Something to be aware of. Some of their styles are very anti-Christ.
GAME ON – TRUMP DEPLORABLES VERSUS NWO UNSUSTAINABLES! — THE MARSHALL REPORT
The CFR’s “North America: Time for a New Focus” report, a globalism blueprint, states ‘The Next U.S. President Must Have North American Goals?’ NOT ON TRUMP’S WATCH! The Council on Foreign Relations are pushing for a shared sovereignty for the United States. They are firm with their message that the next president in 2017 MUST HAVE THE NORTH AMERICAN UNION […]
via GAME ON – TRUMP DEPLORABLES VERSUS NWO UNSUSTAINABLES! — THE MARSHALL REPORT
Ready to Unplug? — spiritualjourney17
I rarely watch TV, especially mainstream news. There’s a sweep of people who are unplugging; who’ve decided to stop watching TV/news due to the significant portion of violent events they hear/see. The content of the stories presented and the way that we react to them create a cycle of lower vibrational thoughts, feelings and actions. […]
Neo Age of Enlightenment it’s Targeted Enlightenment of Individuals.
Age of Targeted Enlightenment!
Psychological and Spiritual Warfare is on-going, in and outside the home ( Targeted Enlightenment is not about about Gang-Stalking, Cause Stalking, And Targeted Individuals). TE or Targeted Enlightenment is about an individual who has been placed onto a list of people who are willfully ignorant about the New World Order its agenda and system. These individuals who are brainwashed by mainstream government propaganda are under psychological and often mental warfare tactics which is orchestrated by the U.S. military, C.I.A. and federal law enforcement within the USA, but this is a global criminal syndicate that is run by the Zionist NWO Illuminati Khazarian Mafia.
The curtain is now being pulled back to fully expose the Khazarian Mafia and its evil plan to infiltrate, tyrannize the whole world and eradicate all Abrahamic Religions and allow only their Babylonian Talmudism also known as Luciferianism, Satanism or ancient Baal worship. “The Matrix is a system, Neo. That system is our enemy. But when you’re inside, you look around, what do you see? Businessmen, teachers, lawyers, carpenters. The very minds of the people we are trying to save. But until we do, these people are still a part of that system and that makes them our enemy. You have to understand, most of these people are not ready to be unplugged. And many of them are so inured, so hopelessly dependent on the system, that they will fight to protect it.” Morpheus from The Matrix (1999)
Targeted Enlightenment is a form of raising awareness through educating and prayers for the public with websites, books,videos,blogs and prayer groups. Targeted Enlightenment is when a person who has been singled out by a Patriot Network called “Truthers.” The targeted Enlightenment is being under 24 hour prayer and info bombardment by large groups of various Patriot Networks . New technologies have brought about the possibility of this achievement to bring together Truthers to focus on one person or group at a time in hopes of the power of prayer’s and truthful information!
“I’m inventing a new tool for activists in the truth movement a term called targeted enlightenment. A term to describe a individual who has been targeted for enlightenment by a social network of Truthers. If you have somebody that you would like to be involved with enlightenment use the hashtag #TargetedEnlightenment and also tag the persons Facebook profile and the network of Truthers that see and use the hashtag will info bomb the individual with truth and knowledge. This is a flash mob for truth.” Daniel J Leach Jr
If you want to join the resistance out team of info warriors and fight the darkness of the NWO Khazarian Mafia and its evil plan to infiltrate, tyrannize the whole world then add people to our list of people or groups that are Targeted for Enlightenment. Use the hashtag #TargetedEnlightenment and tag the groups or people that you wish to be Liberated through Prayers and info bombardment! Don’t forget to join our Facebook group and introduce yourself to the team!
#TargetedEnlightenment
https://www.facebook.com/groups/231307517284741/
Click to listen: http://tobtr.com/s/9569209
//percolate.blogtalkradio.com/offsiteplayer?hostId=154920&episodeId=9569209
SOS Native Americans Being scammed by Warren Buffett using secretive foundations to finance ND anti-pipeline protest!
Posted by Daniel Joseph Leach Jr.
For further discussion about this topic and many more join our facebook group! https://www.facebook.com/groups/AntiNewWorldOrderPartyGlobal/
So Iv waited to write about the ND Pipeline protest until I figured out why this was really happening and why so many Native Americans are being sucked into this Geopolitical big business event and it took me awhile to put it all together. I live in the heart of the Oilfield in Williston ND so I hear all about whats going on with the North Dakota Access pipeline protest and its really one of the biggest topics of conversation around town.
At first look you see Native Americans Protesting about Clean Water and I am sure many of them do believe this and have actually gone and protested with this as their motivation to put themselves and their family’s lives in harms way they spend money they dont have they travel any way they can to get to this location where the protesting is happening because of this most Honorable belief.
But this is not the true story here that is just a cover story! I want to tell the other side to the story! I want to save my Native American Brothers and sisters from being sucked into and used by Billionaires such as Warren Buffett as pawns this False Narrative this is a scam of a protest! What we are looking at here is a False Flag Operation
The Obama administration that has come under fire for aligning itself with activists fighting a North Dakota pipeline project even as the protest at the 2-month-old encampment spirals out of control. This is not about Water its about money big money! Billionaires such as Warren Buffett are using secretive foundations to finance anti-pipeline protests as the rich get even richer. They are, in reality, being bankrolled by billionaires, fat-cat foundations and foreign oil interests.
This section Copied from: http://naturalgasnow.org/
Putin-allied Russian oil billionaires laundered $23 million through the Bermuda-based Wakefield Quin law firm to the Sea Change Foundation and thence to anti-fracking and anti-Keystone groups, the Environmental Policy Alliance found.
Sandpiper opponents are also being funded and coordinated by wealthy financiers and shadowy foundations, researcher Ron Arnold discovered.
It’s true that several small groups are involved in the anti-Sandpiper protests. However, the campaign is coordinated by Honor the Earth, a Native American group that is actually a Tides Foundation “project,” with the Tides Center as its “fiscal sponsor.” They’ve contributed $700,000 and extensive in-kind aid. Out-of-state donors provide 99% of Honor’s funding.
The Indigenous Environmental Network also funds Honor the Earth. Minnesota corporate records show no incorporation entry for the Network, and 95% of its money comes from outside Minnesota. Tides gave IEN $670,000 to oppose pipelines.
Indeed, $25 billion in left-wing foundation investment portfolios support the anti-Sandpiper effort. Vastly more backing makes the $13-billion-per-year U.S. environmentalist movement a power to be reckoned with, Arnold and I document in our book, Cracking Big Green.
These tax-exempt foundations do not simply give money to pressure groups. They serve as puppeteers, telling protesters what campaigns to conduct, what tactics to use. Meanwhile, donors enjoy deductions for “charitable giving” to “education, conservation and other social change” programs.
Tides Foundation combined cash flows exceed $200 million annually, Canadian investigative journalist Cory Morningstar reported (here and here). Like Arnold, she and fellow Canadian sleuth Vivian Krause have delved deeply into troubling arrangements among Big Green, Big Government and Big Finance.
Morningstar calls the San Francisco-based Tides operation “a priceless, magical, money funneling machine of epic proportions.” It enables über-rich donors to distribute funds to specific organizations and campaigns of their choice, without disclosing their identities.
