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Bolshevism. A Struggle for the Soul of the Jewish People

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Bolshevism.A Struggle for the Soul of the Jewish People

By the Rt. Hon. Winston S. Churchill.

SOME people like Jews and some do not; but no thoughtful man can doubt the fact that they are beyond all question the most formidable and the most remarkable race which has ever appeared in the world.

Disraeli, the Jew Prime Minister of England, and Leader of the Conservative Party, who was always true to his race and proud of his origin, said on a well-known occasion: “The Lord deals with the nations as the nations deal with the Jews.” Certainly when we look at the miserable state of Russia, where of all countries in the world the Jews were the most cruelly treated, and contrast it with the fortunes of our own country, which seems to have been so providentially preserved amid the awful perils of these times, we must admit that nothing that has since happened in the history of the world has falsified the truth of Disraeli’s confident assertion.

Good and Bad Jews

The conflict between good and evil which proceeds unceasingly in the breast of man nowhere reaches such an intensity as in the Jewish race. The dual nature of mankind is nowhere more strongly or more terribly exemplified. We owe to the Jews in the Christian revelation a system of ethics which, even if it were entirely separated from the supernatural, would be incomparably the most precious possession of mankind, worth in fact the fruits of all other wisdom and learning put together. On that system and by that faith there has been built out of the wreck of the Roman Empire the whole of our existing civilization.

And it may well be that this same astounding race may at the present time be in the actual process of producing another system of morals and philosophy, as malevolent as Christianity was benevolent, which, if not arrested, would shatter irretrievably all that Christianity has rendered possible. It would almost seem as if the gospel of Christ and the gospel of Antichrist were destined to originate among the same people; and that this mystic and mysterious race had been chosen for the supreme manifestations, both of the divine and the diabolical.

‘National’ Jews

There can be no greater mistake than to attribute to each individual a recognizable share in the qualities which make up the national character. There are all sorts of men — good, bad and, for the most part, indifferent — in every country, and in every race. Nothing is more wrong than to deny to an individual, on account of race or origin, his right to be judged on his personal merits and conduct. In a people of peculiar genius like the Jews, contrasts are more vivid, the extremes are more widely separated, the resulting consequences are more decisive.

At the present fateful period there are three main lines of political conception among the Jews. two of which are helpful and hopeful in a very high degree to humanity, and the third absolutely destructive.

First there are the Jews who, dwelling in every country throughout the world, identify themselves with that country, enter into its national life and, while adhering faithfully to their own religion, regard themselves as citizens in the fullest sense of the State which has received them. Such a Jew living in England would say, “I am an English man practising the Jewish faith.” This is a worthy conception, and useful in the highest degree. We in Great Britain well know that during the great struggle the influence of what may be called the “National Jews” in many lands was cast preponderatingly on the side of the Allies; and in our own Army Jewish soldiers have played a most distinguished part, some rising to the command of armies, others winning the Victoria Cross for valour.

The National Russian Jews, in spite of the disabilities under which they have suffered, have managed to play an honorable and useful part in the national life even of Russia. As bankers and industrialists they have strenuously promoted the development of Russia’s economic resources, and they were foremost in the creation of those remarkable organizations, the Russian Co-operative Societies. In politics their support has been given, for the most part, to liberal and progressive movements, and they have been among the staunchest upholder of friendship with France and Great Britain.

International Jews

In violent opposition to all this sphere of Jewish effort rise the schemes of the International Jews. The adherents of this sinister confederacy are mostly men reared up among the unhappy populations of countries where Jews are persecuted on account of their race. Most, if not all, of them have forsaken the faith of their forefathers, and divorced from their minds all spiritual hopes of the next world. This movement among the Jews is not new. From the days of Spartacus-Weishaupt to those of Karl Marx, and down to Trotsky (Russia), Bela Kun (Hungary), Rosa Luxembourg (Germany), and Emma Goldman (United States), this world-wide conspiracy for the overthrow of civilization and for the reconstitution of society on the basis of arrested development, of envious malevolence, and impossible equality, has been steadily growing. It played, as a modern writer, Mrs. Webster, has so ably shown, a definitely recognizable part in the tragedy of the French Revolution. It has been the mainspring of every subversive movement during the Nineteenth Century; and now at last this band of extraordinary personalities from the underworld of the great cities of Europe and America have gripped the Russian people by the hair of their heads and have become practically the undisputed masters of that enormous empire.

Terrorist Jews

There is no need to exaggerate the part played in the creation of Bolshevism and in the actual bringing about of the Russian Revolution, by these international and for the most part atheistical Jews, it is certainly a very great one; it probably outweighs all others. With the notable exception of Lenin, the majority of the leading figures are Jews. Moreover, the principal inspiration and driving power comes from the Jewish leaders. Thus Tchitcherin, a pure Russian, is eclipsed by his nominal subordinate Litvinoff, and the influence of Russians like Bukharin or Lunacharski cannot be compared with the power of Trotsky, or of Zinovieff, the Dictator of the Red Citadel (Petrograd) or of Krassin or Radek — all Jews. In the Soviet institutions the predominance of Jews is even more astonishing. And the prominent, if not indeed the principal, part in the system of terrorism applied by the Extraordinary Commissions for Combating Counter-Revolution has been taken by Jews, and in some notable cases by Jewesses. The same evil prominence was obtained by Jews in the brief period of terror during which Bela Kun ruled in Hungary. The same phenomenon has been presented in Germany (especially in Bavaria), so far as this madness has been allowed to prey upon the temporary prostration of the German people. Although in all these countries there are many non-Jews every whit as bad as the worst of the Jewish revolutionaries, the part played by the latter in proportion to their numbers in the population is astonishing.

‘Protector of the Jews’

Needless to say, the most intense passions of revenge have been excited in the breasts of the Russian people. Wherever General Denikin’s authority could reach, protection was always accorded to the Jewish population, and strenuous efforts were made by his officers to prevent reprisals and to punish those guilty of them. So much was this the case that the Petlurist propaganda against General Denikin denounced him as the Protector of the Jews. The Misses Healy, nieces of Mr. Tim Healy, in relating their personal experiences in Kieff, have declared that to their knowledge on more than one occasion officers who committed offenses against Jews were reduced to the ranks and sent out of the city to the front. But the hordes of brigands by whom the whole. vast expanse of the Russian Empire is becoming infested do not hesitate to gratify their lust for blood and for revenge at the expense of the innocent Jewish population whenever an opportunity occurs. The brigand Makhno, the hordes of Petlura and of Gregorieff, who signalized their every success by the most brutal massacres, everywhere found among the half-stupefied, half-infuriated population an eager response to anti-Semitism in its worst and foulest forms.

The fact that in many cases Jewish interests and Jewish places of worship are excepted by the Bolsheviks from their universal hostility has tended more and more to associate the Jewish race in Russia with the villainies, which are now being perpetrated. This is an injustice on millions of helpless people, most of whom are themselves sufferers from the revolutionary regime. It becomes, therefore, specially important to foster and develop any strongly-marked Jewish movement which leads directly away from these fatal associations. And it is here that Zionism has such a deep significance for the whole world at the present time.

A Home for the Jews

Zionism offers the third sphere to the political conceptions of the Jewish race. In violent contrast to international communism, it presents to the Jew a national idea of a commanding character. it has fallen to the British Government, as the result of the conquest of Palestine, to have the opportunity and the responsibility of securing for the Jewish race all over the world a home and centre of national life. The statesmanship and historic sense of Mr. Balfour were prompt to seize this opportunity. Declarations have now been made which have irrevocably decided the policy of Great Britain. The fiery energies of Dr. Weissmann, the leader, for practical purposes, of the Zionist project. backed by many of the most prominent British Jews, and supported by the full authority of Lord Allenby, are all directed to achieving the success of this inspiring movement.

Of course, Palestine is far too small to accommodate more than a fraction of the Jewish race, nor do the majority of national Jews wish to go there. But if, as may well happen, there should be created in our own lifetime by the banks of the Jordan a Jewish State under the protection of the British Crown, which might comprise three or four millions of Jews, an event would have occurred in the history of the world which would, from every point of view, be beneficial, and would be especially in harmony with the truest interests of the British Empire.

Zionism has already become a factor in the political convulsions of Russia, as a powerful competing influence in Bolshevik circles with the international communistic system. Nothing could be more significant than the fury with which Trotsky has attacked the Zionists generally, and Dr. Weissmann in particular. The cruel penetration of his mind leaves him in no doubt that his schemes of a world-wide communistic State under Jewish domination are directly thwarted and hindered by this new ideal, which directs the energies and the hopes of Jews in every land towards a simpler, a truer, and a far more attainable goal. The struggle which is now beginning between the Zionist and Bolshevik Jews is little less than a struggle for the soul of the Jewish people.

Duty of Loyal Jews

It is particularly important in these circumstances that the national Jews in every country who are loyal to the land of their adoption should come forward on every occasion, as many of them in England have already done, and take a prominent part in every measure for combating the Bolshevik conspiracy. In this way they will be able to vindicate the honor of the Jewish name and make it clear to all the world that the Bolshevik movement is not a Jewish movement, but is repudiated vehemently by the great mass of the Jewish race.

But a negative resistance to Bolshevism in any field is not enough. Positive and practicable alternatives are needed in the moral as well as in the social sphere; and in building up with the utmost possible rapidity a Jewish national centre in Palestine which may become not only a refuge to the oppressed from the unhappy lands of Central Europe, but which will also be a symbol of Jewish unity and the temple of Jewish glory, a task is presented on which many blessings rest.

 

Churchill’s 1937 warnings about ‘Hebrew bloodsuckers’ revealed: “the Jew is ‘different’. He looks different. He thinks differently” | “… they are inviting persecution … partly responsible” for their sufferings
Breitbart comments
Our dossier on the anti-semitism of famous names in history
Our dossier on the origins of anti-semitism

Filed under: Jews, Judaism & Zionism, Thoughts to Ponder About, Topical Essays, Topical Historical Reminder Tagged: Blshevism, Jews, Winston Churchill

Balwant Singh Sidhu commented on Mahathir’s statement

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20140112_151044Editor’s Note: I have lived among several Malaysian constituencies and have long known and attempted to inform the Malays–to little avail–of the tenor and tone of those among whom they also live and seemingly ‘dominate’.  This following epistle reflects a reality, that, if not dealt with more appropriately, will undoubtedly continue to fester like a canker to corrode the nation’s cosmopolitan ideal.  – oz

_______________________________________

Sent to me by one of my Readers: 28 May 2014:

  • I am disgusted by this constant racism and feel obliged to speak up. I take it as a personal insult that I was ‘allowed’ to become a lawyer. On the contrary, I … saved my own money, and went to England. I did not get a scholarship or a study loan. I was not even allowed to use the UITM library, as I was told it was only for Malays. But I did not get offended. I took it as a challenge, as my religion forbids me to beg.

 

  • I can safely say that most of the Sikh lawyers in this country of my generation are children of soldiers and policemen. Nobody ‘allowed’ us anything. We worked hard and owe nothing to anyone. Our parents left rich farmlands in the Punjab in search of adventure . They agreed to accept Malayan citizenship because they honestly believed they would be treated as equal citizens and their contributions to nation building recognized.
  • So, Mahathir, speak for yourself. If some Malays are poor today, it is because of corruption, cronyism and nepotism. If some non Malays are professional, it because of hard work. Mahathir should stop his stupid and insensitive remarks, and contribute to peace and harmony in the country in his twilight years. I an deeply offended that after my father and his younger brother served so many years in the police force, and another uncle fought the communists in the jungles, I have to put up with such insensitive and callous remarks, as if suggesting I should be grateful.
  • If at all, people like Mahathir should be grateful that despite not being of Malay stock, they have benefitted immensely from being pseudo-Malays. Please don’t use us as political fodder. We are a proud race, and have never expected or received any handouts. Yet one third of the names on the national monument are Sikhs.
  • If you have nothing to contribute to promote racial and religious harmony, please spend your last days in prayer. Bertaubat.

Balwant Singh Sidhu


Filed under: news, Topical Essays Tagged: Balwant Singh Sidhu, corruption, cronyism, Malayan citizenship, Malaysia, nation building, nepotism, political fodder, Punjab, racial tension, religious harmony, Sikh lawyers, Tun Mahathir

Pepe Escobar – Fear and Loathing at Hotel Babylon

Orthodox school unamused by student’s raunchy routine | The Ugly Truth

Bernaysian manipulation of the human psyche — Puppet Masters — Sott.net

Dostoevsky on Socialism

How One Father Told His Pediatrician “No” To Vaccines by ← Previous Post Next Post → This Is The Way One Father Told His Pediatrician “No” To Vaccines by Jeffry John Aufderheide

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http://www.pakalertpress.com/2014/09/09/this-is-the-way-one-father-told-his-pediatrician-no-to-vaccines/
10 Sep 2014

Doctor XXX,

My wife and I would like to say it was an absolute pleasure to meet you. We thank you for taking the time with us the other day to discuss our beautiful little daughter Rylan.

I was wondering if I could take a moment to discuss something with you real quick regarding the notes I read this evening in her file. Please note, this is a very calm letter and not meant to start a debate in any way. We value your profession and position.

That being said, It’s in my opinion that the some of the comments are a bit misleading and was wondering if you could add this email to your notes. Please note we understand you are extremely busy and probably had to summarize the appointment the best you could.

You mentioned in your report “PARENTS ( my wife and I) REFUSE TO SIGN THE VACCINE WAIVER BECAUSE THIS DOCUMENT CAN BE USED AGAINST THEM AND CAN BE USED TO TAKE THEIR CHILD AWAY. I EXPLAINED THIS IS THE REC OF THE AAP AND MY OFFICE POLICY. THEY REFUSE TO SIGN. EXPLAINED MY OPINION ABOUT THE IMPORTANCE OF VACCINES AND THEY UNDERSTOOD WILL THINK ABOUT VACCINATING………”

A few things to note here. First and most most importantly, we refused to sign the document because there was no legal statute or requirement for us to sign such a document. This was the main basis for the non signature. We simply do not have to. Nor is there any legal basis for AAP to require such signature. I also specifically mentioned that there has been cases surfacing around the country whereas a parents signature on such a document was used against the parents.

For the record I never, ever once said “we fear losing our child.” This statement, with respect, is erroneous and can lead to a misinterpretation. I has also mentioned we are in fact of a religious exemption which was granted to our family on the 20th of May, 2014.

We also specifically stated that our concerns were not only with the ingredients listed on the vaccines and the disclaimers on the vaccine inserts, but the overall fear we had was that our child could break out in the hive/rashes she did shortly after receiving her Hepatitis B shot. If it was only after those hives/rashes appeared that we had blood testing done which determined our lovely daughter had elevated liver functions. This was the majority of our rationale behind not giving her shots as I implied.

The other reasons were the materials we read at the cdc and fda website.

First, the disclaimers on vaccine inserts or lack of disclaimers was a concern. The disclaimers clearly state the possible side effects. Yet, not one Doctor in the past had those ready for us. Nor did they provide them when the vaccine was opened. We had to do the research ourselves. And honestly, I’m glad we did. Especially with the amount of information surfacing lately that research was or could have been manipulated.

In addition, the head of the CDC in an April/May radio show admitted the so called measles outbreak in New York consisted of 23 cases of which 20 people who got the measles had previously been vaccinated and thus nobody could be assured the vaccines actually work. (this is public information on the CDC website, and put a dent in the so called “herd immunity” theory.).. The other three cases involved foreigners. Our last Doctor even told us people are dying. Dr. XXXX, do you know how many people have died in the past 10 years? The number is in fact less than all the fingers I have on my hands. Again, this is public record available through the CDC and not some Google search result.

The last concern was the ingredients and the amount of Aluminum and by-products that are in the vaccines which so happened to have been the center of several House Oversight Committee hearings on Capital Hill. I also stated that the cdc and fda have conflicting views when it came to amount of Aluminum which should be injected into an individual based on their body weight.
I quote (and I encourage you to check my sources:) )

According to the FDA:

Aluminum may reach toxic levels with prolonged parenteral administration (this means injected into the body] if kidney function is impaired . . . Research indicates that patients with impaired kidney function, including premature neonates (babies), who received parenteral levels of aluminum at greater than 4 to 5 micrograms per kilogram of body weight per day, accumulate aluminum at levels associated with central nervous system and bone toxicity [for a tiny newborn, this toxic dose would be 10 to 20 micrograms, and for an adult it would be about 350 micrograms). Tissue loading may occur at even lower rates of administration.” (Department of Health and Human Services, Food and Drug Administration, Document NDA 19-626/S-019, Federal Food, Drug and Cosmetic Act for Dextrose Injections.)
 

And also:

Aluminum content in parenteral drug products could result in a toxic accumulation of aluminum in individuals receiving TPN therapy. Research indicates that neonates [newborns] and patient populations with impaired kidney function may be at high risk of exposure to unsafe amounts of aluminum. Studies show that aluminum may accumulate in the bone, urine, and plasma of infants receiving TPN. Many drug products used in parenteral therapy (injections) may contain levels of aluminum sufficiently high to cause clinical manifestations (symptoms) . . . parenteral aluminum bypasses the protective mechanism of the GI tract and aluminum circulates and is deposited in human tissues. Aluminum toxicity is difficult to identify in infants because few reliable techniques are available to evaluate bone metabolism in . . . infants . . . Although aluminum toxicity is not commonly detected clinically, it can be serious in selected patient populations, such as neonates (newborns), and may be more common than is recognized.
 
(Department of Health and Human Services, Food and Drug Administration, Document 02N-0496, Aluminum in Large and Small Volume Parenterals Used in Total Parenteral Nutrition.
 
 

Doctor XXXX, the FDA maximum requirements for aluminum received in an IV is 25 mcg per day. The suggested aluminum per kg of weight to give to a person is up to 5mcg. (so a 5 pounds baby should get no more than 11mcg of aluminum.) Anything that has more than 25 mcg of aluminum is a very valid concern for us when it comes to Rylan.

Research indicates that “patients with impaired kidney function, including premature neonates, who receive parenteral levels of aluminum at greater than 4 to 5 (micro)g/kg/day accumulate aluminum at levels associated with central nervous system and bone toxicity. Tissue loading may occur at even lower rates of administration. (http://www.accessdata.fda.gov/scripts/cdrh/cfdocs/cfcfr/CFRSearch.cfm?fr=201.323)”

But did you know most Vaccines, for some reason, are not required to have a label containing this information and that practitioners also are not required to follow the maximum dosage of 25 mcg? This is something that actually was very troubling to us.

So doing some math — the following are examples of weight with their corresponding maximum levels of aluminum, per the FDA:

  • 8 pound, healthy baby: 18.16 mcg of aluminum
  • 15 pound, healthy baby: 34.05 mcg of aluminum
  • 30 pound, healthy toddler: 68.1 mcg of aluminum
  • 50 pound, healthy child: 113 mcg of aluminum
  • 150 pound adult: 340.5 mcg of aluminum
  • 350 pound adult: 794.5 mcg of aluminum

So how much aluminum is in the vaccines that are routinely given to children?

