FROM: U.S. JUSTICE DEPARTMENT
Monday, June 15, 2015
Children's Hospital to Pay $12.9 Million to Settle False Claims Act Allegations
Children’s Hospital, Children’s National Medical Center Inc. and its affiliated entities (collectively CNMC) have agreed to pay $12.9 million to resolve allegations that they violated the False Claims Act by submitting false cost reports and other applications to the components and contractors of the Department of Health and Human Services (HHS), as well as to Virginia and District of Columbia Medicaid programs, the Department of Justice announced today. CNMC is based in Washington, D.C., and provides pediatric care throughout the metropolitan region.
“The false reporting alleged in today’s settlement deprived the Medicare Trust Fund of millions of taxpayers’ dollars,” said Principal Deputy Assistant Attorney General Benjamin C. Mizer of the Justice Department’s Civil Division. “Such conduct wastes critical federal health care program funds and drives up the costs of health care for all of us.”
“The integrity of federal health care programs depends on honest and accurate reporting from the hospitals and other health care providers that receive hundreds of billions of tax dollars every year,” said Acting U.S. Attorney Vincent H. Cohen Jr. of the District of Columbia. “This settlement demonstrates our commitment to defending the integrity of the system and ensuring that taxpayer money goes to meet the most critical health care needs. We will continue to work with whistleblowers like the former employee who came forward in this case to battle waste, fraud and abuse that fuel the skyrocketing cost of health care.”
According to the settlement agreement, CNMC misstated information on cost reports and applications in two distinct manners to HHS. This false information was used by HHS and Medicaid programs to calculate reimbursement rates to CNMC. The United States contended that CNMC misreported its available bed count on its application to HHS’ Health Resources and Services Administration under the Children’s Hospitals Graduate Medical Education (CHGME) Payment Program. The CHGME Payment Program provides federal funds to freestanding children’s hospitals to help them maintain their graduate medical education programs that train pediatric and other residents. The United States further contended that CNMC filed cost reports misstating their overhead costs, resulting in overpayment from Medicare and the Virginia and District of Columbia Medicaid programs.
The settlement resolves allegations brought in a lawsuit filed under the qui tam or whistleblower provisions of the False Claims Act by James A. Roark Sr., a former employee of CNMC. Under the act, a private citizen can sue on behalf of the United States and share in any recovery. The United States is entitled to intervene in the lawsuit, as it did here. As part of the resolution, Mr. Roark will receive $1,890,649.98.
This settlement illustrates the government’s emphasis on combating health care fraud and marks another achievement for the Health Care Fraud Prevention and Enforcement Action Team (HEAT) initiative, which was announced in May 2009 by the Attorney General and the Secretary of Health and Human Services. The partnership between the two departments has focused efforts to reduce and prevent Medicare and Medicaid financial fraud through enhanced cooperation. One of the most powerful tools in this effort is the False Claims Act. Since January 2009, the Justice Department has recovered a total of more than $24.3 billion through False Claims Act cases, with more than $15.3 billion of that amount recovered in cases involving fraud against federal health care programs.
This matter was handled by the U.S. Attorney’s Office of the District of Columbia with assistance from the Civil Division’s Commercial Litigation Branch and the HHS’ Office of Inspector General.
A PUBLICATION OF RANDOM U.S.GOVERNMENT PRESS RELEASES AND ARTICLES
Tuesday, June 16, 2015
FTC RETURNS NEARLY $2 MILLION TO CONSUMER VICTIMS OF MULTI-LEVEL MARKETING PROGRAM FRAUD SCHEME
FROM: FEDERAL TRADE COMMISSION
FTC Returns Almost $1.9 Million to Consumers in BurnLounge Pyramid Scheme
The Federal Trade Commission is mailing 52,099 checks totaling almost $1.9 million to consumers who lost money to a pyramid scheme that pretended to be a legitimate multi-level marketing program selling opportunities to operate online digital music stores.
In June 2014, the FTC won an appeals court ruling upholding a district court finding that BurnLounge had operated a pyramid scheme.
Consumers who receive the checks from the FTC’s refund administrator for this matter, Gilardi & Co. LLC, should deposit or cash them within 60 days of the mailing date. The FTC never requires consumers to pay money or to provide information before refund checks can be cashed. The amount will vary based upon the amount of each consumer’s loss.
The Federal Trade Commission works for consumers to prevent fraudulent, deceptive, and unfair business practices and to provide information to help spot, stop, and avoid them.
FTC Returns Almost $1.9 Million to Consumers in BurnLounge Pyramid Scheme
The Federal Trade Commission is mailing 52,099 checks totaling almost $1.9 million to consumers who lost money to a pyramid scheme that pretended to be a legitimate multi-level marketing program selling opportunities to operate online digital music stores.
In June 2014, the FTC won an appeals court ruling upholding a district court finding that BurnLounge had operated a pyramid scheme.
Consumers who receive the checks from the FTC’s refund administrator for this matter, Gilardi & Co. LLC, should deposit or cash them within 60 days of the mailing date. The FTC never requires consumers to pay money or to provide information before refund checks can be cashed. The amount will vary based upon the amount of each consumer’s loss.
The Federal Trade Commission works for consumers to prevent fraudulent, deceptive, and unfair business practices and to provide information to help spot, stop, and avoid them.
AG LYNCH'S REMARKS AT MAGNA CARTA COMMEMORATION
FROM: U.S. JUSTICE DEPARTMENT
Attorney General Lynch Delivers Remarks at Magna Carta Commemoration Ceremony
London United Kingdom ~ Monday, June 15, 2015
Remarks as Prepared for Delivery
Thank you, Secretary [Philip] Hammond, for that kind introduction. Your Excellencies, distinguished colleagues, honored guests – it is a pleasure to be here this morning, and a great privilege to join you all at this important commemoration.
Eight hundred years ago, on the grounds of Runnymede, King John sealed a piece of parchment – a Great Charter – that extended basic rights to individuals subject to his reign. That Magna Carta was neither expansive nor long-lived – its rules applied to only a small group of noblemen, and it was first annulled just 10 weeks after being sealed. But its adoption served as a signpost on a long and difficult march, and those who forged its compromise stood as early travelers on the road to justice. While the hands that wrote the Magna Carta have long been stilled, the principles they carved out of the struggles of their day – of the struggles of the human condition – live on.
Seven and a half centuries after that historic day, in 1957, a crowd of 5,000 people walked in storied footsteps to dedicate this memorial and to recognize its significance. Among them was Earl Warren, the Chief Justice of America’s Supreme Court and one of our nation’s greatest jurists, who noted in an opinion a year later that principles traced back to Magna Carta represented a concept that is “nothing less than the dignity of man.”
For Chief Justice Warren, and for the many American lawyers and jurists who gathered by his side, this monument had special meaning, because Magna Carta had come to symbolize more than a simple agreement between noblemen and their king. This social contract between a monarch and his people codified, however imperfectly, notions that would one day stand at the heart of our own system of justice: the idea that no power is unconditional, and no rule is absolute; that we are not subjugated by an infallible authority, but share authority with our fellow citizens. That all are protected by the law, just as all must answer to the law. These fundamental, age-old principles have given hope to those who face oppression. They have given a voice to those yearning for the redress of wrongs. And they have served as the bedrock of free societies around the globe, inspiring countless women and men seeking to weave their promise into reality.
For those who drafted the U.S. Constitution, the significance of Magna Carta was clear. Its influence helped shape a political system that enshrines separation of powers, due process and the rule of law; a legal system that recognizes and honors the dignity of all people; and a commitment to ongoing efforts to realize these ideals in every interaction between our citizens and our institutions.
Even today, America continues to pursue these goals. We are engaged in initiatives to promote trust and understanding between law enforcement officers and the communities we serve. We are working with partners in the United States and around the world to pursue those who would deny human dignity, whether through trafficking or corruption, violence or terrorism. And we are carrying out a historic reorientation of our criminal justice practices to end an overreliance on incarceration. At every turn, we are driven by that same devotion to the rule of law whose seeds took root in this field so long ago.
Of course, our journey has not been easy, and it is far from over. Just as men and women of great conscience and strong will have, over eight centuries, worked to advance the cause that animated their forebears – in nations around the world – we too must advance and extend the promise that lies at the heart of our global community. We too must deliver on the spirit of Magna Carta. And we too must carry forward our work to new fields of equality, opportunity and justice.
On the day that this monument was dedicated in 1957, one of the former presidents of the American Bar Association called his journey to Runnymede a “devout pilgrimage to the ancestral home, to the well springs of our profession, to the fountainhead of our faith.” Today, we not only pay tribute to the source of our legal doctrine – we reaffirm our devotion to its values and recommit ourselves to the service of its most treasured ideals. As we go forward, I am proud, I am honored and I am humbled to stand shoulder-to-shoulder with all of you in our shared pursuit of a more just world.
Thank you all, once again, for the opportunity to take part in this commemoration. Thank you for your dedication to the ennobling ideals we are here to celebrate. I look forward to all that our nations will achieve together in the spirit of their promise in the years ahead.
Attorney General Lynch Delivers Remarks at Magna Carta Commemoration Ceremony
London United Kingdom ~ Monday, June 15, 2015
Remarks as Prepared for Delivery
Thank you, Secretary [Philip] Hammond, for that kind introduction. Your Excellencies, distinguished colleagues, honored guests – it is a pleasure to be here this morning, and a great privilege to join you all at this important commemoration.
Eight hundred years ago, on the grounds of Runnymede, King John sealed a piece of parchment – a Great Charter – that extended basic rights to individuals subject to his reign. That Magna Carta was neither expansive nor long-lived – its rules applied to only a small group of noblemen, and it was first annulled just 10 weeks after being sealed. But its adoption served as a signpost on a long and difficult march, and those who forged its compromise stood as early travelers on the road to justice. While the hands that wrote the Magna Carta have long been stilled, the principles they carved out of the struggles of their day – of the struggles of the human condition – live on.
Seven and a half centuries after that historic day, in 1957, a crowd of 5,000 people walked in storied footsteps to dedicate this memorial and to recognize its significance. Among them was Earl Warren, the Chief Justice of America’s Supreme Court and one of our nation’s greatest jurists, who noted in an opinion a year later that principles traced back to Magna Carta represented a concept that is “nothing less than the dignity of man.”
For Chief Justice Warren, and for the many American lawyers and jurists who gathered by his side, this monument had special meaning, because Magna Carta had come to symbolize more than a simple agreement between noblemen and their king. This social contract between a monarch and his people codified, however imperfectly, notions that would one day stand at the heart of our own system of justice: the idea that no power is unconditional, and no rule is absolute; that we are not subjugated by an infallible authority, but share authority with our fellow citizens. That all are protected by the law, just as all must answer to the law. These fundamental, age-old principles have given hope to those who face oppression. They have given a voice to those yearning for the redress of wrongs. And they have served as the bedrock of free societies around the globe, inspiring countless women and men seeking to weave their promise into reality.
For those who drafted the U.S. Constitution, the significance of Magna Carta was clear. Its influence helped shape a political system that enshrines separation of powers, due process and the rule of law; a legal system that recognizes and honors the dignity of all people; and a commitment to ongoing efforts to realize these ideals in every interaction between our citizens and our institutions.
Even today, America continues to pursue these goals. We are engaged in initiatives to promote trust and understanding between law enforcement officers and the communities we serve. We are working with partners in the United States and around the world to pursue those who would deny human dignity, whether through trafficking or corruption, violence or terrorism. And we are carrying out a historic reorientation of our criminal justice practices to end an overreliance on incarceration. At every turn, we are driven by that same devotion to the rule of law whose seeds took root in this field so long ago.
Of course, our journey has not been easy, and it is far from over. Just as men and women of great conscience and strong will have, over eight centuries, worked to advance the cause that animated their forebears – in nations around the world – we too must advance and extend the promise that lies at the heart of our global community. We too must deliver on the spirit of Magna Carta. And we too must carry forward our work to new fields of equality, opportunity and justice.
On the day that this monument was dedicated in 1957, one of the former presidents of the American Bar Association called his journey to Runnymede a “devout pilgrimage to the ancestral home, to the well springs of our profession, to the fountainhead of our faith.” Today, we not only pay tribute to the source of our legal doctrine – we reaffirm our devotion to its values and recommit ourselves to the service of its most treasured ideals. As we go forward, I am proud, I am honored and I am humbled to stand shoulder-to-shoulder with all of you in our shared pursuit of a more just world.
Thank you all, once again, for the opportunity to take part in this commemoration. Thank you for your dedication to the ennobling ideals we are here to celebrate. I look forward to all that our nations will achieve together in the spirit of their promise in the years ahead.
SARAH SEWALL'S REMARKS ON COMBATING TERRORISM
FROM: U.S. STATE DEPARTMENT
Combating Terrorism: Looking Over the Horizon
Remarks
Sarah Sewall
Under Secretary for Civilian Security, Democracy, and Human Rights
Geneva Centre for Security Policy
Geneva, Switzerland
June 15, 2015
(As Prepared for Delivery)
Good morning everyone. Thank you Dr. Mohamedou, and the Geneva Centre for Security Policy, for inviting me to address this accomplished group of scholars and practitioners on a topic that concerns much of the globe today: the threat of violent extremism. This threat takes many forms and appears throughout the world including: Neo-Nazi actors in the United States or Europe, violent radical Islamist movements in the Middle East and Africa, or extremist Buddhism operating in parts of Asia.
Violent extremism’s growth over the last decade is an extremely dangerous and destabilizing phenomenon. It is essential that the world mobilize against such backward-looking intolerance and cruelty, which threatens humanity’s moral, political, and economic progress. We know that terrorists must be defeated militarily, yet we also see them responding to military force by dispersing, rebranding, aligning and reforming – continuing to spread as new members join their ranks. This underscores the need to adopt a more preventive approach, one that halts the spread of violent extremist networks. This was a unified message from the February White House Summit to Counter Violent Extremism.
Yet we remain challenged by the difficulty of understanding why individuals or communities would join such backward, violent extremist groups. Terror network recruits come from all walks of life: posh suburbs and forgotten slums; from countries rich and poor, repressive and free, stable and conflict-ridden.
They have many complex, overlapping and context-specific motives. This can be confounding for a global community eager to understand why violent extremism proliferates and how we can address it.
Even as our understanding remains incomplete, we have documented a range of grievances and motives that propel individuals, and in some cases, communities to join or align with terrorist actors.
Motives can be identified along what psychologist Abraham Maslow famously posited as a human hierarchy of needs.
Maslow argued that individuals have a range of needs that must be met – in priority order – before people attain their greatest self-realization.
At the bottom of the pyramid are needs critical to physical survival, such as food, shelter and safety.
Higher up the hierarchy of need, individuals look to find love and belonging, self-esteem, and purpose.
In my view, understanding Maslow’s schema usefully helps us disaggregate the reasons that individuals might be “pushed” or “pulled” toward violent extremism. What have been called push factors – the conditions that make individuals or communities vulnerable to extremist recruitment – prominently feature conditions like physical insecurity or the inability to provide for oneself or one’s family. But even where people’s lower-level needs are met, social and political marginalization can impact higher-order human needs such as a valued role or purpose.
The Hierarchy of Needs therefore helps us understand why dramatically different profiles of persons can be drawn to organizations antithetical to what we would identify as progress and humanity.
Any type of violent extremist group exploits human needs all along the spectrum.
From al-Shabab in Somalia to Da’esh in Syria, terror groups lure some with the promise of a paycheck –the undereducated youth with no prospect of employment or a future, or the father who can no longer provide for his family.
Others are motivated to join extremist ranks by higher-end needs – purpose, meaning, identity. The exclusivity of belonging to group that aligns itself against another may lure the racial supremacist -- whether a “Skinhead”, Bhuddist extremist, or other variety. Terrorist narratives and slick media-driven marketing make casting calls for heroic warriors, wives of a new nation, or spiritual martyrdom. By targeting of psychological needs, despite the realities behind the pitch, violent extremists entice local youth, girls from Europe, and wealthy engineers to their ranks.
Maslow’s hierarchy suggests that those with unmet basic needs, be it physical security or a paycheck, may be particularly vulnerable to terror organizations. But the hierarchy also points toward other vulnerabilities that terrorists exploit. In so doing, this schema of needs suggests a complementary – if complex – set of interventions that states and communities must pursue to protect the most vulnerable from the false claims of terrorist propaganda.
Because violent extremists prey on different grievances, from people’s immediate needs for security to their more abstract desires for empowerment, and identity, a ‘whole-of-society’ approach is the key to preventing the spread of violent extremism’s appeals.
We absolutely need our military, intelligence, and law enforcement tools to defeat terror networks. But as Al-Qa’ida was dispersed, new terror groups sprang up, and they have merged or made common cause with other actors – sometimes coopting political movements or non-theologically affiliated communities (such as Sunni communities in parts of Iraq). Tens of thousands of individuals from around the globe travel to join the epicenters of terror. Violent extremism continues to spread.
Therefore as an international community, we must continue to expand our approach to counter terrorism to include greater emphasis on prevention – protecting individuals and communities from violent extremism. As agreed at the February White House Summit, global counter-terrorism efforts must learn to build resilience and resistance within the most vulnerable communities, helping address the range of human needs we have just discussed.
This can mean pushing governments to ensure space for dissent and religious freedom to reduce perceptions of marginalization and enable communities to find their voices; training security forces to protect instead of profile their citizens; supporting civil society to engage youth through educational, service or mentoring programs; partnering with businesses to expand vocational training or economic opportunities in marginalized communities; and amplifying the voice of cultural or religious leaders to challenge violent extremist marketing and propaganda.
Given our limited resources, effective prevention means identifying priority regions and communities at greatest risk of radicalization to violence and working proactively to address the grievances and needs violent extremists are most likely to exploit.
As important as countering extremist narratives is, we must help communities and governments provide alternatives that are as credible, as visible, as empowering, and as broadly available as we can make them.
Local actors must lead this effort, for they have the greatest credibility, knowledge and long-term stake in implementing effective and at times, interrelated interventions.
Governments must also acknowledge their contributions to the grievances violent extremists exploit, like police abuse and corruption, and act swiftly to remedy them.
Our experience and observations since September 11th – the gains, and the missteps – show us that, while our considerable military, intelligence, and law enforcement tools can significantly diminish the capabilities of violent extremist groups, unless local actors address the underlying grievances that feed them, we become locked in managing the consequences of violent extremism without addressing key push factors.
Our experience also demonstrates how, once violent extremism has taken root, the conflict and instability associated with it make it far harder to address the conditions that enable its growth.
That is why we see focusing on prevention as a critical part of how we counter violent extremism and increase the likelihood of avoiding costly interventions later.
To realize the broad partnership required for this long-term and holistic strategy, the White House convened a summit last February of more than 300 participants from national and local governments, civil society, the private sector and international organizations to launch a global movement to counter violent extremism.
Participants discussed the underlying drivers of violent extremism, distinguishing “push factors” that made individuals vulnerable from the “pull factors” that lured them to a particular organization. Summit participants developed an Action Agenda for collaborating on a number of priority areas, from researching the local drivers of violent extremism and empowering civil society, to expanding economic opportunities and amplifying local voices to counter violent extremist narratives.
In advance of a CVE leaders level meeting on the margins of the UN General Assembly, members of the international community have begun or are planning regional summits all over the world to broaden this movement and help partner governments develop national strategies tailored to their challenges with violent extremism.
