bldg. T-609 to bits Monday morning.

Giant backhoes toppled walls and pulverized large chunks of concrete, steel and sheetrock into a mangled mess. But, first impressions might have been deceiving in this case. What may have looked like a pile of loose debris actually turned out to be a controlled recycling site.

Based on 50th Civil Engineer Squadron guidance, the contractor demolished the temporary building, and former home of the 310th Space Wing headquarters, in such a fashion as to save valuable copper, steel and other recyclable material.

The demolition culminated more than a year of planning by members of 50 CES and the 50th Contracting Squadron.

"There are several reasons why we conducted this project the way we did," said Robert Blevins, 50 CES chief of programs. "We have regulations to satisfy, energy and efficiency standards to meet, and operations and maintenance cost concerns."

First constructed for use by the Space Innovation and Development Center in 2004, Bldg. T-609 eventually found its way into the hands of the 310 SW, which used it until construction on its permanent structure concluded last year.

Air Force Instruction 32-101 states organizations are only authorized to use a temporary facility while they are waiting for a new military construction project to be completed.

"Temporary structures, by their nature, are also very costly to maintain, own and operate," Blevins said. "Their energy characteristics underperform compared to permanent facilities and they don't incorporate LEED [Leadership in Engineering and Environmental Design] construction standards for energy efficiency."

As soon as Bldg. 26 opened, 50 CES put word out on base that office furniture and other useful materials from Bldg. T-609 were available. The squadron also offered the building's modular furniture to any units who could use them. The remaining furniture was disassembled and sent to Peterson Air Force Base for use in future projects.

Squadron engineers removed the building's heating ventilation and air conditioning units and electrical transformers for future use as well.

"We've been leveraging the value of that building for quite a while now," Blevins said. "Gone are the days when a contractor would arrive, demolish, scoop and haul everything away to the local landfill."

During the past few months, Bldg. T-609 delivered even more lasting results as the Schriever Fire Department recognized an opportunity to conduct fire training exercises on the roof and interior of the building. Fire fighters were able to cut through floors, ceilings, floors and walls, as well as break down doors and windows.

Thanks in part to the fire department's previous work inside, the demolition contractor will level the building in the span of a week, but it could take a few weeks to clear the site, which Blevins said will be returned to its natural state.

In the meantime, Bldg. T-609 might just be remembered as the building that kept on giving.

"The overall demo of Bldg. T-609 will help Schriever AFB reach the Air Force's mandated energy reduction goals," said Lt. Col. Trent Tuthill, 50th Mission Support Group deputy commander. "In the fiscally constrained environment we operate in today, every dollar counts and the demolition will directly reduce the overall Schriever utility bill. Additionally, the recycled material will help the wing reach the AF mandated goal of diverting 55 percent of non-hazardous solid waste by 2015."


MONACO'S NATIONAL DAY

Monaco Map Credit:  CIA World Factbook

FROM:  U.S. DEPARTMENT OF STATE
On the Occasion of the Principality of Monaco's National Day
Press Statement
Hillary Rodham Clinton
Secretary of State
Washington, DC
November 16, 2012

On behalf of President Obama and the people of the United States, I am delighted to send best wishes to the people of Monaco as you celebrate your national day this November 19.

For more than a century, Monaco and the United States have worked together to promote peace and prosperity around the globe. This year, Monaco hosted representatives from the United States and over 50 other countries at the 21st Parliamentary Assembly of the Organization for Security and Cooperation in Europe. This important gathering highlighted the Principality’s commitment to development, security, and human rights. It is just one of the many contributions that Monaco has made to international collaboration and understanding. We also commemorate the 5th anniversary of the opening of the Monegasque embassy in Washington, a tangible example of our enduring friendship.

Congratulations again on this special day. I look forward to continued cooperation between our countries in the years to come.

 

Monaco Locator Map.  From:  CIA World Factbook


ADDITIONAL INFORMATION FROM CIA WORLD FACTBOOK

The Genoese built a fortress on the site of present day Monaco in 1215. The current ruling Grimaldi family first seized temporary control in 1297, and again in 1331, but were not able to permanently secure their holding until 1419. Economic development was spurred in the late 19th century with a railroad linkup to France and the opening of a casino. Since then, the principality's mild climate, splendid scenery, and gambling facilities have made Monaco world famous as a tourist and recreation center
.