  • Hib (PedVaxHib brand only) – 225 mcg per shot
  • Hepatitis B – 250 mcg
  • DTaP – depending on the manufacturer, ranges from 170 to 625 mcg
  • Pneumococcus – 125 mcg
  • Hepatitis A – 250 mcg
  • HPV – 225 mcg
  • Pentacel (DTaP, HIB and Polio combo vaccine) – 330 mcg
  • Pediarix (DTaP, Hep B and Polio combo vaccine) – 850 mcg

The HEP-B shot alone is almost 14 TIMES THE AMOUNT OF ALUMINUM THAT IS FDA-APPROVED. The MMR? The dTap? All have similar amounts.

So in summary Doctor XXXX, when we did our due diligence, this info scared the hell out of us. Especially considering what happened to Rylan shortly after the Hep B was administered to her.

Continuing, I mentioned what made us leave our last Doctor was that she wanted to give our daughter 8 vaccinations at once. And in doing the math, that would have added up to more than 1,000 mcg of aluminum. Even when one, who is not familiar with toxicity levels and the science behind them, looks at the chart above can notice that amount isn’t even safe for a 350 pound adult let alone a child who weighs less than 25lbs.

According to the FDA and the AAP (American Academy of Pediatrics), what happens if a child receives more than the maximum required dose of aluminum?

  • Aluminum builds up in the bones and brain and can be toxic to the body and its organs.
  • Aluminum “can” cause neurological harm.
  • Aluminum overdose can be fatal in patients with weak kidney’s or kidney disorders or in premature babies.
  • (Aluminum Toxicity in Infants and Children, Committee on Nutrition,American Academy of Pediatrics, Pediatrics Volume 97, Number 3 March, 1996, pp. 413-416)”

In summary, our reasons, even though we have an issued exemption in the State of Florida, were valid enough to hold off on vaccinations and the ingredients that are used in them as adjuvants. Especially when one considers what happened shortly after her first HEP-B shot.

In closing, I thank you for taking the short time to read my email. We firmly admire your practice and the personnel you have and look forward in continuing Rylan’s care with you. She deserves the best, and we think we found it.

Respectfully Yours’,

Robert O’Kane

ps- yes we are considering the shots as she gets older. But in the meantime can you order for us an a screen to determine if Rylan’s immune compromised? This will help us a great deal considering thousands of cases that went through the vaccine court in the past decade showed many injuries and deaths resulted in the failure to pre-detect if children had a compromised immune system prior to any shots.


Filed under: Bad Medicine, Essays to the Contrary, Topical Essays Tagged: Adjuvant, Adjuvants, Aluminum, Aluminum Toxicity, CDC, compromised immune system, HEP-B, Herd Immunity, MMR, toxicity, Vaccines

12 Little-Known Ways That Television Stifles Spiritual Awakening

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Hamza cSalaam To All,

I haven’t had a TV in my house for twenty Years now.  Read on and you will understand why.

 

Here are 12 things to think about the next time you sit down to your favourite sitcom, movie or news show.

#1 TV is one of the biggest time-sinks ever

How much time do you spend in front of a screen? Source

How much time do you spend in front of a screen? Source

The average person will spend 9.1 years of their life watching television (that includes 2 years of mind numbing commercials!). If you have a spouse and watch TV, you probably spend 3 to 4 times more time in front of the television than you do talking to your partner.

That number is set to increase with the introduction of online and time-shifted viewing, letting us watch what we want when we want it.

Television on demand has given rise to a new craze known as “binge watching” where people lock themselves in a room and watch television seasons or movies back-to-back, barely surfacing for days or weeks.

Some people believe it takes 10,000 hours to become an expert at anything. There are almost 80,000 hours spent in front of the tube in nine years of television viewing. Just think how many meditation techniques someone could master, or how good their awareness of the present moment would become if they devoted even two thirds of this time to their inner development.

If you feel like you don’t really watch that much TV, use this handy tool for an objective analysis – the results might surprise you!

With so much time spent in front of the screen you’d think we must enjoy everything we’re watching, but it’s not always the case. When was the last time you stayed in front of the TV, even when there was nothing worth watching, just because you couldn’t summon the energy to drag yourself away?

#2 We’re TV addicts

We are addicted, but it’s not entirely our fault – network programmers want it that way.

I got addicted.

News, particularly daily news, is more addictive than crack cocaine, more addictive than heroin, more addictive than cigarettes.

Dan Rather

Researcher Herbert Krugman discovered that endorphins were released while watching TV, a kind of naturally produced opiate. TV programming is never-ending, and TV networks use psychological tricks to addict us which are hard to see and harder to break free of as they play on our instinctual drives.

Television stimulates desire and curiosity by constantly showing us promos for upcoming shows and leaving episodes in cliffhanger scenarios, creating a knowledge gap that acts like a mental itch that we can’t help but scratch by tuning into the next show.

Addictions of any kind are harmful spiritually as they chain us to something external and make us psychologically dependant upon it. When those addictions also steal our time there is much we lose out on.

#3 Concentration – a dying ability?

We are trained from birth not to concentrate on what we’re doing – a trait reinforced through years of living in a hyper connected society and multitasking.

Researchers have found that there is a close link between attentional disorders and time spent in front of the TV. Television shows are increasingly so fast paced (seriously, watch that video and your head will spin) that regular life is unexciting in comparison and we can easily have trouble paying attention to the slower pace of everyday existence, which lacks explosions and rapid scene changes to keep us amused.

We improve in whatever we do repeatedly, so it’s unsurprising that if we spend a lot of time zoning out in front of the TV then we can find it hard to focus our minds on anything. That’s bad news if you’re interested in meditation, astral projection or awareness of the present moment – all activities that require a focused mind.

The next time you turn on the television, try to notice what you’re doing while you watch it. Are you focusing on what you’re watching? Or are you eating dinner, checking your emails, playing a game on your phone or any number of other things that split and strain our attention?

#4 TV changes our perception of reality

Spiritual development wakes us up to what’s really going on in the world by developing an awareness of the present moment and an ability to see through illusion. By doing so we discover who we really are and learn about reality.

More and more, however, television is becoming a filter through which all our human experiences are validated and even lived – “life” can be experienced vicariously through the characters in our favourite movies or TV shows. This vicarious experience threatens to numb us to events in the real world, and we are pressured to maintain the status quo of consumerism and animalistic behaviour promoted by advertisers and network programming.

Practically everything we see on television is scripted and fake – even so-called “reality TV” shows – but it’s easy to feel inadequate in comparison to the high-flying personas that make for entertaining viewing. Feeling insufficient we are more prone to daydreaming about how we wish our lives were, even going so far as to create imaginary relationships with our favourite characters.

TV urges us to escape from our lives rather than see and understand our lives for what they are, and use the real-life circumstances we have each day to awaken consciousness and develop spiritually.

#5 TV can put you in a trance-like state 

“And when I finish counting down from ten you’ll believe everything they tell you on the news..” Source

“And when I finish counting down from ten you’ll believe everything they tell you on the news..” Source

Watching lots of television can cause us to live our lives in a dream world, but the act of watching itself can put us into a trance-like state.

Jerry Mander, author of Four Arguments for the Elimination of Television, explains how the brainwaves of viewers’ slow down while watching TV, regardless of what they’re watching.

Researchers have discovered that we become mesmerized by the technical aspects of television editing including cuts, edits, pans, zooms and sudden noises, which trigger involuntary responses and keep our attention glued to the screen.

We can see a close relationship between the speech patterns of news presenters and those of hypnotists, as both speak in an even monotone voice while looking directly into the eyes of the subject. News shows in particular are also known to employ other hypnotic techniques such as the use of mnemonic imagery and numerical countdowns before relaying the so-called “news”.

If you have ever noticed yourself become completely absorbed in the TV, unaware of what’s around you, you know what I’m talking about. In this state, the left side of our brain used for analysis and critical thinking is switched off in favour of our more emotional right brain. What we see on TV is delivered directly into our subconscious mind where it influences our beliefs about the world. If these beliefs implanted in the subconscious are not consciously uncovered, they are often acted upon rather than moderated. TV’s trance-like effects on our brains can linger – even when we switch off the television our brains can remain in a state of lowered alertness.

Do we really want people we don’t know implanting behaviours and beliefs deep within our minds?

#6 TV makes you passive

Our brain is more active while we sleep than when we watch TV. Over time what affect could this have on our mental functioning? Source

Our brain is more active while we sleep than when we watch TV. Over time what affect could this have on our mental functioning? Source

Television is commonly considered one of the most effective tools to pacify and subdue psyche ward patients and prison inmates around the world.

And if you’ve ever heard the phrase ‘veg out’ in front of the TV that’s exactly what we’re doing –while watching TV our brains have less activity than when we are asleep.

Researchers Kubey and Csikszentmihalyi found that for many people television elicits a conditioned relaxation response.

The sense of relaxation ends when the set is turned off, but the feelings of passivity and lowered alertness continue. Survey participants commonly reflect that television has somehow absorbed or sucked out their energy, leaving them depleted.

Regular TV viewers can have their world view essentially mediated for them by television networks. The job of the audience is to passively accept and absorb the point of view TV presents. This results in a public with similar conditioning who in real life are more likely to accept the world view presented to them by others.

This begs the question – are our thoughts our own? And if not, who’s are they?

Shortly, the public will be unable to reason or think for themselves. They’ll only be able to parrot the information they’ve been given on the previous night’s news.

– Zbigniew Brzezinski

To live spiritually in the moment we need to be active, to see for ourselves how we and the world really are. If you’ve ever tried to observe your thoughts and emotions you would have noticed that depression, anxiety, and other negative states come and go without any effort on our behalf, draining our energy as they go. While watching TV this process happens on autopilot.

The more time we spend passively absorbing entertainment rather than actively engaging in life, the more we train ourselves to watch rather than partake in our existence. Without activity, our consciousness is less likely to manifest and the more difficult awakening becomes.

#7 TV activates your reptilian brain

As well as making us passive, television alters our brain function, reducing activity in the neo-cortex and other higher brain regions and increasing activity in lower brain regions known as the ‘reptilian brain‘ and the limbic system. These lower parts of our brains are used to moderate negative emotions and instinctual behaviours related to aggression, dominance, fighting over territory and procreation.

The reptile brain is unable to distinguish between reality and the simulated reality of television. To the reptile brain, if it looks real, it is real. Thus, though we know on a conscious level it is “only a film,” on an unconscious level we do not–the heart beats faster, for instance, while we watch a suspenseful scene. Similarly, we know the commercial is trying to manipulate us, but on an unconscious level the commercial nonetheless succeeds in, say, making us feel inadequate until we buy whatever thing is being advertised–and the effect is all the more powerful because it is unconscious, operating on the deepest level of human response. Source

The next time you’re watching advertisements or music videos – two types of media which particularly appeal to our animalistic drives – you might find it interesting to try to understand what drives or emotions the programmers are trying to evoke in you.

By viewing critically we are more able to separate ourselves from this influence. Overtime we can replace the animalistic parts of ourselves with greater consciousness which benefits our spiritual experience.

#8 TV stirs up emotions

How is the television stirring up your emotions? Source

How is the television stirring up your emotions? Source

Researchers have found that the happiest people do not watch television.

Most advertising is based on making people feel self-conscious, insecure and inadequate. If we just buy this latest gadget, we’ll finally be happy! But it’s not physically possibly to compete with the fake reality shown in movies and TV shows and comparing our lives to the people we see on screen can leave us feeling depressed and dissatisfied with our existence. While this might have the effect of causing us to search for a deeper purpose to life, the common response to negative emotions is to hide them by searching out more intense entertainments and distractions – which TV networks readily supply, perpetuating the cycle of TV dependence.

TV’s influence on our emotions doesn’t stop there. Watching scary or violent movies can cause us to relive traumatic memories from the past. Viewing of violent or grotesque imagery creates chemical changes in our brain similar to those seen in post-traumatic stress, and if we see enough repeated acts of violence, our body reacts as if we are the ones being abused.

Researchers have discovered that when we watch negative news broadcasts, not only are our lower emotions such as sadness, anxiety and depression stimulated, but unrelated worries in general become heightened. Test subjects were found to be more likely to catastrophise their concerns, blowing any worries they already had out of proportion.

TV creates a wide ranging emotional impact that we live with long after we have turned it off. Television programmers are experts in emotional manipulation and when they can control people’s emotions they can turn them against you and anyone they see fit. Spiritual minorities are a common target for demonisation. TV programming can cause people to become afraid and distrustful of anything not supported by the televised norm, and without awareness of this mechanism of fear people can readily give up their freedoms for an illusion of security.

#9 TV might be the death of emotional intelligence

Emotional intelligence is the ability to understand your own and others emotions and to use an understanding of emotions to guide your behaviour.

Unfortunately, television is dulling our awareness of our feelings and creating a generation of people grossly lacking in emotional intelligence. A recent study by the Millennium Cohortfound that kids who watch more than 3 hours of TV a day had a higher chance of emotional symptoms and problems in relationships. Psychologically it’s well known that children who watch more TV are less likely to display empathy, will resort to aggression or sadistic behaviour, will be argumentative and will seek instant gratification.

Others have found that children who watch too much TV lose the ability to read social cues, and that increased TV viewing leads children to have a poor understanding of other people’s emotional states, and to be unable to distinguish the thoughts and feelings of others from those of their own.

Are we creating a generation of people who will be unable to develop spiritually because they are unable to understand their own emotions?

#10 Almost all TV has an agenda

All television is educational television. The question is: what is it teaching?

– Nicholas Johnson

Television tells us what to think, how to dress, what to buy. Source

Television tells us what to think, how to dress, what to buy. Source

TV propagandists and advertisers more than anyone would benefit from the creation of a public with an inability to determine their own thoughts from those of others. And it’s a vicious cycle. It’s been proven that kids who watch entertainment TV are less likely to read books, so those who watch lots of TV often end up getting all their information about the world from just one source.

It’s fairly well-known that only a handful of corporations own almost all of the media outletsthat we tune into. But do we stop to consider that those behind the networks and their advertisers with billion dollar budgets all have an agenda to push?

Through shows, movies, and the news we are repeatedly told how to act, what to think, and which products or entertainment we need to consume.

A Harvard University researcher concluded that for every extra hour of television someone watches per week they spend an extra $200 a year. It’s not uncommon for people to go into debt chasing the dream lifestyles portrayed on television. We then have to work more to pay our bills, come home exhausted and lacking free time and energy crash out in front of the TV, perpetuating the cycle and losing valuable time that could be used more effectively.

Beyond simple physical guidelines it seems we are also being given a guideline to our spiritual life (or an imposed lack thereof).

Some of this programming is fairly out in the open. Take this Versace commercial for instance which seems to be all about conformity and having our lives and desires dictated by powerful people in society.

Or the 2014 grammy awards which seem to display a barely disguised black magic ritual.

Other programming is more subliminal. Take these images from kids shows for example, orthis screenshot from Ke$ha’s Die Young Video, where the door of her car says ‘Evil’.

Disney-Illuminati

Notice anything strange about these images? Source

#11 Who are you really? TV changes our behaviour

Have you ever found yourself quoting lines from your favourite TV show? Do you walk or dress like your favourite character? Are your political and spiritual opinions your own or are you just repeating what you saw on the latest political debate or morning variety show? What would your life be like if you’d never watched TV?

As a species we model or mimic behaviours of those in positions of authority, and we are definitely set up to feel that the people on TV have more authority than us.

Unsurprisingly as TV becomes more violent and shows more acts of sexual promiscuity, these behaviours are increasingly prevalent in society.

Studies have found that:

Even the Disney Channel is not immune as one Mother discovered when her daughter began acting arrogantly and hurtfully towards her friends after too much exposure to Disney programming.

Our morals and behaviours are influenced through the emotively driven storylines of television shows and movies and we can begin to unquestioningly accept the reality that they present about how people should behave in the world.

As we do so true spiritual values like empathy, compassion, inner peace and patience are increasingly becoming lost to the world and are seen as bizarre, replaced by acts of indulgence, violence and consumerism.

#12 What goes into your subconscious affects your dreams

Have you ever had dreams about some TV you just watched? Source

Have you ever had dreams about some TV you just watched? Source

Anything we do repetitively during the day will re-occur at night in our dreams. That includes thoughts, emotions and behaviours. That’s why you might find yourself working in your office in your dreams every night, or living out the scenarios you’re most anxious about.

Movies and TV shows hijack and accelerate this process, embedding images directly into your subconscious which then can come back as dreams. If you’ve been watching a lot of horror movies and keep having strongly emotional nightmares about being attacked, chased or killed this might be why (it can also be due to the state of your psyche).

For as long as people have been sleeping, dreams have been amazing source of spiritual and divine guidance, a way for people to tap into the mystical side of life and get access to teachings from beyond the physical realm. In order for this to happen dreams need to be as clear as possible – a process helped by being as clear and free of emotion as we can be during the day.

Watching too much or the wrong type of television can hinder this process as the heavy imagery embedded in our subconscious takes the place of other more meaningful experiences.

Next time you sit down to watch TV, don’t turn it on

Think for yourself, especially when it comes to spirituality! Original Source

Think for yourself, especially when it comes to spirituality!
Original Source

Television is not all bad. Choosing and critically watching the right movies or shows can inspire us, inform us, teach us new skills or give us spiritual strength. But be mindful of what you are putting into your subconscious, and try and uncover the emotional and behavioural effects your TV viewing – particularly the violent or animalistic programming – has on your spiritual development.

Next time you get the urge to watch TV, you could sit down and do a meditation practice instead. Or go for a walk in nature and try to be aware. You might get cravings and withdrawal symptoms, but if you stay strong these withdrawal symptoms will be shortlived and your life will be so much better. Have a really good practice and you’ll wonder why you ever watched TV in the first place.

Remember that almost everything on TV is scripted. Even the news is a form of entertainment. It’s not your life, and it’s not reality.

I wanted to leave you with part of a speech from the 1976 movie Network.

Listen to me! Television is not the truth. Television’s a [..] amusement park. Television is a circus, a carnival, a traveling troupe of acrobats, storytellers, dancers, singers, jugglers, sideshow freaks, lion tamers, and football players. We’re in the boredom-killing business. So if you want the Truth, go to God! Go to your gurus. Go to yourselves! Because that’s the only place you’re ever gonna find any real truth. But, man, you’re never gonna get any truth from us. We’ll tell you anything you wanna hear. [..]

We deal in illusions, man. None of it is true! But you people sit there day after day, night after night, all ages, colors, creeds. We’re all you know. You’re beginning to believe the illusions we’re spinning here. You’re beginning to think that the tube is reality and that your own lives are unreal. You do whatever the tube tells you. You dress like the tube, you eat like the tube, you raise your children like the tube. You even think like the tube. This is mass madness. You maniacs. In God’s name, you people are the real thing. We are the illusion. So turn off your television sets. Turn them off now. Turn them off right now. Turn them off and leave them off. Turn them off right in the middle of this sentence I am speaking to you now. Turn them off!

One thing is certain. Any real spiritual revolution will not be televised.

