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The Coup in Chile

How the reasonable men of capitalism orchestrated horror in Chile 42 years ago today.

Jacobin  September 11, 2015
A left-wing political prisoner is registered at the National Stadium in Santiago, Chile, 1973. Koen Wessing

A left-wing political prisoner is registered at the National Stadium in Santiago, Chile, 1973. Koen Wessing

What happened in Chile on September 11, 1973 did not suddenly reveal anything new about the ways in which men of power and privilege seek to protect their social order: the history of the last 150 years is spattered with such episodes.

Even so, Chile has at least forced upon many people on the Left some uncomfortable reflections and questions about the “strategy” which is appropriate in Western-type regimes for what is loosely called the “transition to socialism.”

Of course, the Wise Men of the Left, and others too, have hastened to proclaim that Chile is not France, or Italy, or Britain. This is quite true. No country is like any other: circumstances are always different, not only between one country and another, but between one period and another in the same country. Such wisdom makes it possible and plausible to argue that the experience of a country or period cannot provide conclusive “lessons.”

This is also true; and as a matter of general principle, one should be suspicious of people who have instant “lessons” for every occasion. The chances are that they had them well before the occasion arose, and that they are merely trying to fit the experience to their prior views. So let us indeed be cautious about taking or giving “lessons.”

All the same, and however cautiously, there are things to be learnt from experience, or unlearnt, which comes to the same thing. Everybody said, quite rightly, that Chile, alone in Latin America, was a constitutional, parliamentary, liberal, pluralist society, a country which had politics: not exactly like the French, or the American, or the British, but well within the “democratic,” or, as Marxists would call it, the “bourgeois-democratic” fold.

This being the case, and however cautious one wishes to be, what happened in Chile does pose certain questions, requires certain answers, may even provide certain reminders and warnings. It may for instance suggest that stadiums which can be used for purposes other than sport — such as herding left-wing political prisoners — exist not only in Santiago, but in Rome and Paris or for that matter London; or that there must be something wrong with a situation in which Marxism Today, the monthly “Theoretical and Discussion Journal of the (British) Communist Party” has as its major article for its September 1973 issue a speech delivered in July by the General Secretary of the Chilean Communist Party, Luis Corvalan (now in jail awaiting trial, and possible execution), which is entitled “We Say No to Civil War! But Stand Ready to Crush Sedition.”

In the light of what happened, this worthy slogan seems rather pathetic and suggests that there is something badly amiss here, that one must take stock, and try to see things more clearly. Insofar as Chile was a bourgeois democracy, what happened there is about bourgeois democracy, and about what may also happen in other bourgeois democracies.

After all, the Times, on the morrow of the coup, was writing (and the words ought to be carefully memorized by people on the Left): “Whether or not the armed forces were right to do what they have done, the circumstances were such that a reasonable military man could in good faith have thought it his constitutional duty to intervene.”

Should a similar episode occur in Britain, it is a fair bet that, whoever else is inside Wembley Stadium, it won’t be the editor of the Times: he will be busy writing editorials regretting this and that, but agreeing, however reluctantly, that, taking all circumstances into account, and notwithstanding the agonizing character of the choice, there was no alternative but for reasonable military men . . . and so on and so forth.

Daniel Cespedes,

Daniel Cespedes, “a suspected leftist,” at the National Stadium in Santiago. David Burnett

When Salvador Allende was elected to the presidency of Chile in September 1970, the regime that was then inaugurated was said to constitute a test case for the peaceful or parliamentary transition to socialism. As it turned out over the following three years, this was something of an exaggeration. It achieved a great deal by way of economic and social reform, under incredibly difficult conditions — but it remained a deliberately “moderate” regime: indeed, it does not seem far-fetched to say that the cause of its death, or at least one main cause of it, was its stubborn “moderation.”

But no, we are now told by such experts as Professor Hugh Thomas, from the Graduate School of Contemporary European Studies at Reading University: the trouble was that Allende was much too influenced by such people as Marx and Lenin, “rather than Mill, or Tawney, or Aneurin Bevan, or any other European democratic socialist.” This being the case, Professor Thomas cheerfully goes on, “the Chilean coup d’état cannot by any means be regarded as a defeat for democratic socialism but for Marxist socialism.”

All’s well then, at least for democratic socialism. Mind you, “no doubt Dr Allende had his heart in the right place” (we must be fair about this), but then “there are many reasons for thinking that his prescription was the wrong one for Chile’s maladies, and of course the result of trying to apply it may have led an ‘iron surgeon’ to get to the bedside. The right prescription, of course, was Keynesian socialism, not Marxist.”

That’s it: the trouble with Allende is that he was not Harold Wilson, surrounded by advisers steeped in “Keynesian socialism” as Professor Thomas obviously is.

We must not linger over the Thomases and their ready understanding of why Allende’s policies brought an “iron surgeon” to the bedside of an ailing Chile. But even though the Chilean experience may not have been a test case for the “peaceful transition to socialism,” it still offers a very suggestive example of what may happen when a government does give the impression, in a bourgeois democracy, that it genuinely intends to bring about really serious changes in the social order and to move in socialist directions, in however constitutional and gradual a manner; and whatever else may be said about Allende and his colleagues, and about their strategies and policies, there is no question that this is what they wanted to do.

They were not, and their enemies knew them not to be, mere bourgeois politicians mouthing “socialist” slogans. They were not “Keynesian socialists.” They were serious and dedicated people, as many have shown by dying for what they believed in.

It is this which makes the conservative response to them a matter of great interest and importance, and which makes it necessary for us to try to decode the message, the warning, the “lessons.” For the experience may have crucial significance for other bourgeois democracies: indeed, there is surely no need to insist that some of it is bound to be directly relevant to any “model” of radical social change in this kind of political system.

Struggle and War

Perhaps the most important such message or warning or “lesson” is also the most obvious, and therefore the most easily overlooked. It concerns the notion of class struggle. Assuming one may ignore the view that class struggle is the result of “extremist” propaganda and agitation, there remains the fact that the Left is rather prone to a perspective according to which the class struggle is something waged by the workers and the subordinate classes against the dominant ones.

It is of course that. But class struggle also means, and often means firstof all, the struggle waged by the dominant class, and the state acting on its behalf, against the workers and the subordinate classes. By definition, struggle is not a one way process; but it is just as well to emphasize that it is actively waged by the dominant class or classes, and in many ways much more effectively waged by them than the struggle waged by the subordinate classes.

Secondly, but in the same context, there is a vast difference to be made — sufficiently vast as to require a difference of name — between on the one hand “ordinary” class struggle, of the kind which goes on day in day out in capitalist societies, at economic, political, ideological, micro- and macro-, levels, and which is known to constitute no threat to the capitalist framework within which it occurs; and, on the other hand, class struggle which either does, or which is thought likely to, affect the social order in really fundamental ways.

The first form of class struggle constitutes the stuff, or much of the stuff, of the politics of capitalist society. It is not unimportant, or a mere sham; but neither does it stretch the political system unduly. The latter form of struggle requires to be described not simply as class struggle, but as class war.

Where men of power and privilege (and it is not necessarily those with most power and privilege who are the most uncompromising) do believe that they confront a real threat from below, that the world they know and like and want to preserve seems undermined or in the grip of evil and subversive forces, then an altogether different form of struggle comes into operation, whose acuity, dimensions, and universality warrants the label “class war.”

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Chile had known class struggle within a bourgeois democratic framework for many decades: that was its tradition. With the coming to the presidency of Allende, the conservative forces progressively turned class struggle into class war — and here too, it is worth stressing that it was the conservative forces which turned the one into the other.

Before looking at this a little more closely, I want to deal with one issue that has often been raised in connection with the Chilean experience, namely the matter of electoral percentages. It has often been said that Allende, as the presidential candidate of a six-party coalition, only obtained 36 percent of the votes in September 1970, the implication being that if only he had obtained, say, 51 percent of the votes, the attitude of the conservative forces towards him and his administration would have been very different. There is one sense in which this may be true; and another sense in which it seems to me to be dangerous nonsense.

To take the latter point first: one of the most knowledgeable French writers on Latin America, Marcel Niedergang, has published one piece of documentation which is relevant to the issue. This is the testimony of Juan Garces, one of Allende’s personal political advisers over three years who, on the direct orders of the president, escaped from the Moneda Palace after it had come under siege on September 11.

In Garces’s view, it was precisely after the governmental coalition had increased its electoral percentage to 44 percent in the legislative elections of March 1973 that the conservative forces began to think seriously about a coup. “After the elections of March,” Garces said, “a legal coup d’état was no longer possible, since the two-thirds majority required to achieve the constitutional impeachment of the president could not be reached. The Right then understood that the electoral way was exhausted and that the way which remained was that of force.”

This has been confirmed by one of the main promoters of the coup, the Air Force general Gustavo Leigh, who told the correspondent in Chile of the Corriere della Sera that “we began preparations for the overthrow of Allende in March 1973, immediately after the legislative elections.”

Such evidence is not finally conclusive. But it makes good sense. Writing before it was available, Maurice Duverger noted that while Allende was supported by a little more than a third of Chileans at the beginning of his presidency, he had almost half of them supporting him when the coup occurred; and that half was the one that was most hard hit by material difficulties. He writes:

Here is probably the major reason for the military putsch. So long as the Chilean right believed that the experience of Popular Unity would come to an end by the will of the electors, it maintained a democratic attitude. It was worth respecting the Constitution while waiting for the storm to pass. When the Right came to fear that it would not pass and that the play of liberal institutions would result in the maintenance of Salvador Allende in power and in the development of socialism, it preferred violence to the law.

Duverger probably exaggerates the “democratic attitude” of the Right and its respect for the Constitution before the elections of March 1973, but his main point does, as I suggested earlier, seem very reasonable.

Its implications are very large: namely, that as far as the conservative forces are concerned, electoral percentages, however high they may be, do not confer legitimacy upon a government which appears to them to be bent on policies they deem to be actually or potentially disastrous.

Nor is this in the least remarkable: for here, in the eyes of the Right, are vicious demagogues, class traitors, fools, gangsters, and crooks, supported by an ignorant rabble, engaged in bringing about ruin and chaos upon an hitherto peaceful and agreeable country, etc. The script is familiar. The idea that, from such a perspective, percentages of support are of any consequence is naive and absurd: what matters, for the Right, is not the percentage of votes by which a left-wing government is supported, but the purposes by which it is moved. If the purposes are wrong, deeply and fundamentally wrong, electoral percentages are an irrelevance.

There is, however, a sense in which percentages do matter in the kind of political situation which confronts the Right in Chilean-type conditions. This is that the higher the percentage of votes cast in any election for the Left, the more likely it is that the conservative forces will be intimidated, demoralized, divided, and uncertain as to their course.

These forces are not homogeneous; and it is obvious that electoral demonstrations of popular support are very useful to the Left, in its confrontation with the Right, so long as the Left does not take them to be decisive. In other words, percentages may help to intimidate the Right — but not to disarm it.

It may well be that the Right would not have dared strike when it did if Allende had obtained higher electoral percentages. But if, having obtained these percentages, Allende had continued to pursue the course on which he was bent, the Right would have struck whenever opportunity had offered. The problem was to deny it the opportunity; or, failing this, to make sure that the confrontation would occur on the most favorable possible terms.

The Opposition

Inow propose to return to the question of class struggle and class war and to the conservative forces which wage it, with particular reference to Chile, though the considerations I am offering here do not only apply to Chile, least of all in terms of the nature of the conservative forces which have to be taken into account, and which I shall examine in turn, relating this to the forms of struggle in which these different forces engage:

I. Society as Battlefield

To speak of “the conservative forces,” as I have done so far, is not to imply the existence of a homogeneous economic, social, or political bloc, either in Chile or anywhere else. In Chile, it was among other things the divisions between different elements among these conservative forces which made it possible for Allende to come to the presidency in the first place.

Even so, when these divisions have duly been taken into account, it is worth stressing that a crucial aspect of class struggle is waged by these forces as a whole, in the sense that the struggle occurs all over “civil society,” has no front, no specific focus, no particular strategy, no elaborate leadership or organization: it is the daily battle fought by every member of the disaffected upper and middle classes, each in his own way, and by a large part of the lower middle class as well.

It is fought out of a sentiment which Evelyn Waugh, recalling the horrors of the Attlee regime in Britain after 1945, expressed admirably when he wrote in 1959 that, in those years of Labour government, “the kingdom seemed to be under enemy occupation.” Enemy occupation invites various forms of resistance, and everybody has to do his little bit.

It includes middle-class “housewives” demonstrating by banging pots and pans in front of the Presidential Palace; factory owners sabotaging production; merchants hoarding stocks; newspaper proprietors and their subordinates engaging in ceaseless campaigns against the government; landlords impeding land reform; the spreading of what was, in wartime Britain, called “alarm and despondency” (and incidentally punishable by law): in short, anything that influential, well-off, educated (or not so well-educated) people can do to impede a hated government.

Taken as a “detotalized totality,” the harm that can thus be done is very considerable — and I have not mentioned the upper professionals, the doctors, the lawyers, the state officials, whose capacity to slow down the running of a society, of any society, must be reckoned as being high. Nothing very dramatic is required: just an individual rejection in one’s daily life and activity of the regime’s legitimacy, which turns by itself into a vast collective enterprise in the production of disruption.

It may be assumed that the vast majority of members of the upper and middle classes (not all by any means) will remain irrevocably opposed to the new regime. The question of the lower middle class is rather more complex. The first requirement in this connection is to make a radical distinction between lower professional and white collar workers, technicians, lower managerial staffs, etc., on the one hand, and small capitalists and micro-traders on the other.

The former are an integral part of that “collective worker,” of which Marx spoke more than a hundred years ago; and they are involved, like the industrial working class, in the production of surplus value. This is not to say that this class or stratum will necessarily see itself as part of the working class, or that it will “automatically” support left-wing policies (nor will the working class proper); but it does mean that there is here at least a solid basis for alliance.

This is much more doubtful, in fact most probably untrue, for the other part of the lower middle class, the small entrepreneur and the micro-trader. In the article quoted earlier, Maurice Duverger suggests that “the first condition for the democratic transition to socialism in a Western country of the French type is that a left-wing government should reassure the ‘classes moyennes’ about their fate under the future regime, so as to dissociate them from the kernel of big capitalists who are for their part condemned to disappear or to submit to a strict control.”

The trouble with this is that, in so far as the “classes moyennes” are taken to mean small capitalists and small traders (and Duverger makes it clear that he does mean them), the attempt is doomed from the start. In order to accommodate them, he wants “the evolution towards socialism to be very gradual and very slow, so as to rally at each stage a substantial part of those who feared it at the start.” Moreover, small enterprises must be assured that their fate will be better than under monopoly or oligopolistic capitalism.

It is interesting, and would be amusing if the matter was not very serious, that the realism which Professor Duverger is able to display in regard to Chile deserts him as soon as he comes closer to home. His scenario is ridiculous; and even if it were not, there is no way in which small enterprises can be given the appropriate assurances.

I should not like to give the impression that I am advocating the liquidation of middle and small urban French kulaks: what I am saying is that to adapt the pace of the transition to socialism to the hopes and fears of this class is to advocate paralysis or to prepare for defeat. Better not to start at all. How to deal with the problem is a different matter. But it is important to start with the fact that as a class or social stratum, this element must be reckoned as part of the conservative forces.

This certainly appears to have been the case in Chile, notably with regard to the now-notorious 40,000 lorry owners, whose repeated strikes helped to increase the government’s difficulties. These strikes, excellently coordinated, and quite possibly subsidized from outside sources, highlight the problem which a left-wing government must expect to face, to a greater or lesser degree depending on the country, in a sector of considerable economic importance in terms of distribution.

The problem is further and ironically highlighted by the fact that, according to United Nations statistical sources, it was this “classe moyenne” which had done best under Allende’s regime in regard to the distribution of the national income. Thus, it would appear that the poorest 50 percent of the population saw its share of the total increase from 16.1 percent to 17.6 percent; that of the “middle class” (45 percent of the population) increased from 53.9 percent to 57.7 percent; while the richest 5 percent dropped from 30 percent to 24.7 percent. This is hardly the picture of a middle class squeezed to death — hence the significance of its hostility.

II. External conservative intervention

It is not possible to discuss class war anywhere, least of all in Latin America, without bringing into account external intervention, more specifically and obviously the intervention of United States imperialism, as represented both by private concerns and by the American state itself. The activities of ITT have received considerable publicity, as well as its plans for plunging the country into chaos so as to get “friendly military men” to make a coup.

Nor of course was ITT the only major American firm working in Chile: there was in fact no important sector of the Chilean economy that was not penetrated and in some cases dominated by American enterprises: their hostility to the Allende regime must have greatly increased the latter’s economic, social, and political difficulties. Everybody knows that Chile’s balance of payments very largely depends on its copper exports: but the world price of copper, which had almost been halved in 1970, remained at that low level until the end of 1972; and American pressure was exercised throughout the world to place an embargo on Chilean copper.

In addition, there was strong and successful pressure by the United States on the World Bank to refuse loans and credits to Chile, not that much pressure was needed, either on the World Bank or on other banking institutions. A few days after the coup, the Guardian noted that “the net new advances which were frozen as a result of the US pressure, included sums totaling £30 millions: all for projects which the World Bank had already cleared as worth backing.”

The president of the World Bank is of course Mr Robert McNamara. It was at one time being said that Mr McNamara had undergone some kind of spiritual conversion out of remorse for his part, when US Secretary of State for Defence, in inflicting so much suffering on the Vietnamese people: under his direction, the World Bank was actually going to help the poor countries. What those who were peddling this stuff omitted to add was that there was a condition — that the poor countries should show the utmost regard, as Chile did not, for the claims of private enterprise, notably American private enterprise.

Allende’s regime was, from the start, faced with a relentless American attempt at economic strangulation. In comparison with this fact, which must be taken in conjunction with the economic sabotage in which the internal conservative economic interests engaged, the mistakes which were committed by the regime are of relatively minor importance — even though so much is made of them not only by critics but by friends of the Allende government.

The really remarkable thing, against such odds, is not the mistakes, but that the regime held out economically as long as it did; the more so since it was systematically impeded from taking necessary action by the opposition parties in Parliament.

In this perspective, the question whether the United States government was or was not directly involved in the preparation of the military coup is not particularly important. It certainly had foreknowledge of the coup. The Chilean military had close associations with the United States military. And it would obviously be stupid to think that the kind of people who run the government of the United States would shrink from active involvement in a coup, or in its initiation.

The important point here, however, is that the US government had done its considerable best over the previous three years to lay the ground for the overthrow of the Allende regime by waging economic warfare against it.

III. The conservative political parties.

The kind of class struggle conducted by conservative forces in civil society to which reference was made earlier does ultimately require direction and political articulation, both in Parliament and in the country at large, if it is to be turned into a really effective political force. This direction is provided by conservative parties, and was mainly provided in Chile by Christian Democracy.

Like the Christian Democratic Union in Germany and the Christian Democratic Party in Italy, Christian Democracy in Chile included many different tendencies, from various forms of radicalism (though most radicals went off to form their own groupings after Allende came to power) to extreme conservatism. But it represented in essence the conservative constitutional right, the party of government, one of whose main figures, Eduardo Frei, had been president before Allende.

With steadily growing determination, this conservative constitutional right sought by every means in its power this side of legality to block the government’s actions and to prevent it from functioning properly. Supporters of parliamentarism always say that its operation depends upon the achievement of a certain degree of cooperation between government and opposition; and they are no doubt right. But Allende’s government was denied this cooperation from the very people who never cease to proclaim their dedication to parliamentary democracy and constitutionalism.

Here too, on the legislative front, class struggle easily turned into class war. Legislative assemblies are, with some qualifications that are not relevant here, part of the state system; and in Chile, the legislative assembly was solidly under opposition control. So were other important parts of the state system, to which I shall turn in a moment.

The opposition’s resistance to the government, in Parliament and out, did not assume its full dimensions until the victory which the Popular Unity coalition scored in the elections of March 1973. By the late spring, the erstwhile constitutionalists and parliamentarists were launched on the course towards military intervention.

After the abortive putsch of June 29, which marks the effective beginning of the final crisis, Allende tried to reach a compromise with the leaders of Christian Democracy, Alwyn and Frei. They refused, and increased their pressure on the government. On August 22, the National Assembly which their party dominated actually passed a motion which effectively called on the Army “to put an end to situations which constituted a violation of the Constitution.” In the Chilean case at least, there can be no question of the direct responsibility which these politicians bear for the overthrow of the Allende regime.

No doubt, the Christian Democratic leaders would have preferred it if they could have brought down Allende without resort to force, and within the framework of the Constitution. Bourgeois politicians do not like military coups, not least because such coups deprive them of their role. But like it or not, and however steeped in constitutionalism they may be, most such politicians will turn to the military where they feel circumstances demand it.

The calculations which go into the making of the decision that circumstances do demand resort to illegality are many and complex. These calculations include pressures and promptings of different kinds and weight.

One such pressure is the general, diffuse pressure of the class or classes to which these politicians belong. “Il faut en finir,” they are told from all quarters, or rather from quarters to which they pay heed; and this matters in the drift towards putschism. But another pressure which becomes increasingly important as the crisis grows is that of groups on the right of the constitutional conservatives, who in such circumstances become an element to be reckoned with.