I have participated in two regional summits thus far, and several more are on the horizon – while work is ongoing in capitals and in neighborhoods around the world. I encourage you all to learn more about this agenda by visiting www.cvesummit.org.
I am inspired by the energy around the prevention agenda, which increasingly extends beyond the “usual suspects” in the counterterrorism sphere. For example, Klaus Schwab has committed the World Economic Forum to engage deeply in this approach to countering violent extremism.
The United Nations has long emphasized the need for prevention in its longstanding counter terrorism strategy. At the White House Summit, UN Secretary General Ban Ki Moon announced his commitment to develop a CVE plan of action to guide member states’ and the UN’s prevention efforts. As this expert audience knows well, violent extremism is a generational challenge.
Prevention too often receives short shrift in our debates and budgets. But the preventive aspects of CVE can harness a far broader array of actors and resources than we have to date. Foreign assistance – or overseas development assistance – has a critical role to play, as do the international and regional financial institutions and indeed the private sector. As we broaden this global campaign to counter and prevent violent extremism, we are forging new partnerships with the EU, WEF, IFIs and philanthropic organizations.
We are also strengthening our engagement with the Global Community Engagement and Resilience Fund (GCERF) based right here in Geneva.
Recognizing the key role of local governments in this effort, we anticipate on the margins of the UN General Assembly a launch of a Strong Cities initiative for mayors and municipal leaders and practitioners all over the world to exchange their successes and challenges in countering violent extremism. We are also anticipating the launch of regional civil society networks that allow young activists working to build community-level cohesion and artists using the power of creative expression to counter extremist messaging not only to share best practices, but also to connect with potential private sector sponsors to scale their innovative, community-level CVE programs. A side conference in New York that brings together young researchers from around the world working to identify local drivers of violent extremism and what has worked to build community resilience against violent extremism, will lead to the launch of a global research network for those working in this field.
And, I hope this Center can play a role in this new network and more broadly by contributing its world-class scholarship to help illuminate where and why violent extremism is most likely to thrive, and by continuing this vital conversation about the benefits of preventive, whole-of-society approaches to this challenge.
Thank you all very much, and I look forward to your questions.
Combating Terrorism: Looking Over the Horizon
Remarks
Sarah Sewall
Under Secretary for Civilian Security, Democracy, and Human Rights
Geneva Centre for Security Policy
Geneva, Switzerland
June 15, 2015
(As Prepared for Delivery)
Good morning everyone. Thank you Dr. Mohamedou, and the Geneva Centre for Security Policy, for inviting me to address this accomplished group of scholars and practitioners on a topic that concerns much of the globe today: the threat of violent extremism. This threat takes many forms and appears throughout the world including: Neo-Nazi actors in the United States or Europe, violent radical Islamist movements in the Middle East and Africa, or extremist Buddhism operating in parts of Asia.
Violent extremism’s growth over the last decade is an extremely dangerous and destabilizing phenomenon. It is essential that the world mobilize against such backward-looking intolerance and cruelty, which threatens humanity’s moral, political, and economic progress. We know that terrorists must be defeated militarily, yet we also see them responding to military force by dispersing, rebranding, aligning and reforming – continuing to spread as new members join their ranks. This underscores the need to adopt a more preventive approach, one that halts the spread of violent extremist networks. This was a unified message from the February White House Summit to Counter Violent Extremism.
Yet we remain challenged by the difficulty of understanding why individuals or communities would join such backward, violent extremist groups. Terror network recruits come from all walks of life: posh suburbs and forgotten slums; from countries rich and poor, repressive and free, stable and conflict-ridden.
They have many complex, overlapping and context-specific motives. This can be confounding for a global community eager to understand why violent extremism proliferates and how we can address it.
Even as our understanding remains incomplete, we have documented a range of grievances and motives that propel individuals, and in some cases, communities to join or align with terrorist actors.
Motives can be identified along what psychologist Abraham Maslow famously posited as a human hierarchy of needs.
Maslow argued that individuals have a range of needs that must be met – in priority order – before people attain their greatest self-realization.
At the bottom of the pyramid are needs critical to physical survival, such as food, shelter and safety.
Higher up the hierarchy of need, individuals look to find love and belonging, self-esteem, and purpose.
In my view, understanding Maslow’s schema usefully helps us disaggregate the reasons that individuals might be “pushed” or “pulled” toward violent extremism. What have been called push factors – the conditions that make individuals or communities vulnerable to extremist recruitment – prominently feature conditions like physical insecurity or the inability to provide for oneself or one’s family. But even where people’s lower-level needs are met, social and political marginalization can impact higher-order human needs such as a valued role or purpose.
The Hierarchy of Needs therefore helps us understand why dramatically different profiles of persons can be drawn to organizations antithetical to what we would identify as progress and humanity.
Any type of violent extremist group exploits human needs all along the spectrum.
From al-Shabab in Somalia to Da’esh in Syria, terror groups lure some with the promise of a paycheck –the undereducated youth with no prospect of employment or a future, or the father who can no longer provide for his family.
Others are motivated to join extremist ranks by higher-end needs – purpose, meaning, identity. The exclusivity of belonging to group that aligns itself against another may lure the racial supremacist -- whether a “Skinhead”, Bhuddist extremist, or other variety. Terrorist narratives and slick media-driven marketing make casting calls for heroic warriors, wives of a new nation, or spiritual martyrdom. By targeting of psychological needs, despite the realities behind the pitch, violent extremists entice local youth, girls from Europe, and wealthy engineers to their ranks.
Maslow’s hierarchy suggests that those with unmet basic needs, be it physical security or a paycheck, may be particularly vulnerable to terror organizations. But the hierarchy also points toward other vulnerabilities that terrorists exploit. In so doing, this schema of needs suggests a complementary – if complex – set of interventions that states and communities must pursue to protect the most vulnerable from the false claims of terrorist propaganda.
Because violent extremists prey on different grievances, from people’s immediate needs for security to their more abstract desires for empowerment, and identity, a ‘whole-of-society’ approach is the key to preventing the spread of violent extremism’s appeals.
We absolutely need our military, intelligence, and law enforcement tools to defeat terror networks. But as Al-Qa’ida was dispersed, new terror groups sprang up, and they have merged or made common cause with other actors – sometimes coopting political movements or non-theologically affiliated communities (such as Sunni communities in parts of Iraq). Tens of thousands of individuals from around the globe travel to join the epicenters of terror. Violent extremism continues to spread.
Therefore as an international community, we must continue to expand our approach to counter terrorism to include greater emphasis on prevention – protecting individuals and communities from violent extremism. As agreed at the February White House Summit, global counter-terrorism efforts must learn to build resilience and resistance within the most vulnerable communities, helping address the range of human needs we have just discussed.
This can mean pushing governments to ensure space for dissent and religious freedom to reduce perceptions of marginalization and enable communities to find their voices; training security forces to protect instead of profile their citizens; supporting civil society to engage youth through educational, service or mentoring programs; partnering with businesses to expand vocational training or economic opportunities in marginalized communities; and amplifying the voice of cultural or religious leaders to challenge violent extremist marketing and propaganda.
Given our limited resources, effective prevention means identifying priority regions and communities at greatest risk of radicalization to violence and working proactively to address the grievances and needs violent extremists are most likely to exploit.
As important as countering extremist narratives is, we must help communities and governments provide alternatives that are as credible, as visible, as empowering, and as broadly available as we can make them.
Local actors must lead this effort, for they have the greatest credibility, knowledge and long-term stake in implementing effective and at times, interrelated interventions.
Governments must also acknowledge their contributions to the grievances violent extremists exploit, like police abuse and corruption, and act swiftly to remedy them.
Our experience and observations since September 11th – the gains, and the missteps – show us that, while our considerable military, intelligence, and law enforcement tools can significantly diminish the capabilities of violent extremist groups, unless local actors address the underlying grievances that feed them, we become locked in managing the consequences of violent extremism without addressing key push factors.
Our experience also demonstrates how, once violent extremism has taken root, the conflict and instability associated with it make it far harder to address the conditions that enable its growth.
That is why we see focusing on prevention as a critical part of how we counter violent extremism and increase the likelihood of avoiding costly interventions later.
To realize the broad partnership required for this long-term and holistic strategy, the White House convened a summit last February of more than 300 participants from national and local governments, civil society, the private sector and international organizations to launch a global movement to counter violent extremism.
Participants discussed the underlying drivers of violent extremism, distinguishing “push factors” that made individuals vulnerable from the “pull factors” that lured them to a particular organization. Summit participants developed an Action Agenda for collaborating on a number of priority areas, from researching the local drivers of violent extremism and empowering civil society, to expanding economic opportunities and amplifying local voices to counter violent extremist narratives.
In advance of a CVE leaders level meeting on the margins of the UN General Assembly, members of the international community have begun or are planning regional summits all over the world to broaden this movement and help partner governments develop national strategies tailored to their challenges with violent extremism.
I have participated in two regional summits thus far, and several more are on the horizon – while work is ongoing in capitals and in neighborhoods around the world. I encourage you all to learn more about this agenda by visiting www.cvesummit.org.
I am inspired by the energy around the prevention agenda, which increasingly extends beyond the “usual suspects” in the counterterrorism sphere. For example, Klaus Schwab has committed the World Economic Forum to engage deeply in this approach to countering violent extremism.
The United Nations has long emphasized the need for prevention in its longstanding counter terrorism strategy. At the White House Summit, UN Secretary General Ban Ki Moon announced his commitment to develop a CVE plan of action to guide member states’ and the UN’s prevention efforts. As this expert audience knows well, violent extremism is a generational challenge.
Prevention too often receives short shrift in our debates and budgets. But the preventive aspects of CVE can harness a far broader array of actors and resources than we have to date. Foreign assistance – or overseas development assistance – has a critical role to play, as do the international and regional financial institutions and indeed the private sector. As we broaden this global campaign to counter and prevent violent extremism, we are forging new partnerships with the EU, WEF, IFIs and philanthropic organizations.
We are also strengthening our engagement with the Global Community Engagement and Resilience Fund (GCERF) based right here in Geneva.
Recognizing the key role of local governments in this effort, we anticipate on the margins of the UN General Assembly a launch of a Strong Cities initiative for mayors and municipal leaders and practitioners all over the world to exchange their successes and challenges in countering violent extremism. We are also anticipating the launch of regional civil society networks that allow young activists working to build community-level cohesion and artists using the power of creative expression to counter extremist messaging not only to share best practices, but also to connect with potential private sector sponsors to scale their innovative, community-level CVE programs. A side conference in New York that brings together young researchers from around the world working to identify local drivers of violent extremism and what has worked to build community resilience against violent extremism, will lead to the launch of a global research network for those working in this field.
And, I hope this Center can play a role in this new network and more broadly by contributing its world-class scholarship to help illuminate where and why violent extremism is most likely to thrive, and by continuing this vital conversation about the benefits of preventive, whole-of-society approaches to this challenge.
Thank you all very much, and I look forward to your questions.
Monday, June 15, 2015
U.S. CONGRATULATES PEOPLE OF ICELAND ON THEIR NATIONAL DAY
FROM: U.S. STATE DEPARTMENT
On the Occasion of Iceland's National Day
Press Statement
John Kerry
Secretary of State
Washington, DC
June 15, 2015
On behalf of President Obama and the people of the United States, I congratulate the Icelandic people on the 71st anniversary of the founding of your Republic on the day that marks the birth of Jon Sigurdsson.
I know this year you also celebrate the 100th anniversary of women’s suffrage – a proud testament to your country’s thriving, modern democracy.
I am pleased that our two nations continue to work in partnership to promote open governance and human rights around the world. And as NATO Allies, we are each doing our part to defend freedom on both sides of the Atlantic and to prepare for threats both new and old.
Your country is also a critical player in efforts to preserve the environment. In May, Foreign Minister Sveinsson and I met in Washington and reinforced our mutual commitment to the important work of the Arctic Council.
Iceland's language, customs, history, and geographic beauty are deeply admired in the United States.
As you celebrate your national day with family and friends, I offer all the people of Iceland my warmest wishes for peace and prosperity in the coming year.
On the Occasion of Iceland's National Day
Press Statement
John Kerry
Secretary of State
Washington, DC
June 15, 2015
On behalf of President Obama and the people of the United States, I congratulate the Icelandic people on the 71st anniversary of the founding of your Republic on the day that marks the birth of Jon Sigurdsson.
I know this year you also celebrate the 100th anniversary of women’s suffrage – a proud testament to your country’s thriving, modern democracy.
I am pleased that our two nations continue to work in partnership to promote open governance and human rights around the world. And as NATO Allies, we are each doing our part to defend freedom on both sides of the Atlantic and to prepare for threats both new and old.
Your country is also a critical player in efforts to preserve the environment. In May, Foreign Minister Sveinsson and I met in Washington and reinforced our mutual commitment to the important work of the Arctic Council.
Iceland's language, customs, history, and geographic beauty are deeply admired in the United States.
As you celebrate your national day with family and friends, I offer all the people of Iceland my warmest wishes for peace and prosperity in the coming year.
DOD REPORT ON CONTINUING AIRSTRIKES AGAINST ISIL IN SYRIA AND IRAQ
FROM: U.S. DEFENSE DEPARTMENT
Airstrikes Continue Against ISIL Terrorists in Syria, Iraq
From a Combined Joint Task Force Operation Inherent Resolve News Release
SOUTHWEST ASIA, June 15, 2015 – U.S. and coalition military forces have continued to attack Islamic State of Iraq and the Levant terrorists in Syria and Iraq, Combined Joint Task Force Operation Inherent Resolve officials reported today.
Officials reported details of the latest strikes, which took place between 8 a.m. yesterday and 8 a.m. today, local time, noting that assessments of results are based on initial reports.
Airstrikes in Syria
Attack and fighter aircraft conducted three airstrikes in Syria:
-- Near Hasakah, one airstrike struck an ISIL tactical unit, destroying two ISIL motorcycles, two ISIL fighting positions, two ISIL tunnel systems and an ISIL communication tower.
-- Near Kobani, two airstrikes struck one large and one small ISIL tactical unit, destroying an ISIL vehicle.
Airstrikes in Iraq
Attack, fighter, bomber and remotely piloted aircraft conducted 16 airstrikes in Iraq, approved by the Iraqi Ministry of Defense:
-- Near Baghdadi, one airstrike struck an ISIL tactical unit, destroying an ISIL fighting position.
-- Near Huwayjah, two airstrikes struck an ISIL tactical unit and an ISIL mortar firing position, destroying an ISIL tunnel entrance and an ISIL vehicle.
-- Near Qaim, one airstrike struck an ISIL tactical unit.
-- Near Beiji, one airstrike destroyed six ISIL bunkers.
-- Near Makhmur, four airstrikes struck one large and one small ISIL tactical unit, two ISIL staging areas and an ISIL mortar firing position, destroying three ISIL heavy machine guns, two ISIL structures and an ISIL vehicle.
-- Near Mosul, two airstrikes struck two ISIL mortar firing positions, an ISIL rocket firing positon and an ISIL rocket system.
-- Near Ramadi, one airstrike struck an ISIL tactical unit, destroying an ISIL vehicle.
-- Near Sinjar, one airstrike struck an ISIL large tactical unit, destroying two ISIL buildings, two ISIL heavy machine guns, two ISIL tunnel systems and an ISIL rocket-propelled grenade.
-- Near Tal Afar, three airstrikes struck two ISIL heavy machine guns and an ISIL mortar firing position, destroying an ISIL building and an ISIL vehicle.
Part of Operation Inherent Resolve
The strikes were conducted as part of Operation Inherent Resolve, the operation to eliminate the ISIL terrorist group and the threat they pose to Iraq, Syria, the region and the wider international community. The destruction of ISIL targets in Syria and Iraq further limits the terrorist group's ability to project terror and conduct operations.
Coalition nations conducting airstrikes in Iraq include the United States, Australia, Belgium, Canada, Denmark, France, Jordan, the Netherlands and the United Kingdom. Coalition nations conducting airstrikes in Syria include the United States, Bahrain, Canada, Jordan, Saudi Arabia and the United Arab Emirates.
Airstrikes Continue Against ISIL Terrorists in Syria, Iraq
From a Combined Joint Task Force Operation Inherent Resolve News Release
SOUTHWEST ASIA, June 15, 2015 – U.S. and coalition military forces have continued to attack Islamic State of Iraq and the Levant terrorists in Syria and Iraq, Combined Joint Task Force Operation Inherent Resolve officials reported today.
Officials reported details of the latest strikes, which took place between 8 a.m. yesterday and 8 a.m. today, local time, noting that assessments of results are based on initial reports.
Airstrikes in Syria
Attack and fighter aircraft conducted three airstrikes in Syria:
-- Near Hasakah, one airstrike struck an ISIL tactical unit, destroying two ISIL motorcycles, two ISIL fighting positions, two ISIL tunnel systems and an ISIL communication tower.
-- Near Kobani, two airstrikes struck one large and one small ISIL tactical unit, destroying an ISIL vehicle.
Airstrikes in Iraq
Attack, fighter, bomber and remotely piloted aircraft conducted 16 airstrikes in Iraq, approved by the Iraqi Ministry of Defense:
-- Near Baghdadi, one airstrike struck an ISIL tactical unit, destroying an ISIL fighting position.
-- Near Huwayjah, two airstrikes struck an ISIL tactical unit and an ISIL mortar firing position, destroying an ISIL tunnel entrance and an ISIL vehicle.
-- Near Qaim, one airstrike struck an ISIL tactical unit.
-- Near Beiji, one airstrike destroyed six ISIL bunkers.
-- Near Makhmur, four airstrikes struck one large and one small ISIL tactical unit, two ISIL staging areas and an ISIL mortar firing position, destroying three ISIL heavy machine guns, two ISIL structures and an ISIL vehicle.
-- Near Mosul, two airstrikes struck two ISIL mortar firing positions, an ISIL rocket firing positon and an ISIL rocket system.
-- Near Ramadi, one airstrike struck an ISIL tactical unit, destroying an ISIL vehicle.
-- Near Sinjar, one airstrike struck an ISIL large tactical unit, destroying two ISIL buildings, two ISIL heavy machine guns, two ISIL tunnel systems and an ISIL rocket-propelled grenade.
-- Near Tal Afar, three airstrikes struck two ISIL heavy machine guns and an ISIL mortar firing position, destroying an ISIL building and an ISIL vehicle.
Part of Operation Inherent Resolve
The strikes were conducted as part of Operation Inherent Resolve, the operation to eliminate the ISIL terrorist group and the threat they pose to Iraq, Syria, the region and the wider international community. The destruction of ISIL targets in Syria and Iraq further limits the terrorist group's ability to project terror and conduct operations.
Coalition nations conducting airstrikes in Iraq include the United States, Australia, Belgium, Canada, Denmark, France, Jordan, the Netherlands and the United Kingdom. Coalition nations conducting airstrikes in Syria include the United States, Bahrain, Canada, Jordan, Saudi Arabia and the United Arab Emirates.