U.S. DEPARTMENT OF EDUCATION AWARDS $50,000 TO COLORADO SCHOOLS RECOVER FROM THEATER SHOOTING


Public School.  Credit:  Wikimedia. 
FROM: U.S. DEPARTMENT OF EDUCATION
U.S. Department of Education Awards Nearly $50,000 to Help Colorado's Aurora Public Schools Recover from Theater Shooting

November 16, 2012
The U.S. Department of Education’s Office of Safe and Healthy Students, formerly the Office of Safe and Drug-Free Schools, has awarded Aurora Public Schools in Aurora, Colo., a Project School Emergency Response to Violence (SERV) grant totaling nearly $50,000. The grant will provide assistance for ongoing recovery efforts following a deadly shooting during the midnight premiere of the movie, "The Dark Knight Rises."

"This senseless attack profoundly impacted students and educators throughout the city, and these resources will help the Aurora community provide special care to those who need it," said U.S. Secretary of Education Arne Duncan. "We want to support this community as it continues to recover and reconnect after this horrific event."

Project SERV provides critical support to districts and institutions of higher education that have experienced a significant traumatic event and need resources to respond, recover, and re-establish a safe environment for students. The Office of Safe and Healthy Students has awarded more than $29 million to 97 grantees, including Aurora Public Schools, since the grant program began in 2001.

On Thursday, July 20, 2012, a lone gunman opened fire in the Century 16 multiplex theater. He shot and killed 12 people, including a recent school district graduate, and wounded 58 more. According to Aurora Public Schools, more than 300 of its students and staff were affected, including 50 students from Gateway High School, some of whom were injured, and 10 students from Hinkley High School, who experienced the shooting spree in the theater. With high school registration scheduled for the following week, and the new academic year’s launch scheduled for the week of August 6, 2012, the teaching and learning environment was immediately affected, and continues to be impacted by the tragedy.

Aurora Public Schools applied for and received a Project SERV Immediate Services grant in order to support efforts taken by the district to restore the learning environment while also providing critical assistance to students and staff.

J.P. MORGAN SECURITIES LLC CHARGED BY SEC WITH MISLEADING INVESTORS IN RMBS OFFERINGS

FROM: U.S. SECURITIES AND EXCHANGE COMMISSION
In coordination with the federal-state Residential Mortgage-Backed Securities Working Group, the Securities and Exchange Commission today charged J.P. Morgan Securities LLC and affiliated entities with misleading investors in offerings of residential mortgage-backed securities (RMBS). The firm agreed to a settlement in which it will pay $296.9 million. The SEC plans to distribute the money to harmed investors.

The SEC alleges that JP Morgan misstated information about the delinquency status of mortgage loans that provided collateral for an RMBS offering in which it was the underwriter. JP Morgan received fees of more than $2.7 million, and investors sustained losses of at least $37 million on undisclosed delinquent loans. JP Morgan also is charged for Bear Stearns' failure to disclose its practice of obtaining and keeping cash settlements from mortgage loan originators on problem loans that Bear Stearns had sold into RMBS trusts. The proceeds from this bulk settlement practice were at least $137.8 million.

According to the SEC's complaint against JP Morgan filed in federal court in Washington D.C., federal regulations under the securities laws require the disclosure of delinquency information related to assets that provide collateral for an asset-backed securities offering. Information about the delinquency status of mortgage loans in an RMBS transaction is important to investors because those loans are the primary source of funds by which investors can earn interest and obtain repayment of their principal.

The SEC alleges that in the prospectus supplement for the $1.8 billion RMBS offering that occurred in December 2006, JP Morgan made materially false and misleading statements about the loans that provided collateral for the transaction. The firm represented that only four loans (.04 percent of the total loans collateralizing the transaction) were delinquent by 30 to 59 days, and that those four were the only loans that had had an instance of delinquency of 30 or more days in the 12 months prior to the "cut-off date" for the transaction. However, at the time JP Morgan made these representations, the firm actually had information showing that more than 620 loans (above 7 percent of the total loans collateralizing the transaction) were, and had been, 30 to 59 days delinquent, and the four loans represented as being 30 to 59 days delinquent were in fact 60 to 89 days delinquent.

The SEC's complaint also alleges that Bear Stearns' bulk settlements covered loans collateralizing 156 different RMBS transactions issued from 2005 to 2007. Loan originators were usually required by contract to buy back loans that suffered early payment defaults or had other defects. However, Bear Stearns frequently negotiated discounted cash settlements with these loan originators in lieu of a buy-back on loans that were owned by the RMBS trusts. The firm - both before and after the merger with JP Morgan - then kept most of the bulk settlement proceeds. The firm failed to disclose the practice to investors who owned the loans. Bear Stearns repurchased only about 13 percent of these defective bulk settlement loans from the trusts, compared to a nearly 100 percent repurchase rate when loan originators agreed to buy back the defective loans. For most loans covered by bulk settlements, the firm collected money from originators without paying anything to the trusts.