IV. Fascist-type groupings

The Allende regime had to contend with much organized violence from fascist-type groupings. This extreme right-wing guerilla or commando activity grew to fever pitch in the last months before the coup, involved the blowing up of electric pylons, attacks on left-wing militants, and other such actions which contributed greatly to the general sense that the crisis must somehow be brought to an end.

Here again, action of this type, in “normal” circumstances of class conflict, are of no great political significance, certainly not of such significance as to threaten a regime or even to indent it very much. So long as the bulk of the conservative forces remain in the constitutionalist camp, fascist-type groupings remain isolated, even shunned by the traditional right.

But in exceptional circumstances, one speaks to people one would not otherwise be seen dead with in the same room; one gives a nod and a wink where a frown and a rebuke would earlier have been an almost automatic response. “Youngsters will be youngsters,” now indulgently say their conservative elders. “Of course, they are wild and do dreadful things. But then look whom they are doing it to, and what do you expect when you are ruled by demagogues, criminals, and crooks.” So it came about that groups like Fatherland and Freedom operated more and more boldly in Chile, helped to increase the sense of crisis, and encouraged the politicians to think in terms of drastic solutions to it.

V. Administrative and judicial opposition

Conservative forces anywhere can always count on the more or less explicit support or acquiescence or sympathy of the members of the upper echelons of the state system; and for that matter, of many if not most members of the lower echelons as well. By social origin, education, social status, kinship and friendship connections, the upper echelons, to focus on them, are an intrinsic part of the conservative camp; and if none of these factors were operative, ideological dispositions would certainly place them there.

Top civil servants and members of the judiciary may, in ideological terms, range all the way from mild liberalism to extreme conservatism, but mild liberalism, at the progressive end, is where the spectrum has to stop. In “normal” conditions of class conflict, this may not find much expression except in terms of the kind of implicit or explicit bias which such people must be expected to have.

In crisis conditions, on the other hand, in times when class struggle assumes the character of class war, these members of the state personnel become active participants in the battle and are most likely to want to do their bit in the patriotic effort to save their beloved country, not to speak of their beloved positions, from the dangers that threaten.

Soldiers burn books in Santiago, Chile, 1973. David Burnett

Chilean soldiers burn books after the coup. David Burnett

The Allende regime inherited a state personnel which had long been involved in the rule of the conservative parties and which cannot have included many people who viewed the new regime with any kind of sympathy, to put it no higher. Much in this respect was changed with Allende’s election, insofar as new personnel, which supported thePopular Unity coalition, came to occupy top positions in the state system.

Even so, and in the prevailing circumstances perhaps inevitably, the middle and lower ranks of that system continued to be staffed by established and traditional bureaucrats. The power of such people can be very great. The writ may be issued from on high: but they are in a good position to see to it that it does not run, or that it does not run as it should.

To vary the metaphor, the machine does not respond properly because the mechanics in actual charge of it have no particular desire that it should respond properly. The greater the sense of crisis, the less willing the mechanics are likely to be; and the less willing they are, the greater the crisis.

Yet, despite everything, the Allende regime did not “collapse.” Despite the legislative obstruction, administrative sabotage, political warfare, foreign intervention, economic shortages, internal divisions, etc. — despite all this, the regime held. That, for the politicians and the classes they represented, was the trouble.

In an article which I shall presently want to criticize, Eric Hobsbawm notes quite rightly that “to those commentators on the Right, who ask what other choice remained open to Allende’s opponents but a coup, the simple answer is: not to make a coup.” This, however, meant incurring the risk that Allende might yet pull out of the difficulties he faced.

Indeed, it would appear that, on the day before the coup, he and his ministers had decided on a last constitutional throw, namely a plebiscite, which was to be announced on September 11. He hoped that, if he won it, he might give pause to the putschists, and give himself new room for action. Had he lost, he would have resigned, in the hope that the forces of the Left would one day be in a better position to exercise power.

Whatever may be thought of this strategy, of which the conservative politicians must have had knowledge, it risked prolonging the crisis which they were frantic to bring to an end; and this meant acceptance of, indeed active support for, the coup which the military men had been preparing. In the end, and in the face of the danger presented by popular support for Allende, there was nothing for it: the murderers had to be called in.

VI. The military

We had of course been told again and again that the military in Chile, unlike the military in every other Latin American country, was non-political, politically neutral, constitutionally-minded, etc.; and though the point was somewhat overdone, it was broadly speaking true that the military in Chile did not “mix in politics.” Nor is there any reason to doubt that, at the time when Allende came to power and for some time after, the military did not wish to intervene and mount a coup.

It was after “chaos” had been created, and extreme political instability brought about, and the weakness of the regime’s response in face of crisis had been revealed (of which more later) that the conservativedispositions of the military came to the fore, and then decisively tilted the balance. For it would be nonsense to think that “neutrality” and “non-political attitudes” on the part of the armed forces meant that they did not have definite ideological dispositions, and that these dispositions were not definitely conservative.

As Marcel Niedergang also notes, “whatever may have been said, there never were high ranking officers who were socialists, let alone communists. There were two camps: the partisans of legality and the enemies of the left-wing government. The second, more and morenumerous, finally won out.”

The italics in this quotation are intended to convey the crucial dynamic which occurred in Chile and which affected the military as well as all other protagonists. This notion of dynamic process is essential to the analysis of any such kind of situation: people who are thus and thus at one time, and who are or are not willing to do this or that, change under the impact of rapidly moving events. Of course, they mostly change within a certain range of choices: but in such situations, the shift may nevertheless be very great.

Thus conservative but constitutionally-minded army men, in certain situations, become just this much more conservative-minded: and this means that they cease to be constitutionally-minded. The obvious question is what it is that brings about the shift. In part, no doubt, it lies in the worsening “objective” situation; in part also, in the pressure generated by conservative forces.

But to a very large extent, it lies in the position adopted, and seen to be adopted, by the government of the day. As I understand it, the Allende administration’s weak response to the attempted coup of June 29, its steady retreat before the conservative forces (and the military) in the ensuing weeks, and its loss by resignation of General Prats, the one general who had appeared firmly prepared to stand by the regime — all this must have had a lot to do with the fact that the enemies of the regime in the armed forces (meaning the military men who were prepared to make a coup) grew “more and more numerous.” In these matters, there is one law which holds: the weaker the government, the bolder its enemies, and the more numerous they become day by day.

Thus it was that these “constitutional” generals struck on September 11, and put into effect what had — significantly in the light of the massacre of left-wingers in Indonesia — been labelled Operation Djakarta. Before we turn to the next part of this story, the part which concerns the actions of the Allende regime, its strategy and conduct, it is as well to stress the savagery of the repression unleashed by the coup, and to underline the responsibility which the conservative politicians bear for it.

Writing in the immediate aftermath of the Paris Commune, and while the Communards were still being killed, Marx bitterly noted that “the civilization and justice of bourgeois order comes out in its lurid light whenever the slaves and drudges of that order rise against their masters. Then this civilization and order stand forth as undisguised savagery and lawless revenge.” The words apply well to Chile after the coup. Thus, that not very left-wing magazine Newsweek had a report from its correspondent in Santiago shortly after the coup, headed “Slaughterhouse in Santiago,” which went as follows:

Last week, I slipped through a side door into the Santiago city morgue, flashing my junta press pass with all the impatient authority of a high official. One hundred and fifty dead bodies were laid out on the ground floor, awaiting identification by family members. Upstairs, I passed through a swing door and there in a dimly lit corridor lay at least fifty more bodies, squeezed one against another, their heads propped up against the wall. They were all naked.

Most had been shot at close range under the chin. Some had been machine-gunned in the body. Their chests had been slit open and sewn together grotesquely in what presumably had been a pro forma autopsy. They were all young and, judging from the roughness of their hands, all from the working class. A couple of them were girls, distinguishable among the massed bodies only by the curves of their breasts. Most of their heads had been crushed. I remained for perhaps two minutes at most, then left.

Workers at the morgue have been warned that they will be court-martialled and shot if they reveal what is going on there. But the women who go in to look at the bodies say there are between 100 and 150 on the ground floor every day. And I was able to obtain an official morgue body-count from the daughter of a member of its staff: by the fourteenth day following the coup, she said, the morgue had received and processed 2796 corpses.

On the same day as it carried this report, the London Timescommented in an editorial that “the existence of a war or something very like it clearly explains the drastic severity of the new regime which has taken so many observers by surprise.”

The “war” was of course The Times’s own invention. Having invented it, it then went on to observe that “a military government confronted by widespread armed opposition is unlikely to be over-punctilious either about constitutional niceties or even about basic human rights.” Still, lest it be thought that it approved the “drastic severity” of the new regime, the paper told its readers that “it must remain the hope of Chile’s friends abroad, as no doubt of the great majority of Chileans, that human rights will soon be fully respected and that constitutional government will before long be restored.” Amen.

No one knows how many people have been killed in the terror that followed the coup, and how many people will yet die as a result of it. Had a left-wing government shown one tenth of the junta’s ruthlessness, screaming headlines across the whole “civilized” world would have denounced it day in day out.

As it is, the matter was quickly passed over and hardly a pip squeaked when a British government rushed in, eleven days after the coup, to recognize the junta. But then so did most other freedom-loving Western governments.

We may take it that the well-to-do in Chile shared and more than shared the sentiments of the editor of the London Times that, given the circumstances, the military could not be expected to be “over-punctilious.” Here too, Hobsbawm puts it very well when he says that “the Left has generally underestimated the fear and hatred of the Right, the ease with which well-dressed men and women acquire a taste for blood.”

This is an old story. In his Flaubert, Sartre quotes Edmond de Goncourt’s Diary entry for May 31, 1871, immediately after the Paris Commune had been crushed:

It’s good. There has been no conciliation or compromise. The solution has been brutal. It has been pure force . . . a bloodletting such as this, by killing the militant part of the population (‘la partie bataillante de la population’) puts off by a generation the new revolution. It is twenty years of rest which the old society has in front of it if the rulers dare all that needs to be dared at this moment.

Goncourt, as we know, had no need to worry. Nor has the Chilean middle class, if the military not only dare, but are able, i.e. are allowed, to give Chile “twenty years of rest.” A woman journalist with a long experience of Chile reports, three weeks after the coup, the “jubilation” of her upper class friends who had long prayed for it. These ladies would not be likely to be unduly disturbed by the massacre of left-wing militants. Nor would their husbands.

What did apparently disturb the conservative politicians was the thoroughness with which the military went about restoring “law and order.” Hunting down and shooting militants is one thing, as is book-burning and the regimentation of the universities. But dissolving the National Assembly, denouncing “politics” and toying with the idea of a fascist-type “corporatist” state, as some of the generals are doing, is something else, and rather more serious.

Soon after the coup, the leaders of Christian Democracy, who had played such a major role in bringing it about, and who continued to express support for the junta, were nevertheless beginning to express their “disquiet” about some of its inclinations.

Indeed, ex-President Frei went so far, stout fellow, as to confide to a French journalist his belief that “Christian Democracy will have to go into opposition two or three months from now” — presumably after the military had butchered enough left-wing militants. In studying the conduct and declarations of men such as these, one understands better the savage contempt which Marx expressed for the bourgeois politicians he excoriated in his historical writings. The breed has not changed.

The Cost of Conciliation

The configuration of conservative forces which has been presented in the previous section must be expected to exist in any bourgeois democracy, not of course in the same proportions or with exact parallels in any particular country — but the pattern of Chile is not unique. This being the case, it becomes the more important to get as close as one can to an accurate analysis of the response of the Allende regime to the challenge that was posed to it by these forces.

As it happens, and while there is and will continue to be endless controversy on the Left as to who bears the responsibility for what went wrong (if anybody does), and whether there was anything else that could have been done, there can be very little controversy as to what the Allende regime’s strategy actually was. Nor in fact is there, on the Left. Both the Wise Men and the Wild Men of the Left are at least agreed that Allende’s strategy was to effect a constitutional and peaceful transition in the direction of socialism.

The Wise Men of the Left opine that this was the only possible and desirable path to take. The Wild Men of the Left assert that it was the path to disaster. The latter turned out to be right: but whether for the right reasons remains to be seen. In any case, there are various questions which arise here, and which are much too important and much too complex to be resolved by slogans. It is with some of these questions that I should like to deal here.

To begin at the beginning: namely with the manner in which the Left’s coming to power — or to office — must be envisaged in bourgeois democracies. The overwhelming chances are that this will occur via the electoral success of a left coalition of Communists, Socialists and other groupings of more or less radical tendencies. The reason for saying this is not that a crisis might not occur, which would open possibilities of a different kind — it may be for instance that May 1968 in France was a crisis of such a kind.

But whether for good reasons or bad, the parties which might be able to take power in this type of situation, namely the major formations of the Left, including in particular the Communist Parties of France and Italy, have absolutely no intention of embarking on any such course, and do in fact strongly believe that to do so would invite certain disaster and set back the working class movement for generations to come. Their attitude might change if circumstances of a kind that cannot be anticipated arose — for instance the clear imminence or actual beginning of a right-wing coup. But this is speculation.

What is not speculation is that these vast formations, which command the support of the bulk of the organized working class, and which will go on commanding it for a very long time to come, are utterly committed to the achievement of power — or of office — by electoral and constitutional means. This was also the position of the coalition led by Allende in Chile.

There was a time when many people on the Left said that, if a Left clearly committed to massive economic and social changes looked like winning an election, the Right would not “allow” it to do so — i.e. it would launch a pre-emptive strike by way of a coup.

This has ceased to be a fashionable view: it is rightly or wrongly felt that, in “normal” circumstances, the Right would be in no position to decide whether it could or could not “allow” elections to take place. Whatever else it and the government might do to influence the results, they could not actually take the risk of preventing the elections from being held.

The present view on the “extreme” left tends to be that, even if this is so, and admitting that it is likely to be so, any such electoral victory is,by definition, bound to be barren. The argument, or one of the main arguments on which this is based, is that the achievement of an electoral victory can only be bought at the cost of so much maneuver and compromise, so much “electioneering” as to mean very little.

There seems to me to be rather more in this than the Wise Men of the Left are willing to grant; but not necessarily quite as much as their opponents insist must be the case. Few things in these matters are capable of being settled by definition.

Nor have opponents of the “electoral road” much to offer by way of an alternative, in relation to bourgeois democracies in advanced capitalist societies; and such alternatives as they do offer have so far proved entirely unattractive to the bulk of the people on whose support the realization of these alternatives precisely depends; and there is no very good reason to believe that this will change dramatically in any future that must be taken into account.

In other words, it must be assumed that, in countries with this kind of political system, it is by way of electoral victory that the forces of the Left will find themselves in office. The really important question is what happens then. For as Marx also noted at the time of the Paris Commune, electoral victory only gives one the right to rule, not thepower to rule.

Unless one takes it for granted that this right to rule cannot, in these circumstances, ever be transmuted into the power to rule, it is at this point that the Left confronts complex questions which it has so far probed only very imperfectly: it is here that slogans, rhetoric and incantation have most readily been used as substitutes for the hard grind of realistic political cogitation. From this point of view, Chile offers some extremely important pointers and “lessons” as to what is, or perhaps what is not, to be done.

The strategy adopted by the forces of the Chilean left had one characteristic not often associated with the coalition, namely a high degree of inflexibility. In saying this, I mean that Allende and his allies had decided upon certain lines of action, and of inaction, well before they came to office. They had decided to proceed with careful regard to constitutionalism, legalism, and gradualism; and also, relatedly, that they would do everything to avoid civil war.

Having decided upon this before they came to office, they stuck to it right through, up to the very end, notwithstanding changing circumstances. Yet, it may well be that what was right and proper and inevitable at the beginning had become suicidal as the struggle developed.

What is at issue here is not “reform versus revolution”: it is that Allende and his colleagues were wedded to a particular version of the “reformist” model, which eventually made it impossible for them to respond to the challenge they faced. This needs some further elaboration.

To achieve office by electoral means involves moving into a house long occupied by people of very different dispositions — indeed it involves moving into a house many rooms of which continue to be occupied by such people.

In other words, Allende’s victory at the polls — such as it was — meant the occupation by the Left of one element of the state system, the presidential-executive one — an extremely important element, perhaps the most important, but not obviously the only one. Having achieved this partial occupation, the president and his administration began the task of carrying out their policies by “working” the system of which they had become a part.

In so doing, they were undoubtedly contravening an essential tenet of the Marxist canon. As Marx wrote in a famous letter to Kugelmann at the time of the Paris Commune, “the next attempt of the French Revolution will be no longer, as before, to transfer the bureaucratic-military machine from one hand to another, but to smash it, and this is the preliminary condition for every real people’s revolution on the continent.”

Similarly in “The Civil War in France,” Marx notes that “the working class cannot simply lay hold of the ready-made state machinery, and wield it for its own purposes,” and he then proceeded to outline the nature of the alternative as foreshadowed by the Paris Commune.

So important did Marx and Engels think the matter to be that in the preface to the 1872 German edition of The Communist Manifesto they noted that “one thing especially was proved by the Commune,” that thing being Marx’s observation in “The Civil War in France that I have just quoted. It is from these observations that Lenin derived the view that “smashing the bourgeois state” was the essential task of the revolutionary movement.

I have argued elsewhere that in one sense in which it appears to be used in The State and Revolution (and for that matter in “The Civil War in France”) i.e. in the sense of the establishment of an extreme form of council (or “soviet”) democracy on the very morrow of the revolution as a substitute for the smashed bourgeois state, the notion constitutes an impossible projection which can be of no immediate relevance to any revolutionary regime, and which certainly was of no immediate relevance to Leninist practice on the morrow of the Bolshevik revolution; and it is rather hard to blame Allende and his colleagues for not doing something which they never intended in the first place, and to blame them in the name of Lenin, who certainly did not keep the promise, and could not have kept the promise, spelt out in The State and Revolution.

However, disgracefully “revisionist” though it is even to suggest it, there may be other possibilities which are relevant to the discussion of revolutionary practice, and to the Chilean experience, and which also differ from the particular version of “reformism” adopted by the leaders of the Popular Unity coalition.

Thus, a government intent upon major economic, social, and political changes does, in some crucial respects, have certain possibilities, even if it does not contemplate “smashing the bourgeois state.” It may, for instance, be able to effect very considerable changes in the personnel of the various parts of the state system; and in the same vein, it may, by a variety of institutional and political devices, begin to attack and outflank the existing state apparatus. In fact, it must do so if it is to survive; and it must eventually do so with respect to the hardest element of all, namely the military and police apparatus.

The Allende regime did some of these things. Whether it could have done more of them, in the circumstances, must be a matter of argument; but it seems to have been least able or willing to tackle the most difficult problem, that presented by the military. Instead, it appears to have sought to buy the latter’s support and goodwill by conciliation and concessions, right up to the time of the coup, notwithstanding the ever-growing evidence of the military’s hostility.

In the speech he made on July 8 of this year, and to which I referred at the beginning of this article, Luis Corvalan observed that “some reactionaries have begun to seek new ways to drive a wedge between the people and the armed forces, maintaining little less than we are intending to replace the professional army. No, sirs! We continue to support the absolutely professional character of the armed institutions. Their enemies are not amongst the rank of the people but in the reactionary camp.”

It is a pity that the military did not share this view: one of their first acts after their seizure of power was to release the fascists from the Fatherland and Freedom group who had belatedly been put in jail by the Allende government. Similar statements, expressing trust in the constitutional-mindedness of the military were often made by other leaders of the coalition, and by Allende himself.

Soldiers supervise the removal of revolutionary slogans in the aftermath of the 1973 coup in Santiago, Chile. Koen Wessing

Soldiers supervise the removal of revolutionary slogans. Koen Wessing

Of course, neither they nor Corvalan were under much illusion about the support they could expect from the military: but it would seem nevertheless that most of them thought that they could buy off the military; and that it was not so much a coup on the classical “Latin American” pattern that Allende feared as “civil war.”

Regis Débray has written from personal knowledge that Allende had a “visceral refusal” of civil war: and the first thing to be said about this is that it is only people morally and politically crippled in their sensitivities who would scoff at this “refusal” or consider it ignoble. This however does not exhaust the subject. There are different ways of trying to avoid civil war: and there may be occasions where one cannot do it and survive.

Débray also writes (and his language is itself interesting) that “he (i.e. Allende) was not duped by the phraseology of ‘popular power’ and he did not want to bear the responsibility of thousands of useless deaths: the blood of others horrified him. That is why he refused to listen to his Socialist Party which accused him of useless maneuvering and which was pressing him to take the offensive.”

It would be useful to know if Débray himself believes that “popular power” is necessarily a “phraseology” by which one should not be “duped”; and what was meant by “taking the offensive.” But at any rate, Allende’s “visceral refusal” of civil war, as Débray does make clear, was only one part of the argument for conciliation and compromise; the other was a deep skepticism as to any possible alternative. Débray’s account, describing the argument that went on in the last weeks before the coup, has a revealing paragraph on this:

“Disarm the plotters?” “With what?” Allende would reply. “Give me first the forces to do it.” “Mobilize them,” he was told from all sides. For it is true (this is Débray speaking –R.M.) that he was gliding up there, in the superstructures, leaving the masses without ideological orientations or political direction. “Only the direct action of the masses will stop the coup d’état.” “And how many masses does one need to stop a tank?” Allende would reply.

