Follow the money on Raimondo pension scheme: Is Providence bankrupt?


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Providence_RI_skyline2For some weeks now, there has been a great deal of conversation around the idea that Providence is on the verge of bankruptcy. A new rule regarding budget statements is key to understanding why.

A brief by the Center for State and Local Government Excellence titled How Will State Unfunded Pension Liabilities Affect Big Cities? lays out an explanation for new rules of the Governmental Accounting Standards Board (GASB) that moved “unfunded actuarial accrued liability [UAAL] for public pension plans…from the footnotes of financial statements to the balance sheets of employers... Cities are now required to include on their balance sheets the pension accounting information currently in the footnotes of their financial statements and to report their share of the unfunded liability in cost-sharing plans. This calculation does not create new liabilities; it simply reallocates them from the state to the city.

Translation by the Houston Municipal Employees Pension System: “Essentially, the UAAL is the amount of retirement that is owed to an employee in future years that exceed[s] current assets and their projected growth.” This means that Providence just went from $759,000,000 to $964,000,000 in pension liabilities that they could not fund in 2012.

Here is what Providence’s finances look like under the new GASB provisions:

Untitled-1
Unfunded Actuarial Accrued Liability (UAAL) and UAAL Relative to Own-Source Revenue for Affected Cities, Before and Estimated After GASB 68, FY 2012

Of course, another aspect is what is being reported here. The shortfall is caused by the City having to report their portion of the liabilities of the State Pension, which we have been reporting is facing shortfalls because of shady fees imposed by Gov. Raimondo’s friends on Wall Street.

Screen Shot 2016-01-24 at 10.00.19 PMThis is an issue that is going to affect all cities and towns in the state, not just Providence. It is worth noting that Woonsocket is also mentioned in this report.

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Are the documents Phil Eil is requesting from the DEA public?


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philIf you follow Phil Eil on social media you’ve surely heard about his public records request of the DEA. Eil is working on a book about Paul Volkman, a doctor who was convicted to four consecutive life sentences for dealing drugs under the guise of writing medicine prescriptions.

Eil has requested from the DEA all the evidence presented at the trial, he says he’s requested more than 200 pieces of evidence that the DEA has interpreted as 15,000 pages of documents. The trial ended in May of 2011 and Eil filed his FOIA request in February, 2012.

Is Eil getting the run-around from the feds? He told me an FBI agent subpoenaed him as a witness during the trial and he wonders if that was a ploy to keep him from covering the trial as a journalist. Or is he requesting documents that aren’t public? Much of the evidence consists of people’s medical records, which I don’t believe should be public records simply because they were used as evidence in a trial. Or is it just good old fashioned feet-dragging on the part of the government? The Obama Administration doesn’t have a great track record on complying with public records request.

It could be a little bit of all three….

Teriyaki House surrenders to direct action, pays workers


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Workers declared victory today after Teriyaki House management finally gave into the pressure of direct action and paid their employees the money the US Department of Labor stipulated.

Teriyaki House workers and their supporters once again protested outside the restaurant in Downtown Providence during lunch to demand that the restaurant pay its employees thousands of dollars in unpaid wages. During the last protest, just before Christmas, Teriyaki House management and lawyers agreed to pay Fidel de Leon, Emilio Garcia, Vicente Lobos and Pedro Gomez their back wages (and damages) as stipulated by the US Department of Labor, by January 22.

As the workers and supporter, organized by Fuerza Laboral and RI Jobs with Justice (JWJ) marched in front of the restaurant on Friday, dissuading customers from eating at the restaurant, the manager of Teriyaki House came out and discussed surrender terms with JWJ executive director Michael Araujo. After Araujo spoke with Teriyaki House’s lawyer on the phone, the restaurant manager headed directly to the US Department of Labor offices downtown and paid.

Minutes later, the unpaid employees, who had been fighting for what they have been owed for years, emerged holding checks. It was a surprising and joyous end to a long and difficult battle for fair pay.

This was the fourth demonstration at Teriyaki House over this issue. For years workers were not being paid minimum wage or overtime for 70-85 hour work weeks. You can see the demonstration and its successful conclusion in the first video below. In the second video, Heiny Maldonado of Fuerza Laboral talks about the power and necessity of direct action against a system that does not empower workers against their employers. Keally Cieslik provided the English translation in both videos.

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Mass incarceration creates a permanent underclass


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Black man being arrested

“The country’s poverty rate would
have been more than 20 percent
lower between 1980 and 2004
without mass incarceration.”
Villanova University study

Like most U.S. adults, I have violated the nation’s drug laws.

The year was 1971. A freshman at the University of Michigan’s Dearborn campus, I began smoking marijuana with two of my three roommates. As police did not arrest drug offenders on campus, I never worried about being jailed.

Not so for Clifford Runoalds, an African American who was arrested for failure to cooperate with prosecutors. They wanted him to testify against a defendant in the infamous Hearne, Texas “drug bust” of 2000. A rogue police task force arrested 28 residents on the word of only one informant, on drugs, who lied about his African-American neighbors.

Runoalds was innocent. The drug deals never happened. Still, he was jailed for a month before prosecutors released him. As Michelle Alexander explains in her extraordinary book, The New Jim Crow, Runoalds was technically free—but his life was decimated. Jail time resulted in the loss of his job, his car, his apartment and his furniture.

Moreover, Runoalds was grieving the death of his eighteen-month-old daughter. Handcuffed at her funeral, which was about to begin, police rejected his pleas to say goodbye to his daughter.