JP Morgan and J.P. Morgan Acceptance Corporation I settled the SEC's charges by consenting to pay disgorgement of $39,900,000, prejudgment interest of $10,600,000, and a penalty of $24,000,000 for the delinquency misstatements, which the SEC will seek to distribute to harmed investors in the transaction through a Fair Fund. JP Morgan; EMC Mortgage, LLC; Bear Stearns Asset Backed Securities I, LLC; Structured Asset Mortgage Investments II, Inc.; and SACO I, Inc. agreed to pay disgorgement of $137,800,000, prejudgment interest of $24,265,536, and a penalty of $60,350,000 for the bulk settlement practice misconduct, and the SEC will seek to distribute these funds to harmed investors through a separate Fair Fund. JP Morgan and each of the other defendants consented, without admitting or denying the allegations, to the entry of a final judgment permanently enjoining them from violating Section 17(a)(2) and (3) of the Securities Act of 1933. The settlement is subject to court approval.

U.S. DOD 'DISTRIBUTION SYNCHRONIZER'

U.S. Transportation Command's global campaign plan for distribution will ensure the command is postured to ensure warfighters have the transportation and logistical support required to conduct future missions around the world. Here, Army Spc. Chance Alwin with 1st Battalion, 17th Infantry Regiment, takes the lead during a combat patrol in Kandahar province, Afghanistan, Dec. 9, 2009. Courtesy photo
FROM: U.S. DEPARTMENT OF DEFENSE

Transcom Charts Future as DOD's 'Distribution Synchronizer'
By Donna Miles
American Forces Press Service

SCOTT AIR FORCE BASE, Ill., Nov. 14, 2012 - For years, tiny Morón Air Base in Southern Spain appeared to be headed to the chopping block. The base, established with the Spaniards in the early 1950s, had for decades been relegated to standby status for U.S. deployments in support of exercises or crisis response.

U.S. Air Forces in Europe leaders, looking for ways to cut operations that don't directly support their contingency plans, were prepared to close its gates. However, officials at U.S. Transportation Command, working with U.S. European Command, helped them realize that although Morón may no longer be vital to activities in the European theater, it's a key node for operations within both U.S. Central Command and U.S. Africa Command.

The decision to maintain Morón offers a snapshot of Transcom's work as the Defense Department's officially designed "distribution synchronizer," Navy Rear Adm. William "Andy" Brown, the command's director of strategy, policies, programs and logistics, told American Forces Press Service

That mission, assigned in early 2011, charges Transcom to look horizontally across the combatant commands -- rather than vertically, through individual combatant command stovepipes -- to synchronize planning for global distribution operations, Brown explained.

The idea is to help DOD "knit the distribution seams among the combatant commands to better support their theater campaign and contingency plans," Air Force Gen. William M. Fraser III, the Transcom commander, told the Senate Armed Services Committee earlier this year.

This, in turn, will help ensure access to the places vital to Transcom's transportation and distribution mission, Fraser said, ensuring sufficient distribution lines across multiple theaters for it to project and sustain forces around the globe.

A big consideration, Brown said, is to continue posturing Transcom to react to simultaneous events with the transportation and distribution network in place to support them. "What happens if we had to [respond to] a hurricane over here and another operation over there?" he said, pointing to two opposite ends of the globe. "What happens to the global transportation network, and how do you maintain that resiliency and ability to react quickly to changes?"

Transcom's global campaign plan for distribution, expected to be completed by late 2013, will provide the framework for addressing these issues, Air Force Col. Carol Johnson, a plans officer in Brown's directorate, reported.

The campaign plan will help Transcom identify what measures need to be taken now to provide the infrastructure, relationships and other requirements to support the defense strategic guidance, she said. That includes the department's pivot toward the Asia-Pacific region, the drawdown of combat operations within Centcom, natural disasters and other contingencies.

Recognizing that requirements will always outweigh capability, Johnson said the global campaign plan will help DOD identify redundancies, establish priorities, weigh risks and recommend solutions for reducing them.

Working with an initial concept, Transcom brought together stakeholders from across its distribution community to war-game it in July. "Everybody agreed it was feasible and would work," Johnson said of the concept. Now, the Transcom staff is waiting for Undersecretary of Defense for Policy James N. Miller to give that concept the green light, most likely in early December, so they can begin drafting the official plan.

If that plan is approved as expected by the end of next year, Transcom officials plan to spend a year fine-tuning the processes.

Then, once each year, the Transcom commander will sit at the table with defense senior leaders and the other combatant commanders to review their theater distribution plans and identify ways to shore up any gaps.