Whether one agrees that Allende was “gliding up there, in the superstructures” or not, this kind of dialogue has the ring of truth; and it may help to explain a good deal about the events in Chile.

Considering the manner of Salvador Allende’s death, a certain reticence is very much in order. Yet, it is impossible not to attribute to him at least some of the responsibility for what ultimately occurred. In the article from which I have just quoted, Débray also tells us that one of Allende’s closest collaborators, Carlos Altamirano, the general secretary of the Socialist Party, had said to him, Débray, with anger at Allende’s maneuverings, that “the best way of precipitating a confrontation and to make it even more bloody is to turn one’s back upon it.”

There were others close to Allende who had long held the same view. But, as Marcel Niedergang has also noted, all of them “respected Allende, the center of gravity and the real ‘patron’ of the Popular Unity coalition”; and Allende, as we know, was absolutely set on the course of conciliation — encouraged upon that course by his fear of civil war and defeat; by the divisions in the coalition he led and by the weaknesses in the organization of the Chilean working class; by an exceedingly “moderate” Communist Party; and so on.

The trouble with that course is that it had all the elements of self-fulfilling catastrophe. Allende believed in conciliation because he feared the result of a confrontation. But because he believed that the Left was bound to be defeated in any such confrontation, he had to pursue with ever-greater desperation his policy of conciliation; but the more he pursued that policy, the greater grew the assurance and boldness of his opponents.

Moreover, and crucially, a policy of conciliation of the regime’s opponents held the grave risk of discouraging and demobilizing its supporters. “Conciliation” signifies a tendency, an impulse, a direction, and it finds practical expression on many terrains, whether intended or not. Thus, in October 1972, the government had got the National Assembly to enact a “law on the control of arms” which gave to the military wide powers to make searches for arms caches.

In practice, and given the army’s bias and inclinations, this soon turned into an excuse for military raids on factories known as left-wing strongholds, for the clear purpose of intimidating and demoralizing left-wing activists — all quite “legal,” or at least “legal” enough.

The really extraordinary thing about this experience is that the policy of “conciliation”, so steadfastly and disastrously pursued, did not cause greater and earlier demoralization on the Left. Even as late as the end of June 1973, when the abortive military coup was launched, popular willingness to mobilize against would-be putschists was by all accounts higher than at any time since Allende’s assumption of the presidency.

This was probably the last moment at which a change of course might have been possible — and it was also, in a sense, the moment of truth for the regime: a choice then had to be made. A choice was made, namely that the president would continue to try to conciliate; and he did go on to make concession after concession to the military’s demands.

I am not arguing here, let it be stressed again, that another strategy was bound to succeed — only that the strategy that was adopted was bound to fail. Eric Hobsbawm, in the article I have already quoted, writes that “there was not much Allende could have done after (say) early 1972 except to play out time, secure the irreversibility of the great changes already achieved (how? – R.M.) and with luck maintain a political system which would give the Popular Unity a second chance later . . . for the last several months, it is fairly certain that there was practically nothing he could do.” For all its apparent reasonableness and sense of realism, the argument is both very abstract and is also a good recipe for suicide.

For one thing, one cannot “play out time” in a situation where great changes have already occurred, which have resulted in a considerable polarization, and where the conservative forces are moving over from class struggle to class war. One can either advance or retreat — retreat into oblivion or advance to meet the challenge.

Nor is it any good, in such a situation, to act on the presupposition that there is nothing much that can be done, since this means in effect that nothing much will be done to prepare for confrontation with the conservative forces. This leaves out of account the possibility that the best way to avoid such a confrontation — perhaps the only way — is precisely to prepare for it; and to be in as good a posture as possible to win if it does come.

This brings us directly back to the question of the state and the exercise of power. It was noted earlier that a major change in the state’s personnel is an urgent and essential task for a government bent on really serious change; and that this needs to be allied to a variety of institutional reforms and innovations, designed to push forward the process of the state’s democratization.

But in this latter respect, much more needs to be done, not only to realize a set of long-term socialist objectives concerning the socialist exercise of power, but as a means either of avoiding armed confrontation, or of meeting it on the most advantageous and least costly terms if it turns out to be inevitable.

What this means is not simply “mobilizing the masses” or “arming the workers.” These are slogans — important slogans — which need to be given effective institutional content. In other words, a new regime bent on fundamental changes in the economic, social, and political structures must from the start begin to build and encourage the building of a network of organs of power, parallel to and complementing the state power, and constituting a solid infrastructure for the timely “mobilization of the masses” and the effective direction of its actions.

The forms which this assumes — workers’ committees at their place of work, civic committees in districts and sub-districts, etc. — and the manner in which these organs “mesh” with the state may not be susceptible to blueprinting. But the need is there, and it is imperative that it should be met, in whatever forms are most appropriate.

This is not, to all appearances, how the Allende regime moved. Some of the things that needed doing were done; but such “mobilization” as occurred, and such preparations as were made, very late in the day, for a possible confrontation, lacked direction, coherence, in many cases even encouragement.

Had the regime really encouraged the creation of a parallel infrastructure, it might have lived; and, incidentally, it might have had less trouble with its opponents and critics on the Left, for instance in the MIR, since its members might not then have found the need so great to engage in actions of their own, which greatly embarrassed the government: they might have been more ready to cooperate with a government in whose revolutionary will they could have had greater confidence. In part at least, “ultra-leftism” is the product of “citra-leftism.”

Salvador Allende was a noble figure and he died a heroic death. But hard though it is to say it, that is not the point. What matters, in the end, is not how he died, but whether he could have survived by pursuing different policies; and it is wrong to claim that there was no alternative to the policies that were pursued. In this as in many other realms, and here more than in most, facts only become compelling as one allows them to be so.

Allende was not a revolutionary who was also a parliamentary politician. He was a parliamentary politician who, remarkably enough, had genuine revolutionary tendencies. But these tendencies could not overcome a political style which was not suitable to the purposes he wanted to achieve.

The question of course is not one of courage. Allende had all the courage required, and more. Saint Just’s famous remark, which has often been quoted since the coup, that “he who makes a revolution by half digs his own grave” is closer to the mark — but it can easily be misused. There are people on the Left for whom it simply means the ruthless use of terror, and who tell one yet again, as if they had just invented the idea, that “you can’t make omelettes without breaking eggs.” But as the French writer Claude Roy observed some years ago, “you can break an awful lot of eggs without making a decent omelette.”

Terror may become part of a revolutionary struggle. But the essential question is the degree to which those who are responsible for the direction of that struggle are able and willing to engender and encourage the effective, meaning the organized, mobilization of popular forces. If there is any definite “lesson” to be learnt from the Chilean tragedy, this seems to be it; and parties and movements which do not learn it, and apply what they have learnt, may well be preparing new Chiles for themselves.

Ralph Miliband was a prominent Marxist sociologist and the author of numerous books on socialism and politics, including Parliamentary Socialism and The State in Capitalist Society. The following essay appeared in the 1973 edition of Socialist Register.

Hillary Clinton Isn’t the First Government Official to Send Secret Messages

From Hoover’s FBI to George W. Bush’s White House, officials have been hiding their communications for decades. 

Recent revelations that, during her tenure as secretary of state, ­Hillary Clinton maintained a private e-mail server separate from the State Department’s official one raise a question that transcends the current debate over whether she compromised national security: Was the former secretary’s decision exceptional, or did it reflect what had been (and conceivably remains) the practice of senior White House and intelligence-agency officials to preclude, or at least minimize, the exposure of controversial, even illegal policy decisions?

Clinton’s reliance on a private e-mail account ensured that, because her communications were not logged into the State Department’s records system, she alone could determine which of them would be destroyed and which would be saved. A further issue involves the inadvertent discovery of her actions—that is, as the by-product of Congress’s narrow inquiry into the Benghazi matter. This inadvertent revelation raises an additional query: Did other senior administration and intelligence officials, unwilling to rely solely on classification restrictions, devise special procedures to prevent the discovery of their actions? For, as we belatedly learned through the congressional investigations of the 1970s and ’80s and the release of records in response to Freedom of Information Act requests, senior intelligence officials involved in controversial and politically sensitive operations had purposely and covertly instituted a series of separate procedures to keep and destroy records.

Dating from the early 1940s, for example, FBI director J. Edgar Hoover maintained especially sensitive records in two secret office files that were separate from the FBI’s central records system. Those records documented the FBI’s illegal investigative techniques and the collection of derogatory information on prominent Americans. Hoover also instituted a series of special records and record-destruction policies (“Do Not File,” “June Mail,” and blue, pink, or informal memorandums), and he authorized senior FBI officials to regularly purge the contents of their own secret office files.

In 1973, responding to the creation of the Senate Watergate Committee, CIA director Richard Helms ordered the destruction of all the tapes and transcripts of his office and telephone conversations. CIA officials also authorized the use of “soft files” and “privacy channels” to send (and then destroy) sensitive communications—and specifically authorized the destruction of the agency’s records on its infamous drug program, MK-ULTRA; on Chile’s Manuel Contreras (head of the country’s murderous secret police under dictator Augusto Pinochet); and on the CIA-engineered 1953 coup that overthrew President Mohammad Mossadegh in Iran.

The National Security Agency similarly created special records and record-destruction policies involving two illegal programs: Project Minaret (running from 1967 to 1973, it intercepted the international communications of anti–Vietnam War and civil-rights activists) and Project Shamrock (running from 1947 to 1975, it intercepted telegraph messages in transit to and from the United States). And Oliver North, a National Security Council aide in the Reagan administration, created a “do not log” procedure to manage communications to his boss, John Poindexter—and then, when the Iran/Contra scandal broke, destroyed those records (although North’s ignorance that the NSC computer system maintained a backup memory allowed investigators to reconstruct some of those records).

At a time when the public and Congress are exploring how the George W. Bush administration, by classifying records on national-security grounds, was able to secretly authorize the NSA’s Terrorism Surveillance Program and the CIA’s rendition and torture programs, it is equally important to explore whether the secret procedures employed in the past continue. Bush White House officials created special e-mail accounts for their communications with the Republican National Committee—and it was subsequently revealed that many of those e-mails had been destroyed or were missing. More seriously, attorneys from the Office of Professional Responsibility found, in the course of their investigation into legal rulings by Justice Department attorneys John Yoo, Patrick Philbin, and Jay Bybee, that many of their e-mails were missing and that “most of” Yoo’s and Philbin’s e-mail records covering the period from July to August 2002 “had been deleted and were not recoverable.” In addition, forewarned of Congress’s intent to convene hearings on CIA interrogation practices, agency officials in 2005 destroyed 92 videotapes of the CIA’s brutal treatment of Al Qaeda detainees Abu Zubaydah and Abd al-Rahim al-Nashiri.

These recent practices not only confirm that Hillary Clinton’s actions were notexceptional; they underscore the need for a broader examination of the US government’s practices for keeping records to ensure the effectiveness of congressional and judicial oversight.

 Athan G. Theoharis, a professor of history at Marquette University, is the author, most recently, of The FBI and American Democracy: A Brief Critical History (Kansas).

A Perfect Game and A Perfect Account: Koufax and Scully

Sandy Koufax

Sandy Koufax.(Photo: USC Digital Library, California Historical Society)

On September 9, 1965, Californians celebrated the 115th anniversary of their statehood. But in the state that day, the big event happened in Los Angeles. Half a century later, one game between the Dodgers and the Chicago Cubs resonates in baseball history, both for the game itself and for the media’s relationship to it.

In that game, Sandy Koufax pitched for the Dodgers and Bob Hendley for the Cubs. It seemed like a mismatch. The Dodgers were half a game out of first place, tied for second with an 80-61 record; the Cubs were eighth, at 65-77. Koufax entered the game with a 21-7 record on his way to his second Cy Young Award in three years – at a time when one pitcher received the award, not one from each league. Hendley was 2-2 and had been traded to the Cubs earlier that year. It was just another Thursday night at Dodger Stadium, which was a little more than half-filled: 29,139 in the 56,000-seat park.

But it proved to be much more than a normal match. Hendley pitched the game of his life. He allowed only one hit, a double that barely reached the outfield grass, and the Dodgers stranded the runner. He gave up one walk in the fifth inning – to the same batter who later had the hit, Lou Johnson, who then went to second on a sacrifice, stole third, and scored when the catcher threw the ball into left field.

And yet, despite his extraordinary performance, Hendley was the second best pitcher that night. Koufax had trouble warming up, as usual; doctors had diagnosed an arthritic elbow the previous year, and if he didn’t realize at the time that his career would come to an early end, he soon would. But once the game started, Koufax was even harder to hit than usual. He already had pitched three no-hitters – one of the few pitchers in baseball history to achieve that. But as the game rolled on, no one had reached base. A perfect game was within reach.

The voice of the Dodgers, Vin Scully, had broadcast the three previous no-hitters. Usually, he would ask the radio station to record the ninth inning of a game like this as a keepsake for the pitcher. But what, he thought to himself, could he do to make it special? Scully began the ninth:

Three times in his sensational career has Sandy Koufax walked out to the mound to pitch a fateful ninth when he turned in a no-hitter. But tonight, September the 9th, 1965, he made the toughest walk of his career, I’m sure, because through eight innings he has pitched a perfect game.

As the count went to 1-2 on the Cubs’ leadoff hitter in the ninth, catcher Chris Krug, Scully said, “It is 9:41 p.m. on September the 9th.” Although minor league teams have begun using a clock to speed up the game, and pitchers have a rarely enforced time limit on when they must pitch, the beauty (some would say curse) of baseball is that it has no clocks. By giving the time, Scully attached a special importance to what Koufax was accomplishing.

Krug struck out. So did pinch-hitter Joe Amalfitano. After the next pinch-hitter, Harvey Kuenn, took a strike, Scully said of Koufax, “He has struck out, by the way, five consecutive batters, and this has gone unnoticed.”

Koufax fell behind Kuenn on the count, then evened it up. Then came the conclusion:

It is 9:46 p.m. Two and two to Harvey Kuenn. One strike away. Sandy into his windup. Here’s the pitch: swung on and missed, a perfect game!

Then came a long pause as the crowd cheered, roaring for several seconds as Scully remained silent. Having begun the story by reminding his audience what Koufax had done before, Scully explained the depths of his accomplishment, and the number of times “K,” representing strikeouts, appeared in the scorebook:

On the scoreboard in right field it is 9:46 p.m. in the city of the angels, Los Angeles, California, and a crowd of 29,139 just sitting in to see the only pitcher in baseball history to hurl four no-hit, no-run games. He has done it four straight years, and now he capped it: on his fourth no-hitter, he made it a perfect game. And Sandy Koufax, whose name will always remind you of strikeouts, did it with a flourish. He struck out the last six consecutive batters. So, when he wrote his name in capital letters in the record book, the “K” stood out even more than the “O-U-F-A-X.”

The recording that Scully asked the radio station to make became a vinyl record that the Dodgers promotion director, Danny Goodman, sold at the ballpark and through catalogs. Thousands spread throughout southern California and around the country. To this day, a significant number of Dodger fans happily lapse into Scully’s sing-song cadence for the final out.

Charles Einstein, a writer who covered sports for many years, was then editing the Fireside series of collections of baseball literature, ranging from Pulitzer Prize-winning sportswriters Red Smith and Jim Murray to Philip Roth’s baseball fantasy in Portnoy’s Complaint and Thomas Wolfe’s account of a baseball player in You Can’t Go Home Again. He included the transcription of Scully’s call of that inning and later wrote that “one piece…drew the only two negative reader responses over the course of all three fireside books. That piece is Vin Scully’s radio account of the last half of the ninth inning of Sandy Koufax’s perfect game against the Cubs. Both objections went to the same point, accusing me of having edited the thing with an eye toward improving its grammar. No broadcaster, the letter writers said, could conceivably speak that brilliantly ad lib. The letter writers are right: such presentation is improbable in the extreme. But the truth is that Scully’s account, as you will find it here, is taken verbatim from the untouched tape recording of his broadcast.”

Scully recently announced that he is returning to the Dodgers for his sixty-seventh and, as he put it, “realistically” last season; he turns 88 in November, and continues to delight listeners with his literate and literary descriptions of Dodger games, as grammatically precise as his detailing of Koufax’s perfect game half a century ago. Koufax undeniably pitched a brilliant game (as did Hendley). But just as Al Michaels’s “Do you believe in miracles? YES!” as the 1980 U.S. Olympic hockey team defeated the Soviet Union and Red Barber’s “He makes a one-handed catch against the bullpen! Oh-h-h-h, Doctor,” in describing a legendary catch in the 1947 World Series perfectly meshed with the moment, the broadcaster’s account made it even more noteworthy.

So did the events that followed. The Dodgers went on to win the pennant. The first game of the World Series against the Minnesota Twins was to be on Yom Kippur and Koufax, though not overly observant, is Jewish. He declined to pitch, then went on to start three games in the series and win the seventh and deciding game on a 2-0 shutout in which he again struck out 14 batters. A few starts within a one-month period secured his already impressive legend.

But the perfect game was part of the mythology of Koufax as the outsider (one of the few prominent Jewish athletes, and with little interest in personal publicity), the great pitcher, and somehow, with the help of Scully’s description, a mythic figure. Jane Leavy, one of the first leading women sportswriters and a novelist, wrote a brilliant biography of Koufax, who had no desire to be interviewed for it, though she described how he was helpful to her. She framed the biography around the perfect game – not his famous decision not to pitch on Yom Kippur, or even his other accomplishments.

Without the perfect game, Koufax would have been a great pitcher and Leavy would have written a fine book. But without Scully’s description, the perfect game would have been less than it was. Fifty years later, all of them are a reminder of how great and simple events are intertwined with the history that surrounds them.

About the Author

Michael Green

Michael Green is an associate professor of history at UNLV. In 2015, the University of Nevada Press will publish his Nevada: A History of the Silver State. He also is the author of Lincoln and the Election of 1860 (Southern Illinois University Press) and other works on the nineteenth century and the American West.

Cuba Before the Revolution

While Americans saw only decadent gangsters, Cuban revolutionaries diagnosed deeper social ills.

 
Jacobin  September 6, 2015
Cuban dictator Fulgencio Batista visits Washington DC in November 1938. Harris & Ewing / Libary of Congress

Cuban dictator Fulgencio Batista visits Washington DC in November 1938. Harris & Ewing / Libary of Congress

To the American popular eye, pre-revolutionary Cuba was the island of sin, a society consumed by the illnesses of gambling, the Mafia, and prostitution. Prominent American intellectuals echoed that view. Even in 1969, when Cuban reality had changed drastically, Susan Sontag, in an article in Ramparts, described Cuba as “a country known mainly for dance, music, prostitutes, cigars, abortions, resort life, and pornographic movies.”

In a 2004 article for the Nation, Arthur Miller, based on what he had learned from people who had worked in the film industry in the island, described the Batista society “as hopelessly corrupt, a Mafia playground, a bordello for Americans and other foreigners.”

Although most Cubans would have readily admitted that Sontag and Miller had touched some of Cuba’s real wounds, they would have hardly seen them as the most representative, or as the most pressing problems that affected the island. The perceptions dominant in America’s media revealed far more about the North American colonial worldview than anything about Cuba itself, a feature of the mainstream culture of the US that continues to prevail today.

Gambling

To Americans, gambling in Cuba meant casino gambling.

Casinos began to develop in Cuba in the 1920s in connection with the growth of tourism. After several ups and downs in the following three decades, the casino industry took off in the mid- to late 1950s as Batista and his cronies, working together with American Mafiosi, used the resources of Cuban state development banks, and even union retirement funds, to build hotels, all of which hosted casinos, like the Riviera, the Capri, and the Havana Hilton (today’s Havana Libre). In the process both Cuban rulers and Mafiosi lined their own pockets, skimming the casinos’ proceeds, cheating investors, and trafficking drugs.

However, if the casino world of the island got ample coverage in the American media, it never became a central issue in the island’s media, and in the Cuban consciousness. Aside from the American tourists, who were the casinos’ principal customers, only a small number of Cubans — upper-middle and upper-class whites — gambled there. The casinos’ dress code and minimum betting requirements kept most Cubans out, though it is true that a relatively small but significant number of Cubans earned their living servicing the casinos and the hotels and nightclubs where they were usually located.

But the economic impact of casino gambling, and even of tourism, was greatly exaggerated in the US. In 1956, a good year for tourism, that economic sector earned $30 million, barely 10 percent of what the sugar industry made that year. This relatively modest performance was due in part to the fact that mass international tourism facilitated by widespread commercial jet travel had not yet begun. In the 1950s between 200,000 and 250,00 tourists visited Cuba annually, compared with slightly over three million in 2014, and likely more in 2015.

The casinos of Havana were looted immediately after the overthrow of dictator Fulgencio Batista on January 1, 1959. The great majority of Cubans saw casinos — as well as the parking meters that had been installed in the capital a few months earlier — as odious expressions of the oppressive corruption of Batista and his henchmen.

But as Rosalie Schwartz, a historian of Cuban tourism, has pointed out, “disgust with government excesses preceded and outstripped outrage over casinos…Revolutionaries charged Batista henchmen with torture and murder — not casino operations — when they put them on trial.” Most Cubans also did not object to gambling, and many had been engaging in the practice for a long time, though in a manner that was worlds apart from the casinos populated by tourists and privileged Cubans.