**This article first appeared on TheConsciousReporter.com.**

 

 


Filed under: Alarming Reports, Human Develpment, Non-Human Development, Topical Essays Tagged: adiction, animalistic programming, Concentration, emotional intelligence, hypnosis, limbic system, mesmerize, Perception, Propaganda, ritual, subconscious, Television, trance

An eschatological interpretation of Soviet history by “M”

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From: M
Sent: Friday, September 12, 2014 11:11 PM
To: Subject: eschatology interpretation HOSEIN

Dear sirs,
I have tried to send the below email to Sheikh Imran Hosein, since I think it will be of interest to his Islamic eschatology. I tried to send it to him through his website, but received an email that his address is not working. Would it be possible for you to forward it to him, or send me an address where I can send the below mail?
Kindest regards,
M.
Dear Sheikh Imran Hosein,
I discovered your lectures and writings approximately two years ago. I am Orthodox Christian of Russian descent living in the former Yugoslavia. I would like to thank you for your insightful work and your development of Islamic eschatology, which has a depth that, unfortunately, cannot be found in the vast majority of contemporary theological and philosophical writings.
 
In the following letter, I would like to provide an eschatological interpretation of Soviet history, which I think, 1) aids in the clarification of the primary tensions which constitute the final eschatological war, and, 2) supports your analysis of the alliance between Rum as (Russian-led) Orthodoxy and Islam.
 
In some recent lectures, you have stated that the transfer of Crimea to Ukraine in 1954 was prosecuted by Zionists. I humbly offer an alternative position.
 
The date when the transfer occurred has a deep symbolic significance and was explicitly communicated in the official Soviet narratives at the time of the event. The year 1954 marked the 300 year anniversary of a decisive moment in Russian history: the Treaty of Pereyeslav. The treaty was signed between the Cossack leader Bogdan Hmelnitski and the Tsar of Muscovy. In general, the context of the Treaty was as follows. What is currently called Ukraine was in Hmelnitski’s time occupied by Western-Catholic Poland. Hmelnitski led a Cossack and broader Orthodox people’s uprising against the Polish oppressors. Whereas the uprising succeeded, Hmelnitski needed a strategic partner to secure the gains made. Naturally, Hmelnitski looked to Moscow, which shared the same Russian and Orthodox heritage. This treaty essentially reunited the peoples of the kingdom of ancient Orthodox Rus’. Some contemporary Ukrainian nationalists, of course, either ignore the treaty entirely or offer different interpretations of its parameters for an obvious reason: it commits to the homogeneity of the Russian Orthodox people.
 
Thus, when Hrushchov transferred to Ukraine on the 300 year anniversary of the treaty, this evoked the same homogeneity between Ukraine and Russia, that is, the people of Rus’. It was a gesture that essentially meant “what is ours is also yours since we are the same.”
 
The 1954 transfer date is also significant because of its occurrence at the beginning stages of the Cold War. Namely, the event of Crimean transfer may be viewed from within the context of a gradual “dezionification” of the Soviet Union, which established the East-West division that informed the Cold War itself. In other words, the Cold War began, according to this interpretation, because of this same dezionification.
Certainly, that the formation of the Soviet Union was prosecuted by Zionists is a credible interpretation, as demonstrated with the murder of the Romanovs and the suppression of the Church. However, the Soviet Union over a period of some decades moved away from its initial Zionist dominated policy. Many key events in the history of the Soviet Union can be cited so as to identify this process of the USSR’s dezionification. For example:
 
1) In Lenin’s death testament, he strongly criticized Stalin, suggesting that if the USSR was to continue to develop in the direction initiated by the 1917 revolution Stalin must not follow him as successor. In the vacuum after Lenin’s death, Stalin– who had studied to be an Orthodox priest in his youth – was, of course, victorious in this power struggle, primarily against Trotski, who has been connected by numerous historians to Zionism.
2) In 1934, a Jewish autonomous region was established under Stalin’s “nationality policy” act with the aim of having the Jewish minority of the USSR live in this designated area. The geographical position of the autonomous region, known as Birobidzhan, may be interpreted as having a significance. Birobidzhan is located on the periphery of the Soviet Union, far, far, away from Moscow, on the border with China and near the Soviet Union’s Far East border with Korea, indicating a desired minimization of influence.
 
3) The Molotov-Ribbentrop pact, whilst of primarily geopolitical significance, also can be viewed as consistent with the dezionification policy, since Stalin clearly had no problems signing such an agreement with an openly anti-semitic Nazi Germany. When Hitler violated the pact, this could be said to have slowed the dezionification process in the USSR. Paradoxically, however, it also accelerated it, as many patriotic elements (as references to Holy Rus’ and the new activity of the Orthodox Church) were introduced so as to strengthen the fighting spirit of the people.
 
4) Whereas the Soviet Union was the first state to give de jure recognition to the new Israeli state after World War II, this has been interpreted by some historians as a purely geopolitical stratagem directed against the primary enemy of the West. From this perspective, as Israel more strongly aligned itself with the West, the Soviet Union then moved towards support of the Arab nations against the Zionists, which continued until the end of the Cold War. From another perspective, Israel initially received support from the Soviet Union and the West. Israel could have strategically decided to play a double game and continue to cultivate relationships with both West and USSR, taking assistance from the world’s two superpowers and thus radically strengthening its position, but, for some reason, did not. This perhaps indicates the Israeli concern about this very dezionification and that the USSR could not be trusted.
 
5) In 1952, one year before Stalin’s death, the “Prague trials” occurred, where eleven Jewish party members were executed on charges of participating in a “Zionist-Trotskyist-Titoist” conspiracy. At this time, the American fascist Francis Yockey, who had journeyed to Prague to follow the trial, advanced a highly controversial thesis within right-wing circles. For Yockey, the Prague trials indicated that the USSR was no longer a Zionist state and that rightists — despite the historical antagonism between rightist movements and communism — should look to the Soviet Union as an ally against what Yockey diagnosed as the liberal Zionist west. Yockey died in 1960 in an American prison of an apparent suicide.
 
If Yockey’s thesis is correct, this further underscores that the transfer of Crimea in 1954, app. 2 years after the Prague Trials, was not a Zionist act, but the exact opposite: an attempt to promote the brotherhood of the Russian people within the context of a USSR that had finally broken from Zionist influence. (Of course, Hrushchov did not anticipate the collapse of the USSR and the difficulties which the transfer caused). Thus, the gradual dezionification of the Soviet Union established the poles of the Cold War: an anti-Zionist east and a pro-Zionist west. In short, if the Zionists did create the Soviet Union, the Cold War signifies that they had lost control of the very entity they had created.
 
This also explains why after the collapse of the USSR, oligarchs with overwhelmingly Zionist ties purchased the key strategic resources of the Soviet Union. The acts of the oligarchs in the early 90s was essentially a second Zionist takeover of Russia, repeating the 1917 Revolution. It was only with the arrival of Putin in the late 90s, who emerged from the anti-Zionist Soviet military and secret service, that Russia was able to regain these resources from the oligarchs, thereby creating the new Cold War situation between anti-Zionist East and Zionist West. The first and second Cold War are thus shaped by:
 
1) Geopolitics. Mackinder’s Heartland theory and the world strategic significance of Russia.
 
2) Economics. Communism as an alternative to capitalism in Cold War 1; in Cold War 2, BRICS qua alternative against capitalism, as you point out in your interview of early September 2014.
 
3) Eschatology. Moscow, i.e., Russia as the Third Rome. After the fall of Constantinople in 1453, Moscow, as the only sovereign authentic Christian (Orthodox) nation, was recognized by some to be the Third Rome. This eschatological notion was contained in the prophecy of the Russian Orthodox monk Filofey in app. 1510 who declared Russia the Third Rome and stated that “there will not be a fourth.” Filofey’s prophecy: “два убо Рима падоша, а третий стоит, а четвертому не быти” “Two Romes have fallen, a third stands, but a fourth will not be.« (There are also some interesting geographical symbolic connections between the first two Romes and the third Rome, for example, Rome, Constantinople and Moscow all lie on top of 7 hills).
I would propose the following hypothesis: It is only when Russia is once again Orthodox — as opposed to a secular USSR — that the third eschatological element becomes explicit and thus why this Cold war 2, unlike Cold War 1, becomes a “hot war.”
 
But God knows best. “And We have already created man and know what his soul whispers to him, and We are closer to him than [his] jugular vein.” (Surat Qaf 50:16)
 
I apologize for the lengthy nature of my remarks. However, I hope some of the points contained within this letter will be of interest to your study of Islamic eschatology. I believe, for example, that the above interpretation entirely supports your views on the Rum-Islamic alliance in the eschatological war.
 
Once again, thank you for your stimulating and compelling work.
Respectful regards,
M.

 


Filed under: Jews, Judaism & Zionism, Topical Essays, Topical Historical Reminder Tagged: Cold War, Constantinople, dezionification, Holy Rus’, Holy Russia, Lenin, Moscow, Oligarchs, Orthodox Christianity, Orthodox Rus, Prague Trials, Putin, Rome, Russia, Russia as the Third Rome, Satlin, second Zionist takeover of Russia, Soviet Union, the people of Rus’, Trotsky, Ukraine, Zionists

Regarding the Un-Islamic ISIS Regime – An Open Letter

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Editor’s Note: This well researched letter was forwarded to me by one of my readers and it amounts to well founded legal opinions regarding the ungodly behavior of the rebel group called ISIS and their unholy attempts to redress injustices.

NB:  RE: of the reporters/executed by ISIS at least two of them were Israeli/Zionist spies, as recently confirmed by Barry Chamish.

Also, RE: the Yazidis: they are indeed a Satanic cult that worships the serpent-god and cannot be considered orthodox Muslims, although many of their followers and Muslims fail to understand the true nature of their faith, which some consider Magian in nature. In essence, however, what the Yazid leadership do is to actually befriend Satan–the Prince of this carnal Worl–via magic ritual and meetings with jinn in his service.  They do this so he does them no harm.

I recommend you read the entire document, especially those who consider joining their ranks. – oz

Letter to ISIS Caliph


Filed under: ISLAM, Topical Essays Tagged: Abu Bakr al-Baghdadi, Caliph, Caliphate, Coercion and Compulsion, Destruction of the graves and shrines of Prophets and Companions, Deviant, Dr. Ibrahim Awwad Al-Badri, forbidden, Hudud, Isis, Jihad, Legal theory, Letter, Mutilation, People of the Scripture, Rebellion, Rules of Conduct of Jihad, Slavery, takfir, The Killing of Innocents, Torture, Women, Yazidis

A Scientific Critique of Evolution by Dr. Lee Spetner

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Editor’s Note: Although I have an undergrad degree in Biology, I do not consider myself a biological scientist, especially not of the rank of the cited author(s).  Many people have written to me about Evolution, and all I could say was that the last time I looked at the evidence and, according to my limited knowledge bank,  I saw none that substantiated Macro-Evolutionary theory. Below is an essay written by an eminent scientist in the field who is highly qualified to refute the implications of atheists and neo-Darwinists that Macro-Evolutionary theory is fact and, hence, G-d isn’t.

In what follows I must commend Dr. Edward E. Max for his professional position and manner of remarks.  He is not the least bit abusive, as are many of our contemporary champions of the popular myth. – oz

_________________

See: Dr. Lee Spetner (http://en.wikipedia.org/wiki/Lee_Spetner) See: Lee SpetnerNot by Chance, Shattering the Modern Theory of Evolution © 2000 L.M. Spetner. All Rights Reserved.

Dr. Edward E. Max posted an essay entitled The Evolution of Improved Fitness by Random Mutation Plus Selection on http://www.talkorigins.org/faqs/fitness.html. He asked me for my comments and, as a result, I wrote a critique of his essay (of his version updated 12 July 1999) and sent it to him on 2 August 2000. He promised me he would have it posted on the talkorigins website with a link from his essay. He responded to my critique on 22 August and I replied to his response on 29 August. I received a reply from him on 25 September that he was “looking forward to responding”, but was busy at the time. At the time of this writing (27 November 2000) I have not received any further substantive reply from him, and my comments have so far not appeared on the above website. I have therefore decided to post here a unified version of the present status of our debate. I have merged my original critique, his response, and my reply to his response to present our debate in an understandable flow. In my original critique I refer to Dr. Max in the third person. In my reply to his response, I address him in the second person. I recommend you first read his original essay posted at the above-mentioned URL, and then read the following. I have interspersed Max’s comments into my critique where they are applicable, followed by my response to them. At the outset, I shall establish an important and necessary guideline in this discussion of evolution. The word evolution is generally used in at least two different senses, and the distinction between them is important. On the one hand, the word evolution is used to denote the descent of all life from a putative single primitive source. It is the grand sweep of evolution that is supposed to have led from a simple beginning, something perhaps simpler than a bacterium, to all organisms living today, including humans. This descent is supposed to have occurred through purely natural means. Neo-Darwinian theory (NDT), which is the prevailing theory of evolution, teaches that this development occurred through random heritable variations in the organisms followed by natural selection. I shall denote the word evolution used in this sense as Evolution A. When evolution is discussed for popular consumption, it is most often Evolution A. The second sense in which the word evolution is used is to denote any kind of change of a population. The change can sometimes occur in response to environmental pressure (artificial or natural selection), and sometimes it can just be random (genetic drift). I shall denote the word used in this second sense as Evolution B. Evolution B has been observed. Evolution A is an inference, but is not observable. The distinction between these two meanings of evolution parallels the distinction between macroevolution and microevolution, but the two pairs of terms are not identical. Evolution A is certainly what is called macroevolution, but what is called macroevolution is not identical with Evolution A. In any case, I prefer to use the A and B to avoid having to carry whatever baggage might go with the macro/micro distinction. The distinction between these two meanings of evolution is often ignored by the defenders of Neo-Darwinian evolution. But the distinction is critical. The claim is made for Evolution A, but the proof offered is often limited to Evolution B. The implication is that the observation of Evolution B is a substantiation of Evolution A. But this is not so. Since Evolution A is not an observable, it can only be substantiated by circumstantial evidence. This circumstantial evidence is principally the fossil record, amino-acid-sequence comparisons, and comparative anatomy. Circumstantial evidence must be accompanied by a theory of how it relates to what is to be proved. NDT is generally accepted to be that theory. The strength of the circumstantial evidence for Evolution A can therefore be no better than the strength of NDT. The important claim of Neo-Darwinism is that it can account for Evolution A. The public perceives this claim as the core of the controversy over evolution. This claim is also the source of the contention by evolutionists that life is the result of purely natural processes, which ensue from well-known natural laws. I have examined this claim in my book Not By Chance!, and have found it to be empty. Evolution A is the principle message of evolution, namely that all life descended with modification from a putative single primitive source. The mechanism offered for the process of modification is basically the Darwinian one of a long series of steps of random variation, each followed by natural selection. The variation is generally understood today to be random mutations in the DNA. That primitive source of life is assumed to be sufficiently simple that it could have arisen from nonliving material by chance. There is no theory today that can account for such an event, but I shall refrain from addressing that issue here. That is for another place and another time. What is relevant to this discussion is that the requirement that life arose spontaneously sets, at the very least, a stringent upper limit on the complexity and information content of the putative first organism that could reproduce itself, and thus serve as a vehicle from which to launch Darwinian evolution. The issue I address here is the alleged development of all life by the Neo-Darwinian process of random mutation and natural selection, starting from a sufficiently simple beginning. Despite the insistence of evolutionists that evolution is a fact, it is really no more than an improbable story. No one has ever shown that the mechanism of NDT can result in Evolution A. Most evolutionists assume that long sequences of microevolutionary events can produce Evolution A, but no one has ever shown it to be so. (Those few evolutionists who hold that macroevolution is really different from microevolution have changed their story several times since they first came out with it, and their mechanism is so fuzzy that I have a hard time telling what it is.) For Evolution A to work, long series of “beneficial” mutations must be possible, each building on the previous one and conferring a selective advantage on the organism. The process must be able to lead not only from one species to another, but to the entire advance of life from a simple beginning to the full complexity of present-day life. There must be a long series of possible mutations, each conferring a selective advantage on the organism so that natural selection can enable it to take over the population. Moreover, there must be not just one, but a great many such, series. The chain must be continuous in that at each stage a change of a single base pair somewhere in the genome can lead to a more adaptive organism in some environmental context. The concept of the adaptive landscape is useful here. This concept was first introduced by Sewall Wright[1], but now nucleotide sequences of the mean population genome have taken the place of Wright’s gene combinations. There are a great many adaptive hills of various heights spread over the genomic landscape. NDT then says that it should be possible to continue to climb an “adaptive” hill to a large global maximum (or near-maximum), one base change at a time, without getting hung up on a small local maximum. No one has ever shown this to be possible. Evolutionists often claim that if the evolutionary process were hung up on a small local adaptive maximum, a large genetic change like a recombination, or other genetic rearrangement, could bring it to another hill that has a higher peak, and place it higher up on that hill than it was before. Large adaptive changes are, however, highly improbable. They are orders of magnitude less probable than getting an adaptive change with a single nucleotide substitution, which is itself improbable. No one has shown this to be possible either. Moreover, as I have noted in my book, the large mutations such as recombinations and transpositions are mediated by special enzymes and are executed with precision—not the sort of doings one would expect of events that were supposed to be the products of chance. Evolutionists chose the mechanism of randomness, by the way, because no one can think of any other way that beneficial mutations might occur in the absence of a law requiring them to occur. Genetic rearrangements may not be really random at all. They do not seem to qualify as the random mutations Neo-Darwinists can invoke whenever needed for a population to escape from a local small adaptive maximum. Evolutionists can argue, and rightly so, that we have no way of observing long series of mutations, since our observation time is limited to a relatively short interval. Our genetic observations over the past 100 years is thought to be more like a snapshot of evolution rather than a representative interval in which we can search for the required long series of changes. But our inability to observe such series cannot be used as a justification for the assumption that the series Darwinian theory requires indeed exist.

  • Max: “An equally reasonable conclusion, in my view, would be that our inability to observe such series cannot be used as a justification for the assumption that such a series of mutations did NOT occur.”