Black man being arrested

Runoalds is not alone. Systemic discrimination begins with traffic stops. National data indicates blacks and Latinos are three times more likely to be searched than whites. Pedestrian stop-and-frisk is far worse. The New York Police Department frisked 545,000 people in 2008: 85 percent were black; eight percent were white.

Prosecutors and judges amplify this discrimination. According to Human Rights Watch, at least fifteen states sentenced black drug offenders at 20 to 57 times the rate of white drug offenders. In addition, the U.S. Sentencing Commission documented that, from 2007 to 2011, blacks received sentences 19.5 percent longer than whites.

Pic of black prisoners

The Bureau of Justice Statistics projected that one in three black males born in 2001 would be sent to prison during their lifetimes; for Latinos, one in six; for whites, one in seventeen.

The War on Drugs is an excuse for mass incarceration of black and brown people. SWAT teams do not descend on college campuses. Police do not target the homes of white suburbanites. No, they target poor minority neighborhoods. But as Alexander’s extensive documentation indicates, “The notion that most illegal drug use and sales happens in the ghetto is pure fiction.”

SWAT team

Poor minorities are swept up into the criminal justice system in numbers whites will never face. Those arrested are often unable to pay bail. So they languish in a cage. Faced with many months or perhaps years in jail awaiting trial, even innocent people accept unjust plea bargains. Many serve long sentences on probation—just one misstep from prison.

In addition to 2.3 million incarcerated, more than 7 million people are currently on probation or parole, many for drug or other nonviolent offenses. The fact that minorities are vastly overrepresented in this system means, as Alexander emphasizes, they constitute a new caste, a permanent underclass.

Under Jim Crow, separate but “equal” treatment was legal. This systemic racism supposedly ended in 1954 with the Brown v. Board of Education of Topeka decision. A new Jim Crow has arisen, however, with discriminatory effects even more powerful than the blatant racism of an earlier era.

Challenges to the system’s racism is now barred by court decisions. Alexander concludes, “The legal rules adopted by the Supreme Court guarantee that those who find themselves locked up and permanently locked out due to the drug war are overwhelmingly black and brown.”

Like many young white men, I smoked marijuana. Unlike massive numbers of young black men, few of us with white skin lost our freedom and our families. We did not lose our jobs, our apartments, our cars. Nor should we—but neither should drug users of color.

Follow the money on Raimondo pension scheme: the local sponsors


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Remember back when all the important people were lining up in droves to support then-Treasurer Raimondo’s pension policies under the false advertising of a crisis? Wouldn’t it be great if we could go back in time to look at who played along, willingly or unwillingly, in what is turning out to have been a complete and utter fraud so to perpetuate a massive heist at the expense of both the retired state workers and the taxpayers?

There is.

logoThe webpage Internet Archive has a fantastic device called the Wayback Machine that captures snapshots of pages every few days across the internet. With absolute ease, one can look at the campaign pages of candidates, movie websites that have gone extinct, or even the frontpage of a newspaper or magazine on a historic date, say, the Times on 9/12/01.

We present now a little jaunt down memory lane, the EngageRI webpage that foisted this scheme on an unsuspecting public.

OCTOBER 2, 2011

DECEMBER 9, 2011

JANUARY 22, 2012

MARCH 26, 2013

And lest we forget, here’s the people who were in charge!

Board of Directors

President & Co-Chairperson

Ed Cooney
Senior Vice President, Nortek, Inc.
Vice President
Constance Pemmerl
Retired Financial Executive
Secretary
Ted Long
Partner, Holland & Knight LLP
Treasurer

John Galvin
Chief Financial Officer, Collette Vacations
-Paul J. Choquette, Jr.
Vice Chairman, Gilbane Inc.
-Susan Arnold
CEO and General Counsel, Rhode Island Association of REALTORS, Inc.
-Kas DeCarvalho
Partner, Fontaine, DeCarvalho & Bell LLP
-Bradford S. Dimeo
Dimeo Construction Company
-James Diossa
Councilman – Ward 4, Central Falls City Council
-Michael McMahon
Founding Partner, Pine Brook Road Partners
-Dan Sullivan

CEO and President, Collette Vacations

When the FBI, SEC, and US Attorney’s Office come looking to ask questions, they might do well to check in with these folks also.

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Follow the money on the Raimondo pension scheme: Marvin Rosen


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Following the publication of a letter sent to the FBI, SEC, and US Attorney’s Office by Rhode Island’s Future, we chose to take a deeper look at the players and parties ripping off retired public employees. What we found was a massive mess of money, right-wing ideologues, and the attempted further bail-out of Wall Street at the expense of state and municipal workers that goes all the way to the top and which could end up shaking the foundations of the 2016 campaign in ways not imagined.

One of the figures that appears in this whole fracas is a man familiar to those who have paid attention to the less-publicized elements of that political machine unto itself known as the Clintons, one Marvin Rosen. Ted Seidle wrote in his letter to the federal authorities the following:

As noted in my first report, when asked by the SEC in 2009, ERSRI admitted that Fenway Partners Capital Fund III paid an influential intermediary, Marvin Rosen, of Diamond Edge Capital Partners $262,500 related to this investment and paid the firm a total of approximately $1 million related to four private equity investments. Mr. Rosen was a Democratic fundraiser linked to former President Bill Clinton whose firm earned millions in New York pension fund deals in 2005 and 2006 when Alan Hevesi was state controller. Fenway and Mr. Rosen were also was involved in a pay-to-play controversy related to the New Mexico state pension.