Cuba had an official national state lottery that had existed since Spanish colonial times. Every Saturday afternoon, a drawing took place sponsored by the Renta de la Lotería, an agency of the Cuban government created for that purpose. The Renta had become a massive source of corruption, although some legitimate charitable organizations obtained funds from the lottery’s proceedings. Even the Cuban Communists shared in those proceeds when, in control of the trade union movement during their alliance with Batista from 1938 until 1944, they built a new union headquarters at least in part with the money that the government granted them from the national lottery.

The lottery drawings were broadcast over the radio featuring a peculiar mixture of modernity and the Middle Ages. The weekly spectacle, worthy of a Luis Buñuel film, had the orphan and abandoned children raised by the nuns of the Casa de Beneficencia announce the different prize numbers with a distinctive chant in a characteristic voice, tone, and cadence. But the fact that even the smallest fractions of the official lottery tickets were relatively expensive stimulated the growth of an informal, illegal lottery based on the results of the official lottery that accepted bets as small as five cents.

This illegal lottery, referred to as “la bolita,” became big business and had its own capitalists, or “bankers,” some of which came to be well-known. The bankers, however, could not have survived without their numerous agents (“apuntadores”) in the barrios. They were the equivalent of the “numbers runners” in the United States. The anthropologist Ulf Hannerz suggested in his book Soulside that the numbers game of the American black ghettoes may have originated in Cuba.

There was little if any connection between the people who owned and ran the casinos and the bankers who ran the illegal bolita — except for the peculiar case of Martin Fox, the owner of the Tropicana night club and casino, who had made his initial capital as a bolita banker but left that world behind when he became the owner of Tropicana in the early fifties. What the bolita bankers and casino owners did have in common was that they had to pay off high government functionaries and the police.

The “bolita” was primarily a gambling activity for poor people. But for many poor and even some middle-class people, la bolita also became a means to support or to supplement their income by working as apuntadores, or numbers runners.

Even my parents, immigrant small-business people whose obsessive dedication to work and saving could not have been further removed from any gambling mentality, participated in the bolita. They did so not because they expected to win anything, but because their small weekly bets — always the same number — were a way of helping a poor neighborhood woman who worked as an apuntadora to survive.

The Big Crooks

For a long time, several Mafia families entertained the idea of taking their business to Cuba both as a means to expand their enterprises and to escape the reach of the FBI and the IRS, among other US government agencies. In December 1946, Havana’s classic Hotel Nacional hosted an important gathering of the Mafia attended by the heads of the most powerful families and organized by Lucky Luciano, who had been residing in the island since October of that year. But under heavy American pressure, the Cuban government deported Luciano in February of 1947.

Some other gangsters, such as Meyer Lansky and Tampa’s Santo Trafficante Jr, had a much longer stay on the island and were closely connected to casino gambling. Ironically, part of Lansky’s task was to eliminate the petty trickery of fast-paced games, such as the one called “razzle-dazzle” (a casino equivalent of the “two-card monte”) used to trick gullible tourists. Even Richard Nixon had complained to the US Embassy in Havana about the victimization of one of his rich and influential friends.

According to historian Rosalie Schwartz, in response to the threat that these games posed to the Havana casinos, Lansky opened a school to train and screen casino employees. Only trained and trustworthy individuals were to gain access to the world of blackjack dealers, croupiers, and roulette stickmen. Eliminating the petty chiselers from his casinos, Lansky ran an efficient operation that attracted big-time professional players to his crap tables, and gamblers who could trust the fairness of the games.

At Lansky’s Montmartre nightclub, businesslike table crews conducted the game; dealers dealt blackjack from a box, not from the hand, and floormen watched the action for any sign of impropriety. The big crooks were not going to let the small crooks discredit and ruin their business.

There were undoubtedly strong links between the Mafia and the Batista regime, but some observers have greatly magnified and distorted the nature of those links. Journalist T. J. English, for example — the author of an earlier book on the Westies, Manhattan’s Hells Kitchen’s gang — claims in his 2007 bookHavana Nocturne: How the Mob owned Cuba and then Lost it to the Revolution, that the mob “had infiltrated a sovereign nation and taken control of financial institutions and the levers of power from top to bottom.” According to English, Batista had embraced the dictates of the American mobsters and had become the muscle behind the Havana mob.

English may have taken his cue from Cuban writer Enrique Cirules‘s book El Imperio de la Habana. Cirules, who later accused English of plagiarism, argued that the power of the Mafia, in a permanent alliance with the US intelligence services, had taken over every level of power in Cuba. Batista’s 1952 military coup, which brought the retired general back to power, was not the cause of the power that the Mafia had amassed, but the coronation of its power, and led to a power triangle formed by the dominant financial groups, the Mafia, and US intelligence.

Cirules also makes the fantastic claim that the gains from the Mafia’s cocaine trade were even bigger than those of the sugar industry. However, the Mafia in Cuba was only one, albeit highly corrupt, interest group. The Mafia had no interest whatsoever in running Cuba; it just wanted a place to pursue their interests, primarily in gambling, and also in the drug trade, unmolested by the US or the Cuban government. Rather than trying to control the government and the political and economic life of the island, these mobsters focused their efforts on preventing other criminals from invading their turf.

That’s how, for example, internal mob disputes about gambling interests in Cuba led to the murder of gangster Albert Anastasia in a New York hotel barbershop in October 1957. The Mafia’s association with Batista fit the needs and requirements of the mob, but it is wrong to claim that its power in the island was greater than that of Batista and his military forces — just as the power of the mob in the United States of the twenties was not greater than that of the largest corporations, the Pentagon, and the Democratic and Republican parties.

Sex Work

Sex work was relatively common in the pre-revolutionary Cuba of the fifties, but North American opinion gave it a lot more importance than people did in Cuba, including the most radical critics of the island’s social and economic status quo.

It is estimated that by the end of the fifties Havana had 270 brothels and 11,500 women earned their living as sex workers. Compared with New York City in 1977, where 40,000 female sex workers were reportedly working, the ratio of sex workers in 1950s Havana, with a population of 1 million people, was approximately double the amount of the one in New York City, with 8 million people.

Considering the much greater poverty, unemployment, and the sexual double standard geared to preserve the virginity of “decent” girls — not men — until they were married, the difference at the time between the two cities is not as stark as one might expect.

Sex work in Havana attracted more attention than the one in New York not because there were more sex workers, but because of its greater concentration in certain urban areas (the neighborhoods of Colón, San Isidro, and Pajarito street, for example). The salient role that sex work played in the tourist industry, as well as the flamboyance of some of its venues, contributed in a major way to its visibility and notoriety.

Despite the high number of Cuban women engaged, and exploited, in the industry, there were many more Cuban women in other highly exploited sectors. Poor and unemployed young rural women, a major recruitment zone for the Havana bordellos, were far more likely to end up working as maids in a middle- or upper-class urban household than as prostitutes. The moral economy of the Cuban peasant and agricultural proletariat, which included notions of dignity, strong parental authority, and folk religion, were powerful forces against sex work.

According to the 1953 Cuban national census — the last census held before the revolutionary victory in 1959 — 87,522 women were working as domestic servants, 77,500 women were working for a relative without pay, and 21,000 women were totally without employment and looking for work. Moreover, an estimated 83 percent of all employed women worked less than ten weeks a year, and only 14 percent worked year-round.

These were the far more shocking realities of the uneven economic development induced by the US empire and Cuban capital on the island. But the work and the problems of being a maid, or a seamstress, may not have been as risqué and exciting to North American observers, whether left- or right-wing, interested in Cuban exoticism and difference.

The Revolutionaries Respond

If many Americans, including sections of the American liberal and radical left, saw casino gambling, the Mafia, and prostitution as defining characteristics of what was wrong with the Cuba of the 1950s, the Cuban opposition on the island had bigger fish to fry — dictatorship, widespread corruption of public officials, the evils of the one-crop economy and extreme rural poverty, high unemployment (particularly among young people, in both urban and rural Cuba), and in the case of the Communist opposition to Batista, US imperialism. (Fidel Castro made no public mention of imperialism until after the revolutionary victory.)

At his 1953 trial for the failed attack he led on the Moncada military barracks in eastern Cuba, Castro delivered a radical speech entitled “History Will Absolve Me.” In the speech Castro mentioned the need for an agrarian reform law that would have granted small allotments to landless peasants with compensation to the landlords, and demanded the participation of the workers in the profits (30 percent) of all large industrial, mercantile, or mining concerns, including sugar mills. He promised also that his revolutionary government would nationalize the electricity and telephone monopolies and confiscate the wealth of those who had misappropriated public funds.

Subsequent pronouncements made by Castro during the last two years of the struggle against the dictatorship were socially more moderate, as he successfully rallied a broad social and political coalition in support of the guerrilla and urban struggles of the 26th of July Movement. But even when the casinos and the Mafia became more important in the late 1950s, neither Castro, nor any other opposition leader, mentioned the Mafia, gambling, or prostitution in their political pronouncements.

That does not mean that Castro and other Cuban reformers and revolutionaries did not regard those phenomena as social ills or that they were indifferent to their effects. But they saw them as secondary problems, in a sense derivative from more fundamental issues that in their eyes characterized 1950s Cuba.

It is true that in those times there still floated the old pre-independence notion, based on the Enlightenment politics propagated by, among others, the Masonic lodges to which must Cuban leaders of the wars of independence against Spanish domination belonged, that Cuba suffered from three vices that a future Cuban Republic should eliminate: bullfighting, cockfighting, and the lottery.

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Bullfighting was indeed outlawed, but cockfighting, seen as a more Cuban than Spanish “hobby,” persisted, although more in rural than urban areas, and had nowhere near the massive cultural impact as that of the official lottery and its derivatives. But that notion had been fading away for some time.

The Cuban pre-revolutionary state also occasionally undertook actions against sex work. For example, in January 1951, under the constitutional government of the Auténtico Party’s Carlos Prio Socarrás, the minister of interior, Lomberto Díaz, launched a campaign to “clean” the Colón neighborhood, the area most associated with prostitution in the capital.

The campaign was welcomed by many Cubans, especially by the middle classes, and was widely reported and discussed in the media. But since there was no attempt to provide alternative employment to sex workers, the sector returned in full force to the Colón neighborhood soon after.

Colonial Folklore

As far back as the nineteenth century, many US politicians and ruling-class leaders saw Cuba as a potential target of annexation, a strategy that was ideologically justified by a body of assumptions that, as historian Louis A. Pérez has pointed out, regarded Cubans as a people ill-fit to govern themselves, ruled by a country (Spain) ill-equipped to govern anyone. It was this notion that supported the US intervention in Cuba’s war of independence against Spain and that, notwithstanding the genuine sympathy and compassion that many Americans felt for the oppressed Cubans, justified its imperialist design for the island.

After Spain lost the war, Cuba became independent in 1902, although only in a very limited sense considering the Platt Amendment granted the US government the right to militarily intervene in Cuba. As Pérez has indicated, the new reality of the island became represented in the predominant American ideology as a nation of children, or schoolchildren, with the Americans as their teachers.

Although this conception was not universally shared, and was even criticized in the US, it persisted as a kernel of the American popular conception of Cuba. As the island became the pioneer of tourism in the Caribbean beginning in the 1920s, it acquired an aura of sensuality, lack of moral inhibitions, and a hint of uncensored primitiveness highlighted by the American Protestant puritanism.

In the last analysis, the American emphasis on gambling, prostitution, and the Mafia as the central elements of the ills that affected pre-revolutionary Cuban society was, besides the general American fascination with the Mafia, a form of colonial folklore and ideology that also influenced Americans who would not consciously support colonialism or imperialism.

It was an ideology that was also present in the other imperialist power of that era, the USSR, as echoed in the 1964 Soviet film Soy Cuba. As Jacqueline Loss, a scholar of Soviet cultural influence in Cuba, has argued, the Soviet film represented Cubans as hot-blooded, sexy, impoverished, and in need of civilizing.

The American view of pre-revolutionary Cuba also stems from some assumptions that underlie the concept of underdevelopment. Aimed at replacing the “Orientalist” biases of the older notion of “backwardness,” underdevelopment — and later the Global South — was often superimposed on the earlier meaning instead of replacing it with modern objectives.

The terms were often also used as a rigid dichotomy — development versus underdevelopment — instead of as a continuum, which hindered the understanding of a country like pre-revolutionary Cuba and its contradictory combination of development and underdevelopment, its high modernity mixed with powerful remnants of the past, precluding a conception of complexity and nuanced analysis and leading to a simplistic image of a “primitive” country governed by sex and crime.

When applied to countries like Cuba, the American popular perception of “culture” was also homogeneous and unchanging, resulting in a distorted, caricatured image of Cubans. The complexities of Cuban society were reduced in the American popular media to cultural clichés and subsumed into an undifferentiated whole.

Cubans living on the island in the 1950s were not just dancers and fun people with a good sense of humor, but were also, for most of the time they were awake, working very hard either at ruling over the country (all the way down from dictators, capitalists, and landlords to soldiers and policemen) or, as for the great majority, at surviving as workers, peasants, public employees, students, professionals, shopkeepers, or intellectuals.

Whatever cultural behavior these various Cuban groupings may have shared, they were also substantially different from each other, sometimes even having more in common with their occupational and class counterparts in the United States than with other Cubans. After all, oppressed people in all countries act on the basis of the same drives and aspirations, trying to defend their standard of living, meet certain nutritional requirements, and limit if not eliminate their oppression.

This view of pre-revolutionary Cuba as a culturally homogeneous society so “exotic,” so far away from any similarity to a “developed” society, and fatally afflicted with the ills of gambling and Mafia control, suggested the image of an exhausted lumpenized society devoid of any political, moral, and spiritual resources and thus — unable to engage and conduct its own struggle for self-emancipation — dependent on saviors from above.

In the very early stages of the successful revolution, before it adoptedthe Soviet model, the Mafiosi were unceremoniously kicked out of the country, casino gambling was abolished (after some initial difficulties addressing the problem of substantial numbers of casino employees who would be left unemployed.) In February 1959 the national lottery was converted into the INAV (National Institute of Savings and Housing) — a transitional measure channeling the proceeds remaining from pre-revolutionary gambling into a savings fund dedicated to housing.

Sex work was initially allowed, but reformed, with the extortions by pimps and police abolished. Later on the sex workers were trained and provided alternative employment, but sex work eventually reappeared with the severe economic crisis of the nineties and the exponential growth of tourism.

In the last several years, bolita gambling (based on the results of the Florida lottery) has experienced a rebirth, although it has not yet reached the volume and cultural impact of its pre-revolutionary equivalent.

Still, whether one approves or disapproves of the present Cuban regime, it’s undeniable that the changes in the country, including the establishment of a one-party state, grew out of internal social and political realities in Cuba that were radically different from the American perception of Mafiosi decadence and lapsed island morals.

Samuel Farber was born and raised in Cuba. He is the author of Cuba Since the Revolution of 1959: A Critical Assessment.

The Witches of Salem

Diabolical doings in a Puritan village.

BY 

The New Yorker  September 7, 2015
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“Where will the Devil show most malice but where he is hated, and hateth most?” Cotton Mather wrote. CREDIT ILLUSTRATION BY THOMAS ALLEN; SOURCE: PHILLIPS LIBRARY, PEABODY ESSEX MUSEUM (DOCUMENT)

In 1692, the Massachusetts Bay Colony executed fourteen women, five men, and two dogs for witchcraft. The sorcery materialized in January. The first hanging took place in June, the last in September; a stark, stunned silence followed. Although we will never know the exact number of those formally charged with having “wickedly, maliciously, and feloniously” engaged in sorcery, somewhere between a hundred and forty-four and a hundred and eighty-five witches and wizards were named in twenty-five villages and towns. The youngest was five; the eldest nearly eighty. Husbands implicated wives; nephews their aunts; daughters their mothers; siblings each other. One minister discovered that he was related to no fewer than twenty witches.

The population of New England at that time would fit into Yankee Stadium today. Nearly to a person, they were Puritans. Having suffered for their faith, they had sailed to North America to worship “with more purity and less peril than they could do in the country where they were,” as a clergyman at the center of the crisis later explained. On a providential mission, they hoped to begin history anew; they had the advantage of building a civilization from scratch. Like any oppressed people, they defined themselves by what offended them, which would give New England its gritty flavor and, it has been argued, America its independence.

New England delivered greater purity but also introduced fresh perils. Stretching from Martha’s Vineyard to Nova Scotia and incorporating parts of present-day Rhode Island, Connecticut, New Hampshire, and Maine, it perched on the edge of a wilderness. That was a precarious position well before 1692, when the colony teetered between governments, or, more exactly, as a Boston merchant put it, “between government and no government.” The settlers unseated their royal governor in a deft 1689 military coup. They had endured without a charter for eight years.

From the start, the colonists tangled with that American staple, the swarthy terrorist in the back yard. Without a knock or a greeting, four armed Indians might appear in your parlor to warm themselves by the fire, propositioning you, while you cowered in the corner with your knitting. You could return from a trip to Boston to find your house in ashes and your family taken captive. The Indians skulked, they lurked, they flitted, they committed atrocities—and they vanished. “Our men could see no enemy to shoot at,” a Cambridge major general lamented.

King Philip’s War, a fifteen-month contest between the settlers and the Native Americans, had ended in 1676. It obliterated a third of New England’s towns, pulverized its economy, and claimed ten per cent of the adult male population. Every Bay Colony resident lost a friend or a relative; all knew of a dismemberment or an abduction. By 1692, another Indian war had begun to take shape, with a series of grisly raids by the Wabanaki and their French allies. The frontier had recently moved to within fifty miles of Salem.

From the pulpit came reminders of New England’s many depredations. The wilderness qualified as a sort of “devil’s den”; since the time of Moses, the prince of darkness had thrived there. He was hardly pleased to be displaced by a convoy of Puritans. He was in fact stark raving mad about it, preached Cotton Mather, the brilliant twenty-nine-year-old Boston minister. What, exactly, did an army of devils look like? Imagine “vast regiments of cruel and bloody French dragoons,” Mather instructed his North Church parishioners, and they would understand. He routinely muddied the zoological waters: Indians comported themselves like roaring lions or savage bears, Quakers like “grievous wolves.” The French, “dragons of the wilderness,” completed the diabolical menagerie. Given the symbiotic relationship of an oppressed people and an inhospitable landscape, it was from there but a short step to a colluding axis of evil.

The men who catalogued those dangers—who could discern a line of Revelation in a hailstorm—protected against them, spiritually and politically. They assisted in coups and installed regimes. Where witches were concerned, they deferred to the Biblical injunction: “Thou shalt not suffer a witch to live,” Exodus commands. The most literate men in Massachusetts in 1692 were also the most literal. Among them, few probed the subject of witchcraft as intently as did the lanky, light-haired Mather, who had entered Harvard at eleven and preached his first sermon at sixteen. He knew that the hidden world was there somewhere. He would relinquish no tool to exhibit it.

Mather shared the North Church pulpit with his illustrious father, Increase Mather. The president of Harvard, Increase was New England’s best-known and most prolific minister. (His son would eventually eclipse him on both counts, publishing four hundred and thirty-seven books, twenty-six of them in the next four years.) The elder Mather was returning from England that spring with a new charter. The fruit of three years’ negotiation, it promised at last to deliver Massachusetts from chaos. The colonists awaited it in jittery suspense; all manner of rumor circulated as to its terms. So unreliable was the news that a monarch could be dead one minute and alive the next.

In isolated settlements, in smoky, fire-lit homes, New Englanders lived very much in the dark, where one listens more acutely, feels most passionately, and imagines most vividly, where the sacred and the occult thrive. The seventeenth-century sky was crow black, pitch-black, Bible black, so black that it could be difficult at night to keep to the path, so black that a line of trees might freely migrate to another location, or that you might find yourself pursued by a rabid black hog, leaving you to crawl home on all fours, bloody and disoriented. Even the colony’s less isolated outposts felt their fragility. A tempest blew the roof off one of the finest homes in Salem as its ten occupants slept. A church went flying, with its congregation inside.

A visitor exaggerated when he reported that New Englanders could “neither drive a bargain, nor make a jest, without a text of Scripture at the end on it,” but he was not far off. If there was a book in the house, it was the Bible. The early modern American thought, breathed, dreamed, disciplined, bartered, and hallucinated in Biblical texts and imagery. St. John the Baptist might well turn up in a land dispute. A prisoner cited Deuteronomy 19:19 in his own defense. When a killer cat came flying in your window—taking hold of your throat and crushing your chest as you lay defenseless in your bed—you scared it away by invoking the Father, the Son, and the Holy Ghost. You also concluded that your irascible neighbor had paid a call, in feline form.

Human frailty was understood to account for inclement weather: teeth chattering, toes numb, the Massachusetts Puritan had every reason to believe that he sinned flamboyantly. He did so especially during the arctic winter of 1691, when bread froze on Communion plates, ink in pens, sap in the fireplace. In tiny Salem village, the Reverend Samuel Parris preached to a chorus of rattling coughs and sniffles, to the shuffling of cruelly frostbitten feet. For everyone’s comfort, he curtailed his afternoon sermon of January 3, 1692. It was too cold to go on.