Spetner: Thank you for acknowledging that what I said was reasonable. But the two statements, yours and mine, are not symmetrical. I don’t have to assume the series did not occur to make a case for the inadequacy of NDT. Those who base a theory of evolution on the occurrence of such a series are required to show that it exists, or at least that it is likely to exist. They are obliged to demonstrate an existence. I am not obliged to prove a non-existence. NDT has the convenient characteristic that the very events that would prove the theory valid are inherently not observable. Pleading that one should be excused from bringing such proofs because they are not observable does not help the evolutionist’s case. If you want to prove the theory, you had better find something observable. Continuing my original critique, I pointed out that the argument against evolution is considerably stronger than merely noting that the evolutionists have not proved their case. It turns out that there is evidence that the series of mutations NDT requires do not, in fact, exist. The theory requires there be a vast number of possible point mutations which, coupled with natural selection, can generate the evolutionary advances that could produce Evolution A. If there really are a large number of potentially qualifying mutations, at least a few of them should have been observed in some of the many genetics laboratories around the world. All the mutations in these long series must not only confer selective advantage on the organism but they must, on the average, also contribute to the information, or complexity, increase that surely distinguishes present-day life from the putative primitive organism. These mutations must have whatever characteristics are necessary for them to serve as elements of Evolution A. Thus, for a mutation to qualify as a representative member of the required multitude of the long series that are supposed to produce evolution, it must bring new information not just to the genome of the organism, but the information must be new to the entire biocosm.[2] The horizontal transfer of a gene from one species to another does not inject new information into the biocosm. To show evolution in action, one must at least demonstrate examples of a mutation that can serve as a prototype of those required by the theory. Such a mutation must be one that could be a contributing member of a series of mutations that could lead to the vast increase in information required by the theory. Thus, for example, a mutation that yields an enzyme new to the biocosm, or one that makes an enzyme more specific than anything in the biocosm, would be adding information. On the other hand, a mutation that disables a repressor gene causing a constitutive synthesis of an enzyme might be advantageous to an organism under special circumstances, but the disabling of a gene is not the kind of mutation the theory requires. Once in a while, such a mutation might make an adaptive contribution, but it cannot be typical of the mutations required by the theory. Max devoted a good portion of his essay to challenging what he calls the “creationist” arguments against evolution. The arguments he challenged include false statements such as: (1) all mutations are harmful; (2) random mutations cannot increase the information content of a system; (3) the proteins had to arise by random trials without the benefit of natural selection. If he found creationists that said such things, then I suppose it’s part of the job he has assumed upon himself to refute them. His challenges, however, are hardly a telling argument for evolution. (1) Mutations have indeed been observed that confer an adaptive advantage, but that alone does not qualify them to serve as components of a series of Neo-Darwinian steps. (2) Some special cases of mutations may add information to the genome, but here again, that alone does not qualify them to serve as components of an evolutionary series. (3) Although the creation of proteins by random trials is not the thesis of NDT, no one has shown that they can be generated by random mutations and natural selection in the context of evolution. His challenges are valid, but they are far from sufficient to establish NDT. I shall address these points in what follows. The following is additional criticism of Max’s original essay that was not included in my original response. Max challenged point (1) by indicating that beneficial mutations indeed occur. The intention of his essay was to argue for Evolution A. Had he limited himself to Evolution B, I would have no quarrel with him. He claimed that “a rare beneficial mutation can confer a survival, or reproductive, advantage to the individuals that carry it, thereby leading—over several generations—to the spread of the mutation throughout a population.” His description is of what is often called a step in the evolutionary process. Max stated categorically that such a step can occur. Moreover, to support Evolution A, the kind of step he described must have happened over and over again, millions upon millions of times. He presented no evidence that it has ever happened, but simply tacitly assumed that it could. Can it indeed? I address that question. One must understand that at the heart of NDT lies chance and randomness. Mutations are random events. The occurrence of a beneficial mutation at any given time in any given population is governed by chance. Even natural selection, which carries the burden of being the directive force of evolution, is subject to the laws of chance. Selection coefficients are average values. What happens in any particular instance is a random event. A mutation, even one that confers adaptive benefit on the organism, is likely to be wiped out by chance events (see Chapter 3 of my book). There is a good chance that it will disappear before it can take over the population. The question is not if it can happen, but, with what probability will it happen? NDT is a theory that is supposed to account for the natural development of all life from a simple beginning. I don’t know why we need such a theory, because the development of life from a simple beginning is not an observable. The theory is gratuitous; it comes to account for something that was never observed. Actually, evolutionary thinking goes like this. 1. One observes present life. 2. One then assumes that it arose in a natural way. 3. One then concocts a theory (e.g., the NDT) to account for the observation, given the assumption. I suppose that if the theory were really a good one, and could really explain well how life could have developed in a natural way, it would lend some credence to the assumption that life did indeed develop in a natural way. But it is not a good theory, and it does not account for what it is supposed to. Evolutionists, realizing this, have lately been reduced to arguing that if no one has a better theory that can account for the natural origin of life, then one must accept NDT. As you will see from some of Max’s comments below, he also adopts this approach. I don’t know why NDT merits the pedestal on which evolutionists have put it. Now let’s get back to the probability of occurrence of one of those evolutionary steps of Max’s. Since they are chance events, we cannot say with any certainty that they will happen. The best we can do is to say with what probability such an event will occur. So, evolutionists have offered us a theory (NDT) that postulates a long string of random events to account for the existence of life, assuming it developed in a natural way. If the probability of those events were to turn out to be close to 1, then one could say that the theory accounts for the observation. On the other hand, if, according to the theory, the probability of those events were very low, one would have to say that the theory does not account for the observation. If a theory predicts observed events to be highly improbable, then one cannot justifiably say that the theory accounts for those events. You would think that, since the issue of the probabilities of the evolutionary events is so crucial to the validity of the theory, the advocates of evolution would have calculated the necessary probabilities to make their case. But they haven’t. Since they have not made these calculations, Max is not entitled to assume that evolutionary steps can occur. There is some difficulty in calculating these probabilities because the values of the relevant parameters are not all known. In my book, I addressed the problem of the probability of getting enough successful evolutionary steps to account for the evolution of the horse. In spite of the difficulties I just mentioned, I was able to calculate an important result. I found that either the probability of the horse evolving was impossibly low, or else convergent evolution cannot occur. This result refutes NDT, and with it Evolution A. Not only is Max’s point here not substantiated, it stands refuted. Antibiotic Resistance as an Example of Evolution Continuing his effort to show the evolutionary efficacy of beneficial mutations, Max presented in his essay the acquisition of antibiotic resistance by microorganisms as an example of evolution. He said one can “demonstrate a beneficial mutation … with laboratory organisms that multiply rapidly, and indeed such experiments have shown that rare beneficial mutations can occur. For instance, from a single bacterium one can grow a population in the presence of an antibiotic, and demonstrate that organisms surviving this culture have mutations in genes that confer antibiotic resistance.” Such an experiment shows that “de novo beneficial mutations” can arise. My response to this is that I have shown in my book that mutations leading to antibiotic resistance fail the test of representing the mutations necessary for evolution. I summarize that argument here. All antibiotics are derived from microorganisms. Recall the story of the serendipitous discovery of penicillin by Alexander Fleming in 1928, when he noticed that his plate of Staphylococcus bacteria was clear in the vicinity of a bread-mold contaminant. The mold was found to produce something that could lyse and kill the bacteria. That something was a molecule later named penicillin. Afterwards, other antibiotics were found to be produced by other microorganisms, such as soil bacteria. Soil has long been recognized in folk medicine as a cure for infections. The antibiotics produced by these microorganisms serve them as a defense against attack by other microorganisms. Some microorganisms are endowed with genes that grant resistance to these antibiotics. This resistance can take the form of degrading the antibiotic molecule or of ejecting it from the cell. Unfortunately for human health care, the organisms having these genes can transfer them to other bacteria making them resistant as well. Although the resistance mechanisms are specific to a particular antibiotic, most pathogenic bacteria have, to our misfortune, succeeded in accumulating several sets of genes granting them resistance to a variety of antibiotics. The acquisition of antibiotic resistance in this manner qualifies as evolution only in the sense that it is an adaptive hereditary change. It is an example only of Evolution B. It is not the type of evolution that can make a baboon out of a bacterium. The genetic change is not the kind that can serve as a prototype for the mutations needed to account for Evolution A. The genetic changes that could illustrate the theory must not only add information to the bacterium’s genome, they must add new information to the biocosm. The horizontal transfer of genes only spreads around genes that are already in some species. It turns out, however, that a microorganism can sometimes acquire resistance to an antibiotic through a random substitution of a single nucleotide, and this is the kind of example Max presented. Streptomycin, which was discovered by Selman Waksman and Albert Schatz and first reported in 1944, is an antibiotic against which bacteria can acquire resistance in this way. But although the mutation they undergo in the process is beneficial to the microorganism in the presence of streptomycin, it cannot serve as a prototype for the kind of mutations needed by NDT. The type of mutation that grants resistance to streptomycin is manifest in the ribosome and degrades its molecular match with the antibiotic molecule. This change in the surface of the microorganism’s ribosome prevents the streptomycin molecule from attaching and carrying out its antibiotic function. It turns out that this degradation is a loss of specificity and therefore a loss of information. The main point is that Evolution A cannot be achieved by mutations of this sort, no matter how many of them there are. Evolution cannot be built by accumulating mutations that only degrade specificity. In the final paragraph of my original critique, I said the following: The mutations needed for macroevolution have never been observed. No random mutations that could represent the mutations required by NDT that have been examined on the molecular level have added any information. The question I address is: Are the mutations that have been observed the kind the theory needs for support? The answer turns out to be NO! Many have lost information. To support NDT one would have to show many examples of random mutations that add information. Unless the aggregate results of the genetic experiments performed until now is a grossly biased sample, we can safely dismiss Neo-Darwinian theory as an explanation of how life developed from a single simple source.

  • Max: “I think that the sample of genetic mutations you cite is in fact biased, incorrectly interpreted, and much too small and non-systematic to draw such a sweeping conclusion. I will try to explain why I believe this. “Some streptomycin resistance mutations do, as you point out, reflect mutations of the ribosomal protein S12 which cause loss of binding of this antibiotic, which you interpret as ‘loss of information.’ However, you ignore other mutations of this protein that do not lead to loss of antibiotic binding (e.g. Timms et al., Mol Gen Genet 232:89, 1992). According to your formulation, these mutations would not represent a loss of information, yet they are represent natural mutations that are adaptive under conditions of exposure to streptomycin. Would you accept that this kind of mutation is a good model for an adaptive evolutionary change consistent with Neo-Darwinian Theory? “Using your own example of streptomycin resistance, I have pointed out that some mutations of the S12 ribosomal protein do not represent a ‘loss of information’ even by your own questionable criteria.”

Spetner: First of all, I would recommend that you not refer to my criteria of information loss as “questionable” until you understand them. See below, where I explain your misunderstanding. You let your own tacit assumptions get in the way of understanding my thesis. Furthermore, you misunderstood the paper by Timms et al., which you cited. All of the adaptive mutations reported in that paper show reduced binding of the streptomycin molecule. The 12 adaptive mutations reported in the S12 protein fall into two categories. There was no example of what you claimed I ignored. Five of those mutants are designated as streptomycin resistant (Smr), and seven are designated as streptomycin dependent (Smd). All 12 of them, in the words of the authors “reduce the affinity of the ribosome for streptomycin.” Perhaps you would like to point out to me where in that paper they mention mutations in S12 do not lead to reduced binding, and which you claim I have ignored.

  • Max: “… how about the single amino acid substitution in a blowfly carboxylesterase that converts this enzyme into an organophosphorus hydrolase under selection by organophosphate insecticides [Newcomb et al., PNAS 94:464, 1997]?”

Spetner: In the Newcomb et al. paper that you cited, the experimenters started with 15 existing strains of blowflies, some of which were resistant to organophosphorus (OP) insecticide and some were not. No mutations were imposed or observed. The amino-acid differences between the two groups were only assumed to have arisen by mutation. The esterase enzyme E3 plays an important role in the operation of the fly’s nervous system. OP insecticides kill the insects by interfering with this activity. Newcomb et al. found that the resistant allele of the gene encoding the enzyme E3 and the corresponding susceptible allele differ from each other in 19 nucleotides. These differences translate into 5 amino-acid differences between the enzymes. The authors concluded from their study that one of those 5, namely Gly137 Asp, could account for both a loss of esterase activity and an acquisition of OP hydrolase activity. Although it is not certain that the difference in the activities of this enzyme arose through a random mutation, let us even suppose it did. If it did, then this mutation is not likely to have occurred recently, because much time would be needed to have accumulated all the 19 nucleotide differences between these two phenotypes. Both phenotypes have likely been in the populations of blowflies long before OP insecticides entered the environment. The resistant allele must therefore have adaptive advantages in addition to OP insecticide resistance. One can say with a large measure of confidence that the resistant strain did not arise through a single random mutation and proliferate through natural selection in the presence of OP. This is evident from a close examination of Fig. 2 of the above-cited paper. From what the authors have shown, if there were such a mutation it would have been the substitution Gly137 Asp. The authors created two chimeric alleles of the E3 enzyme. One of these (let’s call it the susceptible chimera) had Gly137, corresponding to the allele susceptible to diazinon insecticide, but had the other 4 of the 5 discordant amino acids identical with the wild-type allele resistant to diazinon. The other chimera (we’ll call it the resistant chimera) had the opposite; it had Asp137, and the other 4 of the 5 discordant amino acids identical with the susceptible allele. The authors measured the OP hydrolase activity in the wild-type susceptible allele, the susceptible chimera, the wild-type resistant allele, and the resistant chimera. They presented the results of their measurements in Fig. 2 of their paper, which shows the following: 1. There is negligible OP hydrolase activity in the wild-type susceptible allele of E3 and in the susceptible chimera. 2. There is marked OP hydrolase activity in the wild-type resistant allele of E3 and in the resistant chimera. It is this activity that the authors understand to be responsible for the resistance to OP insecticide. 3. The OP hydrolase activity of the resistant chimera is about two and a half times that of the wild-type resistant allele. Accepting the authors’ premise that the OP hydrolase activity is responsible for the resistance, we can say that a strain of blow fly whose E3 enzyme is identical with that of the wild-type susceptible, except for the single substitution Asp137, should be even more resistant than the wild-type resistant strain. Therefore, if a mutation occurred in the susceptible strain achieving the substitution Gly137 Asp, it should be more adaptive than the wild-type susceptible strain in the presence of diazinon insecticide. That being the case, the resistant population of blow flies should have an E3 enzyme with only Asp137 differing from that of the wild-type susceptible strain. Since that is not the case, one can conclude that the other 4 of the discordant amino acids must have some overriding adaptive value that trumps the greater OP hydrolase activity of the resistant chimera, even though we don’t know what that adaptive value is. In light of these data, one can conclude that the substitution Gly137 Asp did not arise by random mutation from the susceptible strain. Moreover, to tell if the substitution, Gly137 Asp, even if it did arise by a random mutation, represents an addition or a loss of information, we must know more about how the mutation affects the enzyme’s hydrolase activity on more than just the one substrate. As in the example I showed in my book (and described briefly below), what looked like an enhancement of activity on one substrate, coupled with a degradation of activity on another, turned out to be nothing more than a simple reduction of specificity of the enzyme over wider a set of substrates. As I wrote in my original comments (see below) on your posting, one must be careful about jumping to conclusions about what constitutes an information increase. This is not a weasel statement. One can know when one has enough data to make a judgment. If the activity profile of the mutant enzyme over several different substrates sharpens by increasing the activity on one substrate and concomitantly decreasing the activity on other substrates, there is an increase in selectivity and hence an increase in information. If, on the other hand, the activity profile of the mutant enzyme over a set of substrates is flatter than that that of the wild type, then information has been lost. One just needs enough data to be able to see an activity profile over several substrates for both the mutant and the wild type.

  • Max: “Certainly you are not correct when you say ‘all known examples of these mutations lose information rather than gain it.’”

