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Former President Bush's Iran-Contra Role

Background
The Iran-Contra affair is the name given to an elaborate scheme operating during the Reagan Administration through which military aid was given to a Nicaraguan political faction, despite a legislative prohibition against military aid "for the purpose of overthrowing the government of Nicaragua" during that time period. An independent counsel investigation focused on potential criminal activity ranging from violations of that statute, known as the Boland Amendment, to conspiracy to violate tax laws.

Early in 1984, national security adviser Robert McFarlane, with the support of CIA Director William Casey, proposed encouraging other countries to contribute to the "Contras" as the Nicaraguan group was known, and Lt. Col. Oliver North, then a member of the National Security Council (NSC) staff, was directed to establish a covert bank account to facilitate this. Later that year, when the idea of third-party contributions was discussed with President Reagan, Vice-President Bush, and Secretary of State Shultz, among others, Shultz warned that approaching a third country could be viewed as an "impeachable offense". McFarlane did not divulge the existence of the covert bank account, or that Saudi Arabia was already contributing at that time.

Late in 1984 Congress passed tougher restrictions on contra aid, explicitly stating that no government agency could pledge or spend funds that would support paramilitary operations in Nicaragua. The administration's response to this was simply to shift the source of funds from the CIA to the NSC. Oliver North enlisted the help of retired U.S. Air Force Major General Secord, who became an arms broker for the contras.

By 1985 the press had caught wind of North's efforts to assist the contras, and Congress began to inquire. McFarlane and North determined that they would not provide Congress with certain "problem documents" -- primarily memoranda by North that documented his providing tactical assistance and funds to the contras. Instead McFarlane lied about North's activities in a series of letters to Congress

North's activities were discussed at a meeting May 16, 1986 that included President Reagan, Vice President Bush, Secretary of State Shultz, Secretary of Defense Weinberger, and others. This was just after North's operation, dubbed "the Enterprise" had received $15 million from an arms sale to Iran.

In June of 1986 the House Intelligence and Foreign Affairs committee requested reassurances from the President that the Boland amendment was being complied with. Newly appointed National Security Adviser John Poindexter knowingly repeated earlier false statements that the NSC staff "were in compliance with both the spirit and letter" of the Boland Amendments. The committee then asked to meet with North, who denied providing military advice or funding to the contras.

On October 5, 1986, a military transport plane operated by the "Enterprise" was shot down by Nicaraguan government troops. The lone survivor, Eugene Hasenfus, said while in custody that he worked for the CIA. With Congress about to approve the Administration's aid package for the contras, CIA officials truthfully stated that Hasenfus did not work for the CIA. They denied knowing other facts, or whether the U.S. Government was involved, however. The false statements had the desired effect, and Congress approved the contra aid package on October 17.

The second part of the Iran-Contra scheme involved the sale of U.S. arms to Iran, both indirectly through Israel, and directly after President Reagan signed an intelligence "Finding." Despite Reagan's public statement on June 1985 that "America will never make concessions to terrorists," internally the administration justified the arms sales as a way of trying to obtain the return of U.S. hostages kidnapped in Lebanon and elsewhere, and also limiting Soviet influence in the Middle East.

Defense Secretary Caspar Weinberger raised concerns that sale of weapons to Iran violated the Arms Export Control Act. Further law required that Congress be notified of any shipment of TOW missiles to Israel exceeding $14 million, or any resale by Israel. In the face of these complications, on January 17 President Reagan approved a Finding that authorized the sale through third parties. Attorney General Edwin Meese approved the transaction under the National Security Act, without notice to Congress.

On February 27, 1986 1000 TOW missiles were delivered to Iran, but no hostages were released. The Iranians subsequently admitted that they could not arrange the release of all the Beirut hostages, but could possibly facilitate the release of two. Nonetheless, North had structured the deal so that funds would pass through an "Enterprise" account before payment was made to the CIA. The details of this plan were outlined in a a memorandum of April 1986, titled "Release of the American Hostages in Beirut"

Despite squabbling over price of spare parts, possibly because North had inflated the prices he passed along to the Iranians, one of the Beirut hostages, Father Lawrence Jenco was released on July 24, 1986. The Iranians threatened to kill an American hostage and two Iranians who had helped broker the deal, if spare parts were not delivered.

Vice President Bush met on July 29 in the King David Hotel in Jerusalem with Israeli counter-terrorism expert Amiram Nir, who provided them with a status report on the Iran arms deal. Bush would later describe the meeting as a counter terrorism discussion and review of hostage-rescue proposals.