Weeks later, word got out that something was grievously wrong in the Parris household. The minister’s eleven-year-old niece and nine-year-old daughter complained of bites and pinches by “invisible agents.” Abigail and Betty launched into “foolish, ridiculous speeches.” Their bodies shuddered and spun. They went limp or spasmodically rigid. They interrupted sermons and fell into trances. Neither appeared to have time for prayer, though until January both had been perfectly well behaved and well mannered. At night they slept like babies.

In 1641, when the colonists established a legal code, the first capital crime was idolatry. The second was witchcraft. “If any man or woman be a witch, that is, has or consults with a familiar spirit, they shall be put to death,” read the Massachusetts body of laws. Blasphemy came next, followed by murder, poisoning, and bestiality. In the years since, New England had indicted more than a hundred witches, about a quarter of them men. The first person to confess to having entered into a pact with Satan, a Connecticut servant, had prayed for his help with her chores. An assistant materialized to clear the ashes from the hearth and the hogs from the fields. The servant was indicted in 1648 for “familiarity with the devil.” Unable to resist a calamity, preternatural or otherwise, Cotton Mather disseminated an instructive account of her compact.

In 1688, four exemplary Boston children, the sons and daughters of a devout Boston stonelayer named John Goodwin, suffered from a baffling disorder. “They would bark at one another like dogs, and again purr like so many cats,” noted Mather, who observed Goodwin’s family and wrote of their afflictions in “Memorable Providences, Relating to Witchcraft and Possessions” the following year. (The 1689 volume was a salute to his father’s “Illustrious Providences,” a grab bag of apparitions and portents, published five years earlier.) The Goodwin children flew like geese, on one occasion for twenty feet. They recoiled from blows of invisible sticks, shrieked that they were sliced by knives or wrapped in chains. Jaws, wrists, necks flew out of joint. Parental reproof sent the children into agonies. Chores defied them. But “nothing in the world would so discompose them as a religious exercise,” Mather reported. Thirteen-year-old Martha could read an Oxford compendium of humor, although she seized up when handed a volume he deemed “profitable and edifying,” or one with the name Mather on the cover.

To observe her symptoms more closely, Mather that summer took Martha Goodwin into his home. She cantered, trotted, and galloped about the household on her “aeriel steed,” whistling through family prayer and pummelling anyone who attempted it in her presence—the worst house guest in history. She hurled books at Mather’s head. She read and reread his pages on her case, lampooning their author. The sauciness astonished him. “And she particularly told me,” Mather sputtered, four years before the Salem trials, “that I should quickly come to disgrace by that history.”

The cause of Martha’s afflictions was identified soon enough. The witch was the mother of a neighborhood laundress. On the stand, the defendant was unable adequately to recite the Lord’s Prayer, understood to be proof of guilt. She was hanged in November, 1688, on Boston Common.

Samuel Parris, the Salem minister, would have known every detail of the Goodwin family’s trials from Mather’s much reprinted “Memorable Providences.” The book included the pages Martha wildly ridiculed. The “agitations, writhings, tumblings, tossings, wallowings, foamings” in the parsonage were the same, only more acute. The girls cried that they were being stabbed with fine needles. Their skin burned. One disappeared halfway down a well. Their shrieks could be heard from a distance.

Through February, Parris fasted and prayed. He consulted with fellow-clergymen. With cider and cakes, he and his wife entertained the well-wishers who crowded their home. They prayed ardently, gooseflesh rising on their arms. They sang Psalms. But when the minister had had enough of the “odd postures and antic gestures,” the deranged speeches, when it became clear that Scripture would not relieve the girls’ preternatural symptoms, Parris called in the doctors.

In 1692, a basic medical kit looked little different from an ancient Greek one, consisting as it did of beetle’s blood, fox lung, and dried dolphin heart. In plasters or powders, snails figured in many remedies. Salem village had one practicing physician that winter. He owned nine medical texts; he could likely read but not write. His surgical arsenal consisted of lances, razors, and saws. The doctor who had examined a seizing Groton girl a generation earlier initially diagnosed a stomach disorder. On a second visit, he refused to administer to her further. The distemper was diabolical in origin.

Whoever examined Abigail and Betty arrived at the same conclusion. “The evil hand” came as no surprise; the supernatural explanation was already the one on the street. The diagnosis likely terrified the girls, whose symptoms deteriorated. It may have gratified Reverend Parris. Witchcraft was portentous, a Puritan favorite. Never before had it broken out in a parsonage. The Devil’s appearance was nearly a badge of honor, further proof that New Englanders were the chosen people. No wonder Massachusetts was troubled by witches, Cotton Mather exulted: “Where will the Devil show most malice but where he is hated, and hateth most?” The New England ministry had long been on the lookout for the apocalypse, imminent since the sixteen-fifties. The Book of Revelation predicted that the Devil would descend accompanied by “infernal fiends.” If they were about, God could not be far behind.

 Soon the twelve-year-old daughter of a close friend of Parris’s began to shudder and choke. So did the village doctor’s teen-age niece. A creature had followed her home from an errand, through the snow; she now realized that it had not been a wolf at all. The girls named names. They could see the culprits clearly. Not one but three witches were loose in Salem.

From Martha’s Vineyard to Nova Scotia, New England perched on the edge of a wilderness.

From Martha’s Vineyard to Nova Scotia, New England perched on the edge of a wilderness. COURTESY DEBRA LILL

What exactly was a witch? Any seventeenth-century New Englander could have told you. As workers of magic, witches and wizards extend as far back as recorded history. The witch as Salem conceived her materialized in the thirteenth century, when sorcery and heresy moved closer together. She came into her own with the Inquisition, as a popular myth yielded to a popular madness. The western Alps introduced her to lurid orgies. Germany launched her into the air. As the magician molted into the witch, she also became predominately female, inherently more wicked and more susceptible to satanic overtures. An influential fifteenth-century text compressed a shelf of classical sources to make its point: “When a woman thinks alone, she thinks evil.” As is often the case with questions of women and power, elucidations here verged on the paranormal. Though weak willed, women could emerge as dangerously, insatiably commanding.

The English witch made the trip to North America largely intact. She signed her agreement with the Devil in blood, bore a mark on her body for her compact, and enchanted by way of charms, ointments, and poppets, doll-like effigies. Continental witches had more fun. They walked on their hands. They made pregnancies last for three years. They rode hyenas to bacchanals deep in the forest. They stole babies and penises. The Massachusetts witch disordered the barn and the kitchen. She seldom flew to illicit meetings, more common in Scandinavia and Scotland. Instead, she divined the contents of an unopened letter, spun suspiciously fine linen, survived falls down stairs, tipped hay from wagons, enchanted beer, or caused cattle to leap four feet off the ground. Witches could be muttering, contentious malcontents or inexplicably strong and unaccountably smart. They could commit the capital offense of having more wit than their neighbors, as a minister said of the third Massachusetts woman hanged for witchcraft, in 1656.

Matters were murkier when it came to the wily figure with six thousand years of experience, the master of disguise who could cause things to appear and disappear, who knew your secrets and could make you believe things of yourself that were not true. He turned up in New England as a hybrid monkey, man, and rooster, or as a fast-moving turtle. Even Cotton Mather was unsure what language he spoke. He was a pervasive presence, however: the air pulsed with his minions. Typically in Massachusetts, he wore a high-crowned hat, as he had in an earlier Swedish invasion, which Mather documented in his 1689 book. Mather did not mention the brightly colored scarf that the Devil wound around his hat. Like the Swedish devil’s gartered stockings or red beard, it never turned up in New England.

By May, 1692, eight Salem girls had claimed to be enchanted by individuals whom most of them had never met. Several served as visionaries; relatives of the ailing made pilgrimages to consult with them. They might be only eleven or twelve, but under adult supervision they could explain how several head of cattle had frozen to death, several communities away, six years earlier. In the courtroom, they provided prophetic direction, cautioning that a suspect would soon topple a child, or cause a woman to levitate. Minutes later, the victim’s feet rose from the floor. With their help, at least sixty witches had been deposed and jailed by the end of the month, more than the Massachusetts prisons had ever accommodated. Those who had frozen through the winter began to roast in the sweltering spring.

On May 27th, the new Massachusetts governor, Sir William Phips, established a special court to try the witchcraft cases. He assembled on the bench nine of the “people of the best prudence and figure that could be pitched upon.” At its head he installed his lieutenant governor, sixty-year-old William Stoughton. A political shape-shifter, Stoughton had served in five prior Massachusetts regimes. He had helped to unseat the reviled royal governor, on whose council he sat and whose courts he headed. He possessed one of the finest legal minds in the colony.

The court met in early June, and sentenced the first witch to hang on the tenth. It also requested a bit of guidance. During the next days, twelve ministers conferred. Cotton Mather drafted their reply, a circumspect, eight-paragraph document, delivered mid-month. Acknowledging the enormity of the crisis, he issued a paean to good government. He urged “exquisite caution.” He warned of the dangers posed to those “formerly of an unblemished reputation.”

In the lines that surely received the greatest scrutiny, Mather reminded the justices that convictions should not rest purely on spectral evidence—evidence visible only to the enchanted, who conversed with the Devil or with his confederates. Mather would insist on the point throughout the summer. Other considerations must weigh against the suspected witch, “inasmuch as ’tis an undoubted and a notorious thing” that a devil might impersonate an innocent, even virtuous, man. Mather wondered whether the entire calamity might be resolved if the court discounted those testimonies. With a sweeping “nevertheless”—a word that figured in every 1692 Mather statement on witchcraft—he then executed an about-face. Having advised “exquisite caution,” he endorsed a “speedy and vigorous prosecution.”

A month later, Ann Foster, a seventy-two-year-old widow from neighboring Andover, submitted to the first of several Salem interrogations. Initially, she denied all involvement with sorcery. Soon enough, she began to unspool a fantastical tale. The Devil had appeared to her as an exotic bird. He promised prosperity, along with the gift of afflicting at a glance. She had not seen him in six months, but her ill-tempered neighbor, Martha Carrier, had been in touch on his behalf.

At Carrier’s direction, Foster had bewitched several children and a hog. She worked her sorcery with poppets. Carrier had announced a Devil’s Sabbath in May, arranging their trip by air. There were twenty-five people in the meadow, where a former Salem village minister officiated. Three days later, from jail, Foster added a malfunctioning pole and a mishap to her account. The pole had snapped as the women flew, causing them to crash, Foster’s leg crumpling beneath her.

She appeared entirely coöperative, both in a jail interview with a minister and before her interrogators. The justices soon learned that Foster had failed to come clean, however. It seemed that she and Carrier had neither flown nor crashed alone on that Salem-bound pole: a third rider had travelled silently behind Foster. So divulged forty-year-old Mary Lacey, a newly arrested suspect, on July 20th. Foster had also withheld the details of a chilling ceremony. The Devil had baptized his recruits, dipping their heads in water, six at a time. He performed the sacrament in a nearby river, to which he had carried Lacey in his arms. On July 21st, Ann Foster appeared before the magistrates for the fourth time. That hearing was particularly sensational: Mary Lacey, who supplied the details missing from Foster’s account, was her daughter.

“Did not you know your daughter to be a witch?” one justice asked Foster. She did not, and seemed taken aback. Mary Warren, a pretty, twenty-year-old servant, helpfully chimed in, a less dramatic witness at Foster’s hearing than she appeared on other occasions, when blood trickled from her mouth or spread across her bonnet. Warren shared with the court what a spectre had confided in her: Foster had recruited her own daughter. The authorities understood that she had done so about thirteen years earlier. Was that correct? “No, and I know no more of my daughter’s being a witch than what day I shall die upon,” Foster replied, sounding as unequivocal as she had been on the details of the misbegotten Salem flight. A magistrate coaxed her: “You cannot expect peace of conscience without a free confession.” Foster swore that if she knew anything more she would reveal it.

At this, Mary Lacey was called. She berated her mother: “We have forsaken Jesus Christ, and the Devil hath got hold of us. How shall we get clear of this evil one?” Under her breath, Foster began to pray. “What God do witches pray to?” a justice needled. “I cannot tell, the Lord help me,” the befuddled old woman replied, as her daughter delivered fresh details of their flight to the village green and of the satanic baptism. Her mother, Lacey revealed, rode first on the stick.

Court officers removed the two older women and escorted Lacey’s seventeen-year-old daughter, Mary Lacey, Jr., into the room. Mary Warren fell at once into fits. At first, the younger Lacey was unhelpful. “Where is my mother that made me a witch and I knew it not?” she cried, a yet more disturbing question than the one posed in June, when a suspect wondered whether she might be a witch and not know it. Asked to smile at Warren without hurting her, Mary Lacey failed. Warren collapsed to the floor. “Do you acknowledge now that you are a witch?” Lacey was asked. She could only agree, although she seemed to be working from a different definition: a recalcitrant child, she had caused her parents plenty of trouble. She had, she insisted, signed no diabolical pact.

The ideal Puritan girl was a sterling amalgam of modesty, piety, and tireless industry. She was to speak neither too soon nor too much. She read her Scripture twice daily. Increase Mather warned that youths who disregarded their mothers could expect to “come to the gallows, and be hanged in gibbets for the ravens and eagles to feed upon them.” The attention to a youngster’s spiritual state intensified at adolescence, when children became simultaneously more capable of reason and less reasonable. Fourteen was the dividing line in law, for slander among other matters. One was meant then to embrace sobriety and to “put away childish things,” as a father reminded his Harvard-bound son.

The father was the master of the family, its soul, the governor of all the governed. He was often an active and engaged parent. He sat vigil in the sickroom. He fretted over his children’s bodies and souls. A majority of the bewitched girls had lost fathers; at least half were refugees from or had been orphaned by attacks in “the last Indian war.” Those absences were deeply felt. A roaring girl wrestled aloud with the demons who would assault her the following year: she was well aware that she was fatherless—how often did they need to remind her as much? But she was hardly an orphan. In a heated, one-sided conversation, observed and preserved by Cotton Mather, the seventeen-year-old admonished her tormentors, “I have God for my father and I don’t question but he’ll provide well for me.”

The justices reminded Mary Lacey, Jr., that if she desired to be saved by Christ she would confess. “She then proceeded,” the court reporter noted. She was more profligate with details than her mother or her grandmother had been. It was a hallmark of Salem that the younger generation—Cotton Mather included—could be relied on for the most luxuriant reports. It appeared easier to describe satanic escapades when an adolescent had already been told, or believed, that she cavorted with the Devil. The record allows a fleeting glimpse of Mary’s sense of herself. “I have been a disobed—” she began, after which the page is torn.

Following Mary’s testimony, her mother was returned to the room. The older woman had so often scolded that the Devil should fetch her away. Her wish had come true! Tears streaming down her face, the teen-ager now managed a spot of revenge: “Oh, mother, why did you give me to the Devil twice or thrice over?” Mary sobbed. She prayed that the Lord might expose all the witches. Officials led in her grandmother; three generations of enchantresses stood before the justices. Mary continued her rant: “Oh, grandmother, why did you give me to the Devil? Why did you persuade me and, oh, grandmother, do not you deny it. You have been a very bad woman in your time.” The three returned to jail as a clutch of warrants made their way to Andover.

By the end of July, it was clear that— with the help of a minister mastermind—the Devil intended to topple the Church and subvert the country, something he had never before attempted in New England. Certain patterns emerged as well. To cast aspersions on a bewitched girl, to visit one’s imprisoned spouse too regularly, was to risk accusation. It bordered on heresy to question the validity of witchcraft, the legitimacy of the evidence, or the wisdom of the court. The skeptic was a marked man. It could be wise to name names before anyone mentioned yours. It was safer to be afflicted than accused. Increasingly, you slept under the same roof, if not in the same bed, as your accuser.

Bewitched women choked with fits, whereas men—who stepped forward only once the trials had begun—tended to submit to paralyzing bedroom visits. Imputations proved impossible to outrun. The word of two ministers could not save an accused parishioner. Neither age, fortune, gender, nor church membership offered immunity; prominent men stood accused alongside homeless five-year-old girls. No one ever suffered afflictions without being able to name a witch. Many braced for a knock at the door.

The court met again early in August, when three men were convicted: George Jacobs, an elderly farmer; John Willard, a much younger one; and John Proctor, the first village man to have been accused. In Cotton Mather’s first Thursday sermon that month, he addressed the trial that all of Massachusetts awaited. Tipping his hand a little, he called once for compassion for the accused, twice for pity for the justices. They were, after all, up against the greatest sophist in existence. They labored to restore the innocent while excising the diabolical; it made for a hazardous operation. The following day, Mather wrote excitedly to an uncle in Plymouth. God was working in miracles. No sooner had they executed five witches—all impudently protesting their innocence—than God had dispatched the Andover witches, who offered “a most ample, surprising, amazing confession of all their villainies,” acknowledging the five executed that had been their confederates, and naming many more. They identified their ringleader, who came to trial that afternoon. “A vast concourse of people,” noted Mather, made their way to Salem for the event, his father among them.

The demonic mastermind was a minister in his early forties named George Burroughs. He had grown up in Maryland and graduated from Harvard in 1670, narrowly missing Samuel Parris. He was in his late twenties when he first arrived in Salem village, where he spent three contentious years. He was never ordained. Before and after that tenure, Burroughs served on the vulnerable Maine frontier. During a 1689 raid, he had joined in a seven-hour battle, waged in a field and an orchard. A veteran Boston militia captain lauded the Reverend for his unexpected role. The assault cost the settlers dearly; two hundred and fifty of them were killed or taken captive. Twice widowed, Burroughs retreated down the coast to Wells, eighty miles north of Boston. From a lice-infested garrison, he several times in the winter of 1692 appealed to the colonial authorities, who had withdrawn troops from the frontier, for clothing and provisions. The enemy lurked outside. They could not hold out for long.

Burroughs’s spectre had been terrifying Salem villagers since April, when he first choked the twelve-year-old daughter of the Parris stalwart. He nearly tore her to pieces, bragging afterward that he outranked a wizard—he was a conjurer. (Days later, he introduced himself with the same credentials to Parris’s niece, whom he also bewitched.) He had murdered several women and—evidently a secret agent, in the employ of the French and the Indians—dispatched a number of frontier soldiers as well. His mission was a frightful one, he informed the twelve-year-old: he who should have been teaching children to fear God had now “come to persuade poor creatures to give their souls to the Devil.” It was he who presided over the satanic Sabbaths.

Sixteen people had given evidence at Burroughs’s preliminary hearing. Nearly twice as many testified at his trial. Eight confessed witches revealed that he had been promised a kingship in Satan’s reign. Nine witnesses accused the short, muscular minister—a “very puny man,” in the estimation of Cotton Mather—of feats that would have taxed a giant. (Mather provided the sole surviving account of the trial, although we have no evidence that he ever entered the courtroom.) “None of us could do what he could do,” a forty-two-year-old Salem weaver recalled. He had attempted to lift a shotgun that Burroughs had fired but, even with both hands, could not steady the seven-foot weapon. Asked to account for his preternatural strength, Burroughs said that an Indian had assisted him in firing the musket. Lurking behind the testimony was what may have been the most pertinent charge against the former village minister: he had survived every Indian attack unscathed. Several of the bewitched had not been so lucky. Others who might have testified about the musket handling were dead.

The girls delivered up their own reports with difficulty, falling into testimony-stopping trances, yelping that Burroughs bit them. They displayed their wounds for court officials, who inspected the minister’s mouth. The imprints matched perfectly. Choking and thrashing stalled the proceedings; the court could do nothing but wait for the girls to recover. During one delay, Chief Justice Stoughton appealed to the defendant. What, he asked, did Burroughs think throttled them? The minister replied that he assumed it was the Devil. “How comes the devil then to be so loath to have any testimony born against you?” Stoughton challenged. A brainteaser of a question, it left Burroughs without an answer.

He was equally bewildered when ghosts began to flit about the overcrowded room. Some observers who were not bewitched saw them too. Directly before Burroughs, a girl recoiled from a horrible sight: she explained that she stared into the blood-red faces of his dead wives. The ghosts demanded justice. By no account an agreeable man, Burroughs managed to join abusive behavior at home with miraculous feats abroad. If those in the court did not know already that, as Mather had it, Burroughs “had been famous for the barbarous use of his two late wives, all the country over,” they did soon enough. He monitored their correspondences. He made them swear never to reveal his secrets. He berated them days after they had given birth. All evidence pointed to the same conclusion: he was a bad man but a very good wizard.

At one point, a former brother-in-law testified, Burroughs had vanished in the midst of a strawberry-picking expedition. His companions hollered for him in vain. They rode home to find that he had preceded them, on foot and with a full basket of berries. He had divined as well what was said about him in his absence. The Devil could not know as much, the brother-in-law protested, to which Burroughs replied, “My God makes known your thoughts unto me.” Was it possible, the chief justice suggested, that a devil had fitted Burroughs into some sort of invisibility cloak, so that he might “gratify his own jealous humor, to hear what they said of him”? Burroughs’s answer is lost; Mather deemed it not “worth considering.” The evidence dwarfed the objections. Burroughs does seem to have bungled his defense. He stumbled repeatedly, offering contradictory answers—a luxury afforded only the accusers. As for “his tergiversations, contra-dictions, and falsehoods,” Mather chided, “there never was a prisoner more eminent for them.”