Even more interesting, among Tides’ biggest donors is Obama friend and advisor Warren Buffett. Beginning in 2004, Buffett funneled $30.5 million through his family’s NoVo Foundation to Tides. The cash ultimately went to selected pressure groups that led campaigns against Keystone, Sandpiper and other projects, Morningstar and Arnold found.
By donating the market value of greatly appreciated Berkshire Hathaway shares to NoVo, the Omaha billionaire avoided income taxes on his gains. Even more important, while public, media and political attention was riveted on Keystone, Berkshire Hathaway quietly bought the Burlington Northern Santa Fe Railroad and Union Tank Car manufacturing company – with no notice, dissent or interference, Morningstar observed.
When Keystone XL et al. were blocked, more oil was shipped by rail – much of it via Buffett companies. In fact, oil-by-rail skyrocketed from 9,500 carloads in 2009 to 450,000 carloads in 2014. Mr. Buffett’s “investment” in anti-pipeline activism garnered billions in rail revenues.
The anti-pipeline campaigns blocked thousands of jobs and increased risks of tank car derailments, like the Lac Megantic, Quebec spill that destroyed much of the town and incinerated 47 people.
That may help explain why Mr. Buffett recently criticized President Obama’s veto of Keystone XL legislation. He now says the pipeline would be good for both Canada and the United States, and it is a mistake to jeopardize trade relationships with our northern neighbor.
But, the campaigns rage on. Mr. Buffett helped unleash a beast he cannot control. The campaigns are not grassroots, or even Astroturf. Their “green” tint is the color of unfathomable behind-the-scenes wealth.
The clandestine Buffett-Berkshire-NoVo-Putin-Tides-activist-railroad arrangement reflects “a devious strategy on the part of both benefactor and recipient,” Morningstar concludes. “At minimum, it demonstrates an almost criminal conflict of interest.” Legislative investigations are needed, especially since the Justice Department is hardly likely to look into what its key allies are doing.
However, there are also some surprising beneficiaries from the administration’s refusal to allow the pipeline to be built. The shale boom in North Dakota and other parts of the country has led to a shortage of pipeline capacity, which is part of the reason that TransCanada wants to build Keystone XL. In lieu of adequate pipeline infrastructure, oil companies have had to use alternative methods for shipping crude, including trucks, freight trains, and barges. In fact, more oil is moving by freight transit now than at any time since record-keeping began in 1981. From 2011 to 2012, U.S. rail deliveries of crude quadrupled. In North Dakota, which would have some usage of the Keystone XL, rail is used to carry 69% of production.

“Federal military forces shall not be used to quell civil disturbances unless specifically authorized by the president in accordance with applicable law or permitted under emergency authority,” the directive states. “In these circumstances, those federal military commanders have the authority, in extraordinary emergency circumstances where prior authorization by the president is impossible and duly constituted local authorities are unable to control the situation, to engage temporarily in activities that are necessary to quell large-scale, unexpected civil disturbances” under two conditions.
The conditions include military support needed “to prevent significant loss of life or wanton destruction of property and are necessary to restore governmental function and public order.” A second use is when federal, state and local authorities “are unable or decline to provide adequate protection for federal property or federal governmental functions.”
“Employees of the federal government often quote the Supremacy Clause of the Constitution to assert that federal law trumps state law, including the state’s police powers. However, bureaucrats usually only quote the first half of the clause. The Supremacy Clause in the Constitution of the United States of America 1789 found at article VI, clause 2 makes is very specific as to what it says.
“This Constitution, and the laws of the United States which shall be made in Pursuance thereof, and all Treaties made, or which shall be made, under the authority of the United States, shall be the supreme law of the land, and the Judges in every State shall be bound thereby, any Thing in the Constitution or Laws of any State to the Contrary notwithstanding.”
To fully understand exactly what this means you have to go to Webster’s Dictionary 1828 for the definition of, “notwithstanding.”
NOTWITHSTAND’ING, the participle of withstand, with not prefixed, and signifying not opposing; nevertheless. It retains in all cases its participial signification.
Gun wielding federal bureaucrats, as seen in recent federal raids such as the Bundy raid, USFWS raid on Gibson Guitar Company, and many others, are operating outside their lawful delegated authority. Unless the federal agencies are required by the sheriff to follow the law they will continue to illegally encroach upon state jurisdiction. When the local sheriff, as in the case of Clark Co. Sheriff Gillespie abdicate their duties, and turn a law enforcement operation over to the federal government, they may subject themselves to removal for malfeasance of office.
The recent breach of the peace that we witnessed in Clark Co., Nevada emphasizes the gravity of allowing federal employees to continue to assert law enforcement powers never granted to them by Congress or the Constitution. These federal employees need to be disarmed. Congress needs to open an investigation into appropriations for guns, ammunition and law enforcement equipment. Managers of the BLM, USFS and other agencies should be called to testify under oath about where in law they obtain their law enforcement authority. While the BLM asserts they were merely enforcing a lawful court order in the Bundy matter, Congress needs to investigate the numerous court orders against federal agencies which they ignore with impunity. The rule of law needs to apply equally to everyone, including federal bureaucrats.
[1] Report, Part I, p. 8 [2] Report, Part I, p. 13-14 [3] Report, Part I, p. 21. [4] Report, Part I, p. 98 [5] Report, Part I, p. 234The Liberty and Property Rights Coalition is committed to promoting and preserving Constitutional rights to liberty and property in public policy and the law.
A service of Liberty and Property Rights Coalition, 2013.” Posted on JUNE 29, 2014 Written by
This section was taken from the official http://www.blm.gov/or/regulations/files/FLPMA.pdf
The Federal Land Policy and Management Act of 1976, as amended, is the Bureau of Land Management “organic act” that establishes the agency’s multiple-use mandate to serve present and future generations.