Spetner: Since you have not shown any valid counterexamples, my statement still stands, and your statement falls. None of the examples you gave qualifies as a random mutation in the germ line that could be typical of those required for Evolution A. The context in which I made the above statement was that of random mutations in the germ line that, according to NDT, are capable of producing Evolution A. You must admit that the most widely used examples by evolutionists to show evolution in action do in fact lose information. You have used such an example yourself in your posted essay—the evolution of antibiotic resistance in microorganisms. These so-called “best examples” are poor and do not demonstrate, nor even indicate a typical contribution to, Evolution A. You failed in your attempt to rebut my statement that all known examples of random mutations that could play a role in Evolution A lose information rather than gain it. Evolution and the Increase of Information In my critique, I included for pedagogical purposes the following short explanation of the information in enzymatic activity and its measurement: I shall emphasize again: There is no theorem requiring mutations to lose information. I can easily imagine mutations that gain information. The simplest example is what is known as a back mutation. A back mutation undoes the effect of a previous mutation. If the change of a single base pair in the genome were to change to another and lose information, then a subsequent mutation back to the previous condition would regain the lost information. Since these mutations are known to occur, they form a counterexample to any conjecture that random mutations must lose information. An important point I make in my book, and which I emphasize here, is that, as far as I know, no mutations observed so far qualify as examples of the kind of mutations required for Evolution A. In discussing mutations in my book I noted in each case in which the molecular change was known, that it could not serve as a prototype for the mutations required by NDT. In all the cases I discussed, it was the loss of information that prevented the mutation from serving as a prototype of those required by NDT. The back mutation likewise cannot serve as a prototype of the NDT-required mutations. Here, the reason is not that it loses information—it actually gains information. But the information it gains is already in the biocosm and the mutation contributes nothing new. Evolution is not accounted for if the only information gain was by back mutations. In my book, I did not quantify the information gain or loss in a mutation. I left it out mainly because I was reluctant to introduce equations and scare off the average reader. And anyway, I thought it rather obvious that a mutation that destroys the functionality of a gene (such as a repressor gene) is a loss of information. I also thought it rather obvious that a mutation that reduces the specificity of an enzyme is also a loss of information. But I shall take this opportunity to quantify the information difference before and after mutation in an important special case, which I described in my book. The information content of the genome is difficult to evaluate with any precision. Fortunately, for my purposes, I need only consider the change in the information in an enzyme caused by a mutation. The information content of an enzyme is the sum of many parts, among which are: • Level of catalytic activity • Specificity with respect to the substrate • Strength of binding to cell structure • Specificity of binding to cell structure • Specificity of the amino-acid sequence devoted to specifying the enzyme for degradation These are all difficult to evaluate, but the easiest to get a handle on is the information in the substrate specificity. To estimate the information in an enzyme I shall assume that the information content of the enzyme itself is at least the maximum information gained in transforming the substrate distribution into the product distribution. (I think this assumption is reasonable, but to be rigorous it should really be proved.) We can think of the substrate specificity of the enzyme as a kind of filter. The entropy of the ensemble of substances separated after filtration is less than the entropy of the original ensemble of the mixture. We can therefore say that the filtration process results in an information gain equal to the decrease in entropy. Let’s imagine a uniform distribution of substrates presented to many copies of an enzyme. I choose a uniform distribution of substrates because that will permit the enzyme to express its maximum information gain. The substrates considered here are restricted to a set of similar molecules on which the enzyme has the same metabolic effect. This restriction not only simplifies our exercise but it applies to the case I discussed in my book. The products of a substrate on which the enzyme has a higher activity will be more numerous than those of a substrate on which the enzyme has a lower activity. Because of the filtering, the distribution of concentrations of products will have a lower entropy than that of substrates. Note that we are neglecting whatever entropy change stems from the chemical changes of the substrates into products, and we are focusing on the entropy change reflected in the distributions of the products of the substrates acted upon by the enzyme. The entropy of an ensemble of n elements with fractional concentrations f1,…,fn is given by (1) and if the base of the logarithm is 2, the units of entropy are bits. As a first illustration of this formula let us take the extreme case where there are n possible substrates, and the enzyme has a nonzero activity on only one of them. This is perfect filtering. The input entropy for a uniform distribution of n elements is, from (1), given by (2)\since the fi’s are each 1/n. The entropy of the output is zero, (3)because all the concentrations except one are zero, and the concentration of that one is 1. Then the decrease in entropy brought about by the selectivity of the enzyme is then the difference between (2) and (3), or Another example is the other extreme case in which the enzyme does not discriminate at all among the n substrates. In this case the input and output entropies are the same, namely (4) Therefore, the information gain, which is the difference between HO and HI, in this case is zero, (5) We normalize the activities of the enzyme on the various substrates and these normalized activities will then be the fractional concentrations of the products. This normalization will eliminate from our consideration the effect of the absolute activity level on the information content, leaving us with only the effect of the selectivity. Although these simplifications prevent us from calculating the total entropy decrease achieved by action of the enzyme, we are able to calculate the entropy change due to enzyme specificity alone. The Dangers of Conclusion Jumping As a final example let me take part of a series of experiments I discussed in my book, which demonstrate the dangers of conclusion jumping. This subject bears emphasis because evolutionists from Darwin on have been guilty of jumping to unwarranted conclusions from inadequate data. I shall here take only a portion of the discussion in my book, namely, what I took from a paper by Burleigh et al.[3] to illustrate my point. Ribitol is a naturally occurring sugar that some soil bacteria can normally metabolize, and ribitol dehydrogenase is the enzyme that catalyzes the first step in its metabolism. Xylitol is a sugar very similar in structure to ribitol, but does not occur in nature. Bacteria cannot normally live on xylitol, but when a large population of them were cultured on only xylitol, mutants appeared that were able to metabolize it. The wild-type enzyme was found to have a small activity on xylitol, but not large enough for the bacteria to live on xylitol alone. The mutant enzyme had an activity large enough to permit the bacterium to live on xylitol alone. Fig. 1 shows the activity of the wild-type enzyme and the mutant enzyme on both ribitol and xylitol. Note that the mutant enzyme has a lower activity on ribitol and a higher activity on xylitol than does the wild-type enzyme. An evolutionist would be tempted to see here the beginning of a trend. He might be inclined to jump to the conclusion that with a series of many mutations of this kind, one after another, evolution could produce an enzyme that would have a high activity on xylitol and a low, or zero, activity on ribitol. Now wouldn’t that be a useful thing for a bacterium that had only xylitol available and no ribitol? Such a series would produce the kind of evolutionary change NDT calls for. It would be an example of the kind of series that would support NDT. The series would have to consist of mutations that would, step by step, lower the activity of the enzyme on the first substrate while increasing it on the second. But Fig. 1 is misleading in this regard because it provides only a restricted view of the story. Burleigh and his colleagues also measured the activities of the two enzymes on another similar sugar, L-arabitol, and the results of these measurements are shown in Fig. 2. With the additional data on L-arabitol, a different picture emerges. No longer do we see the mutation just swinging the activity away from ribitol and toward xylitol. We see instead a general lowering of the selectivity of the enzyme over the set of substrates. The activity profiles in Fig. 2 show that the wild-type enzyme is more selective than is the mutant enzyme. In Fig. 1 alone, there appears to be a trend evolving an enzyme with a high activity on xylitol and a low activity on ribitol. But Fig. 2 shows that such an extrapolation is unwarranted. It shows instead a much different trend. An extrapolation of the trend that appears in Fig. 2 would indicate that a series of such mutations could result in an enzyme that had no selectivity at all, but exhibited the same low activity on a wide set of substrates. The point to be made from this example is that conclusion jumping from the observation of an apparent trend is a risky business. From a little data, the mutation appears to add information to the enzyme. From a little more data, the mutation appears to be degrading the enzyme’s specificity and losing information. Just as we calculated information in the two special cases above, we can calculate the information in the enzyme acting on a uniform mixture of the three substrates for both the wild type and the mutant enzyme. Using the measured activity values reported by Burleigh et al. we find the information in the specificities of the two enzymes to be 0.74 and 0.38 bits respectively. The information in the wild-type enzyme then turns out to be about twice that of the mutant. The evolutionist community, from Darwin to today, has based its major claims on unwarranted conclusion jumping. Darwin saw that pigeon breeders could achieve a wide variety of forms in their pigeons by selection, and he assumed that the reach of selection was unlimited. Evolutionists, who have seen crops and farm animals bred to have many commercially desirable features, have jumped to the conclusion that natural selection, in the course of millions of years, could achieve many-fold greater adaptive changes than artificial selection has achieved in only tens of years. I have shown in my book that such extrapolations are ill founded because breeding experiments, such as those giving wheat greater protein content or vegetables greater size, result from mutations that disable repressor genes. The conclusions jumped to were false because they were based on data that could not be extrapolated to long sequences. One cannot gain information from a long sequence of steps that all lose information. As I noted in my book, that would be like the merchant who lost a little money on each sale, but thought he could make it up on volume.

  • Max: “I want to make it clear that I don’t buy your interpretation of certain specific mutations as reflecting a ‘loss of information.’ You state that the ‘information content of an enzyme is the sum of many parts, among which are: level of catalytic activity, specificity with respect to the substrate, strength [and specificity] of binding to cell structure, [and] specificity of the amino-acid sequence devoted to specifying the enzyme for degradation.’ This formulation is vague, non-quantitative, not supported by clear logic, not accepted in the scientific literature (to the best of my knowledge; please educate me if I am wrong), and in my view not useful.”

Spetner: Ed, the level of your argument here is quite low. You have seen this entire section (above), and you took from the introduction my list of what characteristics can contribute to the information content of an enzyme and criticized it for being non-quantitative (followed by other pejorative epithets). Is that supposed to be some sort of debating tactic? In any case, the tactic is out of place in this discussion. From the context of what I wrote, it should have been clear to you that this partial list of characteristics that can contribute to the information in an enzyme was an introduction to my quantitative estimate of one of the characteristics of specificity of an enzyme. After I showed how one might calculate the information related to a type of specificity, I showed how a mutation that appeared to enhance activity on a new substrate actually reduced the information by about 50%. It is elementary that specificity translates into information and vice versa. Have you ever played 20 questions? With the YES/NO answers to 20 judicious questions, one can discover a previously-chosen number between 1 and a million. If the questions are well chosen, those YES/NO answers can be worth one bit of information each, and 20 bits can specify one object out of a million. Twenty bits of information translates to specificity of one part in a million. Ten bits—to one part in a thousand. The Zip codes in the US also demonstrate that specificity and information are two sides of the same coin and go hand in hand. An address in the United States can be completely specified by the nine-digit zip code. One digit of information will narrow down the address from being anywhere in the United States to being in just a few states. Thus if the first digit is a 6, the address is located somewhere in Illinois, Missouri, Kansas, or Nebraska. A second digit of information will add specificity by narrowing down the address further. A 3, 4, or 5 in the second digit puts the address in Missouri. A 3 in the second digit puts it in the eastern portion of the state. Two digits of information are more specific than one. A third digit of information is still more specific, narrowing down the address even more, making it still more specific. If the third digit is a 1, the address is specific to St. Louis and its suburbs. The next two digits of information pin down the address to within a few blocks. The last 4 digits of information can locate a specific building. Thus, it is clear that the information contained in the digits of the zip code translate into specificity. There is no question about it: SPECIFICITY = INFORMATION.

  • Max: “… there are several other ways of considering how mutations affect information. In my view, even if all S12 mutations that caused streptomycin resistance abolished antibiotic binding, a reasonable argument could still be made that such mutations represent a gain of information rather than a loss. In the universe of all the possible S12 amino acid sequences that can function in the ribosome, essentially all S12 proteins found in ‘wild-type’ bacteria (i.e., those grown in the absence of streptomycin) bind to this antibiotic. The S12 sequences that allow bacterial growth in the presence of streptomycin represent a small subset of the universe of observed functional S12 sequences. Therefore by growing bacteria in streptomycin we select for a specific and small subset of possible S12 sequences; thus it might be argued that we have forced a small increase the information content of the genome by narrowing the choice of S12 sequences.”

Spetner: I cannot agree with what you wrote here. The wild-type S12 proteins that bind to the streptomycin molecule also form a subset of the universe of all possible S12 proteins. The set of S12 proteins that allow bacterial growth in streptomycin (i.e. that do not bind to the antibiotic) form a disparate subset of the universe of S12 proteins. My intuition tells me that the set that binds (the susceptible set) is smaller, and therefore has a smaller entropy, than the set that does not bind (the resistant set). Mutations that appear in the presence of the antibiotic convert one subset to the other. A mutation that transfers the enzyme from a low-entropy set to a higher-entropy set loses information; it does not gain it.

  • Max: “Alternatively, it could just as well be argued that in all cases of single amino acid replacements there has been no change in information content at all, in that any given amino acid sequence is equally ‘improbable’ compared with any other amino acid sequence of the same length.”

Spetner: This is not a useful concept. It is like the pleading of the poker player who had a bust hand. When it came to the call, his opponent showed four aces. He pleaded that his bust hand was just as improbable, and therefore worth as much, as the four-aces, and suggested they split the pot. He’s right about the probabilities of the two hands, but in the context of poker, four aces win and the bust hand loses. Although in the context of the organism’s survival in streptomycin, the degraded specificity of the S12 protein is beneficial, in the context of evolution, it is a dead end and it loses.

  • Max: “Certainly you have provided no theoretical justification for using your arbitrary criteria such as ‘specificity of binding’ to assess information content; indeed, you fail to provide any quantitative theory of how all the criteria you list (‘level of catalytic activity, specificity with respect to substrate, . .’ etc) would be integrated into a quantitative information measure.”

Spetner: On the contrary, I have provided substantial theoretical justification for equating information to specificity. You just chose to ignore what I wrote.

  • Max: “In general, if a protein has evolved under selection for a specific function, changes in the structure of that protein to meet some new criterion can be expected to adversely affect the original function. This is true in ribosomal S12 proteins that have become streptomycin resistant (they are less efficient in proof-reading) and is clear in the example of the carboxylesterase, which loses this activity essentially completely when mutated to become an organophosphorus hydrolase. The structure of any protein—like the product of engineering design—involves trade-offs between various opposing optimization ‘goals’. Thus it is likely that intense selection for resistance to a lethal agent—exactly the kind of quick experimental protocol useful for laboratory models of adaptive evolutionary change—will lead to mutations that involve what might be construed by you as a ‘loss of information’ something is always likely to be lost when a modified, mutated protein becomes prevalent in the face of a new selective pressure. This fact explains, I believe, why such genetic experiments may in fact be ‘grossly biased’ in the way that led you to inappropriately dismiss Neo-Darwinian theory.”

Spetner: You show here that you misunderstand what I mean by a mutation losing information. If a mutation in an enzyme were to lose its specificity to one substrate and gain specificity to another substrate, I would credit the mutation with a gain of information and I would not ‘construe’ it as a loss. But I will not credit it with a gain if the enzyme increased its activity to another substrate merely by becoming less specific, as in the example I gave above with ribitol and xylitol. What you have presented is not so much a case for bias as it is a pleading that any modification to a protein must cause some degradation, and therefore you want to be excused from having to show a case where information is increased. But you have overplayed your hand. You seem to be saying in effect that because proteins have evolved so well, any change will degrade them. (If that were so, it would be a good argument for Creation.) Suppose a mutation causes a protein to become more adaptive in a particular environment. Then by your thesis, it is already so well evolved that “something is always likely to be lost when a modified, mutated protein becomes prevalent in the face of a new selective pressure.” You imply that the loss is one of information, because that’s the context of this discussion. But then, according to you, after that modification, it is again well evolved, so the next time it undergoes an adaptive mutation, it must again lose something. Continuing the process you have described, the protein will continue to lose something. You have just consigned the evolutionary process to a dead end!

  • Max: “But consider this: If blowflies happened to have duplicated their carboxyhydrolase gene before they were exposed to organophosphates, and if they mutated one of their two copies to organophosphate hydrolase, we would have a clear example of an increase in genetic information: creation of a new functional gene … without any loss of information since the original sequence would be intact in the unaltered copy.”

Spetner: I have already shown above that the organophosphorus hydrolase activity did not necessarily come from a single point mutation. I have also noted that we don’t have enough information to know if the acquisition of this activity is a loss or a gain of information. Furthermore, you don’t have to keep bringing up the necessity of gene duplication. If an enzyme lost its old activity to gain a new specificity, I would credit it with a gain of information without regard to the loss of the old activity. I have always assumed that gene duplication is available to evolution.

  • Max: “Now, gene duplications are rather rare events, and favorable mutations are also rare; so the combined frequencies of these two events are so rare that they are not likely to be observable in a laboratory experiment. But if we look at many gene systems in modern animals we can see how they might have been caused by duplication followed by mutation to a new, or at least slightly different, function.”

Spetner: As I said above, I grant the possibility of gene duplication, so you needn’t throw that in to make the probability low. If I saw the gain of specificity through a random mutation, I would credit the mutation with an increase of information without deducting for the loss of the old activity. A single point mutation (which is all that NDT requires at each step) is not very rare considering all the genetic experiments that have been performed throughout the world. If there really are as many adaptive, information-adding mutations as NDT needs, we should expect to have seen many of them.

  • Max: “As an example of such a system, let’s consider a gene locus that I have studied in my lab: the human immunoglobulin heavy chain (or IgH) locus. In the human locus one sees evidence of a large DNA duplication that created two copies that are highly similar in both coding and non-coding flanking regions. One duplicate includes constant region sequences known as gamma3, gamma1, pseudo-epsilon and alpha1, while the second copy contains gamma2, gamma4, epsilon and alpha2. More primitive primates like the New World monkeys appear to have a single copy of this locus and a single gamma gene. The four human gamma chain genes are thus thought to have derived from a single ancestral gamma chain gene in a primate ancestor by a series of duplications and mutations.… In the ancestral primate we had one non-specialized gene whereas in modern humans we have four specialized genes. This is exactly the sort of genetic change that would be consistent with Neo-Darwinian evolution leading to an increase in complexity.”

Spetner: Yes, information would have been increased if what you speculate had indeed happened. The proof would only lie in showing that it has indeed happened through random mutations and natural selection. Let us not lose sight of the requirement of Neo-Darwinian evolution for long series of single-nucleotide substitutions, where each mutation makes the phenotype sufficiently more adaptive than it was to permit the mutated phenotype to take over the population through natural selection with a high probability. It is far from clear that the individual mutations you suggest will each be adaptive and selected at each step. You cannot show this—you merely assume it. You are postulating an historical event that cannot possibly be verified. It seems that all of your arguments are based on postulating events that are inherently not observable. That should make one a little suspicious of the theory, shouldn’t it?

  • Max: “I realize that the above model for the human IgH locus is hypothetical and assumes that the evolutionary triad of duplication, random mutation and selection is a reasonable naturalistic explanation for the four human gamma genes. We cannot verify this explanation since we can never know the properties of the primordial ancestral gamma immunoglobulin, or know the series of mutations that occurred in the various duplicate gamma genes during our evolution from that primordial ancestor. What I am asking is: is there anything so implausible in this model to justify your suggestion that we should ‘dismiss Neo-Darwinian theory’ as an explanation for this example?”

Spetner: Yes, it is implausible because you are postulating a series of events of a type for which there is evidence that they have not occurred. If they had occurred to produce Evolution A, there should have been a vast number of them, and there aren’t. Had there been the required large number of them, we should have seen some of them in all the genetic experiments performed in all the laboratories of the world. And we haven’t, to my knowledge, seen a single one.

  • Max: “Or more to the point, exactly what alternative explanation for the origin of the four human gamma genes do you propose that is more plausible than the one I offered?”

Spetner: How does Creation grab you? You probably are reluctant to admit that possibility, but you can think of it as a default position. It cannot be demonstrated scientifically, not because of any philosophical defect in the proposition, but because of the limitations of Science. Because Science is incapable of dealing with it does not mean it hasn’t happened. There are, after all, some truths in the physical world that cannot be reached by Science, just as there are mathematical truths that cannot be reached by mathematical proof.[4] If we don’t have a scientifically viable theory to account for the origin of the four human gamma genes, or for the origin of life itself, we needn’t despair. Not every mystery necessarily has a scientific solution. I do not mean to say that one should not look for a scientific solution. One should. But not having such a solution is not a license to make up stories and pass them off to a gullible public as Science. Because I don’t have a (scientifically) ‘plausible’ explanation of the origin of life, does not mean that your improbable stories are correct and should be foisted on the public under the guise of scientific truth.

  • Max: “This is important, because considering the weaknesses I have pointed out in your arguments, you are far from having definitively ruled out the Neo-Darwinian evolutionary triad as the correct explanation for what you call the ‘grand sweep of evolution’”[I am now calling this Evolution A (LMS)].

Spetner: As you can see from my above remarks, you have not succeeded in pointing out any weakness in my arguments. What you call the “Darwinian evolutionary triad” is no more than a big bluff. It has great theoretical and empirical difficulties, which neither you nor anyone else has succeeded in overcoming. Mutations in the Immune System Max’s field of expertise is the immune system. This is the field in which he does research and in which he has published. In his original posting, his pièce de résistance was the presentation of somatic mutations in B lymphocytes (B cells) of the vertebrate immune system as examples of random mutations that add information. He implied that Evolution A could follow this method to achieve baboons from bacteria. I agree with him that these mutations add information to the B-cell genome. I also agree that they are random. They are random, however, only in the base changes they make; they are not random in where in the genome they can occur. More important, I do not agree that the Evolution A could be achieved through such mutations, and I shall show why. Although the somatic mutations to which Max referred are point mutations that do indeed add information to the genome of the B cells, they cannot be applied to Darwinian evolution. These are not the kind of mutations that can operate as the random mutations required by NDT, which allegedly can, through chance errors, build information one base change at a time. For one thing, the rate of the somatic mutations in the immune system is extremely high—more than a million times normal germ-line mutation rates. For this reason they are called hypermutations. If an organism had a germline mutation rate that was even a small fraction of this rate it could not survive. For a second thing, the hypermutations in the B cells are restricted to a specific tiny portion of the genome, where they can do no harm but only good. The entire genome of the B cell could not mutate at this rate; the hypermutation must be restricted only to the region encoding selected portions of the variable part of the antibody. The mutation rate of the hypermutating part of the B cell’s genome is usually about 10-3 per base pair per replication[5], and it can be as high as 10-2 per base pair per replication[6]. These rates cannot produce Darwinian evolution. If a genome were to mutate at this rate, there would be, on the average, several mutations in every gene, with a high probability that many of them would be fatal for the organism. Darwinian evolution could not occur with such rates. These high rates are essential for the working of the immune system. In each replication of a B cell, about 30 of the 300 or so gene regions encoding the CDRs (complementarity-determining regions) will have a mutation. A lower mutation rate would make for a less efficient immune system. The high mutation rates, so necessary for the immune system, if applied to an entire organism for evolutionary purposes, would be fatal many times over. Note that these hypermutations are limited to a restricted portion of the genome. Moreover, the hypermutations are mediated by special enzymes. Although the hypermutations are random in the changes they make in the bases of the genome, they are not random in the positions in which they occur. They occur only in the small region in which they are needed, and occur there through enzymes that apparently play only that role. Furthermore, they occur only when they are switched on by the controlling mechanism of B-cell maturation. Thus, it is clear that the hypermutations in B cells cannot serve as a prototype for the random mutations required for NDT.