Marvin Rosen
Marvin Rosen

To delve into the history of Mr. Rosen is to journey into the dark underbelly of the Democratic Party, a party that has been co-opted and compromised by Wall Street since the days of Bill Clinton’s gubernatorial campaigns, if not earlier. Since the mid-1980’s, a brand of “New Democrats” has used the once-progressive mantle of the party to justify the adoption of neoliberal policies that a Reagan or Bush would only dream of trying to foist on the American public, be it “the era of Big Government is over” hollowing out of Welfare and other social safety net programs or “Tough on Crime” minimum mandatory sentencing guidelines. This cuts to the core of your standard DINO (Democrat In Name Only), be it Bill and Hillary Clinton or Gina Raimondo.

When one writes about Marvin Rosen, they must be cautious because of his tendency to sue over bad press. As such, what follows is copy from sources that have previously withstood the Rosen wrath. The first comes from the book Kentucky Fried Pensions by Chris Tobe, who kindly shared his materials with us to complete these stories. Tobe has been covering a similar pension scheme in the Bluegrass State and says the following:

The most colorful placement agent firm, hands down, is a small operation called Diamond Edge Capital Partners LLC led by Marvin Rosen. Eileen Kotecki, who was Al Gore’s and John Edwards’ main Presidential fundraiser, worked there for a time. [i] Glen Sergeon, a Diamond Edge partner and a former trustee of the New York Teachers’ Retirement Fund, collected around $5 million from private equity firms and hedge funds doing business with the Kentucky Retirement Systems (KRS). Sergeon used the money to buy a lavish Fifth Avenue condo. [ii] Forbes reported that, in addition to Kentucky, Diamond Edge was involved in the New York pay for play scandal: “Diamond Edge Capital Partners is another firm that was paid–$6.8 million–by money managers for lining up work with New York. In 2008 Sergeon joined Diamond Edge, where he teamed up with Marvin Rosen, a company partner and the former Bill Clinton fundraiser who arranged Lincoln Bedroom sleepovers for big donors. Later that year Sergeon landed Diamond Edge its first business with Kentucky.” [iii] Rosen and another Diamond Edge partner, Marc Correra, are being sued for their role as placement agents in New Mexico. [iv] Marvin Rosen as late as 2013 has been disclosed as a placement agent in Rhode Island. Pro Football Hall of Famer Lynn Swann has also worked for Diamond Edge.
But the most colorful Diamond Edge partner was Kenneth Ira Starr, known as Hollywood’s Madoff. [v]  Currently serving a seven-year prison term, Starr managed the money of celebrities like Al Pacino, Uma Thurman and Lauren Bacall. Starr engineered a $33 million Ponzi scheme to swindle his clients and to impress his much younger, ex-stripper wife, Diane Passage. [vi] He was featured on the CNBC television show “American Greed” which focused on his rip-off of Sylvester Stallone and his obsession with, and subsequent marriage to, a pole dancer. [vii]
[i] http://www.bloomberg.com/apps/news?pid=newsarchive&sid=atwTqj6OjY7U How Pension Placement Agent Exploited Political Ties, Martin Braun & Gillian Wee: May 18, 2009
[ii] http://observer.com/2011/07/secret-agent-glen-sergeon-sells-in-the-village-buys-in-harlem/
[iii] http://www.forbes.com/forbes/2011/0523/features-pensions-glen-sergeon-auditors-secret-agent_3.html
[iv] http://www.bloomberg.com/apps/news?pid=newsarchive&sid=atwTqj6OjY7U
[v] http://www.huffingtonpost.com/2011/03/03/ken-starr-hollywoods-mado_n_830918.html
[vi] http://www.huffingtonpost.com/2011/03/03/ken-starr-hollywoods-mado_n_830918.html
[vii] http://www.cnbc.com/id/45554694

Of course, this begs the question what exactly is a placement agent?

Investopedia defines the term asAn intermediary who raises capital for investment funds. A placement agent can range in size from a small one-person independent firm to a large division of a global investment bank. Professional placement agents are required to be registered with the securities regulatory agency in their jurisdiction, such as the U.S. Securities and Exchange Commission. A placement agent operating in the U.S. must be registered as a broker or dealer.” When I discussed this with Tobe, he explained it as a job that has almost totally ceased to exist in the post-Citizens United era, but before then a placement agent functioned as a middle-man for big capital.

But that is only scratching the surface of Rosen’s history. Jeffrey St. Clair and the late Alexander Cockburn of CounterPunch! also have covered Rosen in their multi-decade stories about the Clintons. Their story, titled Clinton and the Cuban Fixer, is an impressive read worth the time. They write:

Marvin Rosen cut his teeth in Democratic Party politics back in 1980 when he was the Florida coordinator of Sen. Ted Kennedy’s doomed effort to wrest the Democratic Party nomination from Jimmy Carter. Though Kennedy did badly, Rosen proved himself a whiz at beating the bushes for money. By 1984 he was the leading fundraiser for Fritz Mondale. In 1988 Rosen served as finance chairman of the Dukakis campaign and, during the cash-strapped days of Clinton’s 1992 bid, was personally solicited by Gov. Bill himself to raise money, and celebrated the inaugural victory in the company of the Clintons and the Gores. Seeking to capitalize on such a long investment in time and effort, Rosen opened a D.C. office for his law firm in 1993 and immediately hired Ron Brown’s son Michael to be his director of legislative affairs. He also recruited Ted Kennedy’s new wife, Victoria.