"Our job will be to look across the spectrum and make recommendations to the chairman," Brown said. "From a national perspective, our No. 1 priority is to get this global campaign plan for distribution right."

The annual review will help keep Transcom's global distribution plan in line with the changing strategic environment and COCOM requirements, Johnson said.

"Most people write plans, get them approved, then put them on the shelf until it's time to pull them off and execute," she said. "But ours is consistently going to be evolving and updating, because we do this every day. Our plan will be updated based on the strategic environment and the strategic needs of the Defense Department."

Ultimately, she said, the new plan will help DOD develop a more strategic posture for the future.

"In the past, we have been reactionary in supporting folks when things happen, and we haven't had that strategic look at distribution," Johnson said. "But with the global campaign plan for distribution, we can be more strategic in the planning effort of distribution. And that will make us more effective in everything we do."

DEFENSE: MULTIPLE MISSILE ENGAGEMENT

A Terminal High Altitude Area Defense (THAAD) interceptor is launched from Meck Island on its way to intercept of a ballistic missile target during MDA’s historic flight test on Oct. 24, 2012. (Photo by Andrew Hall)


FROM: U.S. DELPARTMENT OF DEFENSE
Written by jtozer
Five Targets, One Missile


The Missile Defense Agency, U.S. Army soldiers from the 94th and 32nd Army Air and Missile Defense Command; U.S. Navy sailors aboard the USS FITZGERALD (DDG 62); and airmen from the 613th Air and Space Operations Center successfully conducted the largest, most complex missile defense flight test ever attempted resulting in the simultaneous engagement of five ballistic missile and cruise missile targets.

An integrated air and ballistic missile defense architecture used multiple sensors and missile defense systems to engage multiple targets at the same time.

All targets were successfully launched and initial indications are that the Terminal High Altitude Area Defense system successfully intercepted its first medium-range ballistic target in history, and PATRIOT Advanced Capability-3 (PAC-3) near simultaneously destroyed a Short Range Ballistic Missile and a low flying cruise missile target over water.

The live-fire demonstration, conducted at U.S. Army Kwajalein Atoll/Reagan Test Site, Hickam Air Force Base and surrounding areas in the western Pacific, stressed the performance of the Aegis Ballistic Missile Defense, THAAD and PATRIOT weapon systems.

An Extended Long Range Air Launch Target (E-LRALT) missile was airdropped over the broad ocean area north of Wake Island from a
U.S. Air Force C-17 aircraft, staged from Joint Base Pearl Harbor-Hickam, Hawaii. The AN/TPY-2 X-band radar, located with the THAAD system on Meck Island, tracked the E-LRALT, and a THAAD interceptor successfully intercepted the medium-range ballistic missile. THAAD was operated by soldiers from the 32nd AAMDC.

Another short-range ballistic missile was launched from a mobile launch platform located in the broad ocean area northeast of Kwajalein Atoll. The PATRIOT system, manned by soldiers of the 94th AAMDC, detected, tracked and successfully intercepted the target with a PAC-3 interceptor.

The USS FITZGERALD successfully engaged a low-flying cruise missile over water. The Aegis system also tracked and launched an SM-3 Block 1A interceptor against a short-range ballistic missile. However, despite indication of a nominal flight of the SM-3 Block 1A interceptor, there was no indication of an intercept of the SRBM.

FTI-01 was a combined developmental and operational test. Soldiers, sailors and airmen from multiple combatant commands operated the systems and were provided a unique opportunity to refine operational doctrine and tactics. Program officials continue to assess and evaluate system performance based upon telemetry and other data obtained during the test.

Ballistic Missile Defense System programs have completed 56 successful hit-to-kill intercepts in 71 flight test attempts since 2001

Story provided by the Missile Defense Agency


 

Saturday, November 17, 2012

SOL HAS TWIN SONS

FROM: NASA


Double Prominence Eruptions


The Sun erupted with two prominence eruptions, one after the other over a four-hour period (Nov. 16, 2012). The action was captured in the 304 Angstrom wavelength of extreme ultraviolet light. It seems possible that the disruption to the Sun’s magnetic field might have triggered the second event since they were in relatively close proximity to each other. The expanding particle clouds heading into space do not appear to be Earth-directed. Credit: NASA/SDO

 

OHIO AUTOMOBILE PARTS SUPPLIER EXECUTIVE PLEADS GUILTY IN PRICE FIXING AND BID-RIGGING CONSPIRACY


FROM: U.S. DEPARTMENT OF JUSTICE

Executive Agrees to Serve One Year in U.S. Prison

WASHINGTON — An executive at the Ohio subsidiary of a Japanese automotive supplier pleaded guilty today for his role in a conspiracy to fix prices and rig bids of anti-vibration rubber parts sold in the United States and elsewhere, the Department of Justice announced. This is the first charge in the department’s ongoing investigation into price fixing and bid rigging in the automobile anti-vibration rubber parts industry, which is one of the department’s ongoing investigations into anticompetitive conduct in the automotive parts industry.