SARAH SEWALL'S REMARKS AT 'LOCKDOWN IN TIBET' EVENT
FROM: U.S. STATE DEPARTMENT
Remarks Delivered at the "Lockdown in Tibet" Event
Remarks
Sarah Sewall
Under Secretary for Civilian Security, Democracy, and Human Rights
International Campaign for Tibet
Geneva, Switzerland
June 15, 2015
(As Prepared for Delivery)
Introduction
Thank you Ambassador Harper for that kind introduction. We wish you and your colleagues a productive 28th session of the Human Rights Council. And thank you to the Helsinki Foundation for arranging this event. I am very pleased to be here.
At the U.S. Department of State, I serve as the Under Secretary for Civilian Security, Democracy and Human Rights. I was also designated by Secretary Kerry as the Special Coordinator for Tibetan Issues, a position created within the State Department in 1997.
We believe that the Tibetan people, like people all around the world, should be able to enjoy their fundamental freedoms enshrined in the Universal Declaration on Human Rights. The State Department’s country reports on human rights noted that China “engaged in the severe repression of Tibet’s religious, cultural, and linguistic heritage by, among other means, strictly curtailing the civil rights of China’s ethnic Tibetan population, including the freedoms of speech, religion, association, assembly, and movement.” So there is no more fitting place to discuss the barriers and challenges that Tibetans face than here in Geneva on the margins of the Human Rights Council.
The problem of Tibet is, of course, also a problem for China. For the United States, just as for many countries represented here today, China is a vital strategic partner, and we welcome its participation and leadership in the web of international norms, laws and practices that have helped preserve global stability since the end of World War II. As we look at the past 70 years, one of the key long term lessons is the cost and fragility of the repressive state. Thus, as we look for China to play a growing role in the international community, we also look for it to abide by its international commitments with respect to the human rights of people in Tibet.
Human Rights Council and Tibet
Over the years, this Council has been a key advocate for Tibetan human rights by maintaining attention on this issue through its sessions, the work of its Special Rapporteurs, and the Universal Periodic Review process.
In recent sessions, many countries – including Canada, the Czech Republic, France, Germany, Iceland, Japan, New Zealand, Poland, Switzerland and the United Kingdom – have argued that China must make more progress in upholding its international obligations to protect Tibetans’ fundamental human rights.
In 2013, nine states made Tibet-specific recommendations to China in its UPR process. They called for China to improve religious freedom, minority rights, and access for UN officials to Tibet. The Chinese government, however, accepted only one of the twelve recommendations.
Human rights Situation
The United States has consistently urged the Chinese government to uphold its international commitments to protect human rights and fundamental freedoms, specifically by ending the harassment, detention, and other mistreatment of individuals who seek to peacefully practice their religion, express their views or seek legal redress. We call on Chinese authorities to release Tenzin Delek Rinpoche and other prisoners of conscience, and to allow Dhondup Wangchen to be reunited with his family.
Many other states, like Canada, the United Kingdom, Germany, and Sweden have also worked to maintain attention on human rights challenges in Tibet with their own annual reports on human rights. We applaud these efforts and encourage other countries to do the same.
Unfortunately, China’s response has been to tighten already strict controls on Tibetans’ freedom of religion, expression, assembly, association, and movement. Chinese authorities have also taken actions to denigrate His Holiness the Dalai Lama.
This is unfortunate and counterproductive. I have met with the Dalai Lama on three occasions, including at his residence in Dharamsala in a visit last year. I have seen that the spiritual connection between the Dalai Lama and Tibetan Buddhists is beyond measure. His views are widely reflected within Tibetan society, and we believe he can be a constructive partner for China in addressing continuing tensions in Tibetan areas.
Access to Tibet
The Tibetan Plateau’s stunning beauty and unique culture are world treasures that all should be able to enjoy. During his visit to Tibet last month, U.S. Ambassador to China Max Baucus said he looked forward to cooperation on clean energy development, the environment, and wetlands. We welcome China’s promise to promote foreign tourism in Tibet. While investments in infrastructure have removed the geographical barriers to access to the Tibetan plateau, significant other obstacles remain.
Every single foreigner who wishes to visit the Tibet Autonomous Region (TAR) must first obtain a special entry permit from the Chinese authorities. This is not required for travel to any other provincial-level entity in China.
Diplomats and journalists also face regular challenges in visiting Tibet. Reciprocity is a cornerstone of diplomatic relations. However, while Chinese diplomats and journalists travel freely throughout the United States, our diplomats and journalists are not afforded the same access to Tibet. Over the last four years, 35 of 39 requests made by our Embassy or Consulates to visit the TAR were denied.
The restrictions on access frustrate our ability to provide services to American citizens. In October 2013, the Chinese government delayed consular access to the TAR for over 48 hours during an emergency situation involving a bus accident. The bus crash resulted in the deaths of three U.S. citizens and injuries of several others. Under the Vienna Convention on Consular Relations and the 1981 U.S.-China Bilateral Consular Convention, China is obligated to allow expedient consular access. We urge China to fulfil its obligations.
The Foreign Correspondents Club of China, which represents journalists from some 40 nations, has reported that Tibetan areas in China are effectively off-limits to foreign reporters. We have expressed our deep concern that foreign and domestic journalists in China continue to face restrictions that impede their ability to do their jobs, including delays in visa processing. We urge China to commit to a timely, predictable visa issuance and credentialing process for foreign journalists, unblock U.S. media websites, and eliminate restrictions on journalists in Tibet and other areas.
While we are pleased that Ambassador Baucus was allowed to visit Lhasa last month, our concerns about restricted access remain and we continue to push for greater diplomatic access to Tibet.. We are not alone in our frustration and know that other countries have encountered similar obstacles. I encourage you to share those here today.
Navi Pillay, the then-High Commissioner on Human Rights, noted in 2012 that there were 12 outstanding requests for official visits to China by Special Rapporteurs. To my knowledge, none has yet been granted. In the UPR process, China agreed to a visit by the High Commissioner. High Commissioner Zeid seeks to visit to Tibet as part of his promised visit to China. We urge China to allow the High Commissioner to visit Tibet and to reconsider its opposition to upholding the Vienna Convention on consular access.
Religious Freedom
In encouraging tourism to enjoy Tibet’s extraordinary heritage, China should acknowledge that this heritage is inextricably linked with the free and authentic practice of Tibetan Buddhism. Yet in recent years, China has taken an increasingly assertive and controlling role in the Tibetan people’s cultural and religious affairs.
In March 2015, the Special Rapporteur on Freedom of Religion and Belief Heiner Bielefeldt criticized China's efforts to control the reincarnation of Tibetan monks, arguing that the Chinese government was “destroying the autonomy of religious communities, poisoning the relationship between different sub-groups, creating schisms, pitching off people against each other in order to exercise control."
This analysis was echoed by the State Department's own reports on International Religious Freedom, which note China's growing interference in the centuries-old system of recognizing reincarnate Tibetan Buddhist lamas. In a very notable case, soon after the Dalai Lama recognized the 11th Panchen Lama, Gedun Choekyi Nyima, he was disappeared. The Chinese government has since banned images of him and refuses to respond to inquiries about his whereabouts.
The current Dalai Lama has said that the question of whether there will be another Dalai Lama, and if so who it will be, should be resolved within the Tibetan Buddhist community according to their longstanding traditions. He said it would be inappropriate for the Chinese government to "meddle in the system of reincarnation and especially the reincarnations of the Dalai Lamas and Panchen Lamas." The basic and universally recognized right of religious freedom demands that any decision on the next Dalai Lama must be reserved to the current Dalai Lama, Tibetan Buddhist leaders, and the Tibetan people.
Dialogue
In the absence of peaceful avenues for the exercise of basic rights, people despair. The US, EU and former High Commissioner Pillay, all have urged China to address the restrictions on rights and freedoms that have driven some 140 Tibetans to set themselves on fire in protest.
This tragedy underscores the need for the Chinese government to resume direct dialogue, without preconditions, with the Dalai Lama or his representatives. We are very concerned that it has been more than five years since the last round of dialogue. The situation on the ground, as others on this panel will discuss, continues to deteriorate.
When President Obama last invited the Dalai Lama to the White House in February 2014, he stressed the benefits of renewed dialogue and expressed support for the Dalai Lama's "Middle Way" approach. The Dalai Lama has repeatedly clarified that he does not seek independence, and instead wants China to help preserve Tibet's cultural heritage through genuine autonomy within the People’s Republic of China. We believe the Dalai Lama is sincere and can be a constructive partner for peace and stability. We urge China to seize this opportunity.
Conclusion
Like any people, Tibetans have an inalienable right to be stewards of their unique cultural, religious and linguistic heritage. They have a right to do so without interference, in peace and with dignity. I urge members of the Council to join the United States in encouraging the Chinese government to live up to its international obligations to respect Tibetans’ distinct culture, identity, and fundamental human rights, as well as respect international protocols on diplomatic relations and reciprocal access among states.
Thank you.
Remarks Delivered at the "Lockdown in Tibet" Event
Remarks
Sarah Sewall
Under Secretary for Civilian Security, Democracy, and Human Rights
International Campaign for Tibet
Geneva, Switzerland
June 15, 2015
(As Prepared for Delivery)
Introduction
Thank you Ambassador Harper for that kind introduction. We wish you and your colleagues a productive 28th session of the Human Rights Council. And thank you to the Helsinki Foundation for arranging this event. I am very pleased to be here.
At the U.S. Department of State, I serve as the Under Secretary for Civilian Security, Democracy and Human Rights. I was also designated by Secretary Kerry as the Special Coordinator for Tibetan Issues, a position created within the State Department in 1997.
We believe that the Tibetan people, like people all around the world, should be able to enjoy their fundamental freedoms enshrined in the Universal Declaration on Human Rights. The State Department’s country reports on human rights noted that China “engaged in the severe repression of Tibet’s religious, cultural, and linguistic heritage by, among other means, strictly curtailing the civil rights of China’s ethnic Tibetan population, including the freedoms of speech, religion, association, assembly, and movement.” So there is no more fitting place to discuss the barriers and challenges that Tibetans face than here in Geneva on the margins of the Human Rights Council.
The problem of Tibet is, of course, also a problem for China. For the United States, just as for many countries represented here today, China is a vital strategic partner, and we welcome its participation and leadership in the web of international norms, laws and practices that have helped preserve global stability since the end of World War II. As we look at the past 70 years, one of the key long term lessons is the cost and fragility of the repressive state. Thus, as we look for China to play a growing role in the international community, we also look for it to abide by its international commitments with respect to the human rights of people in Tibet.
Human Rights Council and Tibet
Over the years, this Council has been a key advocate for Tibetan human rights by maintaining attention on this issue through its sessions, the work of its Special Rapporteurs, and the Universal Periodic Review process.
In recent sessions, many countries – including Canada, the Czech Republic, France, Germany, Iceland, Japan, New Zealand, Poland, Switzerland and the United Kingdom – have argued that China must make more progress in upholding its international obligations to protect Tibetans’ fundamental human rights.
In 2013, nine states made Tibet-specific recommendations to China in its UPR process. They called for China to improve religious freedom, minority rights, and access for UN officials to Tibet. The Chinese government, however, accepted only one of the twelve recommendations.
Human rights Situation
The United States has consistently urged the Chinese government to uphold its international commitments to protect human rights and fundamental freedoms, specifically by ending the harassment, detention, and other mistreatment of individuals who seek to peacefully practice their religion, express their views or seek legal redress. We call on Chinese authorities to release Tenzin Delek Rinpoche and other prisoners of conscience, and to allow Dhondup Wangchen to be reunited with his family.
Many other states, like Canada, the United Kingdom, Germany, and Sweden have also worked to maintain attention on human rights challenges in Tibet with their own annual reports on human rights. We applaud these efforts and encourage other countries to do the same.
Unfortunately, China’s response has been to tighten already strict controls on Tibetans’ freedom of religion, expression, assembly, association, and movement. Chinese authorities have also taken actions to denigrate His Holiness the Dalai Lama.
This is unfortunate and counterproductive. I have met with the Dalai Lama on three occasions, including at his residence in Dharamsala in a visit last year. I have seen that the spiritual connection between the Dalai Lama and Tibetan Buddhists is beyond measure. His views are widely reflected within Tibetan society, and we believe he can be a constructive partner for China in addressing continuing tensions in Tibetan areas.
Access to Tibet
The Tibetan Plateau’s stunning beauty and unique culture are world treasures that all should be able to enjoy. During his visit to Tibet last month, U.S. Ambassador to China Max Baucus said he looked forward to cooperation on clean energy development, the environment, and wetlands. We welcome China’s promise to promote foreign tourism in Tibet. While investments in infrastructure have removed the geographical barriers to access to the Tibetan plateau, significant other obstacles remain.
Every single foreigner who wishes to visit the Tibet Autonomous Region (TAR) must first obtain a special entry permit from the Chinese authorities. This is not required for travel to any other provincial-level entity in China.
Diplomats and journalists also face regular challenges in visiting Tibet. Reciprocity is a cornerstone of diplomatic relations. However, while Chinese diplomats and journalists travel freely throughout the United States, our diplomats and journalists are not afforded the same access to Tibet. Over the last four years, 35 of 39 requests made by our Embassy or Consulates to visit the TAR were denied.
The restrictions on access frustrate our ability to provide services to American citizens. In October 2013, the Chinese government delayed consular access to the TAR for over 48 hours during an emergency situation involving a bus accident. The bus crash resulted in the deaths of three U.S. citizens and injuries of several others. Under the Vienna Convention on Consular Relations and the 1981 U.S.-China Bilateral Consular Convention, China is obligated to allow expedient consular access. We urge China to fulfil its obligations.
The Foreign Correspondents Club of China, which represents journalists from some 40 nations, has reported that Tibetan areas in China are effectively off-limits to foreign reporters. We have expressed our deep concern that foreign and domestic journalists in China continue to face restrictions that impede their ability to do their jobs, including delays in visa processing. We urge China to commit to a timely, predictable visa issuance and credentialing process for foreign journalists, unblock U.S. media websites, and eliminate restrictions on journalists in Tibet and other areas.
While we are pleased that Ambassador Baucus was allowed to visit Lhasa last month, our concerns about restricted access remain and we continue to push for greater diplomatic access to Tibet.. We are not alone in our frustration and know that other countries have encountered similar obstacles. I encourage you to share those here today.
Navi Pillay, the then-High Commissioner on Human Rights, noted in 2012 that there were 12 outstanding requests for official visits to China by Special Rapporteurs. To my knowledge, none has yet been granted. In the UPR process, China agreed to a visit by the High Commissioner. High Commissioner Zeid seeks to visit to Tibet as part of his promised visit to China. We urge China to allow the High Commissioner to visit Tibet and to reconsider its opposition to upholding the Vienna Convention on consular access.
Religious Freedom
In encouraging tourism to enjoy Tibet’s extraordinary heritage, China should acknowledge that this heritage is inextricably linked with the free and authentic practice of Tibetan Buddhism. Yet in recent years, China has taken an increasingly assertive and controlling role in the Tibetan people’s cultural and religious affairs.
In March 2015, the Special Rapporteur on Freedom of Religion and Belief Heiner Bielefeldt criticized China's efforts to control the reincarnation of Tibetan monks, arguing that the Chinese government was “destroying the autonomy of religious communities, poisoning the relationship between different sub-groups, creating schisms, pitching off people against each other in order to exercise control."
This analysis was echoed by the State Department's own reports on International Religious Freedom, which note China's growing interference in the centuries-old system of recognizing reincarnate Tibetan Buddhist lamas. In a very notable case, soon after the Dalai Lama recognized the 11th Panchen Lama, Gedun Choekyi Nyima, he was disappeared. The Chinese government has since banned images of him and refuses to respond to inquiries about his whereabouts.
The current Dalai Lama has said that the question of whether there will be another Dalai Lama, and if so who it will be, should be resolved within the Tibetan Buddhist community according to their longstanding traditions. He said it would be inappropriate for the Chinese government to "meddle in the system of reincarnation and especially the reincarnations of the Dalai Lamas and Panchen Lamas." The basic and universally recognized right of religious freedom demands that any decision on the next Dalai Lama must be reserved to the current Dalai Lama, Tibetan Buddhist leaders, and the Tibetan people.
Dialogue
In the absence of peaceful avenues for the exercise of basic rights, people despair. The US, EU and former High Commissioner Pillay, all have urged China to address the restrictions on rights and freedoms that have driven some 140 Tibetans to set themselves on fire in protest.
This tragedy underscores the need for the Chinese government to resume direct dialogue, without preconditions, with the Dalai Lama or his representatives. We are very concerned that it has been more than five years since the last round of dialogue. The situation on the ground, as others on this panel will discuss, continues to deteriorate.
When President Obama last invited the Dalai Lama to the White House in February 2014, he stressed the benefits of renewed dialogue and expressed support for the Dalai Lama's "Middle Way" approach. The Dalai Lama has repeatedly clarified that he does not seek independence, and instead wants China to help preserve Tibet's cultural heritage through genuine autonomy within the People’s Republic of China. We believe the Dalai Lama is sincere and can be a constructive partner for peace and stability. We urge China to seize this opportunity.
Conclusion
Like any people, Tibetans have an inalienable right to be stewards of their unique cultural, religious and linguistic heritage. They have a right to do so without interference, in peace and with dignity. I urge members of the Council to join the United States in encouraging the Chinese government to live up to its international obligations to respect Tibetans’ distinct culture, identity, and fundamental human rights, as well as respect international protocols on diplomatic relations and reciprocal access among states.
Thank you.
JUDGE IN PUERTO RICO RECEIVES 10 YEAR PRISON TERM FOR ACCEPTING BRIBES
FROM: U.S. JUSTICE DEPARTMENT
Thursday, June 11, 2015
Puerto Rico Superior Court Judge Sentenced to 10 Years in Prison for Accepting Bribes in Connection with Vehicular Homicide Trial
A Puerto Rico Superior Court Judge was sentenced today to 10 years in prison today after being convicted earlier this year of accepting bribes to acquit a businessman of vehicular homicide charges. Assistant Attorney General Leslie R. Caldwell of the Justice Department’s Criminal Division and U.S. Attorney Rosa Emilia RodrÃguez-Vélez of the District of Puerto Rico made the announcement.
In January, a federal jury convicted Judge Manuel Acevedo-Hernandez, 63, of Aguadilla, Puerto Rico, of conspiracy to commit federal programs bribery and receipt of a bribe by an agent of an organization receiving federal funds. Chief U.S. District Judge Aida M. Delgado of the District of Puerto Rico imposed the sentence.
Acevedo-Hernandez presided over the trial of Lutgardo Acevedo-Lopez, 39, a certified public accountant in Aguadilla, Puerto Rico. Acevedo-Lopez was charged with criminal vehicular homicide based on his role in a June 2012 collision involving the vehicle he was driving and another car, which resulted in the death of the other driver.
According to the evidence presented at trial, Acevedo-Lopez used an intermediary to bribe Acevedo-Hernandez by paying taxes owed by Acevedo-Hernandez; paying for the construction of a garage for Acevedo-Hernandez's home; and providing Acevedo-Hernandez with a motorcycle, clothing and accessories, including cufflinks and a watch. In exchange, Acevedo-Hernandez acquitted Acevedo-Lopez of all charges.
In August 2014, Acevedo-Lopez pleaded guilty to conspiracy to commit federal programs bribery and to paying a bribe to an agent of an organization receiving federal funds. Acevedo-Lopez has not yet been sentenced.