TITLE V RIGHTS-OF-WAY AUTHORIZATION TO GRANT RIGHTS-OF-WAY Sec. 501. [43 U.S.C. 1761] (a) The Secretary, with respect to the public lands (including public lands, as defined in section 103(e) of this Act, which are reserved from entry pursuant to section 24 of the Federal Power Act (16 U.S.C. 818)) [P.L. 102-486, 1992] and, the Secretary of Agriculture, with respect to lands within the National Forest System (except in each case land designated as wilderness), are authorized to grant, issue, or renew rights-or-way over, upon, under, or through such lands for– (1) reservoirs, canals, ditches, flumes, laterals, pipes, pipelines, tunnels, and other facilities and systems for the impoundment, storage, transportation, or distribution of water; (2) pipelines and other systems for the transportation or distribution of liquids and gases, other than water and other than oil, natural gas, synthetic liquid or gaseous fuels, or any refined product produced therefrom, and for storage and terminal facilities in connection therewith; (3) pipelines, slurry and emulsion systems, and conveyor belts for transportation and distribution of solid materials, and facilities for the storage of such materials in connection therewith; (4) systems for generation, transmission, and distribution of electric energy, except that the applicant shall also comply with all applicable requirements of the Federal Energy Regulatory Commission under the Federal Power Act, including part I thereof (41 Stat. 1063, 16 U.S.C. 791a- 825r) [P.L. 102-486, 1992]; (5) systems for transmission or reception of radio, television, telephone, telegraph, and other electronic signals, and other means of communication; (6) roads, trails, highways, railroads, canals, tunnels, tramways, airways, livestock driveways, or other means of transportation except where such facilities are constructed and maintained in connection with commercial recreation facilities on lands in the National Forest System; or (7) such other necessary transportation or other systems or facilities which are in the public interest and which require rights-of-way over, upon, under, or through such lands. (b) (1) The Secretary concerned shall require, prior to granting, issuing, or renewing a right-ofway, that the applicant submit and disclose those plans, contracts, agreements, or other information reasonably related to the use, or intended use, of the right-of-way, including its effect on competition, which he deems necessary to a determination, in accordance with the provisions of this Act, as to whether a right-of-way shall be granted, issued, or renewed and the terms and conditions which should be included in the right-of-way. (2) If the applicant is a partnership, corporation, association, or other business entity, the Secretary concerned, prior to granting a right-to-way pursuant to this title, shall require the applicant to disclose the identity of the participants in the entity, when he deems it necessary to a determination, in accordance with the provisions of this title, as to whether a right-of-way shall be granted, issued, or renewed and the terms and conditions which should be included in the right-of-way. Such disclosures shall include, where applicable: (A) the name and address of each partner; (B) the name and address of each share-holder owning 3 per centum or more of the shares, together with the number and percentage of any class of voting shares of the entity which such shareholder is authorized to vote; and (C) the name and address of each affiliate of the entity together with, in the case of an affiliate controlled by the entity, the number of shares and the percentage of any class of voting stock of that affiliate owned, directly or indirectly, by that entity, and, in the case of an affiliate which controls that entity, the number of shares and the percentage of any class of voting 36 ———— Federal Land Policy and Management Act of 1976 stock of that entity owned, directly or indirectly, by the affiliate. (3) The Secretary of Agriculture shall have the authority to administer all rights-of-way granted or issued under authority of previous Acts with respect to lands under the jurisdiction of the Secretary of Agriculture, including rights-of-way granted or issued pursuant to authority given to the Secretary of the Interior by such previous Acts. [P.L. 99-545, 1986] (c) (1) Upon receipt of a written application pursuant to paragraph (2) of this subsection from an applicant meeting the requirements of this subsection, the Secretary of Agriculture shall issue a permanent easement, without a requirement for reimbursement, for a water system as described in subsection (a)(1) of this section, traversing Federal lands within the National Forest System (‘National Forest Lands’), constructed and in operation or placed into operation prior to October 21, 1976, if – (A) the traversed National Forest lands are in a State where the appropriation doctrine governs the ownership of water rights; (B) at the time of submission of the application the water system is used solely for agricultural irrigation or livestock watering purposes; (C) the use served by the water system is not located solely on Federal lands; (D) the originally constructed facilities comprising such system have been in substantially continuous operation without abandonment; (E) the applicant has a valid existing right, established under applicable State law, for water to be conveyed by the water system; (F) a recordable survey and other information concerning the location and characteristics of the system as necessary for proper management of National Forest lands is provided to the Secretary of Agriculture by the applicant for the easement; and (G) the applicant submits such application on or before December 31, 1996. (2) (A) Nothing in this subsection shall be construed as affecting any grants made by any previous Act. To the extent any such previous grant of right-of-way is a valid existing right, it shall remain in full force and effect unless an owner thereof notifies the Secretary of Agriculture that such owner elects to have a water system on such right-of-way governed by the provision of this subsection and submits a written application for issuance of an easement pursuant to this subsection, in which case upon the issuance of an easement pursuant to this subsection such previous grant shall be deemed to have been relinquished and shall terminate. (B) Easements issued under the authority of this subsection shall be fully transferable with all existing conditions and without the imposition of fees or new conditions or stipulations at the time of transfer. The holder shall notify the Secretary of Agriculture within sixty days of any address change of the holder or change in ownership of the facilities. (C) Easements issued under the authority of this subsection shall include all changes or modifications to the original facilities in existence as of October 21, 1976, the date of enactment of this Act. (D) Any future extension or enlargement of facilities after October 21, 1976, shall require the issuance of a separate authorization, not authorized under this subsection. (3) (A) Except as otherwise provided in this subsection, the Secretary of Agriculture may terminate or suspend an easement issued pursuant to this subsection in accordance with the procedural and other provisions of section 506 [43 U.S.C. 1766] of this Act. An easement issued pursuant to this subsection shall terminate if the water system for which such easement was issued is used for any purpose other than agricultural irrigation or livestock watering use. For purposes of subparagraph (D) of paragraph (1) of this subsection, non-use of a water system for agricultural irrigation or livestock watering purposes for any continuous fiveyear period shall constitute a rebuttable presumption of abandonment of the facilities comprising such system. (B) Nothing in this subsection shall be deemed to be an assertion by the United States of any right Public Law 94–579—Oct. 21, 1976, as amended through May 7, 2001 ———— 37 or claim with regard to the reservation, acquisition, or use of water. Nothing in this subsection shall be deemed to confer on the Secretary of Agriculture any power or authority to regulate or control in any manner the appropriation, diversion, or use of water for any purpose (nor to diminish any such power to authority of such Secretary under applicable law) or to require the conveyance or transfer to the United States of any right or claim to the appropriation, diversion, or use of water. (C) Except as otherwise provided in this subsection, all rights-of-way issued pursuant to this subsection are subject to all conditions and requirements of this Act. (D) In the event a right-of-way issued pursuant to this subsection is allowed to deteriorate to the point of threatening persons or property and the holder of the right-of-way, after consultation with the Secretary of Agriculture, refuses to perform the repair and maintenance necessary to remove the threat to persons or property, the Secretary shall have the right to undertake such repair and maintenance on the right-of-way and to assess the holder for the costs of such repair and maintenance, regardless of whether the Secretary had required the holder to furnish a bond or other security pursuant to subsection (i) of this section. [P.L. 99-545, 1986] (d) With respect to any project or portion thereof that was licensed pursuant to, or granted an exemption from, part I of the Federal Power Act [16 U.S.C. 791a et seq.] which is located on lands subject to a reservation under section 24 of the Federal Power Act [16 U.S.C. 818] and which did not receive a permit, right-of-way or other approval under this section prior to enactment of this subsection, no such permit, right-of-way, or other approval shall be required for continued operation, including continued operation pursuant to section 15 of the Federal Power Act [16 U.S.C. 808], of such project unless the Commission determines that such project involves the use of any additional public lands or National Forest lands not subject to such reservation. [P.L. 102-486, 1992] C
United Nations Meet To Disarm American Citizens; Population Focused on “ISIS Murderer”
Originally reported by: Lorri Anderson; Contributor for Freedom Outpost
While many people across our union are focused upon the murderous acts of a madman in Florida, CAIR has called for better “Gun Control”, Obama hints at it, Homeland floats ‘national security’ as excuse to take guns, Democrats hold sit in to try and force gun control on law abiding Americans, and NAACP touts almost identical wording located within the UNODA/UNSATT documents. One does have to wonder, is there a muchgreater agenda at play?
Main stream media have consistently bombarded us with the “ISIS” “mass murderer” story, yet have failed to report on issues that effect the whole of the American people. Issues that would cause all of us to be unarmed leaving us at the mercy of madmen and criminals. I am speaking about the unalienable rights you were born with, which were confirmed in the second amendment to the Bill of Rights. Your right to keep and bear arms is being attacked via “agreements” by an un-elected body of individuals wishing to control, and disarm “We The People” leaving all of us helpless to defend ourselves, as was the case in Florida massacre.