Al-Shiraa, a Lebanese publication, reported on November 3, 1986 that former national security adviser Robert McFarlane had met with Iranian Speaker of Parliament Rafsanjani. Quickly the arms sales became the day's leading news story. Senior White House advisers met a week later to try to head off the policy disaster, but could only agree to say nothing.

CIA director William Casey, and national security adviser Poindexter briefed members of Congress on November 21st. In those briefings both men lied about U.S. involvement in the shipment of HAWK missiles to Iran in 1985. Casey also misrepresented other aspects of the arms sales including the extent of presidential approval, and who was running the operation.

Attorney General Meese advised President Reagan that it would be necessary to develop a consistent summary of the entire matter. Meese then called Poindexter's office asking that all relevant documents be compiled. Poindexter and North then began to destroy documents, including the only known copy of the "Finding" from December 1985 that identified the arms sales as an arms-for-hostages deal. Investigators also found a copy of North's "Release of the American Hostages in Beirut" detailing the diversion of funds for support of the contras in Nicaragua.

Four days later after briefing senior White House advisers including Vice President Bush, chief of staff Donald Regan, Secretary of State Shultz, Secretary of Defense Weinberger, and others, Attorney General Meese announced the diversion of funds at a press conference, and that Poindexter had resigned and North reassigned.

Bush Involvement
On Christmas Eve, 1992, having succeeded Ronald Reagan in 1989, then President George Bush committed what is probably his most memorable act in connection with the Iran-Contra affair: he pardoned former Secretary of Defense Caspar Weinberger and five other Iran-Contra defendants, charging that the Independent Counsel was attempting "criminalization of policy differences." His action represented the first time a President had pardoned someone in whose trial he might have been called as a witness.

Unfortunately, the criminal investigation of Bush himself was not complete. The Office of the Independent Counsel had been preoccupied with the investigation and trials of Oliver North and John Poindexter, and by the time the investigation had broadened to the point where questioning Bush would have been indicated, he had been elected President. Bush had acknowledged in December of 1986 and January of 1988 that he was regularly briefed concerning the Iran arms sales. This conflicted with his public assertion that he was "out of the loop," unaware of Secretary of State Shultz's strong opposition to the deal, unaware of the diversion of proceeds to support the contras, or of North's operation resupplying the contras.

The Independent Counsel was made aware of the existence of Bush's diary in 1992, and this triggered a special investigation as to why it had not been produced earlier. Subsequent examination of the diary showed that it should have been provided in response to at least two requests for documents dating back to 1987. Following disclosure of the diary, Bush retained private counsel, and reported through counsel that he did not recall the document request. Substantial evidence exists that Bush was, in fact, aware of the request, and that it had been communicated to him by C. Boyden Gray.

An excerpt from the diaries themselves demonstrates Bush's attitude toward providing personal documents to investigators:

Howard Baker in the presence of the President, told me today that George Shultz had kept 700 pages of personal notes, dictated to his staff . . . Notes on personal meetings he had with the President. I found this almost inconceivable. Not only that he kept the notes, but that he'd turned them all over to Congress . . . I would never do it. I would never surrender such documents and I wouldn't keep such detailed notes. Bush Diary, 7/20/87.
In the summer of 1992 the Independent Counsel's office informed the White House that new questions for President Bush had arisen since his last interview in 1988. The White House did not respond to this information. Bush's public posture was that he was cooperating with the Independent Counsel, but inside the White House there were discussions about not allowing an interview. The Independent Counsel decided against seeking a Grand Jury subpoena for Bush because it viewed criminal prosecution unlikely, and did not want to present an appearance of retaliating for the Weinberger pardon.

Among other issues, Bush would have been questioned concerning:

  1. Knowledge of or involvement in any arrangements with Central American or other countries in exchange for support of the contras
  2. The following diary entry:
    On the news at this time is the question of the hostages. . . . [[D]iscussion of Bud McFarlane having been held prisoner in Iran. . . . I'm one of the few people that know fully the details, and there is a lot of flack and misinformation out there. It is not a subject we can talk about. Bush Diary, 11/5/86
  3. Whether Administration officials had tried to create a false account of the Iran arms sales to avoid appearances of illegality or confrontation with Congress. Specifically Bush was present at a meeting with senior White House Advisers and a meeting with congressional leaders at which Poindexter described the Iran deal as having begun in 1986 (whereas it actually began in 1985).
  4. Whether or not President Reagan had been informed of the 1985 illegal shipments

None of these questions would be answered, however, since after pardoning the six conspirators, Bush refused to be interviewed concerning any aspect of the Iran-Contra matter other than his failure to provide his diary.