The case was investigated by the FBI’s San Juan Division. The case was prosecuted by Trial Attorneys Peter Mason and Menaka Kalaskar of the Criminal Division’s Public Integrity Section and First Assistant U.S. Attorney Timothy Henwood and Assistant U.S. Attorney Jose Capó of the District of Puerto Rico.
Thursday, June 11, 2015
Puerto Rico Superior Court Judge Sentenced to 10 Years in Prison for Accepting Bribes in Connection with Vehicular Homicide Trial
A Puerto Rico Superior Court Judge was sentenced today to 10 years in prison today after being convicted earlier this year of accepting bribes to acquit a businessman of vehicular homicide charges. Assistant Attorney General Leslie R. Caldwell of the Justice Department’s Criminal Division and U.S. Attorney Rosa Emilia RodrÃguez-Vélez of the District of Puerto Rico made the announcement.
In January, a federal jury convicted Judge Manuel Acevedo-Hernandez, 63, of Aguadilla, Puerto Rico, of conspiracy to commit federal programs bribery and receipt of a bribe by an agent of an organization receiving federal funds. Chief U.S. District Judge Aida M. Delgado of the District of Puerto Rico imposed the sentence.
Acevedo-Hernandez presided over the trial of Lutgardo Acevedo-Lopez, 39, a certified public accountant in Aguadilla, Puerto Rico. Acevedo-Lopez was charged with criminal vehicular homicide based on his role in a June 2012 collision involving the vehicle he was driving and another car, which resulted in the death of the other driver.
According to the evidence presented at trial, Acevedo-Lopez used an intermediary to bribe Acevedo-Hernandez by paying taxes owed by Acevedo-Hernandez; paying for the construction of a garage for Acevedo-Hernandez's home; and providing Acevedo-Hernandez with a motorcycle, clothing and accessories, including cufflinks and a watch. In exchange, Acevedo-Hernandez acquitted Acevedo-Lopez of all charges.
In August 2014, Acevedo-Lopez pleaded guilty to conspiracy to commit federal programs bribery and to paying a bribe to an agent of an organization receiving federal funds. Acevedo-Lopez has not yet been sentenced.
The case was investigated by the FBI’s San Juan Division. The case was prosecuted by Trial Attorneys Peter Mason and Menaka Kalaskar of the Criminal Division’s Public Integrity Section and First Assistant U.S. Attorney Timothy Henwood and Assistant U.S. Attorney Jose Capó of the District of Puerto Rico.
ROSE GOTTEMOELLER'S REMARKS AT OPEN SKIES TREATY THIRD REVIEW CONFERENCE
FROM: U.S. STATE DEPARTMENT
Conventional Arms Control in Europe in a Changing European Security Environment
Remarks
Rose Gottemoeller
Under Secretary for Arms Control and International Security
Open Skies Treaty Third Review Conference
Vienna, Austria
June 10, 2015
As Delivered
Thank you very much for this opportunity to speak with you this morning. Distinguished colleagues, ladies and gentlemen, it is truly a pleasure for me to return to the Hofburg to address the Parties to the Open Skies Treaty. Thank you, Minister Mikhnich, for your leadership and thanks to Belarus for serving as the chair of this Open Skies Review Conference. I’m glad that this morning we heard from Professor Jones, Professor Stubbs, and Professor Spitzer on the future potential for this Treaty.
It is vital for Treaty Parties to have the opportunity to reflect on the successes of the past five years and to discuss the challenges that lie ahead and the potential going forward. Just as we did during our school years, we need to review our progress and identify room for improvement. It is clear that in regards to our “European security report card,” we did not make passing grades in some areas. This is the case for Open Skies, as well as other parts of the conventional arms control regime in Europe. We can and must do better.
As you all know, the security situation in Europe has changed dramatically since we last met in 2010, and not for the better. Russia’s occupation and attempted annexation of Crimea, and its ongoing destabilizing and aggressive activity in and around Ukraine have undermined peace, security, and stability across the region. While diplomacy continues, no one can ignore that Russia’s aggression in Ukraine has violated the very principles upon which cooperation is built. Russia’s selective implementation of the Vienna Document and Open Skies Treaty and long-standing non-implementation of the Conventional Armed Forces in Europe Treaty (or “CFE)” have eroded the positive contributions of these arms control instruments.
We must find a way to rectify the current situation. Even during the Cold War, NATO and Warsaw Pact nations agreed it was in their common interest to build trust, provide early warning of developing tensions, and be transparent about military plans and postures. This was exactly the type of transparency called for by President Dwight Eisenhower in 1955, and again by President George H. W. Bush in 1989 when the concept of the Open Skies Treaty was first advanced. The arms control and confidence building regimes we developed towards the end of the Cold War showed the world, as President Bush said at the time, “the true meaning of the concept of openness.”
Our success was possible because we shared a commitment to the Helsinki principles and to cooperative approaches to security which, unfortunately, is lacking in Europe today. We need to find a way forward – not walk away because Russia has veered off course. We call on Russia to join us in improving security in Europe and to return to full implementation of its OSCE commitments, including the Vienna Document, as well as its obligations under CFE and the Open Skies Treaty.
Russia-Ukraine
While Russian aggression in Ukraine has undermined security and confidence in Europe, the current crisis has also demonstrated the value of functioning arms control agreements. More than a dozen Open Skies flights over Ukraine and western Russia since last February, including the first use of the Treaty’s provision for “Extraordinary Observation Flights,” demonstrated the commitment of Treaty Parties to uphold this key element of the Euro-Atlantic security architecture. Unfortunately, since the tragic missile shoot-down of flight MH-17 last July from a missile system in separatist-held territory, we have been unable to conduct overflights of either Russia or Ukraine near their shared international border.
In addition to Open Skies flights, other European conventional arms control mechanisms have been used to promote stability and provide transparency. Russia’s suspension of the CFE Treaty in 2007 significantly reduced transparency about its military forces. But, CFE inspections in Ukraine and elsewhere in the neighborhood have been a source of vital information about the military forces in a time of tension.
The Vienna Document’s Confidence and Security-Building Measures have also been used extensively and in creative ways. I’m thinking in particular of the voluntary visits to dispel concerns and above-quota inspections that Ukraine has hosted throughout the crisis.
Regrettably, these steps have not been reciprocated. Russia has refused to provide substantive answers to requests for clarification under the Vienna Document’s Risk Reduction provisions and has chosen not to facilitate transparency on the buildup of Russian forces on Ukraine’s border.
Compliance
My government is very concerned about Russia’s adherence to its treaty obligations. Russia’s poor compliance record with CFE and INF is now well documented, as is its practice of selective implementation of the Vienna Document and, as we have discussed, the Open Skies Treaty. We have identified a number of compliance issues that impact the conduct of Open Skies flights, including the imposition of several restrictions that impede the full implementation of these treaties.
Many of these issues are described in the United States Compliance Report for calendar year 2014, which was released last Friday on June 5. Russia should take steps to remedy these problems immediately.
Looking to the Future
Now, let me look to the future. As I said, there are certainly some problems with our report card. It is now up to all of us to get European security – and conventional arms control – back on track. As we work together to rebuild the trust and confidence that has been lost in recent years, we must also look to the future.
During the 2010 Review Conference chaired by the U.S, a major theme was the need to transition to digital sensor capability. I appreciate that the Open Skies States Parties have made a good start in the transition to digital sensors which was initiated by the Russian Federation. That first digital sensor certification was more complicated than we imagined and I want to thank everyone who has worked so hard this past year to reach agreement on improved technical decisions for future certification events that will involve digital sensors.
This was a good start, but much work remains ahead to sustain this regime. In addition to completing the digital sensor transition, we must devote further efforts to modernize and improve the fleet of aircraft. We also need to make the financial investments now that will sustain the Open Skies infrastructure in the future.
We have work to do in other parts of our conventional arms control agenda, as well. The crisis in Ukraine has highlighted the critical need to update and modernize the Vienna Document CSBMs to reflect modern military realities. It has also focused our attention on the importance of having sufficient verification opportunities in time of crisis. This will not be easy work, but it is vital nonetheless. The United States is developing proposals to contribute to this effort and we encourage all OSCE participating States to engage meaningfully and productively in this effort.
The United States and all members of NATO have consistently said that conventional arms control in Europe, based on longstanding Helsinki principles, has a role to play in building a stable and secure Europe. You all know that this has proven true in the most difficult of circumstances, building mutual confidence in the Western Balkans through the Dayton Article IV agreement. We can still explore ways to improve security in the Euro-Atlantic region, even though the security situation is not currently amenable to comprehensive new negotiations.
Mr. Chairman, it is time for everyone here to roll up their sleeves and work together to address our failing grades. Arms control treaties and confidence- and security-building measures are useful tools for building trust and confidence and they have made a vital contribution to peace and security in Europe, which we should not overlook.
There is no doubt that we need to strengthen and modernize our existing arms control and confidence building tools to increase transparency and better address today’s challenge: the challenge of building mutual confidence. Some of our problems are being addressed here at the Open Skies Review Conference and others will be addressed through our collective work at the OSCE as it commemorates its fortieth year. We should begin now by focusing on compliance with existing agreements and on building on lessons learned.
I wish all Treaty members continued success for the future implementation of the Open Skies Treaty, and I look forward to your continued contribution to the larger goal of modernizing conventional arms control in Europe.
Thank you, Mr. Chairman, and thank you for everyone’s attention.
Conventional Arms Control in Europe in a Changing European Security Environment
Remarks
Rose Gottemoeller
Under Secretary for Arms Control and International Security
Open Skies Treaty Third Review Conference
Vienna, Austria
June 10, 2015
As Delivered
Thank you very much for this opportunity to speak with you this morning. Distinguished colleagues, ladies and gentlemen, it is truly a pleasure for me to return to the Hofburg to address the Parties to the Open Skies Treaty. Thank you, Minister Mikhnich, for your leadership and thanks to Belarus for serving as the chair of this Open Skies Review Conference. I’m glad that this morning we heard from Professor Jones, Professor Stubbs, and Professor Spitzer on the future potential for this Treaty.
It is vital for Treaty Parties to have the opportunity to reflect on the successes of the past five years and to discuss the challenges that lie ahead and the potential going forward. Just as we did during our school years, we need to review our progress and identify room for improvement. It is clear that in regards to our “European security report card,” we did not make passing grades in some areas. This is the case for Open Skies, as well as other parts of the conventional arms control regime in Europe. We can and must do better.
As you all know, the security situation in Europe has changed dramatically since we last met in 2010, and not for the better. Russia’s occupation and attempted annexation of Crimea, and its ongoing destabilizing and aggressive activity in and around Ukraine have undermined peace, security, and stability across the region. While diplomacy continues, no one can ignore that Russia’s aggression in Ukraine has violated the very principles upon which cooperation is built. Russia’s selective implementation of the Vienna Document and Open Skies Treaty and long-standing non-implementation of the Conventional Armed Forces in Europe Treaty (or “CFE)” have eroded the positive contributions of these arms control instruments.
We must find a way to rectify the current situation. Even during the Cold War, NATO and Warsaw Pact nations agreed it was in their common interest to build trust, provide early warning of developing tensions, and be transparent about military plans and postures. This was exactly the type of transparency called for by President Dwight Eisenhower in 1955, and again by President George H. W. Bush in 1989 when the concept of the Open Skies Treaty was first advanced. The arms control and confidence building regimes we developed towards the end of the Cold War showed the world, as President Bush said at the time, “the true meaning of the concept of openness.”
Our success was possible because we shared a commitment to the Helsinki principles and to cooperative approaches to security which, unfortunately, is lacking in Europe today. We need to find a way forward – not walk away because Russia has veered off course. We call on Russia to join us in improving security in Europe and to return to full implementation of its OSCE commitments, including the Vienna Document, as well as its obligations under CFE and the Open Skies Treaty.
Russia-Ukraine
While Russian aggression in Ukraine has undermined security and confidence in Europe, the current crisis has also demonstrated the value of functioning arms control agreements. More than a dozen Open Skies flights over Ukraine and western Russia since last February, including the first use of the Treaty’s provision for “Extraordinary Observation Flights,” demonstrated the commitment of Treaty Parties to uphold this key element of the Euro-Atlantic security architecture. Unfortunately, since the tragic missile shoot-down of flight MH-17 last July from a missile system in separatist-held territory, we have been unable to conduct overflights of either Russia or Ukraine near their shared international border.
In addition to Open Skies flights, other European conventional arms control mechanisms have been used to promote stability and provide transparency. Russia’s suspension of the CFE Treaty in 2007 significantly reduced transparency about its military forces. But, CFE inspections in Ukraine and elsewhere in the neighborhood have been a source of vital information about the military forces in a time of tension.
The Vienna Document’s Confidence and Security-Building Measures have also been used extensively and in creative ways. I’m thinking in particular of the voluntary visits to dispel concerns and above-quota inspections that Ukraine has hosted throughout the crisis.
Regrettably, these steps have not been reciprocated. Russia has refused to provide substantive answers to requests for clarification under the Vienna Document’s Risk Reduction provisions and has chosen not to facilitate transparency on the buildup of Russian forces on Ukraine’s border.
Compliance
My government is very concerned about Russia’s adherence to its treaty obligations. Russia’s poor compliance record with CFE and INF is now well documented, as is its practice of selective implementation of the Vienna Document and, as we have discussed, the Open Skies Treaty. We have identified a number of compliance issues that impact the conduct of Open Skies flights, including the imposition of several restrictions that impede the full implementation of these treaties.
Many of these issues are described in the United States Compliance Report for calendar year 2014, which was released last Friday on June 5. Russia should take steps to remedy these problems immediately.
Looking to the Future
Now, let me look to the future. As I said, there are certainly some problems with our report card. It is now up to all of us to get European security – and conventional arms control – back on track. As we work together to rebuild the trust and confidence that has been lost in recent years, we must also look to the future.
During the 2010 Review Conference chaired by the U.S, a major theme was the need to transition to digital sensor capability. I appreciate that the Open Skies States Parties have made a good start in the transition to digital sensors which was initiated by the Russian Federation. That first digital sensor certification was more complicated than we imagined and I want to thank everyone who has worked so hard this past year to reach agreement on improved technical decisions for future certification events that will involve digital sensors.
This was a good start, but much work remains ahead to sustain this regime. In addition to completing the digital sensor transition, we must devote further efforts to modernize and improve the fleet of aircraft. We also need to make the financial investments now that will sustain the Open Skies infrastructure in the future.
We have work to do in other parts of our conventional arms control agenda, as well. The crisis in Ukraine has highlighted the critical need to update and modernize the Vienna Document CSBMs to reflect modern military realities. It has also focused our attention on the importance of having sufficient verification opportunities in time of crisis. This will not be easy work, but it is vital nonetheless. The United States is developing proposals to contribute to this effort and we encourage all OSCE participating States to engage meaningfully and productively in this effort.
The United States and all members of NATO have consistently said that conventional arms control in Europe, based on longstanding Helsinki principles, has a role to play in building a stable and secure Europe. You all know that this has proven true in the most difficult of circumstances, building mutual confidence in the Western Balkans through the Dayton Article IV agreement. We can still explore ways to improve security in the Euro-Atlantic region, even though the security situation is not currently amenable to comprehensive new negotiations.
Mr. Chairman, it is time for everyone here to roll up their sleeves and work together to address our failing grades. Arms control treaties and confidence- and security-building measures are useful tools for building trust and confidence and they have made a vital contribution to peace and security in Europe, which we should not overlook.
There is no doubt that we need to strengthen and modernize our existing arms control and confidence building tools to increase transparency and better address today’s challenge: the challenge of building mutual confidence. Some of our problems are being addressed here at the Open Skies Review Conference and others will be addressed through our collective work at the OSCE as it commemorates its fortieth year. We should begin now by focusing on compliance with existing agreements and on building on lessons learned.
I wish all Treaty members continued success for the future implementation of the Open Skies Treaty, and I look forward to your continued contribution to the larger goal of modernizing conventional arms control in Europe.
Thank you, Mr. Chairman, and thank you for everyone’s attention.
NINE REGIONAL EBOLA, SPECIAL PATHOGENS TREATMENT CENTERS SELECTED BY HHS
FROM: U.S. DEPARTMENT OF HEALTH AND HUMAN SERVICES
June 12, 2015
HHS selects nine regional Ebola and other special pathogen treatment centers
New network expands US ability to respond to outbreaks of severe, highly infectious diseases
To further strengthen the nation’s infectious disease response capability, the U.S. Department of Health and Human Services has selected nine health departments and associated partner hospitals to become special regional treatment centers for patients with Ebola or other severe, highly infectious diseases.
HHS’ Office of the Assistant Secretary for Preparedness and Response (ASPR) has awarded approximately $20 million through its Hospital Preparedness Program (HPP) to enhance the regional treatment centers’ capabilities to care for patients with Ebola or other highly infectious diseases. ASPR will provide an additional $9 million to these recipients in the subsequent four years to sustain their readiness.
“This approach recognizes that being ready to treat severe, highly infectious diseases, including Ebola, is vital to our nation’s health security,” said Dr. Nicole Lurie, HHS assistant secretary for preparedness and response. “This added regional capability increases our domestic preparedness posture to protect the public’s health.”
Each awardee will receive approximately $3.25 million over the full five-year project period. This funding is part of $339.5 million in emergency funding Congress appropriated to enhance state and local public health and health care system preparedness following cases of Ebola in the United States stemming from the 2014 Ebola epidemic in West Africa.
The facilities announced today will be continuously ready and available to care for a patient with Ebola or another severe, highly infectious disease, whether the patient is medically evacuated from overseas or is diagnosed within the United States.
The nine awardees and their partner hospitals are:
Massachusetts Department of Public Health in partnership with Massachusetts General Hospital in Boston, Massachusetts
New York City Department of Health and Mental Hygiene in partnership with New York City Health and Hospitals Corporation/HHC Bellevue Hospital Center in New York City
Maryland Department of Health and Mental Hygiene in partnership with Johns Hopkins Hospital in Baltimore, Maryland
Georgia Department of Public Health in partnership with Emory University Hospital and Children’s Healthcare of Atlanta/Egleston Children’s Hospital in Atlanta, Georgia
Minnesota Department of Health in partnership with the University of Minnesota Medical Center in Minneapolis, Minnesota
Texas Department of State Health Services in partnership with the University of Texas Medical Branch at Galveston in Galveston, Texas
Nebraska Department of Health and Human Services in partnership with Nebraska Medicine - Nebraska Medical Center in Omaha, Nebraska
Colorado Department of Public Health and Environment in partnership with Denver Health Medical Center in Denver, Colorado
Washington State Department of Health in partnership with Providence Sacred Heart Medical Center and Children’s Hospital in Spokane, Washington
The regional facilities are part of a national network of 55 Ebola treatment centers, but will have enhanced capabilities to treat a patient with confirmed Ebola or other highly infectious disease. Even with the establishment of the nine regional facilities, the other 46 Ebola treatment centers and their associated health departments will remain ready and may be called upon to handle one or more simultaneous clusters of patients.