The United Nations held the “Sixth Biennial Meeting of States to Consider the Implementation of the Programme of Action to Prevent, Combat and Eradicate the Illicit Trade in Small Arms and Light Weapons in All Its Aspects”. This meeting was held June 6 – 10, 2016 in New York. Located in their “Draft Outcome” report are many disturbing findings.
Document A/CONF.192/BMS/2016/WP.1/Rev.2 of June 10, 2016 titled “Sixth Biennial Meeting of States to Consider the Implementation of the Programme of Action to Prevent, Combat and Eradicate the Illicit Trade in Small Arms and Light Weapons in All Its Aspects” states the following:
3. States reaffirmed their respect for and commitment to their obligations under international law and the purposes and principles enshrined in the Charter of the United Nations, as well as those set out in the Programme of Action, including its eighth to eleventh preambular paragraphs
5. States welcomed the progress made in implementing the Programme of Action and the International Tracing instrument since their adoption, including on the establishment, strengthening and enforcement of national laws, regulations and administrative procedures to prevent the illicit trade and illegal manufacture of small arms and light weapons, the development of national action plans, the establishment of national points of contact, the submission of voluntary national reports and the strengthening of subregional and regional cooperation. They also welcomed progress made in implementing stockpile management and security, the collection and destruction of illicit small arms and light weapons, the marking of small arms and light weapons, technical training and information sharing
8. States reiterated the importance of national laws, regulations and administrative procedures, interagency coordination, and, where they exist, national action plans to the full and effective implementation of the PoA
18. States noted the opportunities new technologies, when available, can offer for enhanced small arms and light weapons stockpile management and security, including through improved marking and record-keeping, and for the destruction of surplus small arms and light weapons that they have designated for destruction
23. States welcomed the adoption of the 2030 Agenda for Sustainable Development, including Sustainable Development Goal (SDG) 16.
24. States acknowledged, in line with the 2030 Agenda, that sustainable development cannot be realized without peace and security and that peace and security will be at risk without sustainable development.
25. States noted that the illicit trade in small arms and light weapons has implications for the realization of several SDGs, including those relating to peace, justice and strong institutions, poverty reduction, economic growth, health, gender equality, and safe cities and communities.
26. States underlined the importance of the full and effective implementation of the PoA and ITI for attaining SDG 16 and SDG Target 16.4.
31. To ensure that destroyed and deactivated small arms and light weapons are rendered permanently inoperable such that illicit reactivation is physically impossible, and recognizing the value of relevant best practices in this regard.
35. To coordinate, as appropriate, national-level implementation of the PoA with relevant subregional, regional and international instruments, and with related issues and processes, including disarmament, demobilization, and reintegration; border controls; organized crime; terrorism; urban crime; relevant UN resolutions; and related capacity-building initiatives.
36. To take into account complementarities between the PoA and relevant subregional, regional and global instruments in which Member States participate in order to enhance, as appropriate, national-level coordination on the implementation of the PoA.
37. To share best practices in physical stockpile management and security, as well as permanent weapons reactivation, in order to prevent the diversion of small arms and light weapons to illicit markets, illegal armed groups, terrorists and otherunauthorized[emphasis mine] recipients, including in conflict and post-conflict situations.
38. To continually assess national stockpiles for surpluses and to responsibly dispose, preferably through destruction, of small arms and light weapons that no longer meet operational needs.
Politicians such as Obama, Hillary Clinton and certain factions of main stream media have tried to gloss over the true nature of the UN SATT for years. The American people have been told the “UNSATT has nothing to do with disarming the people, nor the eradication of an individuals right to bear arms”. These statements have proven to be false, and misleading time and time again by the United Nations own documentation. See previous articles covered here, here,, here,
Located within the “United Nations International Small Arms Control Standard ISACS 03.30 version 1.0, dated 2015-06-11; titled “National regulation of civilian access to small arms and light weapons” section 6 states:
6 Regulating types and characteristics of small arms
6.1 Prohibitions
6.1.1 GeneralNational law shall prohibit civilians from acquiring, owning or possessing
a) light weapons;
b) automatic small arms; and
c) armour-piercing ammunition.
The United Nations openly shows within their own reports they must be successful in disarming the population as a whole in order to establish their UN Agenda 21 [aka: UN 2030 Sustainable Development Agenda]. The people of America must unify together in a joint effort across our union to stop these un-elected bodies from destroying our individual unalienable right to self defense before it becomes too late. Contact your representatives, your local sheriff’s, share this information with everyone. We must start visiting our sheriff’s and find out where they stand on protecting our unalienable rights. If they are unaware of their authority, be active and help educate them. CSPOA.ORG has a wealth of resources for Sheriff’s and Police officers. Let your Sheriff’s know you are holding them to the oath they took before taking their position, and you will make sure if they violate their oath they will be held accountable. “Acting under color of law” is no excuse.
states: “If two or more persons conspire to injure, oppress, threaten, or intimidate any person in any State, Territory, Commonwealth, Possession, or District in the free exercise or enjoyment of any right or privilege secured to him by the Constitution or laws of the United States, or because of his having so exercised the same; or
If two or more persons go in disguise on the highway, or on the premises of another, with intent to prevent or hinder his free exercise or enjoyment of any right or privilege so secured—
They shall be fined under this title or imprisoned not more than ten years, or both; and if death results from the acts committed in violation of this section or if such acts include kidnapping or an attempt to kidnap, aggravated sexual abuse or an attempt to commit aggravated sexual abuse, or an attempt to kill, they shall be fined under this title or imprisoned for any term of years or for life, or both, or may be sentenced to death.”
states:
“Whoever, under color of any law, statute, ordinance, regulation, or custom, willfully subjects any person in any State, Territory, Commonwealth, Possession, or District to the deprivation of any rights, privileges, or immunities secured or protected by the Constitution or laws of the United States, or to different punishments, pains, or penalties, on account of such person being an alien, or by reason of his color, or race, than are prescribed for the punishment of citizens, shall be fined under this title or imprisoned not more than one year, or both; and if bodily injury results from the acts committed in violation of this section or if such acts include the use, attempted use, or threatened use of a dangerous weapon, explosives, or fire, shall be fined under this title or imprisoned not more than ten years, or both; and if death results from the acts committed in violation of this section or if such acts include kidnapping or an attempt to kidnap, aggravated sexual abuse, or an attempt to commit aggravated sexual abuse, or an attempt to kill, shall be fined under this title, or imprisoned for any term of years or for life, or both, or may be sentenced to death.”
As Sheriff Richard Mack stated in his book; “The County Sheriff America’s Last Hope”
“As Thomas Jefferson opined, “When all government shall be drawn to Washington as the center of all power, it will render powerless the checks provided and will become as venal and oppressive as the government from which we separated”. The COUNTY SHERIFF is our nation’s LAST LINE OF DEFENSE, for the preservation and return to fundamental and individual liberty.”
“The bottom line; America was founded as a constitutional Republic, a representative form of government with extremely limited powers, confined within the parameters as expressly set forth by the supreme law of the land, the Constitution itself. In order for the Founders to perpetuate the principles of the Constitution they secured a proviso in Art. VI paragraph 3, which states very clearly, “…all executive and judicial officers, both of the United States and of the several States, shall be bound by oath or affirmation to support this Constitution…”
“Therefore, what is our supreme duty and responsibility? That’s right! To protect and defend, the U S Constitution! There is nothing we could do, that could come even close to justifying any peace officer in this country failing to keep his oath of office.”