According to a one-count felony charge filed on Oct. 30, 2012, in the U.S. District Court for the Northern District of Ohio, in Toledo, Hiroshi Yoshida, a Japanese national employed at the Ohio-based U.S. subsidiary of an automobile anti-vibration rubber supplier headquartered in Saitama, Japan, participated in a conspiracy to rig bids for, and to fix prices of, automobile anti-vibration rubber parts sold in the United States and elsewhere. According to the charge, Yoshida’s involvement in the conspiracy began at least as early as October 2005 and continued until at least June 2011. The department said Yoshida and his co-conspirators carried out the conspiracy by agreeing, in meetings and discussions, to allocate the supply of certain automobile anti-vibration rubber parts, to exchange prices, to submit noncompetitive bids and to sell the parts at collusive and noncompetitive prices in the United States and elsewhere.

According to the plea agreement, Yoshida has agreed to serve 12 months and one day in a U.S. prison, to pay a $20,000 criminal fine and to cooperate with the department’s ongoing investigation. Yoshida’s sentencing is scheduled to take place on Dec. 20, 2012.

Anti-vibration rubber parts are comprised primarily of rubber and metal, and are installed in automobiles to reduce engine and road vibration. Anti-vibration rubber parts are installed in suspension systems and engine mounts, as well as other parts of an automobile.

"This is the first charge in the division’s investigation into anticompetitive conduct involving automotive parts used to reduce engine and road vibration," said Joseph Wayland, Acting Assistant Attorney General in charge of the Department of Justice’s Antitrust Division. "The aim of this multi-year conspiracy was to do away with competition among suppliers, through bid rigging and price fixing, in order to maximize profits."

"We are pleased with the guilty plea entered today by Mr. Yoshida and his acceptance of responsibility, as the anti-vibration rubber parts industry is a critical component of the automobile manufacturing process," said Stephen D. Anthony, Special Agent in Charge of the FBI Cleveland Division. "The Cleveland FBI is committed to working with our Department of Justice partners in the Antitrust Division to keep this industry and other critical industries competitive by aggressively pursuing any conspiracy in Northern Ohio that undermines free competition and our economy."

Including Yoshida, nine companies and 12 executives have pleaded guilty or agreed to plead guilty in the department’s ongoing investigation into price fixing and bid rigging in the auto parts industry. Furukawa Electric Co. Ltd., DENSO Corp., Yazaki Corp., G.S. Electech Inc., Fujikura Ltd., Autoliv Inc. and TRW Deutschland Holding GmbH pleaded guilty and were sentenced to pay a total of more than $790 million in criminal fines. Nippon Seiki Co. Ltd. and Tokai Rika Co. Ltd. have agreed to plead guilty and await arraignment and sentencing. Additionally, Junichi Funo, Hirotsugu Nagata, Tetsuya Ukai, Tsuneaki Hanamura, Ryoki Kawai, Shigeru Ogawa, Hisamitsu Takada, Norihiro Imai, Kazuhiko Kashimoto, Toshio Sudo and Makoto Hattori have pleaded guilty and been sentenced to pay criminal fines and to serve jail sentences ranging from a year and a day to two years each.

Yoshida is charged with violating the Sherman Act, which carries a maximum sentence of 10 years in prison and a $1 million criminal fine for individuals. The maximum fine may be increased to twice the gain derived from the crime or twice the loss suffered by the victims of the crime, if either of those amounts is greater than the statutory maximum fine.

SEC CHARGES LIFE INSURANCE COMPANY WITH SECURITIES LAW VIOLATIONS


FROM: SECURITIES AND EXCHANGE COMMISSION

Washington, D.C., Nov. 15, 2012 — The Securities and Exchange Commission today charged Massachusetts Mutual Life Insurance Company with securities law violations for failing to sufficiently disclose the potential negative impact of a "cap" it placed on a complex investment product that investors were planning to use for retirement.