The facilities selected to serve as regional Ebola treatment centers will be required to:
Accept patients within eight hours of being notified,
Have the capacity to treat at least two Ebola patients at the same time,
Have respiratory infectious disease isolation capacity or negative pressure rooms for at least 10 patients,
Conduct quarterly trainings and exercises,
Receive an annual readiness assessment from the soon-to-be-established National Ebola Training and Education Center, composed of experts from health care facilities that have safely and successfully cared for patients with Ebola in the U.S., and funded by ASPR and the Centers for Disease Control and Prevention, to ensure clinical staff is adequately prepared and trained to safely treat patients with Ebola and other infectious diseases,
Be able to treat pediatric patients with Ebola or other infectious diseases or partner with a neighboring facility to do so, and,
Be able to safely handle Ebola-contaminated or other highly contaminated infectious waste.
Proposals from these facilities were reviewed by a panel of experts from professional associations, academia, and federal agencies and were selected based upon extensive criteria published in the funding opportunity announcement released in February.
To be eligible for consideration as an Ebola and other special pathogen treatment center, facilities also had to be assessed by a Rapid Ebola Preparedness team led by the CDC prior to Feb. 20, 2015.
The Department is working with state health officials and hospital executives in HHS Region IX, which includes Arizona, California, Hawaii, Nevada and the Pacific island territories and freely associated states, to identify a partner hospital awardee.
HHS is the principal federal department for protecting the health of all Americans and providing essential human services, especially for those who are least able to help themselves. ASPR leads HHS in preparing the nation to respond to and recover from adverse health effects of emergencies, supporting communities’ ability to withstand adversity, strengthening health and response systems, and enhancing national health security.
June 12, 2015
HHS selects nine regional Ebola and other special pathogen treatment centers
New network expands US ability to respond to outbreaks of severe, highly infectious diseases
To further strengthen the nation’s infectious disease response capability, the U.S. Department of Health and Human Services has selected nine health departments and associated partner hospitals to become special regional treatment centers for patients with Ebola or other severe, highly infectious diseases.
HHS’ Office of the Assistant Secretary for Preparedness and Response (ASPR) has awarded approximately $20 million through its Hospital Preparedness Program (HPP) to enhance the regional treatment centers’ capabilities to care for patients with Ebola or other highly infectious diseases. ASPR will provide an additional $9 million to these recipients in the subsequent four years to sustain their readiness.
“This approach recognizes that being ready to treat severe, highly infectious diseases, including Ebola, is vital to our nation’s health security,” said Dr. Nicole Lurie, HHS assistant secretary for preparedness and response. “This added regional capability increases our domestic preparedness posture to protect the public’s health.”
Each awardee will receive approximately $3.25 million over the full five-year project period. This funding is part of $339.5 million in emergency funding Congress appropriated to enhance state and local public health and health care system preparedness following cases of Ebola in the United States stemming from the 2014 Ebola epidemic in West Africa.
The facilities announced today will be continuously ready and available to care for a patient with Ebola or another severe, highly infectious disease, whether the patient is medically evacuated from overseas or is diagnosed within the United States.
The nine awardees and their partner hospitals are:
Massachusetts Department of Public Health in partnership with Massachusetts General Hospital in Boston, Massachusetts
New York City Department of Health and Mental Hygiene in partnership with New York City Health and Hospitals Corporation/HHC Bellevue Hospital Center in New York City
Maryland Department of Health and Mental Hygiene in partnership with Johns Hopkins Hospital in Baltimore, Maryland
Georgia Department of Public Health in partnership with Emory University Hospital and Children’s Healthcare of Atlanta/Egleston Children’s Hospital in Atlanta, Georgia
Minnesota Department of Health in partnership with the University of Minnesota Medical Center in Minneapolis, Minnesota
Texas Department of State Health Services in partnership with the University of Texas Medical Branch at Galveston in Galveston, Texas
Nebraska Department of Health and Human Services in partnership with Nebraska Medicine - Nebraska Medical Center in Omaha, Nebraska
Colorado Department of Public Health and Environment in partnership with Denver Health Medical Center in Denver, Colorado
Washington State Department of Health in partnership with Providence Sacred Heart Medical Center and Children’s Hospital in Spokane, Washington
The regional facilities are part of a national network of 55 Ebola treatment centers, but will have enhanced capabilities to treat a patient with confirmed Ebola or other highly infectious disease. Even with the establishment of the nine regional facilities, the other 46 Ebola treatment centers and their associated health departments will remain ready and may be called upon to handle one or more simultaneous clusters of patients.
The facilities selected to serve as regional Ebola treatment centers will be required to:
Accept patients within eight hours of being notified,
Have the capacity to treat at least two Ebola patients at the same time,
Have respiratory infectious disease isolation capacity or negative pressure rooms for at least 10 patients,
Conduct quarterly trainings and exercises,
Receive an annual readiness assessment from the soon-to-be-established National Ebola Training and Education Center, composed of experts from health care facilities that have safely and successfully cared for patients with Ebola in the U.S., and funded by ASPR and the Centers for Disease Control and Prevention, to ensure clinical staff is adequately prepared and trained to safely treat patients with Ebola and other infectious diseases,
Be able to treat pediatric patients with Ebola or other infectious diseases or partner with a neighboring facility to do so, and,
Be able to safely handle Ebola-contaminated or other highly contaminated infectious waste.
Proposals from these facilities were reviewed by a panel of experts from professional associations, academia, and federal agencies and were selected based upon extensive criteria published in the funding opportunity announcement released in February.
To be eligible for consideration as an Ebola and other special pathogen treatment center, facilities also had to be assessed by a Rapid Ebola Preparedness team led by the CDC prior to Feb. 20, 2015.
The Department is working with state health officials and hospital executives in HHS Region IX, which includes Arizona, California, Hawaii, Nevada and the Pacific island territories and freely associated states, to identify a partner hospital awardee.
HHS is the principal federal department for protecting the health of all Americans and providing essential human services, especially for those who are least able to help themselves. ASPR leads HHS in preparing the nation to respond to and recover from adverse health effects of emergencies, supporting communities’ ability to withstand adversity, strengthening health and response systems, and enhancing national health security.
FED CONTRACTOR TO PAY OVER $92,000 IN BACK WAGES
FROM: U.S. LABOR DEPARTMENT
Federal contractor at March Air Reserve Base in southern California to pay more than $92K in back wages, fringe benefits to 27 workers
Christian Brothers Mechanical Services Inc. violated federal wage law
WEST COVINA, Calif. — Working on a federal contract is a privilege and not a right, and along with it comes the obligation to uphold federal laws and wage rules. Skirting the rules to save money will prove futile as far as the U.S. Department of Labor is concerned.
The department's Wage and Hour Division recently recovered $92,912 in unpaid wages and fringe benefits for 27 workers employed by Christian Brothers Mechanical Services Inc., a Mira Loma-based subcontractor. An investigation found that the heating, ventilation and air conditioning subcontractor violated the prevailing wage and fringe benefits requirements under the Davis-Bacon and Related Acts while servicing two U.S. Army Corp of Engineers' contracts at the March Air Reserve Base in Riverside between 2011 and 2014.
"In this competitive contracting environment, no business should gain an economic advantage by paying workers below the required wages and fringe benefits on a prevailing wage project," said Gayane Aleksanian, assistant district director for the Wage and Hour Division in West Covina. "Contractors must know their obligations when they bid for jobs and when contracts are awarded. Taxpayers have a right to expect that federal contractors, who are paid with tax dollars, will comply with the law."
The division found that Christian Brothers paid several journeymen at the lower laborer's rate for hours worked when the contractor owed the full rate. The company also failed to pay employees appropriate and timely fringe benefits.
The DBA requires that all contractors and subcontractors performing work on federal and certain federally funded construction projects pay their laborers and mechanics at least the prevailing wage rates associated with their occupation, as determined by the secretary of labor.
Federal contractor at March Air Reserve Base in southern California to pay more than $92K in back wages, fringe benefits to 27 workers
Christian Brothers Mechanical Services Inc. violated federal wage law
WEST COVINA, Calif. — Working on a federal contract is a privilege and not a right, and along with it comes the obligation to uphold federal laws and wage rules. Skirting the rules to save money will prove futile as far as the U.S. Department of Labor is concerned.
The department's Wage and Hour Division recently recovered $92,912 in unpaid wages and fringe benefits for 27 workers employed by Christian Brothers Mechanical Services Inc., a Mira Loma-based subcontractor. An investigation found that the heating, ventilation and air conditioning subcontractor violated the prevailing wage and fringe benefits requirements under the Davis-Bacon and Related Acts while servicing two U.S. Army Corp of Engineers' contracts at the March Air Reserve Base in Riverside between 2011 and 2014.
"In this competitive contracting environment, no business should gain an economic advantage by paying workers below the required wages and fringe benefits on a prevailing wage project," said Gayane Aleksanian, assistant district director for the Wage and Hour Division in West Covina. "Contractors must know their obligations when they bid for jobs and when contracts are awarded. Taxpayers have a right to expect that federal contractors, who are paid with tax dollars, will comply with the law."
The division found that Christian Brothers paid several journeymen at the lower laborer's rate for hours worked when the contractor owed the full rate. The company also failed to pay employees appropriate and timely fringe benefits.
The DBA requires that all contractors and subcontractors performing work on federal and certain federally funded construction projects pay their laborers and mechanics at least the prevailing wage rates associated with their occupation, as determined by the secretary of labor.
Sunday, June 14, 2015
A SPACECRAFT RETURNS
FROM: NASA
FORMER CONGRESSIONAL CAMPAIGN MANAGER SENTENCED FOR COORDINATED CAMPAIGN CONTRIBUTIONS AND MAKING FALSE STATEMENTS
FROM: U.S. JUSTICE DEPARTMENT
Friday, June 12, 2015
Campaign Manager Sentenced to 24 Months for Coordinated Campaign Contributions and False Statements
A former campaign finance manager and political consultant was sentenced today in the Eastern District of Virginia to 24 months for coordinating $325,000 in federal election campaign contributions by a political action committee (PAC) to a congressional campaign committee. This is the first U.S. prosecution based on the coordination of campaign contributions between political committees.
Assistant Attorney General Leslie R. Caldwell of the Justice Department’s Criminal Division, U.S. Attorney Dana J. Boente of the Eastern District of Virginia and Acting Special Agent in Charge Jennifer Leonard of the FBI Washington, D.C., Field Office’s Criminal Division made the announcement.
“The significant prison sentence imposed on Tyler Harber should cause other political operatives to think twice about circumventing laws that promote transparency in federal elections,” said Assistant Attorney General Caldwell. “As the first conviction for illegal campaign coordination, this case stands as an important step forward in the criminal enforcement of federal campaign finance laws. Illegal campaign coordination can be difficult to detect, which is why we strongly encourage party or campaign insiders to come forward and blow the whistle.”
“Campaign finance laws exist to guard against illegal activity such as coordinated campaign contributions,” said U.S. Attorney Boente. “The citizens of the commonwealth of Virginia can rely on this office enforce federal campaign finance law.”
“As the 2016 election gears up, there may be others, similar to Mr. Harber, who may view campaigns as a venue to misappropriate funds,” said Acting Special Agent in Charge Leonard. “With millions of dollars in play, donors should be aware of how their money will be spent prior to making a donation to a super Pac to ensure that their contributions are being legally expended.”
Tyler Eugene Harber, 34, of Alexandria, Virginia, previously pleaded guilty before U.S. District Judge Liam O’Grady to one count of coordinated federal election contributions and one count of making false statements to the FBI.
Harber was the campaign manager and general political consultant for a candidate for Congress in the November 2012 general election. At the same time, Harber participated in the creation and operation of a PAC, which, unlike the campaign of an individual candidate, may raise and spend money in unlimited amounts from otherwise prohibited sources to influence federal elections so long as it does not coordinate expenditures with a federal campaign.
In connection with his guilty plea, Harber admitted, among other things, that he caused $325,000 in coordinated contributions by directing the PAC to purchase political advertising opposing a rival candidate. Harber admitted that he knew this coordination of expenditures was unlawful.
Harber admitted that he used an alias and other means to deflect inquiries by a political party official. He also admitted that he told multiple lies when interviewed by the FBI concerning his activities.
This case was investigated by the FBI’s Washington, D.C., Field Office’s Northern Virginia Resident Agency. The case is being prosecuted by Director Richard C. Pilger of the Criminal Division’s Public Integrity Section Election Crimes Branch and Chief Mark D. Lytle of the U.S. Attorney’s Office of the Eastern District of Virginia’s Financial Crimes and Public Corruption Unit.
Friday, June 12, 2015
Campaign Manager Sentenced to 24 Months for Coordinated Campaign Contributions and False Statements
A former campaign finance manager and political consultant was sentenced today in the Eastern District of Virginia to 24 months for coordinating $325,000 in federal election campaign contributions by a political action committee (PAC) to a congressional campaign committee. This is the first U.S. prosecution based on the coordination of campaign contributions between political committees.
Assistant Attorney General Leslie R. Caldwell of the Justice Department’s Criminal Division, U.S. Attorney Dana J. Boente of the Eastern District of Virginia and Acting Special Agent in Charge Jennifer Leonard of the FBI Washington, D.C., Field Office’s Criminal Division made the announcement.
“The significant prison sentence imposed on Tyler Harber should cause other political operatives to think twice about circumventing laws that promote transparency in federal elections,” said Assistant Attorney General Caldwell. “As the first conviction for illegal campaign coordination, this case stands as an important step forward in the criminal enforcement of federal campaign finance laws. Illegal campaign coordination can be difficult to detect, which is why we strongly encourage party or campaign insiders to come forward and blow the whistle.”
“Campaign finance laws exist to guard against illegal activity such as coordinated campaign contributions,” said U.S. Attorney Boente. “The citizens of the commonwealth of Virginia can rely on this office enforce federal campaign finance law.”
“As the 2016 election gears up, there may be others, similar to Mr. Harber, who may view campaigns as a venue to misappropriate funds,” said Acting Special Agent in Charge Leonard. “With millions of dollars in play, donors should be aware of how their money will be spent prior to making a donation to a super Pac to ensure that their contributions are being legally expended.”
Tyler Eugene Harber, 34, of Alexandria, Virginia, previously pleaded guilty before U.S. District Judge Liam O’Grady to one count of coordinated federal election contributions and one count of making false statements to the FBI.
Harber was the campaign manager and general political consultant for a candidate for Congress in the November 2012 general election. At the same time, Harber participated in the creation and operation of a PAC, which, unlike the campaign of an individual candidate, may raise and spend money in unlimited amounts from otherwise prohibited sources to influence federal elections so long as it does not coordinate expenditures with a federal campaign.
In connection with his guilty plea, Harber admitted, among other things, that he caused $325,000 in coordinated contributions by directing the PAC to purchase political advertising opposing a rival candidate. Harber admitted that he knew this coordination of expenditures was unlawful.
Harber admitted that he used an alias and other means to deflect inquiries by a political party official. He also admitted that he told multiple lies when interviewed by the FBI concerning his activities.
This case was investigated by the FBI’s Washington, D.C., Field Office’s Northern Virginia Resident Agency. The case is being prosecuted by Director Richard C. Pilger of the Criminal Division’s Public Integrity Section Election Crimes Branch and Chief Mark D. Lytle of the U.S. Attorney’s Office of the Eastern District of Virginia’s Financial Crimes and Public Corruption Unit.
A TEXAS LAWYER ADMITS ROLE IN OIL-AND-GAS INVESTMENT SCHEMES
FROM: U.S. SECURITIES AND EXCHANGE COMMISSION
Litigation Release No. 23282 / June 11, 2015
Securities and Exchange Commission v. Aquaphex Total Water Resources and Gregory Jones, Civil Action No. 4:15-cv-00438-A, (NDTX, filed June 10, 2015)
Texas Lawyer Admits to Conducting Fraudulent Offering
On June 10, 2015, the Securities and Exchange Commission ("Commission") filed a settled civil action against attorney Gregory G. Jones and Aquaphex Total Water Solutions in the United States District Court for the Northern District of Texas, Fort Worth Division. The Commission alleges that Jones and Aquaphex defrauded investors in two separate oil-and-gas investment schemes. In a separately filed Consent, Jones and Aquaphex admitted the underlying facts and consented to the entry of a final judgment, permanently enjoining them from violating the anti-fraud and registration provisions of the federal securities laws.
Jones and Aquaphex admitted that Aquaphex, through its CEO, Jones, raised approximately $645,000 by selling revenue-sharing agreements and other securities issued by Aquaphex. The company purported to recycle fracking water through a filtration process. Among other things, Jones and Aquaphex guaranteed that investors would double their investment even if the planned water-filtration plants underperformed. They also made baseless claims that investors would make returns of more than 115% per year, and that Aquaphex was expected to sell for $21 billion within five years. Separately, in 2009, Jones represented a small group of investors that invested approximately $6 million in an entity called Edwards Exploration. Jones failed to disclose to the investors that Edwards Exploration paid Jones approximately $480,000 from the principal amount invested.
Jones and Aquaphex have agreed to settlements that are subject to court approval. Both defendants admitted the facts underlying the Commission's claims and consented to the entry of a final judgment permanently enjoining them from violating the anti-fraud provisions, specifically Section 10(b) and Rule 10b-5 of the Securities Exchange Act of 1934 and Section 17(a) of the Securities Act of 1933 ("Securities Act"), and from violating the registration provisions, specifically Sections 5(a) and (c) of the Securities Act. The Commission's claims for disgorgement, prejudgment interest, and civil penalties are the subject of ongoing litigation.
The SEC's investigation was conducted by Jim Etri of the Fort Worth Regional Office. Timothy McCole will lead the Commission's litigation. The Commission appreciates the assistance of the Federal Bureau of Investigation.
Litigation Release No. 23282 / June 11, 2015
Securities and Exchange Commission v. Aquaphex Total Water Resources and Gregory Jones, Civil Action No. 4:15-cv-00438-A, (NDTX, filed June 10, 2015)
Texas Lawyer Admits to Conducting Fraudulent Offering
On June 10, 2015, the Securities and Exchange Commission ("Commission") filed a settled civil action against attorney Gregory G. Jones and Aquaphex Total Water Solutions in the United States District Court for the Northern District of Texas, Fort Worth Division. The Commission alleges that Jones and Aquaphex defrauded investors in two separate oil-and-gas investment schemes. In a separately filed Consent, Jones and Aquaphex admitted the underlying facts and consented to the entry of a final judgment, permanently enjoining them from violating the anti-fraud and registration provisions of the federal securities laws.
Jones and Aquaphex admitted that Aquaphex, through its CEO, Jones, raised approximately $645,000 by selling revenue-sharing agreements and other securities issued by Aquaphex. The company purported to recycle fracking water through a filtration process. Among other things, Jones and Aquaphex guaranteed that investors would double their investment even if the planned water-filtration plants underperformed. They also made baseless claims that investors would make returns of more than 115% per year, and that Aquaphex was expected to sell for $21 billion within five years. Separately, in 2009, Jones represented a small group of investors that invested approximately $6 million in an entity called Edwards Exploration. Jones failed to disclose to the investors that Edwards Exploration paid Jones approximately $480,000 from the principal amount invested.
Jones and Aquaphex have agreed to settlements that are subject to court approval. Both defendants admitted the facts underlying the Commission's claims and consented to the entry of a final judgment permanently enjoining them from violating the anti-fraud provisions, specifically Section 10(b) and Rule 10b-5 of the Securities Exchange Act of 1934 and Section 17(a) of the Securities Act of 1933 ("Securities Act"), and from violating the registration provisions, specifically Sections 5(a) and (c) of the Securities Act. The Commission's claims for disgorgement, prejudgment interest, and civil penalties are the subject of ongoing litigation.