  • Max: “You … declare that the B cell example is a poor model for what happens in ‘Darwinian’ evolution, and you cite two reasons: (1) the mutation rate in this model is much higher than what is seen in non-immunoglobulin genes and in non-B-cells; and (2) these ‘hypermutations’ are mediated by ‘special enzymes.’ With regard to your first point, I agree that the mutation rate is higher in the B cell example than in evolution, but I fail to see why that fact weakens the usefulness of the example as a model for evolution. If adaptive mutations that increase information in the genome of a B lymphocyte population can occur over one week given a high mutation rate, what theoretical argument would lead you to reject the idea that adaptive mutations that increase information in the genome of a germ cell population could occur over many millions of years given a much lower mutation rate?”

Spetner: The theoretical argument hinges on the fact that the benefit that accrues to the immune system is a nonlinear function of the mutation rate. Evolution requires a long series of steps each consisting of an adaptive mutation followed by natural selection. In this series, each mutation must have a higher selective value than the previous[7]. Thus, the evolving population moves across the adaptive landscape always rising toward higher adaptivity. It is generally accepted that the adaptive landscape is not just one big smooth hill with a single maximum, but it is many hills of many different heights. Most likely, the population is on a hill that is one of the many lowest and not on one of the few highest in the landscape. It will then get stuck on a low local maximum of adaptivity and will not be able to move from it. That is particularly likely because the steps it takes are very small—only one nucleotide change at a time. The problem is compounded by the lack of freedom of a single nucleotide substitution to cause a change in the encoded amino acid. A single nucleotide substitution does not have the potential to change an amino acid to any one of the other 19. In general, its potential for change is limited to only 5 or 6 others. To evolve off the “dead point” of adaptivity, a larger step, such as the simultaneous change of more than one nucleotide, is required[8]. Moreover, the probability is close to 1 that a single mutation in a population, even though it is adaptive, will disappear without taking over the population (see my book, Chapter 3). Therefore, several adaptive mutations must occur independently and randomly at each step. Hypermutation in the B cells does this. It quickly achieves all possible single, double, and triple mutations for the immune system, which allows them to obtain the information necessary to match a new antigen. Ordinary mutations, at the normal low rate, cannot add this information—even over long times. I shall explain why. The effects of mutation rate are nonlinear. Consider a population of antigen-activated B cells of, say, a billion individuals, which is smaller than the typical number. In two weeks, there will be about 30 generations. Let’s say the population size is stable, so in two weeks there will be a total of 30 billion replications. With a mutation rate of 1 per 1000 nucleotides per replication, there will be an average of 30 million independent changes in any particular nucleotide during a two-week period. The probability of getting two particular nucleotides to change is one per million replications. Thus in two weeks, there will be an average of 30 thousand changes in any two particular nucleotides. There will be an average of 30 changes in any three particular nucleotides. If the mutation rate is 1 per 100, these numbers would be correspondingly larger. How many generations, and how long, would it take to get a particular multiple-nucleotide change in a germ cell to have an effect on Neo-Darwinian evolution? Here, the mutation rate is about one per billion nucleotides per replication. Let’s suppose we’re doing this experiment with a population of a billion bacteria. Then, in one generation, there will be an average of one change in any particular base in some one individual. A particular double-base change has a probability of one per quintillion, or 10-18. To get one of these would take a billion generations, or about 100,000 years. To get a triple change would take 1014, or a hundred trillion, years. That is why a long waiting time cannot compensate for a low mutation rate. I’ve given numbers here for a laboratory experiment with bacteria. Many more mutations would be expected world wide. But the same kind of thing has to happen under NDT with multicelled animals as well. With vertebrates, for example, the breeding populations seldom exceed a few thousand. Multicelled animals would have many fewer mutations than those cited above for bacteria.

  • Max: “Your second objection to the somatic mutation model in B-cells, that ‘special enzymes’ are involved, is unsupportable. As far as I can tell from my reading of the literature, the mechanism of somatic hypermutation in B-cells is not currently known.”

Spetner: On the contrary, my objection is well supported in the professional literature. The somatic hypermutations you cite do indeed require “special enzymes”, and is not the kind of mutations held to be responsible for the variation required in NDT. These mutations, unlike ordinary errors in DNA replication in the germline, are under precise control in the cell. They are turned on exactly when they are needed, and they are turned off when they have done their job. They are accurately targeted to the very small regions of the genome where they can provide variability to the CDRs, which form the antibody-binding site. They do not occur at any other place in the genome. Although the mechanism of this precisely targeted phenomenon is not yet known in complete detail, enough is known to say that there has to be a “mechanism”—hypermutation does not happen by chance. Thus, even 14 years ago, a popular textbook in cell biology said[9], “There must exist mechanisms that direct mutational activity to variable-region sequences. How this might occur is not known; possibly some sequence in the area of the variable region directs a special enzyme system to carry out point replacements of nucleotides independent of template specification.” (my emphasis) Informed current opinion on the subject of somatic hypermutations is overwhelmingly (and perhaps even unanimously) in favor of the suggestion that they are produced by a special mechanism requiring special enzymes that are unlike the spontaneous germline mutations assumed to be responsible for evolution. Experts in this field are very clear on this point. Let me just bring you a few quotes from a recent paper by Robert Blanden and his colleagues[10], in which they describe important characteristics of somatic mutations, and note how they differ from germline mutations [all emphases are mine (LMS)]: “The accumulated findings strongly suggest a complex mechanism [for hypermutation], which is unlikely to employ simple error-prone DNA repair processes involving DNA template directed DNA synthesis.” “… there should logically be a mechanism to ensure that when successful mutation has taken place, there is no further mutation which may destroy successful V(D)J sequences.” Let me also bring you a few quotes from another recent paper by David Winter & Patricia Gearhart (whom you may even know) on the subject of somatic hypermutations[11]: “The pattern of somatic mutations in rearranged variable (V) genes differs from the pattern of meiotic mutations, indicating that a different mechanism generates hypermutations than generates spontaneous mutation.” “… somatic hypermutations may be derived by different mutational processes than meiotic mutations.” “The evidence suggests a model of hypermutation in which the DNA sequence of the immunoglobulin region directs the rearranged variable gene to a point on the nuclear matrix where both transcription and hypermutation occur.” “B cells that are stimulated by antigen activate an error-prone hypermutation mechanism to introduce point substitutions throughout the V region.” “… it has been shown that areas containing transcription promoters and enhancers are required for [hyper]mutation …” It thus seems quite clear that informed opinion in this field supports my contention and rejects your suggestion that “an alternative possibility is that the high rate of accumulation of mutations simply reflects selective inhibition of normal proof-reading mechanisms”. This is your field of expertise, Ed. Please let me know if you agree or disagree.

  • Max: “The mechanism could perhaps involve ‘special’ enzymes that create mutations, but an alternative possibility is that the high rate of accumulation of mutations simply reflects selective inhibition of normal proof-reading mechanisms. But again, I fail to see why the source of the random mutations should influence the general validity of the conclusion that random mutations and selection can increase genomic information, or why you feel that these mutations cannot serve as a model for evolutionary adaptations.”

Spetner: It should be clear from what I have written above that the hypermutation in B cells cannot serve as a prototype for the random mutations required by NDT to account for evolution. There is no known mechanism for mutation in germ cells that is comparable to the hypermutation in B cells. The example of hypermutation cannot be used to support your contention that random mutations in germ cells can build up information in the genome to explain Evolution A.

  • Max: “… if we accept your argument against extrapolation from B cell adaptation to species adaptation, should we reject the extrapolation of any information learned from studying one organism to understand adaptations in a second organism, unless it is shown that both the rate and mechanism of mutation are the same in both organisms? In my view this would be like refusing to use the gravitational constant determined in laboratories on earth to analyze stellar physics. Such a reluctance to extrapolate would certainly prevent the use of modern organisms as a basis for understanding evolutionary events that occurred millions of years ago (which may be precisely your intent). I sometimes hear arguments like yours from creationists who are demanding rigorous ‘proof’ of evolution. These creationists do not seem to understand the distinction between mathematics, where a rigorous proof is expected, versus most experimental and observational science, where all we are seeking is the best theory that explains observed data. Of course, it is possible to extrapolate unreasonably, but I do not see that you have shown how evolutionary theory (or my essay) does this.”

Spetner: Your comparison is fallacious. Extrapolations made in astrophysics and cosmology may not be entirely valid, but at least they are reasonable based on everything we know. The extrapolation you propose from B-cell hypermutation to Neo-Darwinian evolution is unreasonable based on present knowledge, and it is therefore unjustified (as explained above). It is not Science. I have not asked for a mathematical-like proof for evolution. But for heaven’s sake, how about exercising some scientific discipline? Scenarios and just-so stories cannot substitute for proof. There is no proof of Evolution A that is of a standard that would be acceptable in any other scientific area. Max then summarized his arguments against my comments to his posting, which I reproduce below and to which I have appended my comments.

  • Max: “I have made these opposing points: (1) Using your own example of streptomycin resistance, I have pointed out that some mutations of the S12 ribosomal protein do not represent a ‘loss of information’ even by your own questionable criteria.”

Spetner: And I have shown above the errors of your argument. Your use of pejorative adjectives cannot make up for the weakness of your case.

  • Max: “(2) I have argued that your ‘information’ criteria (for deciding whether genes gain or lose information after specific mutations) are vague, non-quantitative, not supported by any logic, not accepted in the scientific literature and not demonstrably superior to other ways of judging the effects of mutation on genomic information.”

Spetner: Not only have I made it clear above that my criterion for gain/loss of information is quantitative, and supported by logic and the conventional understanding of these notions in information theory, I included that section in my first critique of your posting. You chose not to relate to it at all, and instead you made up the above criticism out of thin air.

  • Max: “(3) I have discussed why examples of adaptive mutations in non-duplicated genes might appear to show some loss of one type of function (if not loss of information) as they gain a new function under selection by a novel environmental stress, and thus exhibit a kind of ‘bias’ that might have mislead you into making your rather risky extrapolations about the role of random mutations in evolution. “(4) I have explained why an example of a gene duplication followed by differentiation of the two gene copies to enlarge genomic information might be hard to observe in the laboratory, contributing to the ‘bias’ mentioned above in the set of mutations that we do observe in the laboratory.”

Spetner: And I have shown above that what you call a possible bias in our observations of mutations stems from your lack of understanding of my arguments. You have shown no valid reason why there is any bias in the set of all mutations that have been observed in all the genetic laboratories in the world.

  • Max: “(5) I have provided an example of duplicated and differentiated immunoglobulin gamma genes that can plausibly be interpreted by the evolutionary triad of mechanisms (gene duplication, random mutation and natural selection) each of which has been demonstrated individually as natural mechanism in appropriate laboratory experiments; and I have challenged you to provide an alternative more plausible explanation for the origin of these four gamma genes.”

Spetner: And I have shown above that your laboratory experiments are not applicable to Evolution A. I have also pointed out that there is no obligation to provide a natural explanation of origins. There may not be one. But I encourage you to keep looking. But please remember that the solution to the problem of the origin of proteins, or the origin of life, may not be where you are looking.

  • Max: “(6) Finally, I have asked you to explain why hypermutation and selection of immunoglobulin genes in B cells should not serve as an instructive prototype demonstrating the potential of mutation and selection to improve function of proteins in evolution; specifically, I have asked why either the faster mutation rate in the B cell model or the unknown mechanisms of the mutations are relevant to the question of whether random mutation and natural selection can lead to increased fitness of proteins in evolution.”

Spetner: And I have explained all that above and showed you why the somatic hypermutations do not qualify as examples that could pertain to the germ-line mutations required for evolution. Summary I have shown here, with references to my book, that the examples most often cited by evolutionists as evidence for evolution occurring now are not evidence at all for the grand sweep of evolution, which I have called here Evolution A. For an example of evolution happening now to have any relevance to Evolution A, it must be based on a mutation that could be typical of those alleged to be in the long series of steps that lead from a bacterium to a baboon. The mutation must at least be one that when repeated again and again will build up enough information to turn a bacterium into a baboon. The favorite example cited for evolution is antibiotic resistance. I have shown that the mutations leading to antibiotic resistance do not add any information to the biocosm. In some cases, they actually lose information. I have shown an example of a mutation that can easily be misconstrued to demonstrate the addition of information to the genome. Upon the gathering of further data, this example turned out to be a demonstration of information loss and not gain. Conclusion jumping is always risky, because we seldom have enough data. Yet, the evolutionist community has persisted in making the shakiest of extrapolations. Max has tried to argue that his triad of gene duplication, random mutation, and natural selection, can add information to the collective genome of the biocosm. I have exposed his argument as being nothing more that offering possible scenarios—it is argument by just-so-stories. But the argument against NDT does not stop with the failure of its supporters to show proper theoretical or empirical evidence for it. The telling blow against NDT is that examples of information addition have never been exhibited. The absence of such examples is more than just the absence of evidence for evolution. It is actually evidence against evolution because if NDT were correct, there should be millions of such examples and in all the genetic experiments performed until now we should have seen many. Finally, the example of mutations in the B cells of the immune system carries no weight as an example of a mutation that adds information. Although these mutations do add information to the B-cell genome, they cannot be applied to evolution for the reasons I laid out above. Dr. Edward E. Max made a valiant attempt to present a case for evolution in his posting on the URL cited above. That he failed is not because of any defect in the author. Dr. Max is an intelligent, competent, and articulate scientist. He has a PhD and an MD, and for many years has done research and published on the genetics of the immune system, and he has made important contributions to our knowledge in this field. If he could not make a good case for evolution, there must be something woefully wrong with evolution. Dr. Lee M. Spetner ________________________________________ Endnotes [1] Wright, Sewall, (1932). “The roles of mutation, inbreeding, crossbreeding and selection in evolution,” Proceedings 6th Intnational Congress of Genetics, 1: 356-366. [RETURN TO TEXT] [2] biocosm is a word I have coined to denote the totality of life on our planet. [RETURN TO TEXT] [3] Burleigh, B. D., P. W. J. Rigby, & B. S. Hartley, (1974). “A comparison of wild-type and mutant ribitol dehydrogenase from Klebsiella aerogenes.” Biochem. J., 143: 341-352.. [RETURN TO TEXT] [4] Gödel, Kurt On Formally Undecidable Propositions of Principia Mathematica and Related Systems. (1962) Translated from the German by B. Meltzer and R. B.Braithwaite. London: Oliver & Boyd. [RETURN TO TEXT] [5] Darnell et al. (1986), Molecular Cell Biology, Scientific American Books, p. 1116. [RETURN TO TEXT] [6] Winter, D. B. & P. J. Gearhart (1998) Dual enigma of somatic hypermutation of immunoglobulin variable genes: targeting and mechanism. Immunological Reviews 162: 89-96. [RETURN TO TEXT] [7] For simplicity in explanation I am assuming here that the environment does not change. The same argument holds when the environment changes, with a slight alteration of the language. [RETURN TO TEXT] [8] Evolutionists often glibly argue that a recombination in the chromosomes can provide the large change to throw the genome off the small adaptive hill it is on and provide the opportunity for it to land on another adaptive hill. But it is highly improbable that it will land at a higher adaptive elevation. This argument abandons the Darwinian premise of small, and not unlikely, changes driving evolution. [RETURN TO TEXT] [9] Darnell, J., H. Lodish, & D. Baltimore (1986), Molecular Cell Biology, Scientific American Books, New York: Freeman. p. 1116. [RETURN TO TEXT] [10] Blanden, R. V., H. S. Rothenfluh, P. Zylstra, G. F. Weiller, & E. J. Steele, (1998). The signature of somatic hypermutation appears to be written into the germline IgV segment repertoire. Immunological Reviews 162: 117-132. [RETURN TO TEXT] [11] Winter, D. B. & P. J. Gearhart (1998). Dual enigma of somatic hypermutation of immunoglobulin variable genes: targeting and mechanism. Immunological Reviews 162: 89-96. [RETURN TO TEXT]


Filed under: Thoughts to Ponder About, Topical Essays Tagged: Evolution

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The Subversion of Reason by Dr. Omar

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Photo on 9-10-15 at 11.45 amAbstract— In light of recent neurological and related scientific research, this paper suggests that political evil is the socially engineered consequence of nominally reputable institutions that school its manufacture on a continuum The author attempts to synthesize a précis of sufficiently well refereed inter-disciplinary knowledge to scientifically account for the extraordinary post 9/11 evolution of micro- to macro-political control of global human resolve. The principles posited remained enigmatic until recently but echo those of ancient mystery religions. References to Kant, Vygotsky and other polymaths aid this effort to adequately describe a developing typology that decrypts the profound riddle of human cognition and thought that impedes corrective educational strategies.

Keywords-     allegory, cognitive dissonance, cults, hermaneutics, infrasensibility, political evil, neuroplasticity, neuropolitics, propaganda, psychological warfare, recursive suggestion, semiotics, sensus communis, subliminal.

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The Subversion of Reason

management@ssrn.com    17 Oct 2015

Dear Omar Zaid:

Your paper, “THE SUBVERSION OF REASON”, was recently listed on SSRN’s Top Ten download list for: AARN: Cognitive Anthropology (Topic), AARN: Emerging Areas of Theory (Sub-Topic), AARN: Other Political Anthropology (Topic), AARN: Theory (Topic), CSN: Politics (Topic), PRN: Philosophy of Psychology & Cognitive Science (Topic), PSN: Other Political Theory: Political Philosophy (Topic) and Philosophy of Mind eJournal.

Sincerely,

Michael C. Jensen
Chairman
Social Science Research Network


Filed under: Education, Essays to the Contrary, Freemasonry, Human Develpment, Non-Human Development, Topical Essays Tagged: 9/11, allegory, Cognitive Dissonance, Cults, Freemasonry, hermaneutics, infrasensibility, neuroplasticity, Neuropolitics, political evil, Propaganda, psychological war, recursive suggestion, Semiotics, sensus communis, subliminal.

The Lies of Elijah and Farrakhan: An American form of Idolatry and Blasphemy

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Written by Abu Salman Deya ud-Deen Eberle

( أبو ســـلمان ضياء الدين ابرلي )

The Liars Ahmad Qadiyani, Elijah Muhammad, and Louis Farrakhan

Friday, Dhul-Qa’idah 14, 1431|October 22, 2010

The name Ghulam Ahmad Al-Qadiyani is usually not mentioned except along with the epitaph “the Liar” and “the False Prophet.”  This is to the great credit of the many Indo- Pakistanis who worked diligently for decades to expose the great lie of Ghulam Ahmad, the liar who claimed that he was a prophet who received revelation from Allah, and who maintained this great lie until his dishonorable death.  Anyone who believes that Ghulam Ahmad is a prophet invalidates the second part of the testimony of faith in Islam: “There is no god except Allah, and Muhammad is the Messenger of God.”  It is to the credit of the Supreme Court of Pakistan that they realized this grave threat to Islam and they formally declared the avowed followers of Ghulam Ahmad to be apostates from Islam for this reason, and that the stamp “Non-Muslim” should be placed on their papers to identify them as Non Muslims and avoid confusion among any vulnerable Muslim who do not know the details of this Qadiyani Movement.