The SEC's investigation found that MassMutual included a cap feature in certain optional riders offered to investors, and the cap potentially affected $2.5 billion worth of MassMutual variable annuities. Neither the prospectuses nor the sales literature sufficiently explained that if the cap was reached, the guaranteed minimum income benefit (GMIB) value would no longer earn interest. MassMutual's disclosures instead implied that interest would continue to accrue after the GMIB value reached the cap, and dollar-for-dollar withdrawals would remain available to investors. A number of MassMutual's own sales agents were confused by the language in the disclosures, and investors were not sufficiently informed of the potential negative effect of taking withdrawals if they reached the cap approximately a decade from now.

MassMutual, which removed the cap after the SEC's investigation to ensure that no investors will be harmed, has agreed to settle the charges and pay a $1.625 million penalty.

"Investors shouldn't have their retirement nest eggs at risk because of undisclosed investment complexities," said Robert Khuzami, Director of the SEC's Division of Enforcement. "Through our proactive investigative efforts, we exposed a problem with a complex variable annuity investment at least a decade before it could have harmed investors."

According to the SEC's order instituting settled administrative proceedings, MassMutual offered GMIB 5 and 6 riders from 2007 to 2009 as an optional feature on certain variable annuity products. The GMIB rider sets a minimum floor for a future amount that can be applied to an annuity option, known as the "GMIB value." Unlike the contract value of the annuity that fluctuates with the performance of the underlying investment, the GMIB value increases by a compound annual interest rate of either 5 or 6 percent and allows investors to make withdrawals any time during the annuity's accumulation phase.

According to the SEC's order, MassMutual advertised its GMIB riders as providing "Income Now" if investors elected to make withdrawals during the accumulation phase or "Income Later" if they elected to receive annuity payments. MassMutual's sales literature highlighted the guarantee provided by the riders by stating, "Even if your contract value drops to zero, you can apply your GMIB value to a fixed or variable annuity." The riders included a maximum GMIB value, and investors could not reach this cap until 2022. If the GMIB value reached the cap, every dollar withdrawn would reduce the GMIB value by a pro-rata amount tied to the percentage decrease on the contract value. After a number of such withdrawals, depending on market conditions, both the contract value and the GMIB value could decline and adversely affect the amount a customer could apply to an annuity and the future income stream.

The SEC's investigation found that a number of MassMutual sales agents and others did not understand that all withdrawals taken after the GMIB value reached the cap would result in such pro-rata reductions. After reviewing MassMutual's prospectuses and other disclosures, they believed that if the GMIB value reached the cap, investors could take withdrawals and the GMIB value would remain at the cap. Some sales agents mistakenly believed that investors could maximize their benefits by waiting until the GMIB value reaches the cap, taking annual 5 or 6 percent withdrawals, and annuitizing their contracts in order to receive an income stream tied to the maximum GMIB value. But in reality, following such an investment strategy could have had severe adverse consequences for investors. By taking withdrawals annually after the cap is reached, investors would proportionately reduce their GMIB values and in turn potentially decrease their future income streams. In a worst-case scenario, they would withdraw all of their contract value, the GMIB value would decline to zero, and they would be left with nothing to annuitize and, consequently, no future income stream.

According to the SEC's order, while MassMutual was offering GMIB riders, there were indications that sales agents and others did not understand the effect of post-cap withdrawals on the GMIB value, which should have alerted the company to the fact that its disclosures were inadequate. Beginning May 1, 2009, after it stopped offering the riders, MassMutual revised its prospectuses to better explain the consequences of taking withdrawals after the GMIB value reaches the cap. Following the SEC's investigation, MassMutual undertook the remedial step of removing the cap entirely from these riders in order to guarantee that no investor will ever reach the cap. This action contributed to the determination of the penalty amount. MassMutual consented to the SEC's order without admitting or denying the findings. In addition to the $1.625 million penalty, MassMutual agreed to cease and desist from committing or causing any violations and any future violations of Section 34(b) of the Investment Company Act.

The SEC's investigation was conducted by Attorney-Advisor Daniel H. Rubenstein and supervised by Associate Director Stephen L. Cohen and Assistant Director C. Joshua Felker.

HOLIDAY RETAIL CROWD CONTROL AND WORKER SAFETY

Shopping Mall Photo Credit:  Wikimedia Commons
FROM: U.S. DEPARTMENT OF LABOR

US Labor Department's OSHA encourages retailers to provide crowd management measures to protect workers during major sales events

WASHINGTON
— The U.S. Department of Labor's Occupational Safety and Health Administration is encouraging retail employers to take precautions to prevent worker injuries during Black Friday and other major sales events during the holiday season.

In 2008, a worker was trampled to death while a mob of shoppers rushed through the doors of a large store to take advantage of an after-Thanksgiving Day Black Friday sales event. OSHA recommends that retailers follow certain safeguards against this type of tragedy.