The SEC's investigation was conducted by Jim Etri of the Fort Worth Regional Office. Timothy McCole will lead the Commission's litigation. The Commission appreciates the assistance of the Federal Bureau of Investigation.
TWO BROTHERS SENTENCED FOR TERRORISM AND ASSAULT ON TWO U.S. MARSHALS
FROM: U.S. JUSTICE DEPARTMENT
FOR IMMEDIATE RELEASE
Thursday, June 11, 2015
Qazi Brothers Sentenced on Terrorism Violations and Assault on Two Deputy U.S. Marshals
Younger Sibling Plotted to Attack New York City with a Weapon of Mass Destruction
Brothers Raees Alam Qazi, 22, and Sheheryar Alam Qazi, 32, both naturalized U.S. citizens from Pakistan, were sentenced today to 35 years and 20 years in prison for terrorism violations and assaulting two Deputy U.S. Marshals while in custody, announced Assistant Attorney General for National Security John P. Carlin, U.S. Attorney Wifredo A. Ferrer of the Southern District of Florida, Director Stacia A. Hylton of the U.S. Marshals Service and Special Agent in Charge George L. Piro of the FBI’s Miami Division.
Raees Qazi and Sheheryar Qazi were sentenced by U.S. District Court Judge Beth Bloom of the Southern District of Florida, and their prison term will be followed by a term of 10 years and five years of supervised release, respectively.
“With the sentences handed down today, Raees Qazi and his brother Sheheryar Qazi are being held accountable for their roles in a plot to conduct a terrorist attack using a weapon of mass destruction in New York City and their assault on two federal officers during their pretrial detention,” said Assistant Attorney General Carlin. “This case highlights our commitment to pursue any individuals who would seek to conduct an attack on U.S. soil or to injure law enforcement officials who risk their lives to protect us. I want to thank the U.S. Marshals, agents, analysts, and prosecutors who are responsible for this successful result.”
“Protecting the homeland and our national security remains our number one priority,” said U.S. Attorney Ferrer. “Today’s sentences demonstrate this Office’s unwavering commitment to work with our law enforcement partners to combat all forms of terrorism by proactively finding and prosecuting those who actively seek to kill or harm innocent citizens in the name of violent extremism.”
“Today’s sentencing of the Qazi brothers represents the final chapter for two men who wished to bring harm and mass destruction to Americans on U.S. soil,” said Director Hylton. “Their sentences demonstrate that justice prevailed. I am proud of our brave men and women who participated in this process, and thank the prosecutors who worked tirelessly for this successful conclusion.”
“The threat of a terrorist attack against innocent Americans is real as demonstrated by the actions of these two brothers,” said Special Agent in Charge Piro. “The fact that their terrorist aspirations were cut short didn’t stop Raees and Sheheryar Qazi from attempting to use potentially lethal force against two U.S. Marshals while they were in custody. This case highlights outstanding work and team effort of our South Florida Joint Terrorism Task Force.”
On March 12, 2015, Raees Alam Qazi pleaded guilty to one count of conspiring to provide material support and resources to terrorists in preparation for the use of a weapon of mass destruction, one count of attempting to provide material support to a designated foreign terrorist organization and one count of conspiring to assault a federal employee. Sherheyar Alam Qazi pleaded guilty to one count of conspiring to provide material support and resources to terrorists in preparation for the use of a weapon of mass destruction and one count of conspiring to assault a federal employee.
The brothers acknowledged during the plea hearing that Raees Alam Qazi was going to initiate an attack using a weapon of mass destruction in New York City and that he had been financially and emotionally supported by his older brother, Sheheryar Alam Qazi, who encouraged him to launch the attack. Among other things, the brothers acknowledged that Sheheryar Alam Qazi had encouraged his younger brother to travel from Pakistan to Afghanistan in 2011, and that when Raees Alam Qazi had been unsuccessful in his attempt to enter Afghanistan, he returned to his older brother. The brothers acknowledged that Raees Alam Qazi had been trying to reach the “guys from Yemen” aka Al Qaeda in the Arabian Peninsula (AQAP) on the internet and that they told him not to come to Afghanistan because there were enough people, but instead suggested they do something in the United States. Raees Alam Qazi admitted that he had taken “hints” from an AQAP online publication entitled Inspire Magazine, including building an explosive device using Christmas tree light bulbs. Raees Alam Qazi also conceded that he had used information in Inspire to communicate with AQAP, and that his communications with Al Qaeda dealt with his desires to launch an attack in the United States.
The brothers acknowledged that Raees Alam Qazi travelled to New York in November 2012 to conduct an attack with a weapon of mass destruction while Sheheryar Alam Qazi actively misled friends and family members about Raees Alam Qazi’s true whereabouts and activities. The brothers acknowledged that Raees Alam Qazi called Sheheryar Alam Qazi from New York to notify him that he had not been successful in his task. Sheheryar Alam Qazi encouraged Raees Alam Qazi to return to “practice over here [Florida] then you may return [to New York] you know…. I will give you complete freedom.”
The brothers additionally admitted their participation in a conspiracy to assault federal officers. They conceded that on April 8, 2014, while being moved within the U.S. Courthouse complex in Miami, they simultaneously punched two Deputy U.S. Marshals in the face and struggled with them and attempted to use potentially lethal force on them. Raees Alam Qazi and Sheheryar Alam Qazi acknowledged that while struggling with the Deputy U.S. Marshals, the defendants simultaneously exclaimed “Allahu Akbar,” an Arabic exhortation meaning “God is Great.”
The case was investigated by the FBI’s South Florida Joint Terrorism Task Force. The case is being prosecuted by Assistant U.S. Attorneys Karen E. Gilbert and Adam S. Fels of the Southern District of Florida, and Trial Attorney Jennifer E. Levy of the National Security Division’s Counterterrorism Section.
FOR IMMEDIATE RELEASE
Thursday, June 11, 2015
Qazi Brothers Sentenced on Terrorism Violations and Assault on Two Deputy U.S. Marshals
Younger Sibling Plotted to Attack New York City with a Weapon of Mass Destruction
Brothers Raees Alam Qazi, 22, and Sheheryar Alam Qazi, 32, both naturalized U.S. citizens from Pakistan, were sentenced today to 35 years and 20 years in prison for terrorism violations and assaulting two Deputy U.S. Marshals while in custody, announced Assistant Attorney General for National Security John P. Carlin, U.S. Attorney Wifredo A. Ferrer of the Southern District of Florida, Director Stacia A. Hylton of the U.S. Marshals Service and Special Agent in Charge George L. Piro of the FBI’s Miami Division.
Raees Qazi and Sheheryar Qazi were sentenced by U.S. District Court Judge Beth Bloom of the Southern District of Florida, and their prison term will be followed by a term of 10 years and five years of supervised release, respectively.
“With the sentences handed down today, Raees Qazi and his brother Sheheryar Qazi are being held accountable for their roles in a plot to conduct a terrorist attack using a weapon of mass destruction in New York City and their assault on two federal officers during their pretrial detention,” said Assistant Attorney General Carlin. “This case highlights our commitment to pursue any individuals who would seek to conduct an attack on U.S. soil or to injure law enforcement officials who risk their lives to protect us. I want to thank the U.S. Marshals, agents, analysts, and prosecutors who are responsible for this successful result.”
“Protecting the homeland and our national security remains our number one priority,” said U.S. Attorney Ferrer. “Today’s sentences demonstrate this Office’s unwavering commitment to work with our law enforcement partners to combat all forms of terrorism by proactively finding and prosecuting those who actively seek to kill or harm innocent citizens in the name of violent extremism.”
“Today’s sentencing of the Qazi brothers represents the final chapter for two men who wished to bring harm and mass destruction to Americans on U.S. soil,” said Director Hylton. “Their sentences demonstrate that justice prevailed. I am proud of our brave men and women who participated in this process, and thank the prosecutors who worked tirelessly for this successful conclusion.”
“The threat of a terrorist attack against innocent Americans is real as demonstrated by the actions of these two brothers,” said Special Agent in Charge Piro. “The fact that their terrorist aspirations were cut short didn’t stop Raees and Sheheryar Qazi from attempting to use potentially lethal force against two U.S. Marshals while they were in custody. This case highlights outstanding work and team effort of our South Florida Joint Terrorism Task Force.”
On March 12, 2015, Raees Alam Qazi pleaded guilty to one count of conspiring to provide material support and resources to terrorists in preparation for the use of a weapon of mass destruction, one count of attempting to provide material support to a designated foreign terrorist organization and one count of conspiring to assault a federal employee. Sherheyar Alam Qazi pleaded guilty to one count of conspiring to provide material support and resources to terrorists in preparation for the use of a weapon of mass destruction and one count of conspiring to assault a federal employee.
The brothers acknowledged during the plea hearing that Raees Alam Qazi was going to initiate an attack using a weapon of mass destruction in New York City and that he had been financially and emotionally supported by his older brother, Sheheryar Alam Qazi, who encouraged him to launch the attack. Among other things, the brothers acknowledged that Sheheryar Alam Qazi had encouraged his younger brother to travel from Pakistan to Afghanistan in 2011, and that when Raees Alam Qazi had been unsuccessful in his attempt to enter Afghanistan, he returned to his older brother. The brothers acknowledged that Raees Alam Qazi had been trying to reach the “guys from Yemen” aka Al Qaeda in the Arabian Peninsula (AQAP) on the internet and that they told him not to come to Afghanistan because there were enough people, but instead suggested they do something in the United States. Raees Alam Qazi admitted that he had taken “hints” from an AQAP online publication entitled Inspire Magazine, including building an explosive device using Christmas tree light bulbs. Raees Alam Qazi also conceded that he had used information in Inspire to communicate with AQAP, and that his communications with Al Qaeda dealt with his desires to launch an attack in the United States.
The brothers acknowledged that Raees Alam Qazi travelled to New York in November 2012 to conduct an attack with a weapon of mass destruction while Sheheryar Alam Qazi actively misled friends and family members about Raees Alam Qazi’s true whereabouts and activities. The brothers acknowledged that Raees Alam Qazi called Sheheryar Alam Qazi from New York to notify him that he had not been successful in his task. Sheheryar Alam Qazi encouraged Raees Alam Qazi to return to “practice over here [Florida] then you may return [to New York] you know…. I will give you complete freedom.”
The brothers additionally admitted their participation in a conspiracy to assault federal officers. They conceded that on April 8, 2014, while being moved within the U.S. Courthouse complex in Miami, they simultaneously punched two Deputy U.S. Marshals in the face and struggled with them and attempted to use potentially lethal force on them. Raees Alam Qazi and Sheheryar Alam Qazi acknowledged that while struggling with the Deputy U.S. Marshals, the defendants simultaneously exclaimed “Allahu Akbar,” an Arabic exhortation meaning “God is Great.”
The case was investigated by the FBI’s South Florida Joint Terrorism Task Force. The case is being prosecuted by Assistant U.S. Attorneys Karen E. Gilbert and Adam S. Fels of the Southern District of Florida, and Trial Attorney Jennifer E. Levy of the National Security Division’s Counterterrorism Section.
Saturday, June 13, 2015
06-13-15: AIRSTRIKES CONTINUE IN IRAQ, SYRIA
FROM: U.S. DEFENSE DEPARTMENT
Coalition Continues Airstrikes Against ISIL in Syria, Iraq
From a Combined Joint Task Force Operation Inherent Resolve News Release
SOUTHWEST ASIA, June 13, 2015 – U.S. and coalition military forces have continued to attack Islamic State of Iraq and the Levant terrorists in Syria and Iraq, Combined Joint Task Force Operation Inherent Resolve officials reported today.
Officials reported details of the latest strikes, which took place between 8 a.m. yesterday and 8 a.m. today, local time, noting that assessments of results are based on initial reports.
Airstrikes in Syria
Attack and fighter aircraft conducted three airstrikes near Kobani, which struck three ISIL tactical units, destroying an ISIL fighting position.
Airstrikes in Iraq
Attack, fighter and remotely piloted aircraft conducted 12 airstrikes in Iraq, approved by the Iraqi Ministry of Defense:
-- Near Baghdadi, two airstrikes struck an ISIL tactical unit, destroying two ISIL vehicles, two ISIL fuel tankers and an ISIL heavy machine gun.
-- Near Huwayjah, one airstrike struck an ISIL staging area.
-- Near Beiji, one airstrike struck an ISIL tactical unit, destroying two ISIL fighting positions.
-- Near Makhmur, one airstrike struck an ISIL rocket firing positon.
-- Near Mosul, three airstrikes struck two ISIL mortar firing positions, destroying two ISIL fighting positions.
-- Near Sinjar, two airstrikes struck two ISIL tactical units and an ISIL mortar firing position, destroying three ISIL heavy machine guns, an ISIL fighting position and an ISIL structure.
-- Near Tal Afar, two airstrikes struck two ISIL tactical units and an ISIL sniper positon, destroying three ISIL heavy machine guns and three ISIL structures.
Part of Operation Inherent Resolve
The strikes were conducted as part of Operation Inherent Resolve, the operation to eliminate the ISIL terrorist group and the threat they pose to Iraq, Syria, the region, and the wider international community. The destruction of ISIL targets in Syria and Iraq further limits the terrorist group's ability to project terror and conduct operations, officials said.
Coalition nations conducting airstrikes in Iraq include the United States, Australia, Belgium, Canada, Denmark, France, Jordan, the Netherlands and the United Kingdom. Coalition nations conducting airstrikes in Syria include the United States, Bahrain, Canada, Jordan, Saudi Arabia and the United Arab Emirates.
Coalition Continues Airstrikes Against ISIL in Syria, Iraq
From a Combined Joint Task Force Operation Inherent Resolve News Release
SOUTHWEST ASIA, June 13, 2015 – U.S. and coalition military forces have continued to attack Islamic State of Iraq and the Levant terrorists in Syria and Iraq, Combined Joint Task Force Operation Inherent Resolve officials reported today.
Officials reported details of the latest strikes, which took place between 8 a.m. yesterday and 8 a.m. today, local time, noting that assessments of results are based on initial reports.
Airstrikes in Syria
Attack and fighter aircraft conducted three airstrikes near Kobani, which struck three ISIL tactical units, destroying an ISIL fighting position.
Airstrikes in Iraq
Attack, fighter and remotely piloted aircraft conducted 12 airstrikes in Iraq, approved by the Iraqi Ministry of Defense:
-- Near Baghdadi, two airstrikes struck an ISIL tactical unit, destroying two ISIL vehicles, two ISIL fuel tankers and an ISIL heavy machine gun.
-- Near Huwayjah, one airstrike struck an ISIL staging area.
-- Near Beiji, one airstrike struck an ISIL tactical unit, destroying two ISIL fighting positions.
-- Near Makhmur, one airstrike struck an ISIL rocket firing positon.
-- Near Mosul, three airstrikes struck two ISIL mortar firing positions, destroying two ISIL fighting positions.
-- Near Sinjar, two airstrikes struck two ISIL tactical units and an ISIL mortar firing position, destroying three ISIL heavy machine guns, an ISIL fighting position and an ISIL structure.
-- Near Tal Afar, two airstrikes struck two ISIL tactical units and an ISIL sniper positon, destroying three ISIL heavy machine guns and three ISIL structures.
Part of Operation Inherent Resolve
The strikes were conducted as part of Operation Inherent Resolve, the operation to eliminate the ISIL terrorist group and the threat they pose to Iraq, Syria, the region, and the wider international community. The destruction of ISIL targets in Syria and Iraq further limits the terrorist group's ability to project terror and conduct operations, officials said.
Coalition nations conducting airstrikes in Iraq include the United States, Australia, Belgium, Canada, Denmark, France, Jordan, the Netherlands and the United Kingdom. Coalition nations conducting airstrikes in Syria include the United States, Bahrain, Canada, Jordan, Saudi Arabia and the United Arab Emirates.
HHS REPORTS ON QUICK AND EASY TEST FOR EBOLA VIRUS
FROM: U.S. DEPARTMENT OF HEALTH AND HUMAN SERVICES
HHS pursues fast, easy test to detect Ebola virus infections
Promising point-of-care test could improve diagnosis and speed response
To assist doctors in diagnosing Ebola virus disease quickly, the U.S. Department of Health and Human Services’ Office of the Assistant Secretary for Preparedness and Response (ASPR) will pursue development of an Ebola virus diagnostic test for use in a doctor’s office, hospital, clinic, or field setting that will provide results within 20 minutes.
“Fast and inexpensive point-of-care diagnostics will improve our ability to control Ebola virus disease outbreaks,” said Robin Robinson, Ph.D., director of ASPR’s Biomedical Advanced Research and Development Authority (BARDA), which will oversee this development program for HHS. “Faster diagnosis of Ebola virus infections allows for more immediate treatment and an earlier response to protect public health worldwide.”
Diagnosing Ebola virus infections quickly in resource-poor areas would enable health care providers to isolate and provide necessary treatment and supportive care to patients suffering from Ebola. Quickly isolating patients helps limit the spread of the disease. Emerging evidence has shown that early initiation of supportive care improves outcomes for patients suffering from Ebola virus disease.
The development of this simple, low-cost, lateral-flow test, called the OraQuick rapid Ebola antigen test, will take place under a $1.8 million contract with OraSure Technologies Inc., headquartered in Bethlehem, Pennsylvania. Lateral flow tests detect the presence of a virus with a drop of the patient’s blood or saliva on a test strip, similar to the tests used in doctors’ offices to diagnose strep throat.
The agreement supports clinical and non-clinical work necessary to apply for approval of the test by the U.S. Food and Drug Administration. The contract could be extended for up to a total of 39 months and $10.4 million.
In addition, OraSure will evaluate whether the test can be used in the post-mortem analysis of oral fluids. During the current epidemic, people died before Ebola virus infections could be confirmed, yet the bodies of people infected with Ebola virus would have remained highly infectious. A simple, rapid test that could determine disease status quickly from the body’s oral fluids would facilitate infection control efforts and support the appropriate handling of remains infected with the Ebola virus.
The OraQuick rapid Ebola antigen test is the first point-of-care Ebola virus testing device to receive BARDA support. To help the United States prepare for and control Ebola virus disease outbreaks, BARDA also is supporting development of vaccines to prevent Ebola virus infections and therapeutic drugs to treat the disease.
BARDA is seeking additional proposals for advanced development of new drugs and products to diagnose and treat Ebola and related illnesses.
The new test is part of BARDA’s comprehensive integrated portfolio approach to the advanced research and development, innovation, acquisition, and manufacturing of vaccines, drugs, therapeutics, diagnostic tools, and non-pharmaceutical products for public health emergency threats. These threats include chemical, biological, radiological, and nuclear (CBRN) agents, pandemic influenza, and emerging infectious diseases.
ASPR leads HHS in preparing the nation to respond to and recover from adverse health effects of emergencies, supporting communities’ ability to withstand adversity, strengthening health and response systems, and enhancing national health security. HHS is the principal federal agency for protecting the health of all Americans and providing essential human services, especially for those who are least able to help themselves.