Now more than ever our people need to arm themselves, train, and be prepared to defend the innocent from terrorists and criminals. Police are unable to protect you when every second counts, as proven in this massacre. It is your duty and your right to protect yourselves, YOU not the police are and always have been the first responders. By working together, we can defeat this tyranny. NOW and not tomorrow we must Stand Up, Stand Strong, Stand United, and say NO MORE to their gun grabbing agenda. Semper Fidelis
Sources:
US Senators send BHO Cease and Desist Letter; July 22, 2011
UN Agreement Should Have All Gun Owners Up In Arms; Forbes June 7, 2011
ISACS; International Small Arms Control Standards
ISACS; 03.30 National regulation of civilian access to small arms and light weapons
UNODA: Sixth Biennial Meeting of States on the Programme of Action
United Nations: Transforming our World, The 2030 Agenda for Sustainable Development
ABC News: Obama Calls For Assault Weapons Ban, New ‘No Fly, No Buy” Law
Breitbart: Obama’s Gun-Control Plan Includes Gun-Ban For Some Social Security Beneficiaries
hillaryclinton.com: It is past time we act on gun violence
Politicususa: Bernie Sanders Bluntly Calls For Automatic Weapons Ban After Orlando Mass Shooting[perhaps Bernie and the author of this article should be informed it’s already illegal to purchase or obtain “automatic weapons” without approval of the FBI and has been since 1938]
USA TODAY: High Court to consider whether to hear assault weapons ban challenge
Congress.gov:H.R.4269 – Assault Weapons Ban of 2015; Detroit Free Press: Conyers, others call for gun control hearings in Congress
CBS News: Senators renew call for gun control after Orlando shooting.
FOX 61: Connecticut congressional delegation calls for gun control in wake of Orlando massacre
Chicago Tribune: Illinois U.S. Rep. Dold breaks ranks with GOP, endorses gun control measures
Los Angeles Times: California’s congressional delegation calls for action on gun control
Boston Herald: Congressman calls Obama gun control plan ‘desperate’
Boston Herald: Trump: Obama’s gun control moves will backfire
CBS News: Homeland Security Secretary Jeh Johnson “Gun control is now a matter of homeland security”
Infowars: WAPO: Rand Paul’s Warning About UN Gun Grabbers “Black Helicopter Stuff”
Has ISIS Infiltrated Homeland Security? Orlando Terrorist Worked for Major DHS Contractor
Infowars: Obama Admin. Adopts Clinton’s “Weapons of War” Mischaracterization of Semi-Auto Firearms
Infowars: Orlando Shooter did not use AR-15 Rifle-Despite False Media Reports
Perfection is learned by mistakes
“Perfection is learned by mistakes.” Daniel Joseph Leach Jr
FEDERAL JUDGE ORDERED US ATTORNEY TO PRESENT FACTS OF CRIMINAL WRONGDOING TO GRAND JURY/ US MARSHAL
( 1 ) U.S. Marshal Paul Safier, is a U.S. Marshal in Trenton, New Jersey. His phone number is 609-989-2069. Call him. Ask him why he sanctions and endorses criminal conduct. He is well aware of the constitutional violations and criminal conduct in my case. His email is psafier@usms.doj.gov. The other email address is my attorney’s, Jerald Di Chiara.
What follows is one of about 12 cases, or more, throughout the country that shows we can go to the Grand Jury. In some states, we can go directly, we do not have to go through the Court [ the supervising judge ] or the prosecutor, as this case indicates, from the Southern district of New York.
US Marshal James Howard, in the Southern district of New York knows that when I go to a Grand Jury, the Grand Jury will indict him. Because US Marshal James Howard conspired in criminal conduct against me, since 2009, I was unlawfully imprisoned in 2010. US Marshal James Howard already admitted that he is on the wrong side of the law, and has been for a long time.
I already went to the U.S. Attorney in New Jersey, Paul Fishman, and caught his office lying to DC, claiming I was never there. I already aired on my TV show the video tape that shows I was at his office.
I already went to the U.S. Attorney in Brooklyn, New York, Loretta Lynch. Loretta Lynch is now the U.S. Attorney General. What is she going to do? Prosecute herself? I already have hard evidence against Loretta Lynch and other US Attorneys.
This case was decided in the Southern district of New York in 1985. For constitutional violations the prosecutor must prosecute. For racketeering the prosecutor must prosecute.
( 2 ) My attorney, Jerald Di Chiara has a responsibilty to bring the constiutional violations and other crimes committed against me to the Grand Jury immediately because as an attorney in New York he will be dis-barred under New York Judicial law section 487 for colluding in any deceit or deception. I already have sworn affidavits that speak to the crimes, deceit and deception committed by Yeshiva University and the Manhattan District Attorney’s office against me.
***********************************************************************************************
617 F.Supp. 199 (1985)
In the Matter of In re GRAND JURY APPLICATION.
No. 85 Civ. 2235 (VLB).
April 25, 1985.
United States District Court, S.D. New York.
*200 Neal Schwarzfeld, Schwarzfeld, Ganfer & Shore, New York City, for Bandler
& Kass, Robert Sylvor and William J. Werner.
200
Russell, Piccoli, Phoenix, Ariz., Herbert C. Ross, Jr., Rogers Hoge & Hills, New
York City, for plaintiffs.
Susan Harkins, Asst. U.S. Atty., New York City, for U.S. Atty.
MEMORANDUM ORDER
VINCENT L. BRODERICK, District Judge.
Plaintiffs, in their complaint and now by motion, seek either a writ of mandamus to
compel the United States Attorney to present the “facts” concerning alleged
criminal wrongdoing of certain named defendants to the grand jury or for me to
request the grand jury to hear testimony by plaintiff’s attorney, Mr. Piccoli,
concerning that wrongdoing.[1] They base their *201 complaint and motion on 18
U.S.C. § 3332(a), which states:
201
It shall be the duty of each such grand jury impaneled within any
judicial district [special grand juries impanelled pursuant to 18 U.S.C.
- 3331] to inquire into offenses against the criminal laws of the United
States alleged to have been committed within that district. Such
alleged offenses may be brought to the attention of the grand jury by
the court or by any attorney appearing on behalf of the United States
for the presentation of evidence. Any such attorney receiving
information concerning such an alleged offense from any other person
shall, if requested by such other person, inform the grand jury of such
alleged offense, the identity of such other person, and such attorney’s
action or recommendation.
At the outset, I would point out that plaintiffs do not seek to compel the U.S.
Attorney to prosecute the named defendants. Rather, they seek to have either the
court or the United States Attorney present certain information to the grand jury.
This distinction is critical because almost the entirety of the opposition to plaintiffs’
motion is based on the mischaracterization by the U.S. Attorney and the other
defendants of plaintiffs’ motion as one seeking to compel the U.S. Attorney to
initiate proceedings against the other defendants.
Thus the U.S. Attorney argues that plaintiffs lack standing to bring this suit
because “a private litigant lacks a sufficiently distinct interest in a criminal
prosecution to compel its initiation.” Govt. Memo at 7, citing Linda R.S. v. Richard
D., 410 U.S. 614, 619, 93 S.Ct. 1146, 1149, 35 L.Ed.2d 536 (1973);see Leeke v.