They go on to explore Rosen’s connections to the infamous Cuban exile community located around Miami and other parts of Florida. For those readers who are unfamiliar, this bunch has a rather checkered past, including hair-brained anti-Castro efforts that date back to the darker days of the Cold War along with a bevvy of good-old-fashioned corruption and pollution of the Florida Everglades.

Another Cockburn/St. Clair piece featuring Rosen, excerpted from their book Dime’s Worth of Difference: Beyond the Lesser of Two Evils and titled All for Oil, Oil for One, explains the connections between Rosen and major fossil fuel corporations that have been looking to drill for oil in the Arctic National Wildlife Refuge and build a variety of pipelines across America, giving a great insight into why the Democrats are all in favor of the Burrillville natural gas plant despite sound science proving it would be a calamity.

ARCO [Atlantic Richfield Company]– the prime beneficiary of the new Alaskan oil bonanza–is one of the preeminent sponsors of the American political system. The oil giant maintains a hefty federal political action committee. In the 1996 election cycle, the ARCO PAC handed out more than $357,000.  But this was only the beginning. Over the same period, ARCO pumped $1.25 million of soft money into the tanks of the Republican and Democratic national committees. The company contributed at least another $500,000 in state elections, where corporations can often give directly to candidates. At the time, Robert Healy was ARCO’s vice-president for governmental affairs. On October 25, 1995, Healy attended a White House coffee “klatsch” with Vice-President Al Gore and Marvin Rosen, finance chairman of the Democratic National Committee. A few days before the session, Healy himself contributed $1,000 to the Clinton/Gore re-election campaign. But from July through December of 1995, largely under Healy’s direction, ARCO poured $125,000 into the coffers of the DNC. [Emphasis added]

Need more be said?

The late Christopher Hitchens, for all his drunken sliminess and apologias for the Bush presidencies, did have a moment in his career where he contributed something useful by publishing his pamphlet No One Left To Lie To. In that slim volume, issued in the midst of the Clinton impeachment fiasco, he laid out an explanation for the Clinton strategy of triangulation, a term coined by the right wing political consultant Dick Morris. Hitchens defined it as such in a Book TV interview on C-SPAN 2: “Triangulation is three-card monte… You steal the Republican Party’s program, adopt it for the Democratic Party, hope you can bring the Republican Party’s donors along with you, which you often can, then you are faced with the task of shoring up or reassuring your own constituency, and that is done by means of a sort of cheap and superficial political correctness.” It can be said without much argument that this can very well sum up the Raimondo ideology very well, a miasma of reactionary ideals covered up by a clever game of neoliberal identity politics that passes doing the bare minimum for women’s rights as feminism. This also goes for her pension policies that benefit Wall Street while robbing Main Street.

Of course, all these points also can be applied with no modification or rejoinder to Hillary Clinton.

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Follow the money on Raimondo pension scheme: John Arnold


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Following the publication of a letter sent to the FBI, SEC, and US Attorney’s Office by Rhode Island’s Future, we chose to take a deeper look at the players and parties ripping off retired public employees. What we found was a massive mess of money, right-wing ideologues, and the attempted further bail-out of Wall Street at the expense of state and municipal workers that goes all the way to the top and which could end up shaking the foundations of the 2016 campaign in ways not imagined.

Screen Shot 2016-01-16 at 7.32.20 PMThe Raimondo pension scheme is just a test run of a larger agenda. If this is left to stand, it would clear the way for the privatization of Social Security and the total defenestration of the social safety net dating back to the New Deal years. Through a well-financed and insidious number of organizations including the Pew Charitable Trusts Foundation, the Bill and Melinda Gates Foundation, the Blackstone Group, and the Laura and John Arnold Foundation, as well as many others, a cunning and manipulative campaign has been created to deceive the general public into believing that retired teachers, firefighters, librarians, and civil servants are costing the taxpayers exorbitant amounts of money while your friendly Wall Street banker is in need of charity. And at the center of it all is Hillary Rodham Clinton, whose campaign is both financed by these crooks and soliciting the endorsements of unions from whose members the heist is being perpetrated against!

Screen Shot 2016-01-16 at 9.02.44 PMAll this begs multiple questions. For example, where are the voices of Treasurer Seth Magaziner and Attorney General Peter Kilmartin in all of this? David Sirota argues in a report that “the “crisis” language around pensions is, unto itself, fraudulent“. What does this say about Gina Raimondo’s public statements and testimony made potentially under oath while the pension lawsuit was being litigated? Was she totally forthcoming when the SEC previously looked into these matters? Seidle writes in Rhode Island Public Pension Reform: Wall Street’s License to Steal:

[T]he General Treasurer’s practice of withholding information and intentionally providing incomplete disclosures regarding ERSRI’s investments results in: (1) misleading the public as to fundamental investment matters, such as the true costs and risks related to investing in hedge, private equity, and venture capital funds; (2) understating the investment expenses and risks related to ERSRI; and (3) misrepresenting the financial condition of the state of Rhode Island to investors… [A]n investigation by state or federal securities regulators would reveal intentional withholding of material information and misrepresentations regarding state pension costs. [Emphasis added]

This is a scandal in development that makes Operation Plunder Dome look like shoplifting penny candy from the corner store. There never was a pension crisis, just a public swindle. This whole notion of a crisis is a gigantic fraud. And not only are public sector retirees and employees paying for it, every single taxpayer in Rhode Island is being duped into shoveling piles of cash into Wall Street’s trough.