"Crowd control and proper planning are critical to preventing injuries and deaths," said Dr. David Michaels, assistant secretary of labor for occupational safety and health. "OSHA urges retailers to adopt a crowd management plan during the holiday shopping season that includes a few simple guidelines."

Crowd management plans should include:
On-site trained security personnel or police officers.
Barricades or rope lines for pedestrians that do not start right in front of the store’s entrance.
Implementing crowd control measures well in advance of customers arriving at the store.
Emergency procedures in place to address potential dangers.
Explaining approach and entrance procedures to the arriving public.
Not allowing additional customers to enter the store when it reaches its maximum occupancy level.
Not blocking or locking exit doors.

Weekly Address: Working Together to Extend the Middle Class Tax Cuts | The White House

Weekly Address: Working Together to Extend the Middle Class Tax Cuts | The White House

U.S. SEC. OF STATE CLINTON ADDRESSES EMBASSY STAFF IN SINGAPORE


FROM: U.S. DEPARTMENT OF STATE
Meeting With Embassy Singapore Staff and Their Families
Remarks
Hillary Rodham Clinton
Secretary of State
St. Regis Hotel
Singapore
November 17, 2012

AMBASSADOR ADELMAN:
Well, Madam Secretary, you are in the presence of an all-star team. And that is really what we're about here in the U.S. Embassy Singapore, and that is teamwork. We've got 19 U.S. Government agencies working hard every day. And you saw some of their good work over the last couple of days. U.S.-Singapore relations, as you know, have never been better, and that's a result of the work of these extraordinarily talented people and their families, who have all served the public. And, if you don't mind, I will add following in your good example.

I know they want to hear from you, and we sincerely hope you will have some time to greet some of the families individually.

SECRETARY CLINTON: Absolutely. Absolutely.

AMBASSADOR ADELMAN: So, once again, please join me in thanking our United States Secretary of State, Hillary Rodham Clinton. (Applause.)

SECRETARY CLINTON: Thank you so much. Thank you, David. Thank you. Thank you all. Well, it is wonderful, being back here in Singapore, and having this chance to thank each and every one of you for the great contributions you are making to this important relationship. I want to thank the ambassador and Caroline and their entire family for representing our country so well, so enthusiastically, and so positively. And it is a special pleasure for me to thank you for what you've done to help make this trip of mine successful, and what you do every day to bring the people of our two countries closer together.

I have had excellent meetings here in Singapore. I just gave a speech about an hour-and-a-half ago at Singapore Management University about the nexus of economic power and global influence, and explaining what I call our economic statecraft agenda. I raised these issues in the meetings with the Prime Minister and the Foreign Minister. And we couldn't do what we are doing without all of you supporting American businesses, including the more than 2,000 who have their regional headquarters here. I was just out at the GE facility that does aircraft parts repair, and it was great to see what they are doing here in this region. And I also want to thank you for coordinating the efforts, as David was saying, of 19 agencies represented here. That's a lot of coordination. From State and Defense to Commerce, Treasury, USDA, and so much more.

But that represents the depth and breadth of our relationship. And this embassy has led the way with regional trade missions to Indonesia, Vietnam, India, Malaysia, most recently Burma, that ended with at least five American companies either opening an office or landing a sale there. And I am proud to say that today U.S. exports to Singapore are at an all-time high, as are American investments. That's a testament to the ambassador's leadership and the talent and energy of so many of you in this room.

I know you're also reaching out to the community, helping to clean up one of Singapore's beautiful beaches, volunteering at the Special Olympics or the Ronald McDonald House, serving meals at a retirement home, building connections which, after all, are the base of any strong relationship. That is every bit as important as security and economics for the long run.

I also want to thank all the family members who are here today. I know that there is a lot of you who are far from home. But I am glad that you are part of this team. Some of you have served unaccompanied time in Afghanistan, Iraq, and Pakistan, which I greatly appreciate. The President and I are very grateful for what you do.

I also want to take a moment to recognize our locally-engaged staff. Could all of our Singaporean staff raise your hands so we can thank you for what you do every single day? (Applause.) I want to congratulate your FSN of the Year, Susan Mok. (Applause.) And there are 3 staff members -- I did a double-take when I saw this number -- there are 3 staff members who, between them, have put in a combined 120 years of service at this post. (Applause.) Now, they all started when they were in kindergarten. (Laughter.) But let me thank Yahya Rahmat, Amy Ho, and Helen Jen. (Applause.) Because I know very well that ambassadors come and go, and secretaries come and go, but our locally-employed staff provide the continuity, the memory bank that keeps our mission going year after year.