We American Muslim have not lived up to the challenge about two great American liars: specifically, Elijah Muhammad, and Louis Farrakhan. This is to our great shame and discredit, and it perpetuates a danger that appears to be growing even stronger.   These two great liars, especially the latter, have received the spotlight in the media and have done irreparable damage to the image of true Islam in America by their grand deceptions and shenanigans.

Elijah Muhammad’s beliefs are know and documented , and the details are in his books “Message to the Blackman” and “The Fall Of America” and his speeches and other writings.  His declared beliefs include, among others, that:

1.     The “Hereafter” is in the here and now, not in a life after death and resurrection.  All great events happen here, and there is no real Paradise and Hellfire.

2.     All black men are angels, and all white men are devils. Blacks were originally “moon people,” and that a (UFO) “mother wheel” piloted by 13 youths perpetually orbited the earth, waiting to unleash global destruction on all whites, while rescuing all blacks.

3.     He, Elijah Muhammad, was the “Messenger of Allah” sent to teach and guide all black men and women and to save them.

4.      “Allah” was a man named ‘Master’ Fard Muhammad, (the father of Fard was named Alfonso and his Jewish mother’s name was Baby Gee) who appeared in human form on the streets of Detroit, Michigan in July of 1930. According to Elijah Muhammad’s “Doctor Yacub History” about (UFO) starships from space etc, full of angels, one of these angels (remember that all black men are angels), was named “Allah.”

5.     And so on and on.

May Allah be Exalted High above the falsehood and blasphemy!

What laughable foolishness, but as it is said: the worst calamity is what makes you laugh.

Anyone who believes that a man called Fard Muhammad is Allah (God), and that Elijah Muhammad is a prophet, invalidates BOTH parts of the testimony of faith in Islam: “There is no god except Allah, and Muhammad is the Messenger of God.”  This is far worse than the Qadiyani issue above.

Any Muslim who doesn’t not understand why these false claims invalidate the testimony of Islam, does not begin to understand that testimony of faith in Islam, and therefore his claim to be a Muslim is invalidated by the clear and definitive ignorance of the first and core principle of Islam: Tauheed; Shahadah.

“Nation of Islam” leader, Louis Farrakhan, up to this day, teaches the same doctrines as Elijah Muhammad his hero, mentor, prophet, and messenger, and we can briefly present some irrefutable evidenced:

1.     Pages 45-52 of Farrakhan’s study guide on his official website, confirms the Elijah Muhammad teachings about ‘Yacub’s History’ and his man/angel named “Allah” and his “messenger” Elijah Muhammad, etc.

[see: http://www.noi.org/study/ ]

2.      On the official “Nation of Islam” website of Louis Farrakhan, the ‘Muslim Program’  page  concerning “What The Muslims Believe,” reads in point No. 12: “We believe that Allah (God) appeared n the person of Master Fard Muhammad July 1930: the long awaited “Messiah” of the Christians and the “Mahdi” of the Muslims.” [See http://www.noi.org/muslim_program.htm ]

3.     At the time of the 1995 Million Man March, Farrakhan alleged he had a “vision of being swept into a UFO that took him to a larger mothership.” While in the UFO he claimed to have spoken to the late Elijah Muhammad before being beamed back to earth. [The Washington Post, Sept. 18, 1995, p. D3].

4.     On nationally televised “Meet the Press” Tim Russert questioned Farrakhan about Yacub’s History and the UFO concept, to which Farrkhan replied: “I subscribe to every word the Honorable Elijah Muhammad taught us.” [April 13, 1997].

5.     Even in his CAAM address in 2010 against “bigotry and Islamophobia”  there is nothing that goes against his basic beliefs according to Elijah Muhammad and  Fard Muhammad.

6.     Note that NOI still advertises the Qadiani Quranic translation, exegesis (commentary) and beliefs on their NOI website, since it has a natural affiliation with NOI doctrines.

Is this the image of Islam you want presented to the world and among Americans!

We seek refuge in Allah from such terrible blasphemy!

Sister Amatullah Evans, may Allah reward her, in a letter to Muslim Link [October 8, 2010 (I could not find it in the online version)], pointed out some of these travesties, put we wanted to emphasize the great danger we face, and that out continued effort to expose the great lies of Liars is needed.

This is a core and “existential” danger about Islam in America:  many Muslims are ignorant about the lies of these liars, and about the danger of these lies to their Testimony to Faith in Islam.

An even a greater danger is that the leaders of the Coalition of African-American Muslims (CAAM), including -among others,Zaid Shakir, Mahdi Bray, Abdul Malik, and Siraj Wahhaj – who certainly are not ignorant about the lies of Elijah Muhammad and Louis Farrakhan, shared the spotlight with Louis Farrakhan of the Nation of Islam to make a joint statement about some current political concern of bigotry and Islamaphobia.

Many gullible Muslims may think that Farrakhan is a legitimate leader by association with these respected leaders of CAAM. This is a terrible shame, and this discredits all us Muslims in America.  Now we must work diligently not only to expose the great Liars, but also to expose the great collaborators.

If these ‘leaders’ are ignorant about Elijah Muhammad and Farrakhan, we would have a big problem. But they are not! Because they are not ignorant, then we have an even more dangerous problem which is an existential threat to the practice of our religion of Islam here in America.

Farrakhan has used this CAAM initiative to propagate his own legitimacy as an important ‘Muslim” leader as seen on another of his official websites, http://www.finalcall.com.  What Islam is he the leader of?  Is this the Islam you want to be published and propagated?]


Filed under: ISLAM, Topical Essays Tagged: Blasphemy, Coalition of African-American Muslims, Elijah Mohammad, Louis Farrakhan, Mothership, Nation of Islam, NOI, Qadiani Quran, UFO

Globalism and the push for mandatory universal vaccination

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By Jon Rappoport

“Once you really understand the truth behind the lies in a given arena, then you can finally back up far enough and see the actual reasons for the lies. You can see the secret program the lies are protecting. You can see why the program is being pushed. You can see what most people would rather not see.” (The Underground, Jon Rappoport)

In many previous articles, I have established a number of facts about vaccines.

They are not safe. They are not effective. They were not responsible for the major decline in so-called contagious diseases.

In most if not all cases, the diseases they are supposed to prevent affect only a tiny fraction of the people claimed to be at risk.

In some instances, (e.g., seasonal flu, Swine Flu, SARS), the “outbreaks” have virtually nothing to do with the viruses touted as the cause of illness. Therefore, even if vaccines were safe and effective, they would have no relevant effect, because they are targeting viruses which are not causing illness.

The rabid claim that unvaccinated children pose a threat to vaccinated children is, on its face, a lunatic self-contradiction, since those who are vaccinated are supposed to be protected.

Having established these points, it’s possible to assess the real reasons for the push to vaccinate every human on the face of the Earth.

Among these reasons, you will recognize the controlling hand of elite Globalists, for whom planetary empire is the goal.

One: The most underrated reason for mandated vaccination is: compliance. Secure compliance from citizens. Put them into a medical channel from birth (even before birth). Induce them to obey orders. Produce a deep blind loyalty: march straight ahead, eyes closed, mouths shut, from cradle to grave.

Two: Because vaccines and medical drugs are grossly toxic, the obedience becomes debilitation, illness, confusion. Death. Populations are unable to think about, much less resist, multiple vectors of tyranny.

Three: In the “developing world,” where mega-corporations, in line with the Globalist blueprint, plunder cheap labor, mineral resources, and land, use vaccination as a “solution,” when in fact it is a solution that does not work, causes greater destruction—and functions as a cover story to obscure what is really maiming and killing populations: enforced poverty, provoked war, chronically contaminated water supplies, lack of basic sanitation, stolen land, severe generation to generation malnutrition and starvation, overcrowding, industrial pollution.

These horrendous conditions go unsolved (on purpose), in order to keep populations unable to resist mega-corporate takeovers, while vaccination is touted as a wonderfully humane gift to the people.

Four: The claim of preventing disease before it occurs is one of the strongest propaganda efforts of the global medical cartel. It is used to pump up and justify all other medical druggings and procedures and diagnoses. It is “a banner of pride” flying on the medical flagship.

Five: Vaccination, through its toxic effects, is an attack on what would otherwise be a much healthier early childhood in many countries around the world. In short, if wellness and health staged a strong universal comeback, it would expose the lie that “everyone needs doctors all the time.” That egregious and repulsive lie is one of the cornerstones of modern medicine.

Six: Based on the first five reasons, how confident and trusting would you be, when this medical establishment has gained direct access (by needle) to every individual bloodstream in the world? How confident are you that no one would dare enter secret substances in vaccines? The most obvious of these, documented in the Philippines and Kenya, is a hormone (HCG) that causes miscarriages in women who later become pregnant. The altered vaccines are instruments of birth-prevention and population control. The World Health Organization and the Rockefeller Foundation—Globalism personified—have been researching these vaccines for decades.

Seven: The massive propaganda hailing the miraculous benefits of vaccination obscures very unpleasant truths about the crimes of the medical cartel. For example, see the Journal of the American Medical Association, July 26, 2000, Dr. Barbara Starfield, “Is US health really the best in the world?” Starfield concludes that, every year in the US, the medical establishment kills 225,000 Americans. That’s 2.25 million killings per decade. The strategy is simple: hog and clog the media with positive fairy tales about the medical cartel. Cover up the wholesale destruction.

Eight: The money. Medical care and treatment is a multi-trillion-dollar business, globally.

Nine: Maintaining the all-important fiction that “disease is inevitably caused by germs and nothing else,” the vaccine establishment can trumpet its fairy tale as the triumph of medical science in the war against germs. In doing so, it can, for example, divert attention from the toxic illness-effects of industrial pollution. Needless to say, this diversion is a major goal of polluting mega-corporations who forward the goals of Globalism.

It would be foolish, of course, to suggest that many doctors or medical bureaucrats are aware of all these nine reasons. Most medical personnel are brainwashed, through education, into believing what they support is real and true.

The hallmark of any long-term organized conspiracy is compartmentalization. Each player is only aware of his small part.

Rising through the ranks, players see a bit more of the actual picture, but they continue to believe they are doing the right thing.

And there is always the threat of loss of status, money, job, future career (and even life and limb) to offset the desire to blow the whistle.

At upper levels, players understand still more of whole picture. Few of them, however, are willing to grasp the intentionality of what is being visited on populations.

The top controllers are the contented psychopaths. They, too, believe they’re doing the right thing—but their definition of “right” and “good” is unique. It involves widespread destruction.

Understanding all these points should convince those who resist vaccination that playing defense, hoping for acknowledgment, and pleading for understanding are not enough. Going on the offense with great energy is required.


Filed under: Alarming Reports, Bad Medicine, Topical Essays Tagged: dangerous toxicity, Fraud, Vaccine

Reinvigorating Rural Malaysia – New Paradigms Needed

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By  Murray Hunter

http://www.orbus.be/info/important_news_june_extra_005_2013.htm

 

Kudos Mr. Hunter … spot on  . . .

As urban Malaysia has grown and prospered, the rural hinterlands have generally declined. Back in the 1980s approximately 70% of Malaysia’s land was considered rural, where today 72% of Malaysia is urbanized with a growth rate of 2.4%. With this, the rural-urban divide within Malaysia has been growing, where substantially very little is being done to directly alleviate the problem.

Rural sector development has not been debated very much over the last few decades, even though the primary sector still represents almost 12% of GDP and employs more than 11% of the population. There are many rural issues that affect the future of Malaysia in much greater magnitude than the rural contribution to GDP and employment. The sustainability of Malaysia as an eco(n)-system, the country’s cultural basis, and even political destiny is tied up with rural evolution. But the current “health” of rural Malaysia leaves a lot to be desired.

Forest cover in Malaysia is decreasing on a daily basis. Conservation has lost out to greed and development. Palm oil, rubber plantations, and urban expansion are eating into the forests, with very poor land enforcement on the ground. Well connected businesses are able to get concessions that are extremely financially lucrative, at great environmental cost. Roads and new townships have divided rural habitats, playing havoc with biodiversity.  These man-made barriers hold flood waters inland during the monsoons, preventing dispersion of water to the sea, causing flooding. Many animal species are in danger of extinction through poaching in the quest to supply the lucrative Chinese medicinal market.

Author: Murray Hunter
Murray Hunter

Murray Hunter has been involved in Asia-Pacific business for the last 30 years as an entrepreneur, consultant, academic, and researcher. As an entrepreneur he was involved in numerous start-ups, developing a lot of patented technology, where one of his enterprises was listed in 1992 as the 5th fastest going company on the BRW/Price Waterhouse Fast100 list in Australia.

Murray is now an associate professor at the University Malaysia Perlis, spending a lot of time consulting to Asian governments on community development and village biotechnology, both at the strategic level and “on the ground”. He is also a visiting professor at a number of universities and regular speaker at conferences and workshops in the region.

Murray is the author of a number of books, numerous research and conceptual papers in referred journals, and commentator on the issues of entrepreneurship, development, and politics in a number of magazines and online news sites around the world. Murray takes a trans-disciplinary view of issues and events, trying to relate this to the enrichment and empowerment of people in the region.

Increasing population and new townships are putting pressure on rivers and waterways through increased domestic sewage, the dumping of garbage, and processing waste from livestock and other agro-based industries. Quarrying has silted many rivers. Soil erosion is depleting soil fertility quicker than it can be regenerated. Burning off around the region is producing thick unhealthy smog, which is affecting the whole country.

Yet with all this development there are still distinct infrastructure deficits in Malaysia. Most of the rural areas within Sabah and Sarawak are remote, where transport is costly. Some regions in Terengganu and Kelantan are still relatively isolated with very few perceived economic opportunities, as is with Perlis and parts of Kedah. The cost of goods in these areas are more expensive than the major cities. Sabah and Sarawak are legally deprived of the ability to ship goods by sea directly to other countries, as they must be trans-shipped through the Peninsula, thus handicapping the development of new export industries.

Even with rising urban populations within Malaysia, food production is not keeping pace with this growth. Malaysia is a net importer of food and animal feed, and the relatively high prices industrial crops like oil palm verses food crops deters food crop expansion. As Jared Diamond professed in his seminal book Collapse, a country which fails to provide for self sufficiency in food production and animal feed is destined to doom just like the Mayan civilization of a long gone era.

There is a general lack of research and development in new crops and the effects of climate change on existing crops. Crop research is undertaken on a national rather than regional level, where there is little support for developing new industries in specific areas. Currently most agricultural research is undertaken centrally by the Malaysian Agricultural Research and Development Institute (MARDI), which follows a national research agenda formulated by policy rather than market considerations.

High urban wages have created a labor shortage in rural areas, and the rising cost of petroleum inputs is increasing the cost of production making food production uncompetitive.

Rural development has been undertaken with little appreciation of ecosystems within the concept of sustainability. The current method of identifying development projects at a district or state level within the bureaucracy and then Federally funding it is skewed towards meeting personal interests of vested parties. Real community consultation is not sort, where new projects generally lack any sense of community ownership and pride, often becoming ‘white elephants’ and abandoned. Many of the drivers of economic growth have been public sector orientated and consequently unsustainable projects, in most cases at the expense of the environment.

Rural Malaysians have been introduced to debt through loans and credit cards as a means to acquire goods and services to increase their standard of living, creating a debt trap. This burden is partly to blame for the lack of micro-SME development, due to the inability to pursue opportunities because of the lack of capital.

Sabah's jobless grads to get land to farmThis is the biggest crisis, the crisis of opportunity. The incidence of entrepreneurial opportunity  in rural areas is low, particularly for the youth, who are migrating to the cities.

Consumer desire has replaced cultural continuity, where much of rural society’s traditions and knowledge are being lost. Locally grown food is being replaced with processed food, fruits and vegetables are full of pesticides, family built houses are being replaced with mortgages, fast food has replaced ulam (native herbs), where bank loans have replaced self reliance.

The development of rich local farming and craft skills are not being renewed and developed through the existing  education system so these can be utilized and exploited for creating a sustainable living in the community.  This is dispossessing communities of their cultural wealth.

To remedy this requires a complete paradigm shift in development philosophy, moving the focus away from infrastructure towards enhancing the elements of local economies at a micro-level. This is potentially very difficult as Malaysian technocrats in Putrajaya are governed by the narrative of technology ‘thrusts’ and setting tangible ‘KPIs’ in development planning.

As a commentator it is easy to criticize, especially when a writer provides no meaningful solutions. So the rest of this article will focus on providing one paradigm as a solution (no doubt other paradigms exist) to Malaysia’s rural development quandary.

The precise needs of rural societies is best obtained from inside those communities. A ‘bottom up’ problem identification process will ensure development objectives and implementation scenarios will remain relevant to those targeted communities. Community shura (consultation) committees can be set up at village level to identify and discuss needs, problems, and desired solutions, and advise village heads.  Such a democratic approach to community will provide policy makers with the guidance they need in setting objectives and programs, and assist in minimizing funding leakages during implementation.  This measure alone would signal a very strong redistribution of policy decision making to the communities themselves, thus empowering communities to have more say in deciding their own future destinies. The shura system should develop new leaders and ‘champions’ who are willing to lead and help shape a new community sense of wisdom. Policies will never succeed without people to drive them.

Self sufficiency and a vibrant local trade economy is the key to future rural communities. However, rural SMEs  should be facilitated to enter national and international markets. There are now many compliance procedures such as Good Agricultural Practice (GAP), necessary for agricultural produce to enter international supply chains. These practices need to be introduced within rural communities so products produced are accepted in international markets. These compliance processes can be locally enhanced to include Halal certification, thus widening the compliance process to one inclusive certification, which for want of a better name could be called HalalGAP. A HalalGAP certification could greatly enhance the desirability of Malaysian produce, especially within the exponentially growing Halal markets worldwide.

Whole sectors like rice paddy production need to be reconfigured from the ‘bottom up’ so they can become competitive. The paddy production process in Malaysia requires the hands of a number of contractors during the field preparation, planting, cultivation, harvesting, and processing stages. Paddy production is an uncompetitive sector. Proposed solutions from the Northern Corridor Economic Region Authority (NCER) to develop mini-rice paddy estates with land leased from smallholders and employing these same smallholders as laborers is culturally unsound and almost certain to fail.

New methods like System of Rice Intensification (SRI) could be adopted, and more popular aromatic varieties of rice cultivated to increase industry viability. The rice monopoly held by BERNAS could be ended to allow new approaches to rice products and marketing by entrepreneurial individuals. Such an approach could drastically decrease production costs and add value to rice products in the marketplace, redistributing this added value back to farmers.

University and institutional research should change focus towards communities rather than using scare research funds to chase medals at exhibitions that have no research or commercial significance in places like Geneva and Seoul. The technology developed by Malaysian institutions should be simple, applicable to community enterprise, and appropriate to the size of the enterprises operating in rural areas. This appropriate technology, if effective and viable is itself a source of competitive advantage that will enable rural enterprises to compete in the marketplace.

This is a major challenge to Malaysian researchers to come out from their academic institutions and into the community with solutions that can enrich society. If state awards with titles were recommended for those who developed technology benefiting the community, one would be sure there would be great focus and resources allocated towards solving rural problems by academic researchers.