The first person to scrutinize is John Arnold, the ex-Enron trader who was able to send a nice donation to both the Raimondo and Obama campaigns at key moments. Consider this line from a webpage cataloging his nationwide rampage:

Arnold donated hundreds of thousands of dollars to Engage RI, the PAC behind Raimondo’s campaign to cut benefits and move workers into a “hybrid” retirement system that includes a 401(k) component. The Arnold Foundation also helped finance a Brookings Institution report and an Urban Institute report trumpeting Raimondo’s pension cuts.

John Arnold
John Arnold

While Enron has gone down in history as having close ties with George W. Bush, complete with Ken Lay holding the classic Dubya appellation of “Kenny Boy”, this should not be surprising. For some years now, the Wall Street political donations have flowed into Democratic Party coffers whereas the Republicans depend on patronage from the fossil fuel industries. The reason Bush and Lay were buddies came down to the fact that Enron as a company operated in both worlds, trading in energy futures (which ended up being fraudulent in the long run), which combined the sale of commodities on an exchange floor like Wall Street with the generation of relationships to fuel corporations such as the ones the Bush family made their millions from.

David Sirota writes the following about Arnold:

According to CNN/Money, John Arnold is “the second-youngest self-made multibillionaire in the United States.” Only Mark Zuckerberg is younger and richer – but that’s not the only difference between the two. Whereas Zuckerberg made his fortune building a brand-new social media technology, Arnold made his the old fashioned way: through the kind of financial speculation that destroys economies, harms taxpayers and wrecks public pension funds… Underscoring the potential corruption surrounding the pension system, Siedle also reports that state pension officials became the target of “pay-to-play” allegations and a Securities and Exchange Commission inquiry. Meanwhile, the Economic Policy Institute reports that the Pew/Arnold-backed pension system “actually increases costs to state and local governments and taxpayers while making retirement incomes less secure.” Specifically, because of the comparative inefficiencies of the defined contribution part of the state’s new hybrid pension plan, state taxpayers will be forced to make “upwards of $15 million a year in additional contributions while providing a smaller benefit for the average full-career worker. [Emphasis added]

All this obviates a simple question, why?

Screen Shot 2016-01-16 at 7.40.42 PM
From “The Plot Against Pensions” by David Sirota.

The answer is relatively easy. The over-hyped Dodd-Frank Act and recession backlash has made the typical practice of bailing out the Too-Big-To-Fail banks untenable. After 2008, it is simply impossible to carry on with business as usual. There was the logical and sane option of breaking up the banks and reinstating the Glass-Steagall Act, the law dating back to the aftermath of the 1929 crash that segregated risky Wall Street investment from typical consumer depositor banking. But President Obama, who has always been up to his eyeballs in money from firms like Goldman Sachs and Blackstone, an outfit that makes Goldman seem like child’s play, could not do that. So instead, Wall Street had to find a new source of revenue.

And what is perhaps the most trustworthy reservoir of cash to be found in America? The pension funds! Consider this line from Dan Pedrotty of the American Federation of Teachers: “Today, nearly $4 trillion is held in defined-benefit pension funds in our country on behalf of American workers for their retirement.” KA-CHING!

From "The Plot Against Pensions" by David Sirota.
From “The Plot Against Pensions” by David Sirota.

As with any fishing expedition, first you create the bait. Arnold has financed a “pension crisis” narrative through traditionally-dispassionate, objective venues that the public trusts immensely. For example, there was the shady report put out by the Brookings Institute that raised alarm bells. Or there was the nonsense news he financed for broadcast by the PBS division out of New York. There are all kinds of instances where Arnold’s plot is being rolled out. But you do not need me to tell you, just watch this delightful animated short created by the good union folks at AFSCME:

This of course helps to explain the motivation of why these folks are into education and push the charter school agenda. Besides the fact that it would break a major pillar of the union movement that could theoretically help union drives in the businesses of the Waltons (Wal-Mart and Sam’s Club) or the Gateses (Microsoft), it generates tons of revenue that goes into the pockets of the Wall Street investment firms! Consider also this point raised in The Plot Against America’s Pensions by David Sirota:

Like President George W. Bush’s proposal to radically alter Social Security, many of these plans would transform stable public pension funds into individualized accounts. They also most often reduce millions of Americans’ guaranteed retirement benefits. In many cases, they would also increase expenses for taxpayers and enrich Wall Street hedge fund managers…The goals of the plot against pensions are both straightforward and deceptive. On the surface, the primary objective is to convert traditional defined-benefit pension funds that guarantee retirement income into riskier, costlier schemes that reduce benefits and income guarantees, and subject taxpayers and millions of workers’ retirement funds to Enron’s casino-style economics…The bait-and-switch at work is simple: The plot forwards the illusion that state budget problems are driven by pension benefits rather than by the far more expensive and wasteful corporate subsidies that states have been doling out for years. That ends up 1) focusing state budget debates on benefit-slashing proposals and therefore 2) downplaying proposals that would raise revenue to shore up existing retirement systems. The result is that the Pew-Arnold initiative at once helps the right’s ideological crusade against traditional pensions and helps billionaires and the business lobby preserve corporations’ huge state tax subsidies. [Emphasis added]

It is worthwhile here to consider in closing some verbiage from Ted Siedle’s 2013 forensic audit:

Rhode Island’s state pension fund fell victim to a Wall Street coup. It happened when Gina Raimondo, a venture capital manager with an uncertain investment track record of only a few years—a principal in a firm that had been hired by the state to manage a paltry $5 million in pension assets—got herself elected as the General Treasurer of the State of Rhode Island with the financial backing of out-of-state hedge fund managers. Raimondo’s new role endowed her with responsibility for overseeing the state’s entire $7 billion in pension assets. In short, the foxes (money managers) had taken over management of the hen-house (the pension).