Timmerman, 454 U.S. 83, 86-87, 102 S.Ct. 69, 70-71, 70 L.Ed.2d 65 (1981);
Heckler v. Chaney, ___ U.S. ___, 105 S.Ct. 1649, 84 L.Ed.2d 714 (1985) and
other cases. He argues that because presenting the information to the grand jury
might not lead to an indictment, or conviction, or ultimately to an award in the
plaintiffs’ pending civil action, plaintiffs’ interest is too attenuated from the relief
sought to justify allowing them to bring the instant action.
“Congress may enact statutes creating legal rights, the invasion of which creates
standing, even though no injury would exist without the statute.”Linda R.S. v.
Richard D., 410 U.S. 614, 617 n. 3, 93 S.Ct. 1146, 1148 n. 3, 35 L.Ed.2d 536
(1973). See Warth v. Seldin, 422 U.S. 490, 500, 95 S.Ct. 2197, 2206, 45 L.Ed.2d
343 (1975); Trafficante v. Metropolitan Life Ins. Co., 409 U.S. 205, 212, 93 S.Ct.
364, 368, 34 L.Ed.2d 415 (1972) (White, J., concurring); Hardin v. Kentucky
Utilities Co., 390 U.S. 1, 6, 88 S.Ct. 651, 654, 19 L.Ed.2d 787 (1968). When
determining whether a plaintiff has standing, I need only examine the complaint to
see if the plaintiff has alleged that he has suffered a cognizable injury. Nash v.
Califano, 613 F.2d 10, 14 (2d Cir.1980). 18 U.S.C. § 3332(a) creates a duty on
the part of the United States Attorney that runs to the plaintiffs, and the breach of
that duty gives the plaintiffs standing to seek its enforcement.[2]
The defendants contend that “the decision to prosecute is the exclusive
prerogative of the Executive Branch.” Govt.Memo at 10, citingUnited States v.
Nixon, 418 U.S. 683, 94 S.Ct. 3090, 41 L.Ed.2d 1039 (1974); Nathan v. Smith,
737 F.2d 1069 *202 (D.C.Cir.1984); Inmates of Attica Correction Facility v.
Rockefeller, 477 F.2d 375 (2d Cir.1973); Powell v. Katzenbach, 359 F.2d 234
(D.C.Cir.1965), cert. denied, 384 U.S. 906, 86 S.Ct. 1341, 16 L.Ed.2d 359 (1966),
and other cases. They characterize plaintiffs’ complaint and motion as attempts to
compel the U.S. Attorney to prosecute the other named defendants, and, relying
on the above cited cases, argue that courts have uniformly denied such relief. But
no case cited has considered the requirements imposed by 18 U.S.C. § 3332(a).
The only opinion I have found that even indirectly deals with the issue presented
in this case is Judge Bork’s concurring opinion in Nathan v. Smith,737 F.2d 1069
(D.C.Cir.1984).
202
In Nathan, the issue was prosecutorial discretion under the Ethics in Government
Act, 28 U.S.C. §§ 591 et seq. Section 591(a) provided[3] in relevant part:
The Attorney General shall conduct an investigation pursuant to the
provisions of this chapter whenever the Attorney General receives
specific information that any of the persons described in subsection
(b) of this section has committed a violation of any Federal criminal
law other than a violation constituting a petty offense.
Judge Bork stated:
It may be thought that neither the relief granted by the district court
nor that sought by the plaintiffs falls within the principle of Executive
control of decisions to prosecute. The district court ordered the
Attorney General to initiate a preliminary investigation; the plaintiffs
seek to compel an application for the appointment of an independent
counsel. The distinction between these remedies and the
[prosecutorial discretion] principle discussed above has no
significance, however. The only purpose of the preliminary
investigation under the Ethics Act is to enable a report to the special
division of this court about the need or the lack of a need for the
appointment of independent counsel. The preliminary investigation is
thus the first stage of the prosecutorial process and the district court
has undertaken to control that stage.
Plaintiffs would have the district court control the next stage as well
ordering the Attorney General to apply to the special division of this
court for the appointment of an independent counsel. It is no answer
to say that the courts, under either form of relief, would not control the
final prosecutorial decision since that would be made by the
independent counsel. There are at least two flaws in that reasoning.
The first is that the principle of Executive control extends to all phases
of the prosecutorial process. Thus, were this a case about an ordinary
prosecution under a federal criminal statute, a plaintiff could not
escape the principle discussed by demanding only an order that the
Attorney General present facts to a grand jury but leaving the decision
whether to sign any indictment to him. Second, if private plaintiffs
have the legal ability to require an investigation of criminal charges, it
is difficult to understand by what principle they could be denied a
cause of action to compel the independent counsel to prosecute if that
counsel had sufficient evidence to do so under the policies of the
Department of Justice, which the Act requires him to follow. 28 U.S.C.
- 594(f) (1982). If the execution of the laws is lodged by the
Constitution in the President, that execution may not be divided up
into segments, some of which courts may control and some of which
the President’s delegate may control. *203 It is all the law enforcement
power and it all belongs to the Executive. It may be that answers can
be given that avoid or modify these traditional views. No such
answers have been offered in this case, however.
203
737 F.2d at 1079 (emphasis added).
Contrary to what Judge Bork stated, Congress has divided the execution of the
law into segments, with the presentation of information to the grand jury
concerning racketeering violations being an area where the prosecutor’s discretion
was explicitly removed. Judge Bork himself recognized that judicial opinion was
not unanimous on this question. The portion of his concurrence emphasized
above is a criticism of the decision of the Fifth Circuit Court of Appeals in United
States v. Cox, 342 F.2d 167 (5th Cir.1965). In Cox a 4-3 majority held that a
United States Attorney could not be compelled to sign an indictment returned by
the grand jury, and that without his signature the indictment would have no legal
effect. 342 F.2d at 172. A different 4-3 majority held, however, that the United
States Attorney could be required to assist the grand jury by drafting an indictment
in accordance with their wishes, even if he had no intention of signing it if it were
voted a true bill. 342 F.2d at 181. Accord, Report and Recommendation of June
5, 1972 Grand Jury, 370 F.Supp. 1219 (D.D.C.1974).
In other contexts, courts have acknowledged that prosecutorial discretion is not
absolute. In Powell v. Katzenbach, 359 F.2d 234, 235 (D.C.Cir.1965),cert.
denied, 384 U.S. 906, 86 S.Ct. 1341, 16 L.Ed.2d 359 (1966), the court stated:
“[w]e will assume, without deciding, that where Congress has withdrawn all
discretion from the prosecutor by special legislation, a court might be empowered
to force prosecutions in some circumstances.” This term in Wayte v. United
States, ___ U.S. ___, 105 S.Ct. 1524, 84 L.Ed.2d 547 (1985), the Supreme Court
stated that prosecutorial discretion is not “`unfettered.’ Selectivity in the
enforcement of criminal laws is … subject to constitutional constraints.” ___ U.S.
at ___, 105 S.Ct. at 1531 (quoting United States v. Batchelder, 442 U.S. 114,
125, 99 S.Ct. 2198, 2205, 60 L.Ed.2d 755 (1979)).