So, it is wonderful for me to be able to come and take this chance to celebrate and thank you for all you're accomplishing on behalf of the American people and this critical relationship. And now I'm going to shake as many hands as I can, and thank you personally for the great job you are doing. Thank you all. (Applause.)

LATVIA'S NATIONAL DAY

Latvia.  Map Credit:  CIA World Factbook.

FROM: U.S. STATE DEPARTMENT

Latvia's National Day
Press Statement
Hillary Rodham Clinton
Secretary of State
Washington, DC
November 15, 2012

On behalf of President Obama and the people of the United States, I am delighted to send best wishes to the people of Latvia as you celebrate the 94th anniversary of your independence this November 18. You have made progress under difficult circumstances and demonstrated what can be accomplished through hard work, pride in country, and an unwavering faith in democracy.

The United States is proud of our long shared history as strategic allies, valued partners, and close friends. Since 1918, American support for the sovereign people of Latvia has never wavered. Today, Latvia and the United States remain steadfast partners. From cooperation in Afghanistan to exploring new business opportunities, the ties between our two countries only grow stronger.

On this special day, I send my deepest congratulations to all the people of Latvia and look forward to strengthening our cooperation even more as we promote the fundamental values we both cherish.


Latvia Locator Map Credit:  CIA World Factbook.
ADDITIONAL INFORMATION FROM CIA WORLD FACTBOOK

The name "Latvia" originates from the ancient Latgalians, one of four eastern Baltic tribes that formed the ethnic core of the Latvian people (ca. 8th-12th centuries A.D.). The region subsequently came under the control of Germans, Poles, Swedes, and finally, Russians. A Latvian republic emerged following World War I, but it was annexed by the USSR in 1940 - an action never recognized by the US and many other countries. Latvia reestablished its independence in 1991 following the breakup of the Soviet Union. Although the last Russian troops left in 1994, the status of the Russian minority (some 28% of the population) remains of concern to Moscow. Latvia joined both NATO and the EU in the spring of 2004.

GAMER CHARGED WITH HACKING INTO GAMING COMPANY SERVERS

Photo:  Gamer Hisroty, Atari's Pong.  Credit:  Wikimedia Commons.

FROM: U.S. DEPARTMENT OF JUSTICE
Thursday, November 15, 2012

Gamer Charged with Hacking into and Disabling New Hampshire Gaming Company’s Computer Servers

WASHINGTON – A federal grand jury in the District of New Hampshire returned an indictment late yesterday charging a Dutch national with allegedly conspiring to hack into and disable computer servers belonging to Rampid Interactive, a New Hampshire-based company that publishes and hosts a multi-player online role-playing game called "Outwar," Assistant Attorney General Lanny A. Breuer of the Justice Department’s Criminal Division and U.S. Attorney John P. Kacavas of the District of New Hampshire announced today.

Anil Kheda, 24, of the Netherlands, is charged with one count of conspiring to commit computer intrusion and one count of making extortionate interstate threats.

The indictment alleges that from November 2007 to August 2008, Kheda and other members of the conspiracy, all of whom were avid "Outwar" players, accessed Rampid’s computer servers without authorization and rendered "Outwar" unplayable for days at a time. According to the indictment, Kheda and his alleged co-conspirators also used their unauthorized access to Rampid’s servers to alter user accounts – causing the restoration of suspended player accounts and the accrual of unearned game points – and obtain a copy of all or portions of the "Outwar" computer source code, which they used to help create a competitor online game, "Outcraft." The indictment also alleges that Kheda and his alleged co-conspirators sent Rampid interstate communications threatening to continue to hack into Rampid’s computer systems unless Rampid agreed to pay them money or provide them with other benefits.

According to the indictment, as a result of the defendants’ hacking activities, Rampid was unable to operate "Outwar" for a total of approximately two weeks over a nine-month period and incurred over $100,000 in lost revenues, wages, hosting costs, long term loss of business, as well as the loss of exclusive use of their proprietary source code, which it had invested approximately $1.5 million in creating.

According to court documents, Kheda earned approximately $10,000 in profits from operating "Outcraft," which has approximately 10,000 players worldwide.

If convicted, Kheda faces a maximum sentence of five years in prison on the conspiracy charge and two years in prison on the interstate threats charge.

The case was investigated by the FBI and is being prosecuted by Trial Attorney Mona Sedky of the Computer Crime and Intellectual Property Section in the Justice Department’s Criminal Division and Assistant U.S. Attorney Arnold H. Huftalen of the District of New Hampshire.

The details contained in the indictment are allegations. The defendant is presumed to be innocent unless and until proven guilty beyond a reasonable doubt in a court of law.

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