Out of excuses, Burroughs extracted a paper from his pocket. He seemed to believe it a deal-clincher. He did not contest the validity of spectral evidence, as had others who came before the court, who did not care to be convicted for crimes they committed in someone else’s imagination. Instead, Burroughs, reading from the paper, asserted that “there neither are, nor ever were witches, that having made a compact with the Devil can send a Devil to torment other people at a distance.” It was the most objectionable thing he could have suggested. If diabolical compacts did not exist, if the Devil could not subcontract out his work to witches, the Court of Oyer and Terminer had sent six innocents to their deaths.

A tussle ensued. Stoughton—who had graduated from Harvard around the time Burroughs was born—recognized the lines at once. Burroughs had lifted them from the work of Thomas Ady. A leading English skeptic, Ady inveighed against “groundless, fantastical doctrines,” fairy tales and old wives’ tales, the results of middle-of-the-night imaginings, excessive drinking, and blows to the head. Though witches existed, they were rare. The Bible nowhere connected them with murder, or with imps, compacts, or flights through the air.

Ady believed that witches were a convenient excuse for the ignorant physician. He suggested that when misfortune struck we should not struggle to recall who had last come to the door. Burroughs denied having borrowed the passage, then amended his answer. A visitor had passed him the text in manuscript. He had transcribed it. He had already several times agreed with the justices that witches plagued New England. It was too late for such a dangerous gambit.

Early on the morning of August 19th, the largest throng to date turned out to inspect the first men whom Massachusetts was to execute for witchcraft. Martha Carrier joined them on the trip to the gallows. As the cart creaked up the hill, George Burroughs, George Jacobs, John Proctor, and John Willard insisted that they had been falsely accused. They hoped that the real witches would soon be revealed. They “declared their wish,” a bystander reported, “that their blood might be the last innocent blood shed upon that account.” They remained “sincere, upright, and sensible of their circumstances, on all accounts.” They forgave their accusers, the justices, the jury; they prayed they might be pardoned for their actual sins. Cotton Mather journeyed to Salem for the execution. Some of the condemned appealed to him in heartrending terms. Would he help them to prepare spiritually for the journey ahead? It is unclear if he did so or if he held the same hard line as the Salem town minister, who did not pray with witches.

Burroughs appears to have climbed the ladder first. With composure, he paused midway to offer what many expected to be a long-delayed confession. A wisp of his former self after fourteen weeks in a dungeon, he remained a contrarian. Perched above a crowd that included his former in-laws and parishioners, a noose around his neck, he delivered an impassioned speech. With his last breaths, Burroughs entrusted himself to the Almighty. Tears rolled down cheeks all around before he concluded with some disquieting lines. “Our Father, who art in Heaven,” Burroughs began, continuing, from the ladder, with a blunder-free recitation of the Lord’s Prayer—an impossible feat for a wizard, one that any number of other suspects had not managed. For a few moments, it seemed as if the crowd would obstruct the execution.

Minutes later, the minister dangled from a roughly finished beam. The life had not gone from his body when Mather, on horseback, pressed forward to smother the sparks of discontent. He reminded the spectators that Burroughs had never been ordained. (That was also true of others on the hill that day, but at least made the dying minister seem unorthodox.) What better disguise might the Devil choose on such an occasion, Mather challenged, than to masquerade as “an angel of light”? To the last, George Burroughs was condemned for his gifts. The protests quieted, as did the minister hanging in midair. He may have heard a portion of Mather’s remarks.

The execution of a beguiling, Scripture-spouting minister, protesting his innocence to the end, created nearly as much disquiet as had the idea that a beguiling, Scripture-spouting minister recruited for the Devil. It raised qualms about the court and on the bench. Several of the justices soon allowed that their methods had been “too violent and not grounded upon a right foundation”; were they to sit again, they would proceed differently. And it sent Cotton Mather to his desk.

On September 2nd, he wrote to the chief justice. Already, Mather claimed, he had done far more behind the scenes than Stoughton could possibly know. He had been fasting almost weekly through the summer for an end to the sulfurous assault. He felt that the Massachusetts ministers ought to support the court in its weighty, worthy task; none had sufficiently done so. He volunteered to step into the breach, to “flatten that fury, which we now much turn upon one another.” He had begun to write up a little something, “to set our calamity in as true a light as I can.” With this new book, he proposed to dispel any doubts that innocents were in danger, a passage he underlined. Mather promised to submit his narrative to Stoughton, so that “there may not be one word out of point.” Might the chief justice and his colleagues sign off on his endeavor, which would remind the people of their duties in such a crisis? In a singular valediction, Mather wished Stoughton “success in your noble encounters with Hell.”

Increase Mather, too, was at work on a book. As father and son wrote, confessions and concerns multiplied. Reports circulated that seven hundred witches preyed on Massachusetts. A prominent Bostonian carried his ailing child the twenty miles to Salem, the Lourdes of New England, to be evaluated by the village girls, incurring the wrath of Increase Mather. Was there “not a God in Boston,” he exploded, “that he should go to the Devil in Salem for advice?” Things were wholly out of hand when a Boston divine was up against an adolescent oracle. On October 4th, for the first time, seven suspects, all under the age of eighteen, went home on bail. Among the eldest was Mary Lacey, Jr., Ann Foster’s headstrong granddaughter.

“I found this province miserably harassed with a most horrible witchcraft,” Governor Phips wrote on October 12th, in his first report to London on the supernatural plague. He sounded as if he were writing from Sweden rather than from Boston, borrowing Mather’s details of that infestation. Grappling with the future of the court, which was scheduled to reconvene in two weeks, he insisted that the justices had always ruled with empirical evidence, but admitted that many now condemned their work. He placed a ban on witchcraft books. “I saw a likelihood of kindling an inextinguishable flame if I should admit any public and open contests,” Phips explained. That ban applied only to volumes that did not bear the name Mather on the cover. “The Wonders of the Invisible World” soon slipped into print, followed by Increase Mather’s “Cases of Conscience,” both artfully postdated to 1693.

“The Wonders of the Invisible World” was America’s first instant book. Garlanded in credentials, it advertised itself as having been “published by the special command of his Excellency the Governor.” Stoughton prefaced the volume, professing himself mildly surprised but immensely gratified by the work. What a timely account, so carefully and moderately composed! The chief justice was particularly grateful for Mather’s painstaking efforts, “considering the place that I hold in the Court of Oyer and Terminer, still laboring and proceeding in the trial of the persons accused and convicted for witchcraft.” Cotton Mather introduced the text with a tribute to his own courage. It was crucial that proper use be made of the “stupendous and prodigious things that are happening among us.” He did so only, he professed, because no one else volunteered. Weeks earlier, he had promised that his work would in no way interfere with that of two colleagues, whom he effectively cut off at the pass.

What constituted sufficient proof of witchcraft? Father and son disagreed. Fifty-three-year-old Increase explained in “Cases” that a “free and voluntary confession” remained the gold standard. When credible men and women could attest to these things, the evidence was sound. He had no patience for mewling teen-age girls. One did not accept testimony from “a distracted person or of a possessed person in a case of murder, theft, felony of any sort, then neither may we do it in the case of witchcraft.” He cast a vote for clemency: “I would rather,” he wrote, “judge a witch to be an honest woman than judge an honest woman as a witch.”

Cotton Mather worried less about condemning an innocent than about allowing a witch to walk free. In “Wonders,” he set out “to countermine the whole plot of the devil against New England.” He would not be surprised if the witchcraft reached even farther than was suspected, folding into his volume an account of a celebrated thirty-year-old English case, similar to Salem’s, except perhaps for a combusting toad. He chose that trial with reason: it was one in which spectral evidence had served to convict. Mather seems occasionally to have embroidered on court reports with details that appear nowhere in the surviving pages: the smell of brimstone, money raining down, a corner of a sheet ripped from a spectre. He otherwise adhered closely to the evidence while working some magic with his pages; no witnesses for the defense or petitions on their behalf appear in “Wonders.” Mather included all the crowd-pleasing spectral stories, while issuing regular reminders that flights and pacts played only supporting roles in the convictions.

He expressed his fervent hope that some of the witches in custody might prove innocent. They deserve “our most compassionate pity, till there be fuller evidences that they are less worthy of it.” Twenty pages later, he wrote of George Burroughs, “Glad I should have been if I had never known the name of this man.” His very initials revolted Mather. He wrote up five trial accounts in all; Burroughs alone was so powerful a wizard that he could not be named.

As quickly as Mather worked, “The Wonders of the Invisible World” arrived as a case of too much too late. Conceived as a justification, billed as a felicitous accident, advertised in the author’s own words, the volume read as a full-throated apologia. Governor Phips disbanded the witchcraft court at the end of October. Days after the book’s publication, Mather wailed to his Plymouth-based uncle. A cataract of “unkindness, abuse, and reproach” roared his way. People said lovely things to his face and hideous things behind his back. He meant only to tamp down dissent at a critical time. He found himself under fire for another infraction as well: filial disrespect. He had not endorsed his father’s volume. (Nor had his father endorsed his.) Among all the freewheeling accusations in 1692, not once had a father accused a son or a son implicated a father. He could see little to do but die.

The new administration could ill afford a rift at this juncture; Increase Mather added a postscript to his pages. He remained convinced that witches roamed the land. He meant not to deny witchcraft but to make its prosecution more exact. He had declined to endorse his son’s volume only out of an aversion to nepotism; he was most grateful to him for having established that no one had been convicted purely on spectral evidence. He too made a point of including Burroughs, who had, Increase Mather assured his readers, accomplished things that no one who “has not a devil to be his familiar could perform.” Burroughs had deserved to hang. As Cotton Mather saw it, he had made a case for prosecuting the guilty, his father for protecting the innocent. Were they not saying the same thing? An early death no longer appealed.

Ayear after the trials, Cotton Mather treated two newly afflicted girls. A seventeen-year-old servant began to convulse after insulting a woman who had been imprisoned in 1692. The girl interrupted sermons and fell into trances. She went twelve days without food. She discoursed with spectres who tempted her with diabolical pacts; she shrieked so loudly that well-wishers fled the room; she tore a leaf from Mather’s Bible. He followed the same protocol he had with the Goodwins, four years and nineteen executions earlier, assembling groups to pray and to sing Psalms at her bedside.

Both girls eventually recovered. Mather devoted thirty-eight pages to the initial case but left them unpublished. Given the tenor of the times, he wrote, “No man in his wits would fully expose his thoughts unto them, till the charms which enrage the people are a little better dissipated.” He did not care in 1693 to cultivate what, centuries later, would be termed the paranoid strain in American politics, with its “sense of heated exaggeration, suspiciousness, and conspiratorial fantasy.” Political stability remained paramount. Mather did, however, retail the teen-ager’s report that Frenchmen and Indians—“horrid sorcerers and hellish conjurers”—had colluded in Salem witchcraft. He insisted on it for years.

“There is no public calamity,” Mather noted, in “Wonders,” “but some ill people will serve themselves of the sad providence, and make use of it for their own ends, as thieves when a house or town is on fire, will steal what they can.” Twenty-eight years later, a smallpox epidemic raged through Boston. Cotton Mather faced down the entire medical establishment to advocate something that seemed every bit as dubious as spectral evidence: inoculation. He had studied medicine at Harvard. Over the decades, he had come better to understand infectious disease. Moving from imps and witches to germs and viruses, he at last located the devils we inhale with every breath. The battle turned so vitriolic that it dragged Salem out of hiding; Mather was bludgeoned for lunacy on two counts. Yet again, Massachusetts seemed to be in the grip of distemper. The people talked, he huffed in his diary, “not only like idiots but also like fanaticks.” He remained as steadfast on the subject of inoculation as he had been equivocal on witchcraft. In November, 1721, a homemade bomb came sailing in his window at 3 A.M. His reputation never recovered. 

About Stacy Schiff

Stacy Schiff is the author of  Véra (Mrs. Vladimir Nabokov), winner of the Pulitzer Prize; Saint-Exupéry, a Pulitzer Prize finalist; and A Great Improvisation: Franklin, France, and the Birth of America, winner of the George Washington Book Prize, the Ambassador Award in American Studies, and the Gilbert Chinard Prize of the Institut Français d’Amérique. All three were New York Times Notable Books; the Los Angeles Times Book Review, the Chicago Tribune, and The Economist also named A Great Improvisation a Best Book of the Year.

Her most recent book, Cleopatra: A Life, was published to great acclaim in 2010. As the Wall Street Journal‘s reviewer put it, «Schiff does a rare thing: She gives us a book we’d miss if it didn’t exist.» The New Yorker termed the book «a work of literature;» Simon Winchester predicted «it will become a classic.» Ron Chernow may explain why: «Even if forced to at gunpoint, Stacy Schiff would be incapable of writing a dull page or a lame sentence.» Cleopatra appeared on most year-end best books lists, including the New York Times‘s Top Ten Books of 2010, and won the PEN/Jacqueline Bograd Weld Award for biography. A #1 bestseller, Cleopatra was translated into 30 languages. Her fourth book, The Witches, will be published in October 2015.

StacySchiffSchiff has received fellowships from the Guggenheim Foundation and the National Endowment for the Humanities and was a Director’s Fellow at the Cullman Center for Scholars and Writers at the New York Public Library. She was awarded a 2006 Academy Award in Literature from the American Academy of Arts and Letters. In 2011 she was named a Library Lion by the New York Public Library. Schiff has written for The New Yorker, the New York Times, the Washington Post, the Los Angeles Times, and the Boston Globe, among other publications. She lives in New York City.

Past interviews with Stacy are available from the media clips page. To request a speaking engagement or other public appearance, please visit Hachette Speakers Bureau.

 

How the Empire Struck Back Starting with Jimmy Carter

by Jeremy Kuzmarov
HNN August 30, 2015

Carter

Jimmy Carter’s illness has prompted an array of retrospectives of the man and his presidency both positive and negative. Missing from many of these commentaries is the fact that his presidency was crucial to the revival of American militarism after Vietnam even though Carter wants to be remembered as a peace president and spoke out against ill-considered military interventions later on.

Following the end of the Vietnam War, the Pentagon had embarked on a crash-program to revitalize its fighting forces and to incorporate new technologies fit for the information age to ensure greater military efficiency while transitioning to an all-volunteer force. Proponents of the so-called Revolution in Military Affairs (RMA), including prominent defense intellectuals like Albert Wohlstetter and Andrew Marshall, believed that new precision guided weapons and a reinvigoration of air power supremacy could help the United States to maintain its global hegemony after Vietnam by decisively defeating its enemies with reduced manpower expenditure and limited “collateral damage.”

The 1970s was a watershed in American political history, as the country could have gone in two directions. Building off the momentum of the 1960s social movements, Democratic candidate George S. McGovern promoted a progressive economic vision and the scaling back of defense spending and overseas military commitments in the wake of the Vietnam debacle. Like his political hero Henry Wallace, McGovern’s platform scared societal elites who coordinated a vigorous counter-offensive, championing the reassertion of American military power as a moral counter-force to communism and a mechanism for overcoming the economic crises of the 1970s, including waning economic competitiveness, energy shortages and stagflation (inflation and unemployment).

Jimmy Carter’s presidency helped to advance the neoconservative agenda by supporting the RMA that lay the groundwork for the revitalization of American military power after Vietnam. A wealthy land and agribusiness owner, Carter was part of the New Democrats, who wanted to push the party to the center after McGovern’s defeat in ‘72. His administration was dominated by members of the Trilateral Commission, an executive advisory committee to trans-national finance which envisioned a tri-polar world order led by the United States, Germany and Japan. It abandoned campaign pledges to cut defense spending by $7 billion, and initiated budgetary increases that in his last year amounted to the largest in history during peacetime. Under the direction of Defense Secretary Harold Brown, Air Force Secretary during the Vietnam War and former president of California Institute of Technology, heavy investment was made in the development of laser-guided bombs, space based satellite systems and fighter planes equipped with complex avionics systems consisting of large radars to detect enemy planes and computerized fire control systems. Funding for missiles increased $485 million or 63.5 percent, leading to the development of the Patriot Air Defense Missile system which gained fame in the Persian Gulf War, along with Tube-launched, optically tracked, wire-guided (TOW) antitank and “Tomahawk” cruise missiles built by General Dynamics which were accurate within a 100-foot range from 1,500 miles and possessed on-board computer guidance systems that allowed it to duck around hills and make necessary course corrections while eluding enemy radar.

Remotely Piloted Vehicles (RPVs) equipped with TV cameras and a laser designator for target-spotting and sophisticated photo-mapping and communications systems were also advanced, along with Navstar, the precursor to Global Positioning System (GPS) in which satellites circling the earth at an altitude of 11,000 miles sent out signals allowing for users to determine their positions and velocity in three dimensions anywhere in the world under all-weather conditions. As part of the race to militarize space, the Pentagon even began developing killer satellites capable of hunting down and destroying enemy satellites along with alien spacecraft presumably, as a New York Times reporter joked!

In promoting these new weapons systems, Carter’s presidency was crucial to the RMA’s policy dominance in ensuing years. Neglected in many academic studies1, this revolution, with its emphasis on precision-guided strikes and “smart weapons,” actually complemented Carter’s human rights agenda in its aim of facilitating public demand for a more “activist foreign policy” by fostering the illusion that wars could in the future be waged more cleanly and with less collateral damage.

Carter to be sure was more dovish than his successor Ronald Reagan, promoting a soft-power approach in advancing U.S. geostrategic and corporate interests in line with the ideals of the Trilateral Commission. Carter’s administration renegotiated the Panama Canal Treaty and SALT II treaty with the Soviets mandating a reduction in nuclear missiles and bombers and secured the Camp David peace accords between Israel and Egypt. It also cut off aid to Latin America dictators and tried to reign in elements of what Peter Dale Scott has called “the deep state,” cutting the CIA’s budget by a third, prompting former agency operatives to establish their own “shadow CIA,” which worked to support traditional client regimes and promote American corporate interests through private contracts and off-the-books means.

While governor of Georgia, however, Carter had supported Nixon’s bombing of North Vietnam and mining of harbors and as president sought to exonerate the United States from paying reparations to Vietnam, saying we “owe Hanoi no debt because the destruction from the war was mutual,” a bald lie. His human rights policy was uneven with his administration providing $2.3 billion in military aid to ten nations cited by Amnesty International for systematic human rights violations (Guatemala, Indonesia, El Salvador Morocco, the Philippines, South Korea, Taiwan and Thailand) along with $6 billion to Saudi Arabia and at least $12 billion to the Shah of Iran. Police aid was sustained through the cover of the Drug Enforcement Agency (DEA) with Carter’s administration championing herbicidal defoliation programs in Colombia and Mexico that destroyed nearly 60,000 acres of non-target vegetation causing pronounced health and environmental damage including contamination of drinking water.

The appointment of neoconservative Zbigniew Brzezinski to replace Cyrus Vance as top national security adviser signaled a decisive shift away from a human rights agenda, which Carter had succeeded mainly in crafting into a “new language of power,” historian James Peck writes, “and potent ideological weapon for extending Washington’s global reach,” largely by focusing on abuses in the Soviet Union or Soviet client states. This transformation pushed many liberals to support military interventions for humanitarian purposes carried out through adoption of surgically precise strikes that could theoretically reduce human rights violations and casualties in war.

Pressured by right-wing lobby groups like the Committee on the Present Danger, Carter during the last year of his presidency pushed for the development of a rapid mobility force warning the Soviets that “any attempt to gain control of the Persian Gulf region” would be regarded as an assault on the vital interests of the United States” and would be “repelled by any means necessary.” Carter had by this time taken an increasingly hardline stance toward the USSR, supporting covert operations and dissidents in Eastern Europe and funding mujahidin freedom fighters in Afghanistan in order to provoke a Soviet invasion. Robert Gates, former CIA director and Secretary of Defense under George W. Bush and Obama, noted that “the Carter administration waged ideological warfare on the Soviets with a determination and intensity that was very different from its predecessor by attacking the legitimacy of the Soviet government in the eyes of its own people.” The Carter presidency was thus crucial overall in reviving the Cold War after détente and rebuilding public consensus for a revived American militarism, laying the groundwork for Reaganism and the indefinite perpetuation of the American warfare state in the years thereafter. Carter’s career in turn casts light on the structural imperatives that lead fundamentally decent men who advance humanitarian causes as private citizens, to support policies and programs while in power that engender violence on a gargantuan scale, with Bill Clinton and Barack Obama having followed in his footsteps.

1Daniel Sargent in a generally comprehensive though overly top-down overview of U.S. foreign policy in the 1970s (A Superpower Transformed. Oxford University Press, 2014) omits discussion of Carter’s promotion of the RMA and its significance. David Schmitz is overly positive in his assessment of Carter’s human rights policy and evades his promotion of militarism in The United States and Right-Wing Dictatorships (New York: Cambridge University Press, 2006). Even James Peck in his outstanding and superior study, Ideal Illusions, neglects the importance of the RMA under Carter.

Jeremy Kuzmarov teaches at the University of Tulsa and is author of «Modernizing Repression: Police Training and Nation Building in the American Century»(Massachusetts, 2012) and «The Myth of the Addicted Army: Vietnam and the Modern War on Drugs» (Massachusetts, 2009). He is currently working on a book on the revolution in military affairs and American techno-war from the Korean War to the Endless War on Terror. 