Indeed.

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FBI, SEC & US Attorney’s Office asked to investigate Raimondo’s pension policies (UPDATED)


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2016-01-04 Raimondo FANG BASE 12
Gina Raimondo

Several weeks ago the Washington Post ran a story about the glories of Governor Gina Raimondo’s pension policy, a matter I wrote about for CounterPunch.

Since then, sources have shared with RI Future a 13-page letter dated December 8, 2015 sent by Edward “Ted” Seidle, President of Benchmark Financial Services to Elizabeth Rosato of the FBI’s White Collar and Complex Financial Crimes unit, LeeAnn Ghazil Gaunt of the SEC’s Municipal Securities and Public Pensions unit, and Stephen Dambruch of the U.S. Attorney’s Office – District of Rhode Island’s Criminal Division. The U.S. Attorney’s Office and the FBI said that they do not comment on potential or current investigations. The SEC has yet to get back.

[Editorial note: On the phone Seidle told RI Future editor Steve Ahlquist that he spoke to the agencies before sending the letter and that his concerns were met with a “good deal of interest.”]

Mr. Seidle has previously written about the Raimondo pension policy in Forbes:

There’s no prudent, disciplined investment program at work here—just a blatant Wall Street gorging, while simultaneously pruning state workers’ pension benefits. It’s no surprise that some of Wall Street’s wildest gamblers have backed her so-called pension reform efforts in the state legislature. Former Enron energy trader emerges as a leading advocate for prudent management of state worker pensions? That’s more than a little ironic.

Here’s the letter with all emphasis contained in the original and only minor formatting adjustments:

Re: Rhode Island Retired Teachers Association Request for Further Investigation and Prosecution of Potential Civil and Criminal Violations Related to the Employees’ Retirement System of Rhode Island

Dear Ladies and Gentleman,

Why have 40 percent of the assets of the tax-exempt Rhode Island state pension been invested offshore in high-cost, high-risk hedge and private equity funds that permit billionaire fund managers to avoid U.S. taxes and “mystery” investors to profit at the expense of the state pension—all in secrecy? Rhode Islanders want to know.

The Rhode Island Retired Teachers Association (RIRTA) has retained me to bring potential civil and criminal malfeasance related to the Employees’ Retirement System of Rhode Island (ERSRI) that I have investigated to your attention for both further investigation and prosecution and I am writing to you on RIRTA’s behalf. While RIRTA works to safeguard retirement benefits for Rhode Island educators, the potential violations of law discussed in this letter impact all stakeholders in ERSRI, including participants and taxpayers.

I am a former SEC attorney and the nation’s leading expert on pension forensics, having investigated over $1 trillion in retirement assets. Prior investigations include the pensions of the states of North Carolina, Kentucky and Alabama; the cities of Nashville, Jacksonville and Chattanooga; Shelby County, Tennessee and Town of Longboat Key, Florida; retirement plans of major corporations such as Wal-Mart, Caterpillar, Boeing, Edison, Lockheed, Northrop Grumman, Deere, Bechtel, ABB, Edison and US Airways; and asset managers handling retirement assets such as Fidelity, JP Morgan, Sanford Bernstein, and Banco Santander. [1] I train U.S. Department of Labor pension investigators around the country; have testified before the Senate Banking Committee regarding the mutual fund scandals and was a testifying expert in various Madoff litigations.

I write about my investigations for Forbes.com and was named as one of the 40 most influential people in the U.S. pension debate by Institutional Investor for both 2014 and 2015.

By way of background, I have completed two extensive investigations of the $7.4 billion ERSRI.

The first, entitled Rhode Island Pension Reform: Wall Street’s License to Steal [2] was commissioned by the American Federation of State, County and Municipal Employees, Council 94 (Rhode Island’s largest public employee union representing more than 10,000 state, city, town and school department employees) and completed October 17, 2013.

The second, entitled Double Trouble: Wall Street Secrecy Conceals Preventable Pension Losses in Rhode Island [3] was made possible through donations by 350 individual “crowdfunders”—with no contribution by organized labor and completed June 5, 2015. A petition to have the U.S. Securities and Exchange Commission investigate the potential violations of law related to ERSRI identified in the Double Trouble report posted on change.org by Concerned RI Taxpayers has been signed by 375 individuals to date. [4]

Each of these forensic investigations includes details regarding certain apparent civil and criminal violations of law by Wall Street investment managers and advisers managing or overseeing ERSRI’s assets—wrongdoing which I will discuss further below.

If I am correct in my analysis—and I am confident that I am—the potential violations of law by asset managers and advisers handling the assets of the already seriously underfunded state pension identified in these reports likely represent the greatest threat to the financial well-being of Rhode Islanders in the state’s history.