Also this term, in Heckler v. Chaney, ___ U.S. ___, 105 S.Ct. 1649, 84 L.Ed.2d
714 (1985), the Supreme Court equated an agency’s refusal to take requested
enforcement action with a prosecutor’s decision not to prosecute. After reviewing
the numerous reasons why judicial review of such decisions was unsuitable the
court went on to say:
Thus, in establishing this presumption [of the unreviewability of
agency action] in the APA, Congress did not set agencies free to
disregard legislative direction in the statutory scheme that the agency
administers. Congress may limit an agency’s exercise of enforcement
power if it wishes, either by setting substantive priorities, or by
otherwise circumscribing an agency’s power to discriminate among
issues or cases it will pursue.
___ U.S. at ___, 105 S.Ct. at 1657.
Plaintiffs argue that the language of § 3332(a) is clear and unambiguous: “Any
such attorney receiving information concerning such an alleged offense from any
other person shall, if requested by such other person, inform the grand jury of
such alleged offense, the identity of such other person, and such attorney’s action
or recommendation.” They contend that the duty to present the information is
mandatory. Defendants contend that use of such mandatory language is common
throughout the criminal provisions of the United States Code and has often been
held to permit the exercise of prosecutorial discretion. See Heckler v. Chaney, ___
U.S. at ___, 105 S.Ct. at 1657; Inmates of Attica Correctional Facility v.
Rockefeller, 477 F.2d 375, 381 (2d Cir.1973) (“The mandatory nature of the word
`required’ as it appears in [42 U.S.C.] § 1987 is insufficient to evince a broad
Congressional purpose to bar the exercise of executive discretion in the
prosecution of federal civil rights crimes.”). The resolution of this issue lies in an
analysis of the legislative history of 18 U.S.C. § 3332(a).
*204 The forerunner of 18 U.S.C. § 3332(a) was introduced to the Senate on
January 16, 1969 as part of Title I of the Organized Crime Control Act, S.30. The
purpose of the Act was to eradicate organized crime. To accomplish this aim S.30
was designed to strengthen and vitalize the various legal tools available to the
government in the evidence gathering process. Title I of the Act contained
proposed amendments to 18 U.S.C. § 3321 et seq. concerning grand juries. The
purpose of these amendments was to “strengthen” the “broad powers of inquiry”
of grand juries.[4] Statement of Sen. McClellan, Hearings before the
Subcommittee on Criminal Laws and Procedures of the Committee on the
Judiciary, United States Senate, 91st Cong. at 503 (1969) (hereinafter “Senate
Hearings”). As Senator McClellan, one of the bill’s co-sponsors, explained:
204
The jury would not be limited by the charge of the court but would
have the right to pursue any violation of the criminal law within its
jurisdiction. Citizens would be accorded the right to contact the jury,
through the foreman, regarding any alleged criminal act.
Id.
Section 103(a) of the proposed Act contained the antecedent of 18 U.S.C. §
3332(a). It provided in pertinent part:
Section 3324, title 18, United States Code is amended as follows:
- 3324. Powers and duties
* * * * * *
(b) It shall be the duty of each grand jury impaneled within any judicial
district to inquire into each offense against the criminal laws of the
United States alleged to have been committed within that district
which is brought to the attention of the grand jury by the court or by
any person.
(c) No person shall be deprived of opportunity to communicate to the
foreman of a grand jury any information concerning any such alleged
offense or instance of misconduct.
Senate Hearings at 7.
As Senator McClellan explained during the Hearings before Subcommittee No. 5
of the Committee on the Judiciary of the House of Representatives, Ninety-First
Congress, Second Session on S.30 (hereinafter “House Hearings”) (1969), Title I
of S.30 “guaranteed a measure of independence” to the special grand juries it
authorized. House Hearings at 82. When pressed by the chairman of the House
committee on the “need for granting special grand juries almost complete
autonomy from the Federal district court and the U.S. Attorney,” Senator
McClellan stated: “Congress has ample grounds for determining that a need
exists for creation of special Federal grand juries with substantial independence of
the prosecutor and court.” House Hearings at 118.
Although not the most controversial aspect of the Act, much comment both pro
and con was elicited during the House and Senate hearings concerning the
provisions of the bill concerning grand juries. The chairman of the House
Committee on the Judiciary stated, “[w]ith reference to Title I[,] … we have
opposition expressed from the Judicial Conference of the United States[,]…. the
New York County Lawyers Association[,] … the Association of the Bar of the City
of New York[,]…. the National Association of Counties—United States Conference
of Mayors and the American Civil Liberties Union oppose Title I.” House Hearings
at 177-78.
Title I had powerful supporters as well. In a memorandum submitted to the Senate
committee by then Attorney General John Mitchell, the Justice Department voiced
its support of Title I:
*205 Proposed section 3324(b) provides that “It shall be the duty of
each grand jury impaneled within any judicial district to inquire into
each offense against the criminal laws of the United States alleged to
have been committed within the district which is brought to the
attention of the grand jury by the court or by any person.” This
provision is a statutory recognition of existing case law holding that
the inquisitorial powers of a grand jury are virtually unlimited and that
the grand jury can initiate a case on its own and investigate any
alleged violation of Federal law within its jurisdiction. See Hale v.
Henkel, 201 U.S. 43 [26 S.Ct. 370, 50 L.Ed. 652] (1906); Blair v.
United States, 250 U.S. 273 [39 S.Ct. 468, 63 L.Ed. 979] (1919);
205
United States v. Hartke-Hanks Newspapers, 254 F.2d 366 (C.A.5),
cert. denied, 357 U.S. 938 [78 S.Ct. 1385, 2 L.Ed.2d 1551] (1958); In
Re Grand Jury Investigation (General Motors Corp.), 32 F.R.D. 175
(S.D.N.Y.), appeal dismissed, 318 F.2d 533 (C.A.2), cert. denied, 375
U.S. 802 [84 S.Ct. 25, 11 L.Ed.2d 37] (1963); United States v. Smyth,
104 F.Supp. 283 (N.D.Calif.1952); United States v. Gray, [sic[*]] 187
F.Supp. 436 (D.C.D.C.1964). Consequently, we can see no objection
to this proposal.
Section 3324(c) provides that no person shall be deprived of
opportunity to communicate to the foreman of a grand jury any
information concerning any offense against the criminal laws of the
United States alleged to have been committed within the district.
Section 1504 of title 18, United States Code, presently makes it an
offense for anyone to attempt to influence the action or decision of
any grand or petit juror upon any matter pending before it by a written
communication. This provision is apparently intended to make it clear
that no violation of this section is committed by a person who merely
communicates to the foreman of a grand jury any information
regarding any offenses against the laws of the United States. This
provision could well encourage wider public participation in the fight
against organized crime and we, therefore, support it.
Senate Hearings at 366-67.
In response to the many criticisms, the provisions of the proposed Act regarding
grand juries were amended. During the House Hearings, Edward L. Wright
presented the views of the American Bar Association, which were essentially
embodied in the Act in its final form.
The American Bar Association recommends that the proposed right of
a private person be modified to require that information possessed by
such person be channelled through the appropriate prosecutor, and
further, that the prosecutor be required in all cases to communicate
his action or recommendation thereon to the special grand jury.