Reference:
Final Report of the Independent Counsel for Iran/Contra Matters, Vol I. Chapter 28. Lawrence E. Walsh, August 4, 1993

Prescott Bush and the Financing of the Third Reich

In 1920 a unit of W.A. Harriman & Co. took effective control of a German shipping line, the Hamburg-Amerika shipping company. The Harriman unit was named American Ship and Commerce Corp., and run by George W. Bush's grandfather, Prescott Bush, and Prescott Bush's father-in-law, George Herbert Walker. During Hitler's rise to power the U.S. embassy in Berlin expressed concern to Washington at the cost of Hitler's political campaign, and of maintaining the Nazi army of more than 300,000 men, and raised questions about the source of funding. In George Bush, the Unauthorized Biography, authors Webster Tarpley and Anton Chaitkin, write that the embassy reported the Hamburg-Amerika shipping company was funding propaganda attacks against the seated German government, for its attempts to prevent Hitler's takeover.

Hamburg-Amerika line officials working through Harriman U.S. businesses attempted to use their influence to prevent anti-Nazi propaganda in the U.S, as well. In 1934 Congress heard testimony that employees of the New York office were actually part of the Nazi Labor Front organization, that the line provided free travel to people on Nazi propaganda business, and that they subsidized pro-Nazi publications in the U.S.

The United States entered World War II early in 1942. In August of that year the U.S. government's Office of Alien Property Custodian, operating under the Trading with the Enemy Act, seized all property of the Hamburg-Amerika line. Two months later the same agency seized the Union Banking Corporation, of which Prescott Bush was a director. At the time, shareholders included Prescott Bush, E. Roland Harriman, and several Nazi agents. The following week the government also took action against two other organizations run by Bush and Harriman - the Holland-American Trading Corporation, and the Seamless Steel Equipment Corporation. The following month assets of the Silesian-American Corporation were also seized under the same law. A government report characterized the Silesian-American Corporation as a holding company for German and Polish subsidiaries, that had been operated by the German government since 1939. The seizure order stated that the shares were held for the benefit of the Thyssen family, who were designated nationals of an enemy country.

Fritz Thyssen, of the same Thyssen family is acknowledged to have been a major financier for the Nazi movement. In his book I Paid Hitler, Thyssen admitted financing Hitler since 1923. A government memorandum recently declassified reports that the Union Banking Corporation had been established by W. Averell Harriman in 1924 as a joint operation of W.A. Harriman & Co. in New York, and the Bank voor Handel end Scheepvaart (BHS) in the Netherlands, primarily to handle Thyssen family funds. The report states that the Union Banking Corporation was connected to the Vereinigte Stahlwerke, which produced between 20 and 50% of Germany's steel products. The Bush-Harriman bank handled Thyssen family funds, while the New York firm of Dillon Read handled the VS funds. (Clarence Dillon had been a colleague of Prescott Bush's father, Sam Bush, during World War I.)

According to Tarpley and Chaitkin, Fritz Thyssen told Allied investigators that he had arranged credit for the Nazi party with BHS prior to Hitler's rise to power in 1933. He reportedly stated that he preferred to use a Dutch bank because it gave him more control than if he had used a German bank. He also apparently wanted to hide the activities from German banks (with which, as an industrialist, he presumably had other dealings).

Thyssen's partner in the Vereinigte Stahlwerke was Friedrich Flick. During the Nuremberg trial preparations U.S. investigators identified Flick as a major contributor to the Nazi party. He was awarded the title of Wehrwirtschaftsfuehrer for his work as head of an industrial conglomerate that included coal mines and steel plants. Flick was sentenced to seven years in prison, but only served three and died a wealthy man.

In 1933 shortly after Hitler took power, an agreement reached in Berlin designated Harriman International Co., headed by Averell Harriman's cousin Oliver, the sole agent for exports from Germany to the U.S. A key participant in the negotiations was John Foster Dulles, who with his brother was a lawyer for the Bush and Harriman families. John Foster Dulles later became Secretary of State, and a leader in the Republican Party. His brother Allan became head of the CIA, helped Prescott Bush in his campaign for Senate from Connecticut, and presumably assisted George H.W. Bush when he headed the CIA himself.

Reference:
George Bush: The Unauthorized Biography
By Webster G. Tarpley & Anton Chaitkin
Note: Chaitkin's father, Jacob Chaitkin, was hired by the American Jewish Congress as legal director of the boycott against Nazi Germany.


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