Locally relevant new crops research programs should be undertaken to identify locally viable new crops, which are developed as close as possible to the communities it is intended to benefit, with the community’s input and cooperation through Participatory Action Research (PAR), rather than centralizing research under a national agenda. New crops research should adopt an ‘farm to folk’ research and development approach, including the development of knowhow for processing new downstream products.

This requires support through developing new supply/value chains that will carry new micro-enterprises to new markets, with new products. The Federal Agricultural Marketing Authority (FAMA) has a superb distribution infrastructure that can be utilized to do this. Primary and processed food products can be supplemented with handicrafts, traditional Malay wedding items, batik, leather goods, pewter, and Malay fashion products to develop a national range of indigenous products that can be marketed through franchised retail outlets. These products could be the result of a host of new rural activities that are developed at micro-SME level.  If Fairtrade shops in Europe and OTOP shops in Thailand are any indication of the viability of this proposition, these shops will be extremely profitable.

The nature of entrepreneurship education also needs reconsideration. Currently universities are playing a primary role in training entrepreneurs, but current courses tend to be academically full of theory, teaching more about entrepreneurship, rather than how people can become entrepreneurs. Entrepreneurship is more about creativity, than intelligence. Yet universities focus on measuring intelligence  through assignment and exam, rather than project formats. Entrepreneurship education should be technically based and taught with a ‘hands on’ approach, rather than the stiff classroom theory approach.  Entrepreneurship education needs to be refocused towards vocational and community education mediums to reach those in rural communities who need assistance through this form of education.

An entrepreneurial community requires finance which the established banks are hesitant to provide, even with the Government sponsored credit guarantee program under the Credit Guarantee Corporation (CGC). Rural community savings cooperatives can be developed as savings and micro-lending institutions, owned by the community, run for the community, by the community itself. These savings cooperatives can operate according to Islamic finance procedures where venture risk is shared by both the entrepreneur and institution, and as supplementary activities, run special education, Haj and Umrah funds for community members.

These measures would create a new community enrichment rather than a ‘KPI’ orientated development paradigm. All of these measures individually exist and operate successfully in other member ASEAN states today.

New crop research is very much needed to ensure communities are able to successfully adapt to a changing environment  due to climate change. Over the next few years, some crops may provide better yields, while others will drastically decline in their productive capabilities. In addition food production for increasing urban populations and restoring water quality will become very critical issues. There must be a renewed interest in sustainability on the part of both policy makers and communities, as Malaysia’s sustainability is tied up with rural evolution. New forms of community education are needed outside of the traditional education system to deliver community needed skills. The failure to achieve this will result in continued population depletion as the youth abandon rural areas for the cities.

For over five years there has been talk about the need of change. This has usually been expressed in political terms at the cost of looking at the cultural, economic, and spiritual development. Current development paradigms have eroded traditional Malaysian society values to the point where it is just a national memory and a long gone narrative. This old narratives once housed Malaysia’s sense of unity in being collectively proud as a nation, where the rituals of ‘balik kampong’ (returning home) during festivals, smelling the scent of durian during season, rendang during festivals, fishing in the longkang (irrigation drains), and flying kites over paddy fields. These activities once signified what was most valued by communities.

Here lies the opportunity to enrich rural society along the vibrant cultural traditions that the country once thrived upon; building self sufficient and sustaining communities. These communities will be much better immune to economic downturns. Communities based upon indigenous knowledge and skills will develop much greater cultural pride which has become exhausted through Malaysia’s occidental industrial growth paradigm.

This is the fundamental issue at stake for Malaysians to decide whether the same country will spiritually exist in the future, or be gone and replaced with something else. The rural communities are the last custodians of Malaysia’s culture and this is where efforts must be made to preserve the spirit of Malaysia, if it is to survive.

The role of government linked corporations (GLCs) in Malaysia’s corridor development projects has not necessarily taken into account the best interests of the communities they have sort to ‘develop’. The ‘collateral damage’ of this ‘development’ may be too much to bare. If rural development serves vested interests, it will surely be piece meal, unbalanced and ultimately destructive. Future development must enrich rather than destroy culture with blind materialism produced through current paradigms. This requires a rethink on rural development in Malaysia before what once mattered to Malaysians is destroyed forever.

 


Filed under: ISLAM, news, Topical Essays Tagged: Bernas, Consumerism, Development, Education, Entrepreneurship, Evironmental Concerns, GLCs, Greed, Halal certification, lack of research and development, Malaysia, monopoly, paddy production, Putrajaya, rural development, Rural Sector, shura, technocrats

ATATURK CONFESSED TO BEING JEWISH

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Thank you Barry Lanza for sharing this article

  • from Zack_ashi  to Barry  then to me /  Jul 27, 2008

    By HILLEL HALKIN | July 24, 2007
    http://www.nysun.com/opinion/ataturks-turkey-overturned/58997/

    Some 12 or 13 years ago, when I was reporting from Israel for the New
    York weekly, the Forward, I wrote a piece on Kemal Ataturk, the
    founder of modern secular Turkey, that I submitted to the newspaper
    with some trepidation.

    In it, I presented evidence for the likelihood of Ataturk’s having had
    a Jewish — or more precisely, a Doenmeh — father.

    The Doenmeh were a heretical Jewish sect formed, after the conversion
    to Islam in the 17th century of the Turkish-Jewish messianic pretender
    Sabbetai Zevi, by those of his followers who continued to believe in him.

    Conducting themselves outwardly as Muslims in imitation of him, they
    lived secretly as Jews and continued to exist as a distinct, if
    shadowy, group well into the 20th century.

    In the many biographies of Ataturk there were three or four different
    versions of his father’s background, and although none identified him
    as a Jew, their very multiplicity suggested that he had been covering
    up his family origins.

    This evidence, though limited, was intriguing. Its strongest item was
    a chapter in a long-forgotten autobiography of the Hebrew journalist,
    Itamar Ben-Avi, who described in his book a chance meeting on a rainy
    night in the late winter of 1911 in the bar of a Jerusalem hotel with
    a young Turkish captain.

    Tipsy from too much arak, the captain confided to Ben-Avi that he was
    Jewish and recited the opening Hebrew words of the Shema Yisra’el or
    “Hear O Israel” prayer, which almost any Jew or Doenmeh — but no
    Turkish Muslim — would have known. Ten years later, Ben-Avi wrote, he
    opened a newspaper, saw a headline about a military coup in Turkey,
    and in a photograph recognized the leader that the young officer he
    had met the other night.

    At the time, Islamic political opposition to Ataturk-style secularism
    was gaining strength in Turkey. What would happen, I wondered, when a
    Jewish newspaper in New York broke the news that the revered founder
    of modern Turkey was half-Jewish? I pictured riots, statues of Ataturk
    toppling to the ground, the secular state he had created tottering
    with them.

    I could have spared myself the anxiety. The piece was run in the
    Forward, there was hardly any reaction to it anywhere, and life in
    Turkey went on as before. As far as I knew, not a single Turk even
    read what I wrote. And then, a few months ago, I received an e-mail
    from someone who had. I won’t mention his name. He lives in a European
    country, is well-educated, works in the financial industry, is a
    staunchly secular Kemalist, and was writing to tell me that he had
    come across my article in the Forward and had decided to do some
    historical research in regard to it.

    One thing he discovered, he wrote, was that Ataturk indeed traveled in
    the late winter of 1911 to Egypt from Damascus on his way to join the
    Turkish forces fighting an Italian army in Libya, a route that would
    have taken him through Jerusalem just when Ben-Avi claimed to have met
    him there.

    Moreover, in 1911 he was indeed a captain, and his fondness of
    alcohol, which Ben-Avi could not have known about when he wrote his
    autobiography, is well-documented.

    And here’s something else that was turned up by my Turkish e-mail
    correspondent: Ataturk, who was born and raised in Thessaloniki, a
    heavily Jewish city in his day that had a large Doenmeh population,
    attended a grade school, known as the “Semsi Effendi School,” that was
    run by a religious leader of the Doenmeh community named Simon Zvi.
    The email concluded with the sentence: “I now know — know (and I
    haven’t a shred of doubt) — that Ataturk’s father’s family was indeed
    of Jewish stock.”

    I haven’t a shred of doubt either. I just have, this time, less
    trepidation, not only because I no longer suffer from delusions of
    grandeur regarding the possible effects of my columns, but because
    there’s no need to fear toppling the secular establishment of Kemalist
    Turkey.

    It toppled for good in the Turkish elections two days ago when the
    Islamic Justice and Development Party was returned to power with so
    overwhelming a victory over its rivals that it seems safe to say that
    secular Turkey, at least as Ataturk envisioned it, is a thing of the past.

    Actually, Ataturk’s Jewishness, which he systematically sought to
    conceal, explains a great deal about him, above all, his fierce
    hostility toward Islam, the religion in which nearly every Turk of his
    day had been raised, and his iron-willed determination to create a
    strictly secular Turkish nationalism from which the Islamic component
    would be banished.

    Who but a member of a religious minority would want so badly to
    eliminate religion from the identity of a Muslim majority that, after
    the genocide of Turkey’s Christian Armenians in World War I and the
    expulsion of nearly all of its Christian Greeks in the early 1920s,
    was 99% of Turkey’s population? The same motivation caused the banner
    of secular Arab nationalism to be first raised in the Arab world by
    Christian intellectuals.

    Ataturk seems never to have been ashamed of his Jewish background. He
    hid it because it would have been political suicide not to, and the
    secular Turkish state that was his legacy hid it too, and with it, his
    personal diary, which was never published and has for all intents and
    purposes been kept a state secret all these years. There’s no need to
    hide it any longer. The Islamic counterrevolution has won the day in
    Turkey even without its exposure.

    Mr. Halkin is a contributing editor of The New York Sun.

    ********************************************************************************************************

    FORWARD MAGAZINE- ATATURK CONFESSED TO BEING JEWISH

    FROM FORWARD ARCHIVES 1994

    FORWARD MAGAZINE- ATATURK CONFESSED TO BEING JEWISH

    FROM FORWARD ARCHIVES 1994

    There were two questions I wanted to ask, I said over the phone to
    Batya Keinan, spokeswoman for Israeli president Ezer Weizman, who was
    about to leave the next day, Monday, Jan. 24, on the first visit ever
    made to Turkey by a Jewish chief of state. One was whether Mr. Weizman
    would be taking part in an official ceremony commemorating Kemal Ataturk.

    Ms. Kenan checked the president’s itinerary, according to which he and
    his wife would lay a wreath on Ataturk’s tomb.

    Excited and Distressed

    I thanked her and hung up. A few minutes later it occurred to me to
    call back and ask whether President Weizman intended to make any
    reference while in Turkey to Ataturk’s Jewish antecedents. “I’m so
    glad you called again,” said Ms. Kenan, who now sounded excited and a
    bit distressed. “Exactly where did you get your information from?”

    Why was she asking, I countered, if the president’s office had it too?

    Because it did not, she confessed. She had only assumed that it must
    because I had sounded so matter-of-fact myself. “After you hung up,”
    she said, “I mentioned what you told me and nobody here knows anything
    about it. Could you please fax us what you know?”

    I faxed her a short version of it. Here is a longer one.

    Stories about the Jewishness of Ataturk, whose statue stands in the
    main square of every town and city in Turkey, already circulated in
    his lifetime but were denied by him and his family and never taken
    seriously by biographers. Of six biographies of him that I consulted
    this week, none even mentions such a speculation. The only scholarly
    reference to it in print that I could find was in the entry on Ataturk
    in the Israeli Entsiklopedya ha-Ivrit, which begins:

    “Mustafa Kemal Ataturk – (1881-1938), Turkish general and statesman
    and founder of the modern Turkish state.

    “Mustafa Kemal was born to the family of a minor customs clerk in
    Salonika and lost his father when he was young. There is no proof of
    the belief, widespread among both Jews and Muslims in Turkey, that his
    family came from the Doenme. As a boy he rebelled against his mother’s
    desire to give him a traditional religious education, and at the age
    of 12 he was sent at his demand to study in a military academy.”

    Secular Father

    The Doenme were an underground sect of Sabbetaians, Turkish Jews who
    took Muslim names and outwardly behaved like Muslims but secretly
    believed in Sabbetai Zevi, the 17th-century false messiah, and
    conducted carefully guarded prayers and rituals in his name. The
    encyclopedia’s version of Ataturk’s education, however, is somewhat at
    variance with his own. Here is his account of it as quoted by his
    biographers:

    “My father was a man of liberal views, rather hostile to religion, and
    a partisan of Western ideas. He would have preferred to see me go to a
    lay school, which did not found its teaching on the Koran but on
    modern science.

    “In this battle of consciences, my father managed to gain the victory
    after a small maneuver; he pretended to give in to my mother’s wishes,
    and arranged that I should enter the (Islamic) school of Fatma Molla
    Kadin with the traditional ceremony. …

    “Six months later, more or less, my father quietly withdrew me from
    the school and took me to that of old Shemsi Effendi who directed a
    free preparatory school according to European methods. My mother made
    no objection, since her desires had been complied with and her
    conventions respected. It was the ceremony above all which had
    satisfied her.”

    Who was Mustafa Kemal’s father, who behaved here in typical Doenme
    fashion, outwardly observing Muslim ceremonies while inwardly scoffing
    at them? Ataturk’s mother Zubeyde came from the mountains west of
    Salonika, close to the current Albanian frontier; of the origins of
    his father, Ali Riza, little is known. Different writers have given
    them as Albanian, Anatolian and Salonikan, and Lord Kinross’
    compendious 1964 “Ataturk” calls Ali Riza a “shadowy personality” and
    adds cryptically regarding Ataturk’s reluctance to disclose more about
    his family background: “To the child of so mixed an environment it
    would seldom occur, wherever his racial loyalties lay, to inquire too
    exactly into his personal origins beyond that of his parentage.”

    Learning Hebrew

    Did Kinross suspect more than he was admitting? I would never have
    asked had I not recently come across a remarkable chapter while
    browsing in the out-of-print Hebrew autobiography of Itamar Ben-Avi,
    son of Eliezer Ben-Yehuda, the leading promoter of the revival of
    spoken Hebrew in late 19th-century Palestine. Ben-Avi, the first child
    to be raised in Hebrew since ancient times and later a Hebrew
    journalist and newspaper publisher, writes in this book of walking
    into the Kamenitz Hotel in Jerusalem one autumn night in 1911 and
    being asked by its proprietor:
    ” `Do you see that Turkish officer sitting there in the corner, the
    one with the bottle of arrack?’ ”
    ” `Yes.’ ”
    ” `He’s one of the most important officers in the Turkish army.’ ”
    ” `What’s his name?’ ”
    ” `Mustafa Kemal.’ ”
    ” `I’d like to meet him,’ I said, because the minute I looked at him I
    was startled by his piercing green eyes.”

    Ben-Avi describes two meetings with Mustafa Kemal, who had not yet
    taken the name of Ataturk, `Father of the Turks.’ Both were conducted
    in French, were largely devoted to Ottoman politics, and were doused
    with large amounts of arrack. In the first of these, Kemal confided:

    “I’m a descendant of Sabbetai Zevi – not indeed a Jew any more, but an
    ardent admirer of this prophet of yours. My opinion is that every Jew
    in this country would do well to join his camp.”

    During their second meeting, held 10 days later in the same hotel,
    Mustafa Kemal said at one point:

    ” `I have at home a Hebrew Bible printed in Venice. It’s rather old,
    and I remember my father bringing me to a Karaite teacher who taught
    me to read it. I can still remember a few words of it, such as—’ ”

    And Ben-Avi continues:

    “He paused for a moment, his eyes searching for something in space.
    Then he recalled:

    ” `Shema Yisra’el, Adonai Elohenu, Adonai Ehad!’
    ” `That’s our most important prayer, Captain.’
    ” `And my secret prayer too, cher monsieur,’ he replied, refilling our
    glasses.”

    Although Itamar Ben-Avi could not have known it, Ataturk no doubt
    meant “secret prayer” quite literally. Among the esoteric prayers of
    the Doenme, first made known to the scholarly world when a book of
    them reached the National Library in Jerusalem in 1935, is one
    containing the confession of faith:

    “Sabbetai Zevi and none other is the true Messiah. Hear O Israel, the
    Lord our God, the Lord is one.”

    It was undoubtedly from this credo, rather than from the Bible, that
    Ataturk remembered the words of the Shema, which to the best of my
    knowledge he confessed knowing but once in his adult life: to a young
    Hebrew journalist whom he engaged in two tipsily animated
    conversations in Jerusalem nearly a decade before he took control of
    the Turkish army after its disastrous defeat in World War I, beat back
    the invading Greeks and founded a secular Turkish republic in which
    Islam was banished – once and for all, so he thought – to the mosques.

    Ataturk would have had good reasons for concealing his Doenme origins.
    Not only were the Doenmes (who married only among themselves and
    numbered close to 15,000, largely concentrated in Salonika, on the eve
    of World War I) looked down on as heretics by both Muslims and Jews,
    they had a reputation for sexual profligacy that could hardly have
    been flattering to their offspring. This license, which was
    theologically justified by the claim that it reflected the faithful’s
    freedom from the biblical commandments under the new dispensation of
    Sabbetai Zevi, is described by Ezer Weizman’s predecessor, Israel’s
    second president, Yitzchak Ben-Zvi, in his book on lost Jewish
    communities, “The Exiled and the Redeemed”:

    `Saintly Offspring’

    “Once a year (during the Doenmes’ annual `Sheep holiday’) the candles
    are put out in the course of a dinner which is attended by orgies and
    the ceremony of the exchange of wives. … The rite is practiced on
    the night of Sabbetai Zevi’s traditional birthday. … It is believed
    that children born of such unions are regarded as saintly.”

    Although Ben-Zvi, writing in the 1950s, thought that “There is reason
    to believe that this ceremony has not been entirely abandoned and
    continues to this day,” little is known about whether any of the
    Doenmes’ traditional practices or social structures still survive in
    modern Turkey. The community abandoned Salonika along with the city’s
    other Turkish residents during the Greco-Turkish war of 1920-21, and
    its descendants, many of whom are said to be wealthy businessmen and
    merchants in Istanbul, are generally thought to have assimilated
    totally into Turkish life.

    After sending my fax to Batya Keinan, I phoned to check that she had
    received it. She had indeed, she said, and would see to it that the
    president was given it to read on his flight to Ankara. It is
    doubtful, however, whether Mr. Weizman will allude to it during his
    visit: The Turkish government, which for years has been fending off
    Muslim fundamentalist assaults on its legitimacy and on the secular
    reforms of Ataturk, has little reason to welcome the news that the
    father of the `Father of the Turks’ was a crypto-Jew who passed on his
    anti-Muslim sentiments to his son. Mustafa Kemal’s secret is no doubt
    one that it would prefer to continue to be kept.


Filed under: Jews, Topical Essays, Topical Historical Reminder Tagged: Ataturk, Doenmeh, Islamic Justice and Development Party, Kemalism, Sabbetai Zevi, Secularism, Semsi Effendi School, Simon Zvi, Thessaloniki, Turkey

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