The Security State, COINTELPRO, and Black Lives Matter

Excerpt of letter sent to MLK from FBI

Excerpt of letter sent to MLK from FBI.(Photo: NYT/NARA)

The revelations reported over the last several weeks that various federal, state, and local authorities have been regularly monitoring individual organizers and protest activities associated with the Black Lives Matter movement may seem unsurprising in light of the expansive American state security infrastructure developed since the terrorist attacks of September 11, 2001. Such covert operations nonetheless remain deeply disturbing. They are embedded in a long history of government officials equating civil rights activism with subversion and of a mindset that understands black leaders and black citizens as dangerous when they demand an end to the racism underpinning the socioeconomic and political order of the United States.

Arguably that mindset dates back to the era of slavery, when whites patrolled for and snuffed out signs of potential unrest among the enslaved, understood black churches and ministers as possible agents of dissent, and tried to embargo word of international events like the Haitian Revolution and British abolition lest enslaved people get any ideas. But nothing in recent memory more clearly demonstrates how concerns about threats originating abroad can bleed into government efforts to contain black domestic activism than the project known as COINTELPRO.

Shorthand for Counter Intelligence Program, COINTELPRO formally began in 1956 as a secret program led by FBI Director J. Edgar Hoover. Its goal was to infiltrate the Communist Party USA, disrupt its activities, and monitor its members for signs that they agitated against the American government or even fed intelligence to the Soviet Union. Within months, however, Hoover had begun widening the purview of COINTELPRO, and by the late 1960s the FBI’s targets included a large number of individuals and groups Hoover and his agents considered “subversive.” These sometimes included white supremacist and hate groups on the far right, such as the Ku Klux Klan, the National States’ Rights Party, and the American Nazi Party. But far more frequently, domestic organizations targeted by COINTELPRO were leftist groups associated with socialism, the student movement, the antiwar movement, and the women’s rights movement.

None of the activities falling under the COINTELPRO umbrella, however, were more notorious or extensive than those directed at the black civil rights movement. The FBI had been monitoring black leaders of the burgeoning movement long before 1956, claiming that they harbored communists in their ranks. But over the course of the ensuing fifteen years, agents of the COINTELPRO program trained their sights on almost every organization and individual working on behalf of black civil rights. Suspicions of communism gradually became little more than a pretext for clamping down on protest, and in 1967 COINTELPRO undertook an operation entirely focused on black activism. Ostensibly created in response to growing black nationalist and black power movements in the United States, the operation not only targeted groups willing to countenance relatively radical ideas and activities such as the Deacons for Defense and Justice, the Black Panther Party, and the Nation of Islam, but also mainstream groups like the Congress of Racial Equality, the Southern Christian Leadership Conference, and the NAACP.

The directive creating the “racial intelligence” operation made no pretenses about its aims, which were to “expose, disrupt, misdirect, discredit, or otherwise neutralize the activities” of civil rights organizations and to frustrate the “efforts of the various groups to consolidate their forces or to recruit new or youthful adherents.” Although the directive claimed that the organizations most heavily targeted were “hate-type organizations and groupings” with a “propensity for violence and civil disorder,” few people came under greater scrutiny than Martin Luther King, Jr. Prior to King’s assassination in 1968, the FBI bugged King’s home and every hotel room in which he stayed, sent him audio recordings that supposedly captured his adulterous liaisons along with a blackmail letter urging him to commit suicide, and smeared him publicly as a communist and a “notorious liar.”

These tactics, nasty as they were, barely begin to capture the range of COINTELPRO’s activities, which included rooting through people’s mail and trash, breaking into organizational offices and the homes of individuals to conduct searches, planting false rumors and informants to turn activists and groups against one another, creating false documents and correspondence, attempting to get people fired from their jobs, fabricating evidence and perjured testimony at trials, carrying out acts of vandalism, soliciting beatings and sometimes assassinations, and otherwise engaging in a campaign of nearly unrestrained harassment, psychological warfare, and violence.

COINTELPRO might have continued indefinitely had it not been for a group of citizen activists who broke into an FBI field office in Media, Pennsylvania early in 1971, stole a number of incriminating documents, and released them to the press. The ferocity of the ensuing criticism led Hoover to announce several months later that COINTELPRO had ceased to exist. But resignations, lawsuits, and investigations followed for years, and in 1976 a Senate committee chaired by Senator Frank Church investigated the FBI generally and COINTELPRO specifically. Its report blasted the entire American intelligence community for engaging in domestic activities that went well beyond the boundaries of what was either acceptable or legal. Senior intelligence officials, the report concluded, sanctioned operations that routinely violated Americans’ constitutional rights and failed entirely to control field agents, who often neglected to consider the law and sometimes purposefully violated it.

With regard to COINTELPRO in particular, the Church Committee concluded that “many of the techniques used would be intolerable in a democratic society even if all of the targets had been involved in violent activity, but COINTELPRO went far beyond that.” The FBI, the Committee reported, had been less involved in legitimate counterintelligence than it had been conducting “a sophisticated vigilante operation aimed squarely at preventing the exercise of First Amendment rights of speech and association, on the theory that preventing the growth of dangerous groups and the propagation of dangerous ideas would protect the national security and deter violence.”

The exposure of COINTELPRO substantiated legitimate and accurate accusations about government abuses that had been floated for years. If it also lent credence to some wilder claims about government surveillance and repression that likely amount to conspiracy theories, the FBI has only itself to blame. Moreover, while public knowledge of COINTELPRO helped produce some reforms of American intelligence agencies, a number of the tactics used under COINTELPRO to investigate domestic activists and their organizations continued long after the program formally ended. Today, government officials scrutinizing those in the Black Lives Matter movement who stand on the front lines of the battle against white supremacy might be wise to direct more of their time and resources toward monitoring right-wing racist and antigovernment extremists, who have carried out nineteen lethal attacks resulting in the deaths of nearly fifty people since 2001. That is what a genuine domestic threat looks like.

About the Author

Joshua D. Rothman

Joshua D. Rothman is Professor of History and Director of the Frances S. Summersell Center for the Study of the South at the University of Alabama. He is the author, most recently, of Flush Times and Fever Dreams: A Story of Capitalism and Slavery in the Age of Jackson (2012), and is currently working on a book about the slave traders Isaac Franklin, John Armfield, and Rice Ballard.

Race to Nowhere

For over a century, black elites have pushed improved “race relations” instead of redistribution as the solution to inequality.

Jacobin  Issue 18 Summer 2015

«The Union as It Was. The Lost Cause, Worse than Slavery.» Illustration by Thomas Nast, 1874.

The new issue of Jacobin, commemorating the 150th anniversary of Union victory and emancipation, is out now.

When black progressives today think about the Civil War, they are often more struck by what didn’t happen than what did.

Michelle Alexander’s much-lauded The New Jim Crow: Mass Incarceration in the Age of Colorblindness is a case in point. Citing W. E. B. Du Bois’s lament that “former slaves had ‘a brief moment in the sun’ before they were returned to a status akin to slavery,” Alexander intimates that abolitionists failed to see that slavery was just one instance in a series of forms of “racialized social control” that not only have reappeared, but have also “evolved” and “become perfected, arguably more resilient to challenge, and thus capable of enduring for generations to come.”

What this narrative of unremitting bleakness overlooks is that the South chose armed rebellion in order to maintain political control over its system of labor — a system that enslaved blacks while impoverishing white agricultural and industrial laborers. From the standpoint of Southern planters and industrialists, the most terrifying prospect of emancipation was the possibility that laborers, black and white, would eschew elite guidance and wield political power in the form of the ballot and office-holding to further their own interests.

It came as no surprise, then, that when former slaves did begin to make this prospect a reality, Southern elites responded not only with violence and political fraud, but also with an intellectual campaign carried out in newspapers, journals, fiction, poetry, and historical writing to demonstrate the incapacity of blacks for self-government and the corruption that would ensue when the unlettered and inexperienced held the reins of power.

What is more surprising, if lesser known, is the role that many black elites (along with their sympathetic white counterparts) played in ratifying aspects of white reactionary thought toward the end of the nineteenth century. Some twenty-five years after Appomattox the fact that black men and unpropertied whites could vote made possible the rise of the Populist Movement, which directly challenged the economic order of the South by “proposing to substitute popular rule for the rule of capital.”

Black elites, whose political viability depended on their perceived legitimacy as “race leaders,” were disturbed by the reality of poor blacks acting politically without their guidance or sanction. And when the planter and industrial elite struck back against Populism with violence and disfranchisement — a backlash that tended to make all blacks, and not merely workers, its target — black elites sought to meliorate these effects by proposing a transformation — not of the economic basis of society, but rather of the black image in the white mind — to improve “race relations.”

Indeed for nearly 130 years, black elites in the United States have been offering up improved “race relations” rather then interracial workers alliances against capital as the primary solution to American inequality.

From the moment the Civil War ended, the question of what an American society without slavery would look like dominated political discussion. If the inaugural issue of the Nation magazine opined that“Nobody whose opinion is of any consequence, maintains any longer that [blacks’] claim to political equality is not a sound one,” the actual picture was more complicated.

While many black commentators and freedmen expected emancipation to usher black Americans fully and without restriction into the nation’s civic, social, and economic life, relatively few white Americans — even among those who abhorred slavery and championed the freedman’s political rights — felt similarly.

And while many Americans, black and white, celebrated the idea that the freedmen would now be able to join the ranks of wage laborers, few of either race saw this change as a significant step towards enhancing the political and economic power of workers generally against employers and landowners in the immediate aftermath of the war.

Recent commentary on the limits of emancipation has typically made much of the lack of racial egalitarianism within the Republican Party and even among abolitionists, seeing within this the seeds of subsequent political defeats.

On this account what made the Civil War and the Civil Rights victories of the 1960s something like “non-events” (and what could likewise undermine any success at ending mass incarceration) was the failure to, as Michelle Alexander puts it, “address . . . racial divisions and resentments,” which thereby allowed the next “system of racialized social control [to] emerge.”

In bringing slavery to an end the Civil War opened up contestation not only over the place that former slaves would have in American society, but also over the role that wage earners and women would play in a post-slavery political order.

Jacobin-Series-3bdd91b95cfc219305403acaa1630163

Egalitarian visions, however, were met by concerted forces that did not want the end of slavery to lead to the complete emancipation of wage laborers. That is, any newly won freedoms should not address the way that market coercion severely limited the capacity of working Americans to control their lives and destinies. And while this limitation would ultimately prove equally consequential for the subsequent history of social justice, it has often been hidden by the significant shadow cast by the narrative of American racism and white supremacy.

When John William De Forest, a former Union officer and Freedman’s Bureau administrator, published his 1867 novel Miss Ravenal’s Conversion from Secession to Loyalty — which is perhaps the only significant novel about the Civil War written by an actual combatant — he sought, among other things, to champion a view that the “victory of the North is at bottom the triumph of laboring men living by their own industry, over non-laboring men who wanted to live by the industry of others.”

Steeped in the free labor ideology of the North, De Forest’s novel spliced a love story onto a realist account of the war in a way that reflected even as it sought to suppress tensions within the idea of free labor that had come to mark the difference between North and South.

In finally uniting the book’s hero Captain Edward Colburne of the Union army with erstwhile Southern sympathizer, Miss Lillie Ravenal, whom he has loved from the beginning of the novel, De Forest reveals that his view of the ideal free laborer was less the “propertyless proletarian” whose “freedom derived not from the ownership of productive property but from the unfettered sale of . . . labor power — itself a commodity — in a competitive market” than the “independent proprietor,” who had long been identified as being independent enough to secure the freedom of thought and action necessary for responsible citizenship.

We can see the inadequacy of wage labor in Colburne’s assessment of his economic situation after the war. Here we learn that “his salary as captain” had enabled him “to lay up next to nothing,” and that rising gold prices had diminished “the cash value” of what salary he did earn.

These dire prospects, however, do not turn out to be ultimately damning. Trained as a lawyer and in possession of a small inheritance from his dead father, Colburne, by partnering with a colleague, is able in short order to find himself “in possession of a promising if not an opulent business” and is ready to assume his role as head of household with the widowed Lillie Ravenal as his wife and her son as his stepson.

As the novel moves toward a full elaboration of its vision of free labor, it also leaves by the wayside the attempt by Lillie’s father, Dr Ravenal, to reconstruct black labor. Despite being born in South Carolina and having resided in New Orleans for twenty years, Dr Ravenal is a staunch Union man. At a moment when it appears that the Union forces have secured the area around New Orleans, Dr Ravenal determines to demonstrate the superiority of free labor to slave labor by eagerly taking charge of a plantation leased to him by the federal government. His responsibility, as he sees it, is not only economic, but also ideological and pedagogical. To be successful he must “produce not only a crop of corn and potatoes, but a race of intelligent, industrious and virtuous laborers.”

So, with lectures to the ex-slaves about the virtue of labor, sobriety, and the like, Dr Ravenal sets out to put black labor to work for wages. A Confederate counterattack cuts short his “grand experiment of freedman’s labor,” but not before the novel has had time enough to make clear its view that while reconstructing black labor may ultimately succeed, the effort will take time because the habits and attitudes ingrained by a history of enslavement will not disappear overnight.

Contrasting the realities of the South as he sees it to the “pure fiction” of Harriet Beecher Stowe’s Uncle Tom, Dr Ravenal asserts, “There never was such a slave, and there never will be. A man educated under the degrading influences of bondage must always have some taint of uncommon grossness and lowness.” De Forest reiterated this vision in his reflections on his experience with Reconstruction in South Carolina, observing that “the Negro’s acquisition of property, and of those qualities which command the industry of others, will be slow. What better could be expected of a serf so lately manumitted?”

Undergirding De Forest’s vision of black freedmen gradually acquiring the skills and habits necessary to become prosperous cooperative laborers is what Eric Foner terms free labor’s belief that “a harmony of interests” defined the relation of capital to labor. The conditions necessary for capital to profit from its outlays were deemed to be those that were most conducive to the flourishing of labor. Class conflict could be imagined only in terms of deficiencies of character among the uncooperative.

Thus, despite their sympathies for the freedmen, black and white elites in the North generally embraced a view of the recently emancipated as a population in need of tutelage and leadership rather than as peers who had the capacity to present their own visions of social and economic life.

Black novelist, former abolitionist, and temperance advocate Frances E. W. Harper begins her 1892 novel, Iola Leroy, or Shadows Uplifted, with depictions of illiterate and semi-literate black slaves debating among themselves the best course of action to take in response to the approaching Union army.

However, by the later chapters of that novel, as she seeks to validate genteel black leadership, a less flattering view of freed people emerges. In one instance Harper has one of her exemplary black characters respond to a claim in the newspaper that “colored women were becoming unfit to be servants for white people,” by concluding “that if they are not fit to be servants for white people, they are unfit to be mothers to their own children.”

This character’s readiness to interpret the uncooperativeness of black domestics as indication of debility is of a piece with the novel’s larger attempt to present black labor as educable and not rebellious. As we learn from another of the novel’s admirable characters, “the Negro is not plotting in beer-salons against the peace and order of society. His fingers are not dripping with dynamite, neither is he spitting upon your flag, nor flaunting the red banner of anarchy in your face.”

These sentiments were echoed by black social reformer, Anna Julia Cooper, in her landmark 1892 work of cultural commentary, A Voice From the South, which famously asserted that it would only be when the black woman was able to enter into American society on terms of equality that true social justice would be achieved. While on Cooper’s account genteel black women should expect acceptance as full equals, laboring blacks were to be prized for racial qualities that guaranteed their capacity as tractable workers.

Cooper writes that the Negro’s “Instinct for law and order, his inborn respect for authority, his inaptitude for rioting and anarchy, his gentleness and cheerfulness as a laborer, and his deep-rooted faith in God will prove indispensable and invaluable elements in a nation menaced as America is by anarchy, socialism, communism, and skepticism poured in with all the jail birds from the continents of Europe and Asia.”

To be sure black workers were not often met with open arms by their white counterparts. And it was not always the case that black novelists assumed innate antagonism between black and white laborers. J. McHenry Jones’s 1896 novel, Hearts of Gold, depicts Welsh miners in a Southern town who, moved by their sense that convict labor “degraded” labor generally and by “a deep-seated hatred . . . against systematic cruelty,” harbor a black runaway from a convict labor camp and then march en masse to destroy the camp and liberate its inmates.

Nonetheless, the representational tendency to align black Southern labor with the interests of their employers also reflected the continued commitment of black elites to the idea “that a community of equal men could be created by allying labor (blacks) and capital to produce material progress and enlightenment,” rather than by allying black laborers with their white counterparts. Instead of building the political power of labor, they called for building the integrity and esteem of the black race.

But whether these representations of black and white labor were disparaging or laudatory, what connected them was that they were, in some way or another, a response to the rise of the Southern Alliance in the 1880s, which was followed by the emergence of the Populist Party in the 1890s.

More to the point, according to Judith Stein, the Southern Alliance was paralleled by and helped fuel the Colored Farmers Alliance, which grew to encompass more than a million black farmers by the early 1890s. While in many cases the political organization of black farm laborers strengthened the hand of black political elites in seeking concessions from white industrialists and landowners, the efficacy of these alliances also challenged the ability of these elites to set the terms and goals of black political activity.

Black elites had sought to assure whites in both the South and the North that black political participation was consistent with the idea of rule by the “best” men of society. In principle then, if not always in fact, the stance of black political elites placed them at odds with the idea that relatively uneducated laborers could wield political power effectively. Thus, in novel after novel produced by the black political class, writers inserted scenes where unschooled black laborers pleaded for the leadership and guidance of their black genteel betters.

Of course, the most egregious disparager of interracial labor alliances against capital was Booker T. Washington, the founder of the Tuskegee Institute. Indeed, historian Michael Rudolph West has credited Washington with inventing “race relations.” Washington’s 1901 autobiography, Up From Slavery, attributed Southern labor unrest to the interference of “professional labour agitators” who had their eyes on the savings of thrifty workers and goaded them into going out on strikes that would leave them “worse off at the end.”

Washington’s rise as a political force in the South coincided with the rise of Populism. The ability of Populists to mount successful political challenges to Southern Democrats depended on the votes of black Alliance members.

It was their awareness of this fact that drove white industrialists and planters in the 1890s to secure the dominance of the Democratic Party by pursuing across-the-board disfranchisement of blacks as well as many poor whites. Jim Crow America was the result of a successful counterrevolution against an interracial labor threat — a counterrevolution aided and abetted by the rise of Bookerism and the Tuskegee Machine.

What Tuskegee represented as an institution, and what Up From Slavery testified to as a program, was the idea that the problem of the South was not primarily a problem of who held political power, but rather one of determining how best to incorporate a despised caste into the social and economic fabric of the nation. In the place of political transformation Washington offered up race relations, with Tuskegee positioned to provide an army of “trained men and women to confront the militancy of an industrial proletariat.”

Viewed against the rise of Populism one can see that the Civil War, by granting blacks political rights, set the stage for what would become one of the most profound challenges to capital in the history of the United States. That the Populist challenge was defeated does not diminish its significance. And given that it was only after the defeat of Populism that disfranchisement and Jim Crow were able to succeed suggests the potential instructiveness of that history for the present moment, a history that does not attest simply to the periodic reemergence of white supremacy across time as Alexander and so many others have alleged.

Rather, if racialized forms of exclusion tend to rise in the wake of successful efforts by industrial and financial interests to undermine the political power of labor, to make our primary task that of addressing “racial divisions and resentments,” as Alexander calls for, risks giving pride of place to a new era of race relations, and not the broader vision of social justice that she describes at the end of The New Jim Crow.

Then, as now, the most reliable path to a progressive politics that produces true justice and human rights is that which begins with building the political power of workers. It is this proposition that has often made elite opponents of white supremacy — both black and white — deeply uncomfortable.

Kenneth W. Warren is a professor of English at the University of Chicago. His most recent book is What Was African American Literature?

The Cold Cases of the Jim Crow Era

The New York Times  August 28, 2015
At the Civil Rights Memorial in Montgomery, Ala., in 1995. Credit Eli Reed/Magnum Photo

At the Civil Rights Memorial in Montgomery, Ala., in 1995. Credit Eli Reed/Magnum Photo

In March 1941, President Franklin D. Roosevelt received a letter from a desperate mother. Her son, who was black, had been killed two years earlier, his body pulled from a river near Pickens, Miss.

“I am sending a contract in regards to the lynching of my son Willie Jack Heggard,” wrote Jane Heggard. “I have tried every way to have a trial, but no lawyer will accept the case, because a white man killed an innocent man.”

Despite her plea, it is unlikely we will ever know who killed Ms. Heggard’s son. Roosevelt’s assistant attorney general said it was up to the state of Mississippi, which apparently failed to investigate the crime. Like the thousands of Latin American “desaparecidos” who were terrorized in the 1970s and ’80s, Willie Jack Heggard is among America’s “disappeared,” one of hundreds of black Americans who were victims of racial violence from 1930 to 1960.

Our opportunity to capture their stories — and an important part of our nation’s history — is quickly vanishing as memories fade, witnesses die and evidence disappears. Time is running out to achieve some measure of justice.

For the past seven years, we have traveled throughout the South to document these cold cases. Many of the documents — sworn statements, court transcripts and coroners’ reports — are stored in dusty courthouses, threatened by fires, floods and rodents. Compared with the relatively robust archive on lynchings between 1882 and 1930, researchers have not fully explored the social and political costs of racial violence during the 30 years before 1960.