At the outset it is paramount to note the following alarming facts:

  1. In the past decade, state and local public pensions throughout the United States have significantly shifted assets toward a massive allocation into so-called “alternative” investments, including hedge and private equity funds. Today, roughly $660 billion of public pension assets are invested in hedge and private equity funds alone. Total public pension assets in all various alternative classes are estimated at $1 trillion.
    Never before in the history of the nation’s state and local government pensions has so much money been steered so swiftly into newly-created, unproven investments. Approximately 40 percent of ERSRI’s assets have been invested in alternatives—in the past five years.
  2. Alternatives are the highest cost, highest risk investments ever devised by Wall Street. The rich fees related to alternatives have enabled promoters to secretly reward influential politicians and pension intermediaries who recommend these investments— “marketing muscle” which largely explains the public pension surge into alternatives. These investments present inappropriate risks for American government workers retirement savings such as offshore (e.g. Cayman Island and other tax havens) regulation and foreign custody of assets; portfolios that are often exceptionally hard-to- value and prone to price manipulation by investment managers (whose pay is based upon inflated values); “friends and family” and other insiders who are permitted to invest on more favorable terms, as well as secretly profit at the expense of public pension investors; hidden, excessive and bogus fees and expenses; other unsavory business practices and complex (as well as questionable) investment strategies—all heretofore unknown to public pensions and which, if subjected to regulatory and law enforcement scrutiny, may be found to involve fraud or theft related to public sector retirement savings.
    As I told a crowd of hundreds of stakeholders at a seminar sponsored by RIRTA in Providence in November, the pension has been “looted” and the looting continues through today. [5]
    For example, as indicated in my initial investigation, [6] approximately $1 billion in ERSRI assets have been invested in 18 hedge funds. Investment luminaries such as Warren Buffett and John Bogle of Vanguard have both publicly warned that these hedge fund alternative investments are not suitable for public pensions. Rhode Island workers pensions invested offshore in the Cayman Islands?
  3. As awareness of alternative investment business practices has grown, pervasive improprieties and illegalities have been identified. For example, the U. S. Securities and Exchange Commission announced in 2014 that more than half of the 400 private-equity firms its staff had examined charged bogus fees and expenses. [7]
    Phony or inflated valuations of private equity portfolio holdings are common since these holdings are priced solely by the general partner managing the fund who is paid asset- based and performance fees on these values. [8] For example, in March 2015, the SEC charged Patriarch Partners and its CEO with improper asset valuations that caused investors to pay nearly $200 million more in higher fees. [9]
    The private-equity model lends itself to potential abuse because it’s so opaque, according to Daniel Greenwood, a law professor at Hofstra University in New York and author of a 2008 paper entitled “Looting: The Puzzle of Private Equity.” [10]
    While high net worth individuals may be unaware or even unconcerned about looting, when state and local government workers of modest means become aware their retirement savings have been stolen (as opposed to merely mismanaged), it is reasonable that they demand regulators and law enforcement intervene to protect their imperiled retirement savings.
  4. Perhaps most insidious, the alternative investment industry—with the consent of public pension officials—has been permitted to operate in complete secrecy. Longstanding public records laws have been interpreted or changed almost overnight in all fifty states to permit hedge and private equity funds to manage approximately $1 trillion in public pension assets free of public scrutiny. In less than a decade, the nation’s public records laws have been eviscerated for the first time in history.
    It should come as no surprise to regulators and law enforcement that secrecy fosters rampant wrongdoing by Wall Street in connection with handling state and local government workers’ retirement savings.
    In Rhode Island, both current Treasurer Magaziner and former Treasurer Raimondo, now Governor, have claimed ERSRI is obliged—pursuant to contracts fund officials signed—to defer to the money managers it hired to manage pension assets on the release of supposedly “proprietary” information. Virtually all information regarding the risks, conflicts of interest, investment strategies and performance of the alternative managers has been withheld from the public as “proprietary.”
    To be perfectly clear, offering documents and subscription agreements related to alternative investment funds that have been widely distributed to thousands of prospective investors and intermediaries globally—and that contain primarily publicly available information—have been deemed by ERSRI officials and the pension’s investment managers to be wholly “top secret.”
    On August 8, 2013, four open-government groups – Common Cause Rhode Island, the state’s chapter of the American Civil Liberties Union, the Rhode Island Press Association and the League of Women Voters of Rhode Island sent a letter to the Treasurer voicing their concerns regarding the Treasurer’s strategy of withholding hedge fund records. These groups believe that since the financial reports were paid for with public funds and detailed how the state was investing the public’s money, they should have been made public in their entirety; further they found “troubling” the Treasurer’s decision to allow the hedge funds to decide what information to release.

In summary, at this pivotal moment when $1 trillion in public pension assets are at risk, it is crucial for taxpayers, public employees, regulators and law enforcement to pierce the veil of secrecy, examine the myriad forms of commonplace alternative industry wrongdoing, and craft an effective response to protect retirement funds set aside for government workers.

It is time to address whether alternative industry malfeasance may be criminally, as well as civilly actionable when public pensions, such as ERSRI, are harmed.

Bear in mind that ERSRI stakeholders are, at this time, five years into a ten year looting (since alternatives typically involve a ten-year commitment) and already an estimated $2 billion has been lost in Rhode Island.

Below are specific examples of potential violations of law which were identified in the two forensic investigations of ERSRI.