HHS pursues fast, easy test to detect Ebola virus infections
Promising point-of-care test could improve diagnosis and speed response
To assist doctors in diagnosing Ebola virus disease quickly, the U.S. Department of Health and Human Services’ Office of the Assistant Secretary for Preparedness and Response (ASPR) will pursue development of an Ebola virus diagnostic test for use in a doctor’s office, hospital, clinic, or field setting that will provide results within 20 minutes.
“Fast and inexpensive point-of-care diagnostics will improve our ability to control Ebola virus disease outbreaks,” said Robin Robinson, Ph.D., director of ASPR’s Biomedical Advanced Research and Development Authority (BARDA), which will oversee this development program for HHS. “Faster diagnosis of Ebola virus infections allows for more immediate treatment and an earlier response to protect public health worldwide.”
Diagnosing Ebola virus infections quickly in resource-poor areas would enable health care providers to isolate and provide necessary treatment and supportive care to patients suffering from Ebola. Quickly isolating patients helps limit the spread of the disease. Emerging evidence has shown that early initiation of supportive care improves outcomes for patients suffering from Ebola virus disease.
The development of this simple, low-cost, lateral-flow test, called the OraQuick rapid Ebola antigen test, will take place under a $1.8 million contract with OraSure Technologies Inc., headquartered in Bethlehem, Pennsylvania. Lateral flow tests detect the presence of a virus with a drop of the patient’s blood or saliva on a test strip, similar to the tests used in doctors’ offices to diagnose strep throat.
The agreement supports clinical and non-clinical work necessary to apply for approval of the test by the U.S. Food and Drug Administration. The contract could be extended for up to a total of 39 months and $10.4 million.
In addition, OraSure will evaluate whether the test can be used in the post-mortem analysis of oral fluids. During the current epidemic, people died before Ebola virus infections could be confirmed, yet the bodies of people infected with Ebola virus would have remained highly infectious. A simple, rapid test that could determine disease status quickly from the body’s oral fluids would facilitate infection control efforts and support the appropriate handling of remains infected with the Ebola virus.
The OraQuick rapid Ebola antigen test is the first point-of-care Ebola virus testing device to receive BARDA support. To help the United States prepare for and control Ebola virus disease outbreaks, BARDA also is supporting development of vaccines to prevent Ebola virus infections and therapeutic drugs to treat the disease.
BARDA is seeking additional proposals for advanced development of new drugs and products to diagnose and treat Ebola and related illnesses.
The new test is part of BARDA’s comprehensive integrated portfolio approach to the advanced research and development, innovation, acquisition, and manufacturing of vaccines, drugs, therapeutics, diagnostic tools, and non-pharmaceutical products for public health emergency threats. These threats include chemical, biological, radiological, and nuclear (CBRN) agents, pandemic influenza, and emerging infectious diseases.
ASPR leads HHS in preparing the nation to respond to and recover from adverse health effects of emergencies, supporting communities’ ability to withstand adversity, strengthening health and response systems, and enhancing national health security. HHS is the principal federal agency for protecting the health of all Americans and providing essential human services, especially for those who are least able to help themselves.
THREE ARRESTED FOR ROLES IN ALLEGED CONTRACTOR FRAUD SCHEME TARGETING DEPT. OF VETERANS AFFAIRS
FROM: U.S. JUSTICE DEPARTMENT
Thursday, June 4, 2015
Three People Arrested in Puerto Rico in a Contractor Major Scheme to Defraud the U.S. Department Of Veterans Affairs
On June 3, 2015, a federal grand jury in the District of Puerto Rico returned a five count indictment charging Jose A. Rosa-Colon, his brother and business partner, Ivan Rosa-Colon and Louis Enrique Torres with a multi-million dollar Service-Disabled Veteran-Owned Small Business (SDVOSB) scheme to defraud the U.S. Department of Veteran Affairs. The charges include major fraud against the United States and wire fraud. This investigation was conducted by Special Agents from the U.S. Department of Veteran Affairs, Office of Inspector General, Criminal Investigations Division.
The indictment unsealed in federal court today alleges that from on or about 2007 to 2014, Ivan Rosa-Colon, Jose Rosa-Colon and Torres conspired to use Jose Rosa-Colon’s service-disabled veteran status to create BELKRO General Contractors, which was a pass- through or front company for Ivan Rosa-Colon’s other business, IRC Air Contractors.
The indictment alleges that Ivan Rosa-Colon and Louis Torres used Jose Rosa-Colon’s service-disabled veteran status to certify and register BELKRO General Contractors in various government databases as a SDVOSB after Ivan Rosa- Colon learned that President George W. Bush would be signing a government stimulus package encouraging the use of SDVOSB. The stimulus package would allow for government agencies to award non-competitive, set-aside or sole-source government contracts to SDVOSB like BELKRO General Contractors.
The indictment further alleges that Jose Rosa-Colon, owner of BELKRO General Contractors, was employed as a full-time U.S. Postal Service Carrier; he was not in charge of the day to day operations of BELKRO General Contractors. Jose Rosa-Colon was simply a figurehead or “rent-a-vet”, who was being used for his service-disabled veteran status to obtain contracts for his brother Ivan Rosa-Colon’s company. As a result of the scheme, BELKRO General Contractors unlawfully received set-aside and/or sole-source SDVOSB contracts from the U.S. Department of Veterans Affairs, including contracts involving American Recovery and Reinvestment Act (ARRA) funds.
If convicted, they face a term of 20 years in prison as to each wire fraud charge and up to ten years in prison for the charges of major fraud against the United States. Additionally, they face fines of up to $250,000 and up to three years of supervised release as to each count.
This indictment was announced today by U.S. Attorney Rosa Emilia RodrÃguez-Vélez for the District of Puerto Rico, Special Agent in Charge Monty Stokes for the Southeast Field Office, Department of Veterans Affairs, Office of Inspector General, Criminal Investigations Division and Acting Special Agent in Charge Sharon Johnson for the Eastern Regional Office, Small Business Administration, Office of Inspector General. The government is represented by Assistant U.S. Attorney Julia Diaz-Rex.
Members of the public are reminded that an indictment constitutes only charges and that every person is presumed innocent until their guilt has been proven beyond a reasonable doubt.
Thursday, June 4, 2015
Three People Arrested in Puerto Rico in a Contractor Major Scheme to Defraud the U.S. Department Of Veterans Affairs
On June 3, 2015, a federal grand jury in the District of Puerto Rico returned a five count indictment charging Jose A. Rosa-Colon, his brother and business partner, Ivan Rosa-Colon and Louis Enrique Torres with a multi-million dollar Service-Disabled Veteran-Owned Small Business (SDVOSB) scheme to defraud the U.S. Department of Veteran Affairs. The charges include major fraud against the United States and wire fraud. This investigation was conducted by Special Agents from the U.S. Department of Veteran Affairs, Office of Inspector General, Criminal Investigations Division.
The indictment unsealed in federal court today alleges that from on or about 2007 to 2014, Ivan Rosa-Colon, Jose Rosa-Colon and Torres conspired to use Jose Rosa-Colon’s service-disabled veteran status to create BELKRO General Contractors, which was a pass- through or front company for Ivan Rosa-Colon’s other business, IRC Air Contractors.
The indictment alleges that Ivan Rosa-Colon and Louis Torres used Jose Rosa-Colon’s service-disabled veteran status to certify and register BELKRO General Contractors in various government databases as a SDVOSB after Ivan Rosa- Colon learned that President George W. Bush would be signing a government stimulus package encouraging the use of SDVOSB. The stimulus package would allow for government agencies to award non-competitive, set-aside or sole-source government contracts to SDVOSB like BELKRO General Contractors.
The indictment further alleges that Jose Rosa-Colon, owner of BELKRO General Contractors, was employed as a full-time U.S. Postal Service Carrier; he was not in charge of the day to day operations of BELKRO General Contractors. Jose Rosa-Colon was simply a figurehead or “rent-a-vet”, who was being used for his service-disabled veteran status to obtain contracts for his brother Ivan Rosa-Colon’s company. As a result of the scheme, BELKRO General Contractors unlawfully received set-aside and/or sole-source SDVOSB contracts from the U.S. Department of Veterans Affairs, including contracts involving American Recovery and Reinvestment Act (ARRA) funds.
If convicted, they face a term of 20 years in prison as to each wire fraud charge and up to ten years in prison for the charges of major fraud against the United States. Additionally, they face fines of up to $250,000 and up to three years of supervised release as to each count.
This indictment was announced today by U.S. Attorney Rosa Emilia RodrÃguez-Vélez for the District of Puerto Rico, Special Agent in Charge Monty Stokes for the Southeast Field Office, Department of Veterans Affairs, Office of Inspector General, Criminal Investigations Division and Acting Special Agent in Charge Sharon Johnson for the Eastern Regional Office, Small Business Administration, Office of Inspector General. The government is represented by Assistant U.S. Attorney Julia Diaz-Rex.
Members of the public are reminded that an indictment constitutes only charges and that every person is presumed innocent until their guilt has been proven beyond a reasonable doubt.
FTC TESTIFIES ON COMBATING ILLEGAL ROBOCALLS
FROM: U.S. FEDERAL TRADE COMMISSION
FTC Testifies Before Senate Special Committee on Aging Regarding Efforts to Combat Illegal Robocalls
The Federal Trade Commission highlighted to Congress its multi-faceted approach to protecting consumers from unwanted telemarketing calls and illegal robocalls (prerecorded phone messages) in testimony today before the U.S. Senate Special Committee on Aging.
Testifying on behalf of the agency, Lois Greisman, Associate Director, FTC’s Division of Marketing Practices, said the Commission is using every tool at its disposal to fight illegal robocalls (some of which target seniors) including aggressive law enforcement, crowdsourcing technical solutions, and robust consumer and business outreach.
To date, the National Do Not Call Registry has garnered more than 217 million active telephone numbers and protected consumers’ privacy from the unwanted calls of tens of thousands of legitimate telemarketers who subscribe to the Registry each year. The FTC amended its Telemarketing Sales Rule in 2009, making the majority of robocalls illegal – regardless of whether a consumer participates in the Registry or not.
According to the written testimony, the Commission has brought 120 Do Not Call enforcement actions against 377 corporations and 298 individuals, of which 37 are robocall enforcement actions against 121 companies and 90 individuals. Of the $100 million collected in Do Not Call cases, $28 million have resulted from cases involving illegal robocalls. The FTC also regularly coordinates its enforcement actions with state and federal law enforcement partners, including referrals to its partners for criminal prosecution.
Yet, illegal robocalls remain a significant problem for consumers because Voice over Internet Protocol (VoIP) and other telephony technology make it possible for telemarketers to blast millions of prerecorded messages at low cost. Many scammers from around the world also use these calls to harass consumers and attempt to defraud them.
Recognizing a need to spur the marketplace to develop technical solutions, the agency has hosted a series of crowdsourcing initiatives in recent years. These public challenges are designed to put solutions in the hands of consumers as well as further the development of investigative tools used by law enforcement.
The qualifying phase of the FTC’s current contest, Robocalls: Humanity Strikes Back, ends on June 15, 2015. The agency is challenging contestants to build solutions for consumers that not only block robocalls from reaching consumers, but also enables them to forward unwanted calls to a crowd-source honeypot so the data will be accessible to law enforcement and industry stakeholders. The FTC is offering up to $50,000 in cash prizes for the winners.
Staff also engages with industry experts including academics, telecommunication carriers, technology companies, and other counterparts to better understand the robocall landscape and seek new strategies and technical solutions to tackle this difficult issue.
FTC Testifies Before Senate Special Committee on Aging Regarding Efforts to Combat Illegal Robocalls
The Federal Trade Commission highlighted to Congress its multi-faceted approach to protecting consumers from unwanted telemarketing calls and illegal robocalls (prerecorded phone messages) in testimony today before the U.S. Senate Special Committee on Aging.
Testifying on behalf of the agency, Lois Greisman, Associate Director, FTC’s Division of Marketing Practices, said the Commission is using every tool at its disposal to fight illegal robocalls (some of which target seniors) including aggressive law enforcement, crowdsourcing technical solutions, and robust consumer and business outreach.
To date, the National Do Not Call Registry has garnered more than 217 million active telephone numbers and protected consumers’ privacy from the unwanted calls of tens of thousands of legitimate telemarketers who subscribe to the Registry each year. The FTC amended its Telemarketing Sales Rule in 2009, making the majority of robocalls illegal – regardless of whether a consumer participates in the Registry or not.
According to the written testimony, the Commission has brought 120 Do Not Call enforcement actions against 377 corporations and 298 individuals, of which 37 are robocall enforcement actions against 121 companies and 90 individuals. Of the $100 million collected in Do Not Call cases, $28 million have resulted from cases involving illegal robocalls. The FTC also regularly coordinates its enforcement actions with state and federal law enforcement partners, including referrals to its partners for criminal prosecution.
Yet, illegal robocalls remain a significant problem for consumers because Voice over Internet Protocol (VoIP) and other telephony technology make it possible for telemarketers to blast millions of prerecorded messages at low cost. Many scammers from around the world also use these calls to harass consumers and attempt to defraud them.
Recognizing a need to spur the marketplace to develop technical solutions, the agency has hosted a series of crowdsourcing initiatives in recent years. These public challenges are designed to put solutions in the hands of consumers as well as further the development of investigative tools used by law enforcement.
The qualifying phase of the FTC’s current contest, Robocalls: Humanity Strikes Back, ends on June 15, 2015. The agency is challenging contestants to build solutions for consumers that not only block robocalls from reaching consumers, but also enables them to forward unwanted calls to a crowd-source honeypot so the data will be accessible to law enforcement and industry stakeholders. The FTC is offering up to $50,000 in cash prizes for the winners.
Staff also engages with industry experts including academics, telecommunication carriers, technology companies, and other counterparts to better understand the robocall landscape and seek new strategies and technical solutions to tackle this difficult issue.
CDC SYNOPSIS ON HEALTH EFFECTS OF ACUTE PETROLEUM PRODUCT RELEASES
FROM: U.S. CENTERS FOR DISEASE CONTROL AND PREVENTION
Health Effects of Gas Explosions and Other Petroleum Product Release Incidents — Seven States, 2010–2012
CDC Media Relations
Understanding the characteristics of acute petroleum product releases can aid the public and utility workers in the development of preventive strategies and reduce the morbidity and mortality associated with such releases. Large mass-casualty gas explosions and catastrophic oil spills are widely reported and receive considerable regulatory attention. Smaller, less catastrophic releases are less likely to receive publicity, although study of these incidents might help focus and prioritize prevention efforts. Data from the Agency for Toxic Substances and Disease Registry’s acute chemical release surveillance system: the National Toxic Substance Incidents Program (NTSIP) was used to explore the causes and health impacts associated with smaller-scale petroleum product releases. NTSIP found that from 2010–2012 a total of 1,369 petroleum-product-release incidents were reported from seven states, resulting in 512 injured persons and 36 deaths. Approximately 10 percent of petroleum product releases resulted from inadvertent damage to utility lines.
Health Effects of Gas Explosions and Other Petroleum Product Release Incidents — Seven States, 2010–2012
CDC Media Relations
Understanding the characteristics of acute petroleum product releases can aid the public and utility workers in the development of preventive strategies and reduce the morbidity and mortality associated with such releases. Large mass-casualty gas explosions and catastrophic oil spills are widely reported and receive considerable regulatory attention. Smaller, less catastrophic releases are less likely to receive publicity, although study of these incidents might help focus and prioritize prevention efforts. Data from the Agency for Toxic Substances and Disease Registry’s acute chemical release surveillance system: the National Toxic Substance Incidents Program (NTSIP) was used to explore the causes and health impacts associated with smaller-scale petroleum product releases. NTSIP found that from 2010–2012 a total of 1,369 petroleum-product-release incidents were reported from seven states, resulting in 512 injured persons and 36 deaths. Approximately 10 percent of petroleum product releases resulted from inadvertent damage to utility lines.
Friday, June 12, 2015
WHITE HOUSE STATEMENT ON NSA SUSAN RICE'S MEETING WITH CHINESE GENERAL FAN CHANGLONG
FROM: THE WHITE HOUSE
June 12, 2015
Statement by NSC Spokesperson Ned Price on National Security Advisor Susan E. Rice’s Meeting with General Fan Changlong
National Security Advisor Susan E. Rice met on June 12 with General Fan Changlong, Vice Chairman of the Central Military Commission of China, at the White House. Ambassador Rice and General Fan agreed to strengthen coordination in developing a more sustained and productive military-to-military relationship. They reaffirmed their commitment to deepen cooperation in addressing regional and global challenges, including by increasing coordination in the areas of humanitarian assistance and disaster response. Ambassador Rice underscored the importance of strengthening risk reduction measures and narrowing areas of disagreement, including on maritime and cyber issues.
June 12, 2015
Statement by NSC Spokesperson Ned Price on National Security Advisor Susan E. Rice’s Meeting with General Fan Changlong
National Security Advisor Susan E. Rice met on June 12 with General Fan Changlong, Vice Chairman of the Central Military Commission of China, at the White House. Ambassador Rice and General Fan agreed to strengthen coordination in developing a more sustained and productive military-to-military relationship. They reaffirmed their commitment to deepen cooperation in addressing regional and global challenges, including by increasing coordination in the areas of humanitarian assistance and disaster response. Ambassador Rice underscored the importance of strengthening risk reduction measures and narrowing areas of disagreement, including on maritime and cyber issues.
VA SAYS STUDY COULD FIND VETERANS WITH HIGH-RISK OF SUICIDE
FROM: U.S. DEPARTMENT OF VETERANS AFFAIRS
Study may help Department of Veterans Affairs find patients with high-risk of suicide
June 11, 2015, 04:04:00 PM
Study May Help Department of Veterans Affairs Find Patients With High-Risk of Suicide
Clinicians are challenged every day to make difficult decisions regarding patients’ suicide risk. Using Veterans Health Administration (VHA) health system electronic medical record data, Veterans Affairs (VA) and National Institute of Mental Health (NIMH) scientists were able to identify very small groups of individuals within the VHA’s patient population with very high, predicted suicide risk -- most of whom had not been identified for suicide risk by clinicians. Such methods can help the VHA to target suicide prevention efforts for patients at high risk, and may have more wide-ranging benefits.
John McCarthy, Ph.D., M.P.H, director of the Serious Mental Illness Treatment Resource and Evaluation Center in the VA Office of Mental Health Operations, Robert Bossarte, Ph.D., director of epidemiology in the VA Office of Public Health, Ira Katz, M.D., senior consultant for mental health program analysis in the VA Office of Mental Health Operations, and colleagues report their findings today in the online issue of American Journal of Public Health. This paper is the result of a collaboration between the VA and NIMH, which is part of the National Institutes of Health.
Dr. McCarthy and colleagues developed their suicide-risk algorithm by studying the VHA patient population from fiscal years 2009-2011. Data on manner of death came from the National Death Index, and predictors of suicide and other types of death came from VHA clinical records. Dividing randomly the patient population in half, the team used data from one half to develop the predictive model, and then tested the model using data from the other half. Each of the two study samples included 3,180 suicide cases and 1,056,004 control patients. Researchers compared predicted suicide risk to actual mortality to assess the performance of the predictive model.