In 2008, Congress acknowledged this gap in our historical knowledge and passed the Emmett Till Unsolved Civil Rights Crime Act, named for the 14-year-old boy who was pulled from his bed in Mississippi on Aug. 28, 1955, tortured and thrown in the Tallahatchie River. His case has not been fully resolved, although his killers confessed to a magazine in exchange for $4,000. The Emmett Till act authorizes the Department of Justice to coordinate with local authorities and investigate racially motivated homicides that occurred before 1970.

The problem is, the act has not been adequately funded, and its narrow focus on viable prosecutions limits its efficacy. Many homicides can no longer be prosecuted. In some cases, the government has limited federal jurisdiction. In others, witnesses and perpetrators have died. This year, the Department of Justice reported that it had completed just 105 investigations and three prosecutions over the past several years.

Clearly, the federal government needs to expand the act’s focus. Even if they are largely symbolic, prosecutions themselves are a form of truth telling, and require local governments who often ignored or sanctioned the killings to help re-examine this history.

In addition, prosecutions should be considered alongside remedies like truth commissions, restitution and official apologies which acknowledge that these murders were part of a pattern of intimidation against entire communities, intended to stifle full citizenship. Finally, along with better funding for the Till act, President Obama and Congress should establish an initiative to collect oral histories from this period.

It wouldn’t be the first time the federal government has undertaken a large oral history project. From 1936 to 1938, the Federal Writers’ Project conducted over 2,300 interviews with elderly former slaves. The Civil Liberties Act of 1988 funded oral histories and gave reparations to Japanese-Americans sent to internment camps during World War II. In 2000, Congress created the Veterans History Project so Americans could “better understand the realities of war.»

And several states — including North Carolina, Oklahoma and Florida — have already sponsored commissions on race riots before 1930 that attempted to assess the long-term impact of the murders, looting, arson and other property damage that ruined thriving African-American communities. Some recommended monetary reparations, economic redevelopment or commemorative monuments. Not all of the solutions were implemented, but the work itself was a significant step forward.

Some countries are confronting shameful episodes in their histories that had been intentionally ignored. In 2007, Spain passed the Law of Historical Memory to recognize those who suffered under Franco, which has supported the exhumation of graves from that era. In June, Canada’s Truth and Reconciliation Commission called the decades-long abuse of aboriginal children in residential schools “cultural genocide.”

A full accounting of the past may evoke shame, pain and impulses to remember and forget. But an acknowledgment that this legacy of violence still haunts African-American communities may foster more productive conversations and help generate trust in our legal system.

Emmett Till, who was killed 60 years ago today, is a victim whose story we know. His name endures because his mother “wanted the world to see what they did.” His memory beckons us to learn the fate of hundreds of others, like Willie Jack Heggard. We must find America’s disappeared, learn their stories and allow them to live in our history.

Our Forgotten Labor Revolution

After the Civil War, workers struggled to make wage labor go the way of chattel slavery.

Slaves shown working in the sweet potato fields on the Hopkinson plantation, located on Edisto Island, SC.

Slaves shown working in the sweet potato fields on the Hopkinson plantation, located on Edisto Island, SC

The new issue of Jacobin, commemorating the 150th anniversary of Union victory and emancipation, is out now.

The Founding, the Civil War, the New Deal. The holy trinity of the American political tradition.

In the beginning was the word, the sacred text celebrating the end of arbitrary colonial government and the creation of a constitutional republic. Then there was the redemptive war, a punishment for the original sin of slavery and whose reward was the Union reborn. The new United States declared the primacy of the national state, declared free labor the foundation of its economy, and established national citizenship. Finally, the third deed put a human face on the capitalism that the Civil War unleashed.

This, anyhow, is how the standard undergraduate syllabus is arranged. It is how publishing houses organize their books; it is how the typical historical survey punctuates the American story. To be sure, other moments, like the Civil Rights Movement and the Reagan revolution get honorable mentions.

But they receive their meaning primarily as decorative fabric stretched across the tripartite scaffolding: the Founding, the Civil War, the New Deal. We are supposed to believe that there is nothing to remember in those historical voids. If we go looking, all that we will discover is a series of errors, like Jim Crow, that we have since corrected.

How then to think about the fall of 1887, when a small group of labor organizers connected to the Knights of Labor, started agitating among sugar cane workers deep in the Louisiana bayou?

In August, the Knights started talking to the mostly black cane-cutters who were now working for their former slave masters. They promised higher wages, an end to payment in “scrip” rather than money, and even the hope of running a plantation “on the co-operative plan” instead of under the thumb of a boss. By September thousands had joined the Knights, by October they were ready to stop working if the local planters refused to raise wages, by the first of November they were on strike.

Three weeks later they were slaughtered. With the aid of a judge and state militia leader, white vigilantes disarmed the strikers, corralled them into the town of Thibodaux, Louisiana and unleashed a three-day orgy of violence. “No credible official count of the victims of the Thibodaux massacre was ever made,” writes historian Rebecca Scott, but “bodies continued to turn up in shallow graves outside of town for weeks to come.”

Precise body counts were beside the point. The question of who ruled town and country, plantation and courthouse, had been answered. As a mother of two white vigilantes put it, “I think this will settle the question of who is to rule, the nigger or the white man? For the next fifty years. . . .”

Where does an event like this fit in our national history? Who were the Knights? What was their vision of society? What was the threat they posed?

These are questions we cannot answer by reference to the “holy trinity” narrative. That is because between Reconstruction and Jim Crow was a forgotten time in which the emancipation of slaves inspired a further movement to emancipate workers from the domination of the labor market. It was a moment of promise and of danger — the promise of freedom, the danger of challenges to class power.

If we want to understand our history, rather than just congratulate ourselves about it, we have to abandon the prevailing, comforting narrative of progress that carefully extrudes those moments that do not fit with America’s national image as a self-correcting liberal democracy.

Looking back at forgotten labor struggles is therefore not just an exercise in setting the record straight, it is an exercise in emancipating our own thinking from attempts to discipline and control it.Reconstruction and its aftermath is an especially fertile period because it is when the language of liberty began to take new form, but had not yet been thinned out into the libertarian discourses that we know today.

Union soldiers of the First Massachusetts Cavalry posed in front of plantation house on Edisto Island, South Carolina.

Union soldiers of the First Massachusetts Cavalry posed in front of plantation house on Edisto Island, South Carolina.

The Promise of Reconstruction

The Civil War saw the largest, uncompensated expropriation of property in American history: the abolition of slavery. Nullifying slave owners’ property in persons meant returning personhood to the slaves. It also extinguished roughly half the value of all Southern assets, which in today’s prices amounts to roughly $3 trillion.

This expropriation was followed by “Recon­struction,” a period of constitutional dictatorship maintained by the North’s military occupation of the South. The purpose of occupation was not only to ensure orderly return of the South to the Union, nor just to secure passage of the Thirteenth, Fourteenth, and Fifteenth Amendments, but also to coercively guarantee the freedom of former slaves against those who would resist it.

There was no extending of economic, civil, and political rights to former slaves without a period of coercion against the ancien regime. When communists today propose such measures it is denounced as the most horrible violation of the democratic spirit and personal liberty. But here, at the heart of our own history, is forced expropriation of one class to emancipate another.

And there is more. Reconstruction inaugurated a struggle over how to define the freedom in whose name the North fought. Abolition was just the beginning. What followed was the question of emancipation.

This might sound odd: didn’t the Thirteenth through Fifteenth Amendments abolish slavery, establish due process, and guarantee national citizenship? That would have been news to former slaves. They had been famously promised, as a part of their emancipation, “forty acres and a mule.” And not just them. In fact, in the Morrill Land Grant and Homestead Acts of 1862, the state had affirmed the idea that a fully free citizen was someone who had access to a piece of land — some share of the means of production — so that they did not have to be dependent on another.

Lincoln himself had declared, prior to the war, that free labor was not the same as wage labor: “The prudent, penniless beginner in the world, labors for wages awhile, saves a surplus with which to buy tools or land, for himself; then labors on his own account another while . . . [This] is free labor.” The promise of American freedom was that everyone might enjoy this full independence.

More to the point, former slaves had learned that their emancipation was not something done to them but something they seized for themselves — they no longer had to ask for permission from a master. The connection between emancipation, independence, and self-assertion was found in the organization of black militias for the protection of civil rights, their seizure of land, and the working of this land individually or in self-directed labor companies.

Consider, for instance, these words from former slaves on Edisto Island, South Carolina, who occupied abandoned plantations and then were commanded, by a Freedmen’s Bureau commissioner, to return the land to former masters:

General we want Homestead’s; we were promised Homestead’s by the government . . . [without them] we are left in a more unpleasant condition than our former . . . we are at the mercy of those who are combined to prevent us from getting land enough to lay our Fathers bones upon.

Without land they were forced to work for former masters, or some other masters, for a pittance. To be formally free but possess no land was to find oneself “in a more unpleasant condition,” since in principle one might even find oneself homeless, in even more abject dependence on an employer. The promise of land, whether worked individually or collectively, was that one would no longer work under the arbitrary command of another.

Here was a possible meaning of Reconstruction: all forms of economic dependence are incompatible with free citizenship. In the name of freedom, being without property and dependent on employers was a condition that also had to be abolished. Free people had a right to some share of the means of production — be it land or some other productive property. They even had a right to take it from those who opposed this equal freedom.

One expropriation would follow another and, as those same former slaves put it, each should enjoy the protection of the state. What made such ideas so dangerous was that they were not exclusive to the South. Northerners who fought in the name of this freedom or who supported the Northern cause also believed they had a right to property, to a full and equal freedom.

It is not hard to see how such ideas could unify workers in the North and the South and turn Reconstruction into a radical project of reform, one wholly consistent with, even motivated by, American ideals of freedom. That is just what happened, but what did it look like? Here is where the Knights of Labor, who preserved the free labor ideals of Reconstruction well past its official conclusion, matter so much.

The Red Banditti

The Knights of Labor first formed in 1869 and grew, by the 1880s, into the first national labor association ever to organize unskilled black workers together with whites on a mass basis — an effort not meaningfully duplicated in the United States for another fifty years. Their founding documents said they had come together “for the purpose of organizing and directing the power of the industrial masses.”

Casting their concerns in a familiar, post–Civil War idiom, they asked, “Is there a workshop where obedience is not demanded — not to the difficulties or qualities of the labor to be performed — but to the caprice of he who pays the wages of his servants?” They called the new wage labor “wage slavery” and they wanted “to abolish as rapidly as possible, the wage system, substituting co-operation therefore.”

To advance their mission, the Knights established assemblies everywhere from the male-dominated mines of rural Pennsylvania to the mostly women-employing garment factories of New York to the railroads of Denver.

The Knights’ expansion into the American South began in 1886 at their general assembly meeting in Richmond, Virginia. In a conspicuous show of racial solidarity, a black worker named Frank Ferrell took the stage to introduce the Knights’ leader, Terence V. Powderly, before Powderly’s opening address. To defend his controversial decision to have a black Knight introduce him, Powderly wrote “in the field of labor and American citizenship we recognize no line of race, creed, politics or color.”

Jacobin-Series-3bdd91b95cfc219305403acaa1630163

After the general assembly the Knights spread throughout Southern states like South Carolina, Virginia, and Louisiana, setting up cooperatives, organizing local assemblies, and agitating for a new political order.

They enjoyed initial success in Louisiana. One district assembly in the Bayou region claimed 5,000 black members, more than forty local assemblies were spread across planter country, and the membership included some of the most influential local leaders from the headier days of Reconstruction. These were some of the same leaders who had served in politics, drilled self-defense militias, and organized labor companies in the 1870s, prior to the withdrawal of federal troops from the South.

A spirit of self-assertion not seen for over a decade blew through the cane fields. The plantocracy knew it. The Thibodaux Sentinel, a racist local paper hostile to the Knights’ organizing efforts, warned “against black self-organization by trying to remind whites and blacks of what happened a generation earlier, in the days of black militias, and white vigilantism” and evoked “the old demons of violence and arson by ‘black banditti’.”

But the Knights brushed aside these warnings. Just four hundred miles away, near Birmingham, Alabama, the Knights had already founded cooperative settlements, including a collectively managed iron foundry and cigar works. They hoped to reproduce such efforts in Louisiana, starting in the cane fields. If planters would not raise wages and pay in proper currency rather than useless scrip, the Knights were ready to call a strike. The planters refused and the workers struck.

But it was not to be. First the Louisiana state militia showed up, sporting the same Gatling guns that had, only a few decades before, been used for the first time in the North’s fight against the South. The militia broke the strike and forced thousands of defenseless strikers and their families into the town of Thibodaux, where a state district judge promptly placed them all under martial law. A group of white citizen-vigilantes called the “Peace and Order Committee,” organized by the same judge that had declared martial law, then took over and went on their three-day killing spree.

The Knights’ influence was broken. Farming a plantation “on the co-operative plan” was not even a dream deferred — it was easy to forget it had ever been possible for cane cutters.

The officially sanctioned mob violence at Thibodaux was one of many such instances over the course of Southern history. In each instance, a challenge to race-based class rule was met with vigilante justice in the name of white supremacy.

In this case, however, it is worth recalling that the Knights articulated their challenge in a specific, usually overlooked, language of freedom. This was that same conception of liberty that led former slaves during Reconstruction to refuse to work for former masters, even when offered a formal labor contract and wages. It was the same idea of emancipation that motivated them to seize land and work it in “labor companies,” to organize their own militias, to vote as they wished, to hold local and national office. This radical moment of Reconstruction was momentarily suppressed and its end appeared to spell the defeat of any but the narrowest interpretation of what emancipation would mean.

When the Knights of Labor swept into Louisiana speaking the language of freedom, they not only revived old hopes for self-organization and economic independence, but also integrated these regional aspirations of former slaves into a recast national ideology of republican freedom.

Former slaves were now modern workers and the Knights trumpeted the same emancipatory language throughout the nation, heralding “co-operation” as a solution to the problems facing wage laborers everywhere. They sought a reconstruction not just of the South but of the entire country.

This program of liberation through cooperative self-organization, articulated in the trans-racial language of making all workers into their own bosses, scared Northern industrialists just as much as Southern planters. Indeed, if we see the Thibodaux massacre only as a story of Southern racism, we run the risk of unintentionally and retrospectively ceding too much to the planter class and its attempts to control labor relations by transforming economic conflicts into questions of racial superiority.

After all, wherever the Knights went and wherever their message of cooperation and independence took hold they were met with a violence not all that different from that of Louisiana’s “Peace and Order Committee.” Throughout the 1870s, ’80s, and ’90s, the Knights faced violence from employers and their hired guns, most notoriously the Pinkertons. The Pinkertons operated in legal grey zones, sometimes with outright legal sanction from the courts, and often in cooperation with the police, state militia, and federal troops.

Indeed, on occasion it was the public violence of the state that was responsible for spectacular acts of legally sanctioned murder and coercion. Perhaps the most famous was the Haymarket incident in Chicago, in May 1886, when workers and police died during marches for an eight-hour working day.

But even before Haymarket, in Chicago no less than the bayou, capitalist overlords had been baying for blood. “Load Your Guns, They Will Be Needed Tomorrow to Shoot Communists,” read oneChicago Times headline from 1875, responding to a possible demonstration of socialists and reformers against the city’s half-hearted efforts to address poverty. Republican Chicago was a hotbed of bourgeois financing of labor repression. In 1877, a business group called the Citizens Association responded to strike riots by raising $28,000, which they used to buy rifles, cannons, cavalry equipment, and a Gatling gun.

In 1886, after the famous Haymarket incident, an organization of Chicago’s wealthiest businessmen raised $300,000 in private donations to buy land and equipment for a fort and an armory located near the city. In Haymarket, and numerous other strikes, capital got what it paid for.

Labor reformers labeled this unholy alliance of the state with capital, its private guards, spies and “provocative agents,” a kind of “Bonapartism in America,” threatening to turn “the free and independent Republic of the United States of America” into the “worm-eaten Empire of Napoleon the Third.” Just as in Thibodaux, the lines between vigilante violence and legal coercion blurred into a haze.

What, then, was the idea of freedom that triggered such extreme responses? It was nothing less than the promise of the Civil War itself. Or, put more precisely, it was a particular interpretation of the ideal of republican liberty that free-labor abolitionists so frequently invoked before and during the Civil War. It was the ideal that all citizens should live in an economy in which they determine their fate rather than find themselves subject to the arbitrary will of another.

The language the Knights used was shot through with the antislavery ideal. William H. Seward’s famous abolitionist line that there is an “irrepressible conflict” between Northern freedom and Southern slavery was echoed in the Knights’ own slogan that “there is an inevitable and irresistible conflict between the wage-system of labor and the republican system of government.” Whether Southern agricultural worker, Northern shoemaker, or Western switchman, wage-laborers were propertyless and therefore dependent, seeking the same kind of freedom as the freed slaves of Edisto Island.

Here was the source of their “co-operative plan,” which they found equally applicable to the cane fields of Louisiana or the shoe factories of Massachusetts. The Knights wrote the cooperative program into their official constitution, the Declaration of Principles of the Knights of Labor, and, at their peak, organized thousands of cooperatives across the country. This ideal threatened Southern planters, Northern industrialists, and Western railroad owners alike because it struck at the dominant industrial relations between employer and employee.

Affording all workers shared ownership and management of an enterprise, whether a sugar plantation, newspaper press, or garment factory, was, according to the Knights, the only way to secure to everyone their social and economic independence.

While these ideas had been around well before the Civil War, it was only the abolition of chattel slavery and the rise of industrial capitalism that allowed the republican critique of wage labor to come forward as a unifying, national cause — one that had its roots deep in the critique of slavery itself. As Ira Steward, a child of abolitionists and prominent postwar labor republican, wrote in 1873, “something of slavery still remains . . . something of freedom is yet to come.”

Freedmen’s School. Edisto Island, South Carolina.

Freedmen’s School. Edisto Island, SC.

The Revolution Betrayed

Northern Republicans agreed to end Reconstruction of the South when the industrialists, merchants, and financiers that made up the heart of the party started to fear that workers were taking the promise of emancipation too seriously. A few of the most radical Republicans were won over to elements of labor reform, perhaps most famously Wendell Phillips. But by 1877, the bourgeois heart of the Republican Party was beating a different pulse.

Violent railroad strikes in 1873–74 foreshadowed the Great Strike of 1877, which not only paralyzed the country but briefly witnessed workers taking over St. Louis and running the railroads themselves — cooperatively, without bosses. They were quickly brought to heel by a mixture of armed guards, local police, and the newly reformed National Guard. Indeed, the National Guard was created out of the compromise of 1877, in which federal troops would no longer be allowed to enforce domestic law — as they did during Reconstruction — but with an exemption written in for cases of “insurrection,” namely, strikes.

Republicans had lost the heart for Reconstruction of the South because they were losing control of its meaning. The constitutional dictatorship that Northern leaders had imposed on the South had lost its charm, especially as freed slaves demanded redistribution of property, or, as in cases like Edisto Island, just seized that property themselves. Employers worried they now needed armed forces back home, to control workers, rather than bringing the former Confederacy to heel. Strikebreaking looked like a much better use for federal troops and state militia than helping redistribute property in the name of emancipation.

It was time to proclaim former slaves free, close up shop, and turn to making money.

Those former slave-owning planters now looked like less threatening, even useful, allies in the project of disciplining labor. And, in any case, for the Northern investors in US wartime debt, it was time to get freed blacks back onto plantations, picking cotton, so that it could be sold on international markets. After all, an influx of foreign exchange was needed to help put the dollar back on the gold standard, stabilize the currency, and allow them to cash in.

It was well and good to have freed the slaves but enough was enough. The limits of bourgeois universalism had been reached. It was time for Northern capitalists to make a deal, end Reconstruction, and get back to the business of making money.

Work Left Unfinished

Official Reconstruction might have been bargained away in the halls of Congress but, as the Knights of Labor reminds us, the ideals of Reconstruction had not been put to rest. Rather they had been nationalized and radicalized.

In fact, the Knights were not even the most dangerous of those who sought to extend the new freedom into the industrial economy. After all, they rejected revolutionary violence. Yet even their vision of an alternative future had to be suppressed. Their demand for an egalitarian economy, of nationalized public utilities like telegraphs and railroads, and built around producers’ cooperatives was still considered far too dangerous to the emerging capitalist order.

The radicalization of the promise of freedom was not only why Reconstruction had to be ended but why a certain memory of that period has had to endure.

Emancipation had to be understood as abolition, abolition had to be understood as the end of just slavery, and Reconstruction had to be told as a purely Southern question. These days, the dominant story about the Civil War and Reconstruction is so powerful that some dismiss the very idea of freedom as conservative, or at least “bourgeois.” But it is worth remembering that Reconstruction ended not because freedom had been achieved but because it started to become dangerous.

The quest for independence had transcended the abolition of slavery and become a call for self-organization and the redistribution of property. One expropriation threatened to follow another. A proper reconstruction of America meant that the majority should seize its freedom, through its own efforts, by turning the economy into a reflection of the democratic ideal. That is not just an ideal worth remembering but one worth recovering.

Reconstruction matters because it is dangerous.

Alex Gourevitch is an assistant professor of political science at Brown University and the author of From Slavery To the Cooperative Commonwealth: Labor and Republican Liberty in the Nineteenth Century.