In suggesting this amendment, we are mindful of and are fully in
accord with the well-established tradition of citizen complaints. We
know that criminal justice should and must be everyone’s concern,
and we favor doing everything proper to encourage greater
cooperation by citizens in the war against organized crime. On the
other hand, we are equally cognizant that the proper role of the
professional prosecutor in the United States has been steadily
emerging. It is our belief that the prosecutor should properly be vested
with the responsibility of professionally screening allegations of
criminal misconduct. At the same time, we recommend that there be
built into the process a safeguard that will require the prosecutor to
give an accounting of his screening.
House Hearings at 541 (emphasis in original).
Analysis of the language of the Act as it was finally enacted indicates that
Congress intended the United States Attorney to be the channel through which
ordinary citizens conveyed information about organized crime to the grand jury.
To argue, as the government does (and as Judge Bork did in *206Nathan, supra),
that the prosecutor has total discretion in deciding what information to present to
206
the grand jury flies in the face of the Act’s legislative history. The section analysis
section of the official legislative history of the bill as it was finally passed contains
the following language:
Section 3332(a) makes it the duty of a special grand jury impaneled
within any judicial district to inquire into Federal offenses alleged to
have been committed within the district. As amended by the
committee, alleged offenses may be brought to the attention of the
special grand jury by the court or by any attorney appearing on behalf
of the United States for the presentation of evidence. Any such
attorney who receives information of an alleged offense from any
person must, if requested by the person, inform the grand jury of the
alleged offense, the identity of the person who conveyed the
information, and his own action or recommendation.
2 U.S.Code Cong. & Adm.News, House Report No. 91-1549, 91st Cong.2d Sess.
(1970) 4007 at 4015.
Thus both the language of 18 U.S.C. § 3332(a) and its legislative history indicate
that Congress intended to remove the prosecutor’s discretion in deciding whether
to present information to the grand jury. He retains discretion with respect to how
he acts and what he recommends concerning that information.
18 U.S.C. § 3332(a) creates a right in every person to have information known by
them concerning organized crime to be presented to the grand jury. It provides
two ways for this to occur—either the court may bring it to the grand jury’s
attention or a United States attorney can. Plaintiffs have requested one or the
other form of relief, in the alternative.
In order to grant a request for mandamus a court must find: “(1) a clear right in
the plaintiff to the relief sought; (2) a plainly defined and peremptory duty on the
part of the defendant to do the act in question; and (3) no other adequate remedy
available.” Lovallo v. Froehlke, 468 F.2d 340, 343 (2d Cir.1972), cert. denied, 411
U.S. 918, 93 S.Ct. 1555, 36 L.Ed.2d 310 (1973).
Plaintiffs have urged me to request the grand jury to hear their evidence against
the defendants. Although a judge may present evidence to a grand jury both
under common law, see O’Bryan v. Chandler, 352 F.2d 987 (10th Cir.1965), and
pursuant to the language of 18 U.S.C. § 3332(a), I decline to do so. The
legislative history of Section 3332(a) suggests that Congress envisioned the
United States Attorney’s office as the primary channel of information to the grand
jury. In a busy district such as this, moreover, it is the United States Attorney and
not the individual district judge who is familiar with, and in fact sets, the schedules
of the grand juries which have been impanelled in the district. Any effort by myself
to bring plaintiffs’ information to the attention of a grand jury would necessarily be
channeled through the United States Attorney.
Since the United States Attorney has been requested to present certain
information to the grand jury he must do so. I will not relieve him of a duty which
Congress has seen fit to impose. 18 U.S.C. § 3332(a) imposes a “plainly defined
and peremptory duty” on the part of the United States Attorney to present the
plaintiffs’ information concerning the alleged wrongdoing of the other defendants
to the grand jury.
When first presented with plaintiffs’ information in February, the United States
Attorney’s Office declined to act. It cited its heavy caseload, the need to conduct
its own investigation to satisfy internal policies and the need to obtain the approval
of the Justice Department before proceeding, and concluded that the chances of
commencing prosecution of the other defendants named herein before the statute
of limitations ran in May were almost non-existent. The substantial work already
done by plaintiffs’ attorneys in preparing this case and the apparent willingness of
the alleged victims to come forward and testify should greatly facilitate the
investigation *207 of plaintiffs’ allegations by the grand jury. Although the statute
does not specify in what way the United States Attorney should present
information to the grand jury, under the circumstances of this case and in the
interests of efficiency and justice, I strongly urge the United States Attorney to
allow plaintiffs’ attorney, Mr. Piccoli, to appear before the grand jury as a witness.
I note, in any event, that this order does not invade the realm of prosecutorial
discretion. The statute requires that the information proffered by plaintiffs, and the
identity of plaintiffs, be brought to the attention of the grand jury. This order
requires no more.
207
Plaintiffs’ request for a writ of mandamus is granted.
SO ORDERED.
[1] Plaintiffs have also included a request that I appoint “a special prosecutor as the Court’s own
representative for presenting the pertinent details of the criminal wrongdoing of [certain named
defendants] to the Grand Jury for its consideration.” They cite no statute or case law authorizing such
relief but rely instead on the court’s “inherent” power. The only statutes dealing with the appointment of
special prosecutors by the court (now called “independent counsel”) all relate to the Ethics in
Government Act, 28 U.S.C. § 591 et seq., which is not relevant to this case. Plaintiffs have not briefed
this issue. I do not believe the inherent powers of the court go so far.See Matter of Application for
Appointment of Independent Counsel, 596 F.Supp. 1465 (E.D.N.Y.1984). See also Fed.R. Crim.P.
42(b).
[2] Plaintiffs also argue that the Sedima requirement of a prior conviction gives them a direct financial
interest in seeking prosecution and therefore, standing. That argument fails because of the unfettered
discretion of the government’s attorneys in deciding whether to prosecute.
[3] Section 591(a) was amended in 1983 by Pub.L. 97-409 § 4(a)(1), which substituted “information
sufficient to constitute grounds to investigate” for “specific information” after “the Attorney General
receives.” In light of the holding of Nathan where the court relied on the lack of “specific information” to
deny mandamus, it seems apparent that the amendment to Section 591(a) was designed to make it
clear that the decision to investigate would rest with the Attorney General who would have discretion
to decide whether the information received constituted “sufficient … grounds.”
[4] In its final form the Act did not simply amend the United States Code provisions concerning grand
juries but created new sections requiring the appointment of special grand juries in all judicial districts
with over four million inhabitants. These special grand juries were to be devoted to investigating
organized crime. They had all the powers of regular grand juries plus the explicit authorization to issue
reports concerning either organized crime conditions in the district or malfeasance in office by a public
official.
[*] Editor’s note: citation should be 87 F.Supp. 436 (D.D.C.1949).
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NOTICE RIGHT TO VIDEO RECORD YOUR PROCEEDINGS
Official CourtroomObservers.com
NOTICE RIGHT TO VIDEO RECORD YOUR PROCEEDINGS
Date______________
Court_____________________________________________
Judge _______________________________Dept ___________
Case No______________
Case Name______________________________
I, __________________________, respectfully require the court of Judge________________ to honor and enforce my “right to video record these proceeding of public interest, on public property”, pursuant to the following two (2) case precedents.
- Fordyce v. City of Seattle (9th Circuit Court, 1995: “The First Amendment protects the right to film matters of public interest”).
- Smith v. City of Cumming (11th Circuit Court, 2000:
Policies and Procedures set forth by the court house supervisor do not supersede the aforementioned federal case law.
Thank you to the Court *_________________________________



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