“As the largest health care provider in the U.S., VA has the responsibility to continuously examine how our extensive suicide prevention efforts are working, and to identify critical opportunities for improvement in service to our nation’s Veterans,” said Dr. Caitlin Thompson, Deputy Director for Suicide Prevention for VA. “This collaborative effort with NIMH provides us with unprecedented information that will allow us to design and implement innovative strategies on how to assess and care for those Veterans who may be at high risk for suicide. This model will advance the care provided to Veterans through VA’s suicide prevention programs to allow us to better tailor our suicide prevention efforts so that we can ensure that ALL Veterans remain safe.”
The VHA care system identifies patients as being at high-risk of suicide based on information assessed during clinical encounters. Researchers found that their predictive model was more sensitive than this clinical flagging, in the sense that, even in groups with the highest predicted suicide risk based on the model, less than one-third of patients had been identified clinically.
“This is valuable, because it gives the VA more extensive information about suicide risk,” said Michael Schoenbaum, Ph.D., senior advisor for mental health service, epidemiology and economics at NIMH and one of the co-authors of the report. “If the VA can identify small groups of people with a particularly high-risk of suicide, then they can target enhanced prevention and treatment services to these highest-risk individuals,”
“It’s particularly encouraging that these analyses use the types of data available to any large health care system,” said NIMH Director Thomas Insel, M.D. “ These methods could help us prevent civilian as well as veteran suicides.”
In addition to identifying suicide risk, the team looked at deaths among people identified as highest risk for suicide in 2010. The team found that this group had both very high suicide and non-suicide death rates over the next 12 months.
“This finding reinforces the idea that using this process to target suicide risk interventions may have wide benefits across an extended span of time,” concluded Dr. Schoenbaum.
Reference:
McCarthy J.F., et al., Predictive Modeling and Concentration of the Risk of Suicide: Implications for Preventive Interventions in the US Department of Veterans Affairs. American Journal of Public Health (in press)
About the National Institute of Mental Health (NIMH): The mission of the NIMH is to transform the understanding and treatment of mental illnesses through basic and clinical research, paving the way for prevention, recovery and cure.
About the National Institutes of Health (NIH): NIH, the nation's medical research agency, includes 27 Institutes and Centers and is a component of the U.S. Department of Health and Human Services. NIH is the primary federal agency conducting and supporting basic, clinical, and translational medical research, and is investigating the causes, treatments, and cures for both common and rare diseases.
About the Department of Veterans Affairs: The VA is the second largest Federal department with close to 300,000 employees. The Department's mission is to serve America's veterans and their families with dignity and compassion and to be their principal advocate in ensuring that they receive the care, support and recognition earned in service to this Nation.
Study may help Department of Veterans Affairs find patients with high-risk of suicide
June 11, 2015, 04:04:00 PM
Study May Help Department of Veterans Affairs Find Patients With High-Risk of Suicide
Clinicians are challenged every day to make difficult decisions regarding patients’ suicide risk. Using Veterans Health Administration (VHA) health system electronic medical record data, Veterans Affairs (VA) and National Institute of Mental Health (NIMH) scientists were able to identify very small groups of individuals within the VHA’s patient population with very high, predicted suicide risk -- most of whom had not been identified for suicide risk by clinicians. Such methods can help the VHA to target suicide prevention efforts for patients at high risk, and may have more wide-ranging benefits.
John McCarthy, Ph.D., M.P.H, director of the Serious Mental Illness Treatment Resource and Evaluation Center in the VA Office of Mental Health Operations, Robert Bossarte, Ph.D., director of epidemiology in the VA Office of Public Health, Ira Katz, M.D., senior consultant for mental health program analysis in the VA Office of Mental Health Operations, and colleagues report their findings today in the online issue of American Journal of Public Health. This paper is the result of a collaboration between the VA and NIMH, which is part of the National Institutes of Health.
Dr. McCarthy and colleagues developed their suicide-risk algorithm by studying the VHA patient population from fiscal years 2009-2011. Data on manner of death came from the National Death Index, and predictors of suicide and other types of death came from VHA clinical records. Dividing randomly the patient population in half, the team used data from one half to develop the predictive model, and then tested the model using data from the other half. Each of the two study samples included 3,180 suicide cases and 1,056,004 control patients. Researchers compared predicted suicide risk to actual mortality to assess the performance of the predictive model.
“As the largest health care provider in the U.S., VA has the responsibility to continuously examine how our extensive suicide prevention efforts are working, and to identify critical opportunities for improvement in service to our nation’s Veterans,” said Dr. Caitlin Thompson, Deputy Director for Suicide Prevention for VA. “This collaborative effort with NIMH provides us with unprecedented information that will allow us to design and implement innovative strategies on how to assess and care for those Veterans who may be at high risk for suicide. This model will advance the care provided to Veterans through VA’s suicide prevention programs to allow us to better tailor our suicide prevention efforts so that we can ensure that ALL Veterans remain safe.”
The VHA care system identifies patients as being at high-risk of suicide based on information assessed during clinical encounters. Researchers found that their predictive model was more sensitive than this clinical flagging, in the sense that, even in groups with the highest predicted suicide risk based on the model, less than one-third of patients had been identified clinically.
“This is valuable, because it gives the VA more extensive information about suicide risk,” said Michael Schoenbaum, Ph.D., senior advisor for mental health service, epidemiology and economics at NIMH and one of the co-authors of the report. “If the VA can identify small groups of people with a particularly high-risk of suicide, then they can target enhanced prevention and treatment services to these highest-risk individuals,”
“It’s particularly encouraging that these analyses use the types of data available to any large health care system,” said NIMH Director Thomas Insel, M.D. “ These methods could help us prevent civilian as well as veteran suicides.”
In addition to identifying suicide risk, the team looked at deaths among people identified as highest risk for suicide in 2010. The team found that this group had both very high suicide and non-suicide death rates over the next 12 months.
“This finding reinforces the idea that using this process to target suicide risk interventions may have wide benefits across an extended span of time,” concluded Dr. Schoenbaum.
Reference:
McCarthy J.F., et al., Predictive Modeling and Concentration of the Risk of Suicide: Implications for Preventive Interventions in the US Department of Veterans Affairs. American Journal of Public Health (in press)
About the National Institute of Mental Health (NIMH): The mission of the NIMH is to transform the understanding and treatment of mental illnesses through basic and clinical research, paving the way for prevention, recovery and cure.
About the National Institutes of Health (NIH): NIH, the nation's medical research agency, includes 27 Institutes and Centers and is a component of the U.S. Department of Health and Human Services. NIH is the primary federal agency conducting and supporting basic, clinical, and translational medical research, and is investigating the causes, treatments, and cures for both common and rare diseases.
About the Department of Veterans Affairs: The VA is the second largest Federal department with close to 300,000 employees. The Department's mission is to serve America's veterans and their families with dignity and compassion and to be their principal advocate in ensuring that they receive the care, support and recognition earned in service to this Nation.
U.S. CONTINUES HITTING TERRORISTS IN SYRIA AND IRAQ
FROM: U.S. DEFENSE DEPARTMENT
Military Airstrikes Hit ISIL Terrorists in Syria, Iraq
From a Combined Joint Task Force Operation Inherent Resolve News Release
SOUTHWEST ASIA, June 12, 2015 – U.S. and coalition military forces have continued to attack Islamic State of Iraq and the Levant terrorists in Syria and Iraq, Combined Joint Task Force Operation Inherent Resolve officials reported today.
Officials reported details of the latest strikes, which took place between 8 a.m. yesterday and 8 a.m. today, local time, noting that assessments of results are based on initial reports.
Airstrikes in Syria
Attack, bomber and fighter aircraft conducted 10 airstrikes in Syria:
-- Near Raqqah, four airstrikes struck an ISIL tactical unit, destroying three ISIL fighting positions, an ISIL vehicle and an ISIL rocket system.
-- Near Dayr Az Zawr, four airstrikes struck four ISIL crude oil collection points.
-- Near Kobani, two airstrikes struck two ISIL tactical units, destroying an ISIL fighting position and an ISIL mortar firing position.
Airstrikes in Iraq
Attack, bomber, fighter and remotely piloted aircraft conducted 13 airstrikes in Iraq, approved by the Iraqi Ministry of Defense:
-- Near Kirkuk, three airstrikes struck three ISIL tactical units, destroying three ISIL fighting positions and an ISIL motorcycle.
-- Near Mosul, two airstrikes struck an ISIL checkpoint and an ISIL staging area.
-- Near Ramadi, two airstrikes destroyed an ISIL excavator, an ISIL tank and an ISIL artillery piece.
-- Near Tal Afar, four airstrikes struck four ISIL tactical units and an ISIL rocket, destroying five ISIL structures, two ISIL heavy machine guns, an ISIL mortar firing position and an ISIL rocket-propelled grenade.
-- Near Walweed, two airstrikes destroyed an ISIL armored vehicle.
Part of Operation Inherent Resolve
The strikes were conducted as part of Operation Inherent Resolve, the operation to eliminate the ISIL terrorist group and the threat they pose to Iraq, Syria, the region and the wider international community. The destruction of ISIL targets in Syria and Iraq further limits the terrorist group's ability to project terror and conduct operations.
Coalition nations conducting airstrikes in Iraq include the United States, Australia, Belgium, Canada, Denmark, France, Jordan, the Netherlands and the United Kingdom. Coalition nations conducting airstrikes in Syria include the United States, Bahrain, Canada, Jordan, Saudi Arabia and the United Arab Emirates.
Military Airstrikes Hit ISIL Terrorists in Syria, Iraq
From a Combined Joint Task Force Operation Inherent Resolve News Release
SOUTHWEST ASIA, June 12, 2015 – U.S. and coalition military forces have continued to attack Islamic State of Iraq and the Levant terrorists in Syria and Iraq, Combined Joint Task Force Operation Inherent Resolve officials reported today.
Officials reported details of the latest strikes, which took place between 8 a.m. yesterday and 8 a.m. today, local time, noting that assessments of results are based on initial reports.
Airstrikes in Syria
Attack, bomber and fighter aircraft conducted 10 airstrikes in Syria:
-- Near Raqqah, four airstrikes struck an ISIL tactical unit, destroying three ISIL fighting positions, an ISIL vehicle and an ISIL rocket system.
-- Near Dayr Az Zawr, four airstrikes struck four ISIL crude oil collection points.
-- Near Kobani, two airstrikes struck two ISIL tactical units, destroying an ISIL fighting position and an ISIL mortar firing position.
Airstrikes in Iraq
Attack, bomber, fighter and remotely piloted aircraft conducted 13 airstrikes in Iraq, approved by the Iraqi Ministry of Defense:
-- Near Kirkuk, three airstrikes struck three ISIL tactical units, destroying three ISIL fighting positions and an ISIL motorcycle.
-- Near Mosul, two airstrikes struck an ISIL checkpoint and an ISIL staging area.
-- Near Ramadi, two airstrikes destroyed an ISIL excavator, an ISIL tank and an ISIL artillery piece.
-- Near Tal Afar, four airstrikes struck four ISIL tactical units and an ISIL rocket, destroying five ISIL structures, two ISIL heavy machine guns, an ISIL mortar firing position and an ISIL rocket-propelled grenade.
-- Near Walweed, two airstrikes destroyed an ISIL armored vehicle.
Part of Operation Inherent Resolve
The strikes were conducted as part of Operation Inherent Resolve, the operation to eliminate the ISIL terrorist group and the threat they pose to Iraq, Syria, the region and the wider international community. The destruction of ISIL targets in Syria and Iraq further limits the terrorist group's ability to project terror and conduct operations.
Coalition nations conducting airstrikes in Iraq include the United States, Australia, Belgium, Canada, Denmark, France, Jordan, the Netherlands and the United Kingdom. Coalition nations conducting airstrikes in Syria include the United States, Bahrain, Canada, Jordan, Saudi Arabia and the United Arab Emirates.
CHAIRMAN JOINT CHIEFS TELLS TROOPS 'MILITARY MUST BE FORWARD-DEPLOYED'
FROM: U.S. DEFENSE DEPARTMENT
Dempsey to Naples-based Troops: Military Must be Forward-Deployed
By Jim Garamone
DoD News, Defense Media Activity
NAPLES, Italy, June 11, 2015 – The United States military needs to be forward-deployed because America does not want to “play a home game,” Army Gen. Martin E. Dempsey said in an all-hands call at the naval air facility here.
During the event, the chairman of the Joint Chiefs of Staff spoke to service members, DoD civilians and local nationals, answering questions about the extremist threat, Russia and cyber security.
Dempsey said that when the budget gets tight, there is an inclination for many to think the best way to save is by bringing troops back from overseas postings and doing everything from the continental United States. “The truth is, in our line of work, the very last thing we want to do is play a home game,” he said.
Shaping Conflict
“We really want to play an away game and we need teammates to do it. We need to be forward. You need to be forward," he continued. "We need to be closely partnered with NATO allies and other partners who share our values. And we need to be sure that as conflict approaches -- and conflict will approach -- we have a shot at shaping it before we’re in it.”
Dempsey quoted Chinese philosopher Sun Tzu, saying “The side that understands when to fight and when not to fight will take away the victory.”
The American military expends great effort training for the fight, the chairman said, but equal thought is placed on when and when not to fight. “We need to make sure that we have friends and partners in a web, a network of allies so that we bear this burden together,” he said.
This security network -- tended by service members around the world -- is what sets America apart from other large powers, Dempsey said. They do not have these allies and partners, the chairman said, and this worries them. “We’ve got to preserve that system of alliances and we’ve got to play away games,” he said.
ISIL's Threat
Dempsey took questions from service members, and many wanted to know if the United States is doing enough to combat the Islamic State of Iraq and the Levant. The extremist group is the latest manifestation of extremist ideology and is operating in the Middle East, North Africa and West Africa.
The chairman said part of the campaign against such extremists is military, and part of it is building regional partners so they “don’t get sucked into this crucible.”
He said the United States is providing capabilities and ensuring regional partners provide the capabilities that they should provide, but asked, "Will it continue to be enough?”
Dempsey detailed the recent decision to open a new training base in Anbar province to train Iraqi forces and reach out to Sunni tribes. It is one of a number of bases in the country to train and supply Iraqi and Kurdish forces.
"If we get to the point where we have to protect our interests, our people [and] our facilities and to guarantee the success, then we’ll have to do that," he said. "But in the meantime, the strategy is to enable them to do it, to have them develop the strategy and we enable it.”
The United States military can do a lot, but it’s up to the Iraqis, Saudis, Israelis and Turks to create an environment where these groups don’t keep appearing, the chairman said. “I’m not portraying for you that I think this will be easy or quick,” he said. “I think we’ve got the right outcome identified and now we have to navigate toward it.”
Addressing Cyber, Budget Issues
On cyber, Dempsey told the service members that there is a healthy debate going on in America over privacy versus security. He said some modest progress has been made. “We do need cyber standards, we do need information sharing agreements between the government and the private sector,” he said. “As to the future, I think like most things we will figure it out. I just hope it doesn’t take a crisis to get us there.”
The DoD budget continues to concern service members. Dempsey explained the situation in Washington and said that the service chiefs are united in telling Congress that American defense is endangered.
“Since we testified to that, we’ve had the following issues manifest themselves: We’ve had an emerging threat from Russia as it becomes aggressive in Eastern Europe, we’ve had ISIL increase its capabilities, we had a deployment because of Ebola, [and] Libya and the Chinese reclamation project in the South China Sea,” the chairman said.
On Russia, Dempsey said the need is to harden allies in Eastern Europe. NATO has to maintain a technological advantage, and the United States must ensure the trans-Atlantic link cannot be severed.
“All of which makes it clear to the Russian Federation that may have had success in eastern Europe with countries that are not NATO allies, that it won’t work on countries that are NATO allies,” he said.
Dempsey to Naples-based Troops: Military Must be Forward-Deployed
By Jim Garamone
DoD News, Defense Media Activity
NAPLES, Italy, June 11, 2015 – The United States military needs to be forward-deployed because America does not want to “play a home game,” Army Gen. Martin E. Dempsey said in an all-hands call at the naval air facility here.
During the event, the chairman of the Joint Chiefs of Staff spoke to service members, DoD civilians and local nationals, answering questions about the extremist threat, Russia and cyber security.
Dempsey said that when the budget gets tight, there is an inclination for many to think the best way to save is by bringing troops back from overseas postings and doing everything from the continental United States. “The truth is, in our line of work, the very last thing we want to do is play a home game,” he said.
Shaping Conflict
“We really want to play an away game and we need teammates to do it. We need to be forward. You need to be forward," he continued. "We need to be closely partnered with NATO allies and other partners who share our values. And we need to be sure that as conflict approaches -- and conflict will approach -- we have a shot at shaping it before we’re in it.”
Dempsey quoted Chinese philosopher Sun Tzu, saying “The side that understands when to fight and when not to fight will take away the victory.”
The American military expends great effort training for the fight, the chairman said, but equal thought is placed on when and when not to fight. “We need to make sure that we have friends and partners in a web, a network of allies so that we bear this burden together,” he said.
This security network -- tended by service members around the world -- is what sets America apart from other large powers, Dempsey said. They do not have these allies and partners, the chairman said, and this worries them. “We’ve got to preserve that system of alliances and we’ve got to play away games,” he said.
ISIL's Threat
Dempsey took questions from service members, and many wanted to know if the United States is doing enough to combat the Islamic State of Iraq and the Levant. The extremist group is the latest manifestation of extremist ideology and is operating in the Middle East, North Africa and West Africa.
The chairman said part of the campaign against such extremists is military, and part of it is building regional partners so they “don’t get sucked into this crucible.”
He said the United States is providing capabilities and ensuring regional partners provide the capabilities that they should provide, but asked, "Will it continue to be enough?”
Dempsey detailed the recent decision to open a new training base in Anbar province to train Iraqi forces and reach out to Sunni tribes. It is one of a number of bases in the country to train and supply Iraqi and Kurdish forces.
"If we get to the point where we have to protect our interests, our people [and] our facilities and to guarantee the success, then we’ll have to do that," he said. "But in the meantime, the strategy is to enable them to do it, to have them develop the strategy and we enable it.”
The United States military can do a lot, but it’s up to the Iraqis, Saudis, Israelis and Turks to create an environment where these groups don’t keep appearing, the chairman said. “I’m not portraying for you that I think this will be easy or quick,” he said. “I think we’ve got the right outcome identified and now we have to navigate toward it.”
Addressing Cyber, Budget Issues
On cyber, Dempsey told the service members that there is a healthy debate going on in America over privacy versus security. He said some modest progress has been made. “We do need cyber standards, we do need information sharing agreements between the government and the private sector,” he said. “As to the future, I think like most things we will figure it out. I just hope it doesn’t take a crisis to get us there.”
The DoD budget continues to concern service members. Dempsey explained the situation in Washington and said that the service chiefs are united in telling Congress that American defense is endangered.
“Since we testified to that, we’ve had the following issues manifest themselves: We’ve had an emerging threat from Russia as it becomes aggressive in Eastern Europe, we’ve had ISIL increase its capabilities, we had a deployment because of Ebola, [and] Libya and the Chinese reclamation project in the South China Sea,” the chairman said.
On Russia, Dempsey said the need is to harden allies in Eastern Europe. NATO has to maintain a technological advantage, and the United States must ensure the trans-Atlantic link cannot be severed.
“All of which makes it clear to the Russian Federation that may have had success in eastern Europe with countries that are not NATO allies, that it won’t work on countries that are NATO allies,” he said.
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