  • A. Licenses to Steal: In my original forensic investigation of ERSRI, I identified language in the offering documents of a number of the hedge funds in which ERSRI had invested which indicated the fund managers were not required to provide the same type or level of disclosure regarding investments and strategies to all investors.
    1. Informational advantages: That is, certain mystery investors would be permitted to invest in these funds on terms that provide access to information regarding fund investment portfolios that was not generally available to other investors and, as a result, would be able to act on such additional information (e.g., request withdrawal of their monies) that other investors (such as ERSRI) did not receive.
    In the words of ERSRI hedge fund manager Brevan Howard, “The General Partner may in its absolute discretion agree to provide certain strategic investors in the Partnership with information about the Partnership and its investments which is not available to investors generally.” Says the Indus Asia Pacific Fund, “… the Fund, in its sole discretion, may permit such disclosure on a select basis to certain shareholders if the Fund determines that there are sufficient confidentiality agreements and procedures in place. Davidson Kempner states, “The Fund has entered and may enter into side letters and other agreements and arrangements with certain investors pursuant to which, among other things, an investor may receive reports and have access to information regarding the Fund’s portfolio that might not be generally available to other shareholders. Such investors may be able to base their investment decisions, including, without limitation, redeeming their shares from the Fund, on information that is not generally available to other shareholders.”
    2. More favorable rights: The Ascend Partners Fund II adds further that, in addition to portfolio “informational” advantages, certain investors may be granted favorable “rights” not afforded other investors such as ERSRI. The fund states, “The Partnership and the General Partner may from time to time enter into agreements with one or more Limited Partners whereby in consideration for agreeing to invest certain amounts in the Partnership and other consideration deemed material by the General Partner, such Limited Partners may be granted favorable rights not afforded to other Limited Partners or investors, generally. Such rights may include one or more of the following: special rights to make future investments in the Partnership and/or the Other Accounts, as appropriate; special withdrawal rights, relating to frequency, notice and/or other terms; rights to receive reports from the Partnership on a more frequent basis or that include information not provided to other Limited Partners (including, without limitation, more detailed information regarding positions); rights to receive reduced rates of the Incentive Allocation and/or Management Fee; rights to receive a share of the Incentive Allocation, Management Fee or other amounts earned by the General Partner or its affiliates; and such other rights as may be negotiated between the Partnership and such Limited Partners. The Partnership and the General Partner may enter into such agreements without the consent of or notice to the other Limited Partners.”
    In other words, ERSRI fiduciaries have gone along, for whatever reasons, with investment managers permitting certain mystery investors in the hedge funds to profit at its expense through “information” and “rights” advantages—effectively granting a license to steal from the state pension to these unknown investors. How do government workers benefit from exposing their retirement savings to these blatantly offensive practices?
    3. Mystery investors: The identity of the privileged insiders permitted to profit from the state pension is not disclosed. The managers are not even required to notify ERSRI that other investors receiving greater information, paying lower fees, and enjoying special rights, do, in fact, exist. It is simply disclosed that mystery investors may exist without notice to, or the consent of, ERSRI.
    As I concluded in my first report, “The identity of any mystery investors that may be permitted by managers to profit at ERSRI’s expense, as well as any relationships between these investors, the Treasurer or other public officials, should immediately be investigated fully by law enforcement and securities regulators—especially since leading hedge fund insiders have financially supported the pension “reform” that gave rise to these hedge fund investments and related mysterious arrangements.”
    4. New forms of potential political corruption: State workers whose pensions are at risk deserve to know whether the “mystery” insiders secretly profiting at their expense may be linked to elected officials and pension fiduciaries. That is, have these officials been corrupt in selecting and relying heavily upon alternative investments for ERSRI which permit mystery investor profiting, or merely inept? Why would Raimondo and Magaziner initiate and commit for over a decade to a high-cost, high-risk alternative investment (losing) gamble which the best investors in the world—Buffett and Bogle— specifically warned against? Who stands to gain from this recklessness?
    For example, according to most recent SEC filings Tudor Global Trading (related to hedge fund manager Paul Tudor Jones) is an owner of Point Judith Capital— a venture capital firm founded and owned in part by Governor Raimondo. Is any Jones-related entity directly or indirectly a special or strategic investor in a hedge fund permitted to profit potentially at the expense of ERSRI? Also, a philanthropic foundation established by another hedge fund insider, Houston billionaire and former Enron trader, John Arnold, reportedly donated $100,000 to a political action committee supporting Raimondo’s candidacy. [11] Arnold and his wife, Laura, previously made a $100,000 donation to the same super PAC a year earlier. [12] Is any Arnold-related entity directly or indirectly a special or strategic investor in a hedge fund permitted to profit potentially at the expense of ERSRI? Again, state workers deserve to know and regulators and law enforcement should investigate any such potential dealings, in my opinion.
    5. Other violations of applicable regulations and law: The Brevan Howard fund goes on to state that it “may be constrained, or may find it unduly onerous, to disclose any or all such information or to prepare or disclose such information in a form or manner which satisfies certain regulatory, tax or other relevant authorities. Failure to disclose or make available information in the prescribed manner or format, or at all, may adversely affect the Partnership or the partners in the Partnership that reside in such jurisdictions.” In other words, investors in the fund are warned that its nondisclosure policies may violate certain applicable regulations and laws.
    6. Cayman Island offshore regulation and custody: Some of the hedge funds in which ERSRI invests are incorporated and regulated under the laws of foreign countries, presenting additional, unique risks. Likewise, since ERSRI’s alternative investment assets are held at different custodian banks located around the world, as opposed to being held by ERSRI’s master custodian, the custodial risks are heightened.
    Offshore regulation has clear advantages to the hedge fund billionaires managing ERSRI’s assets.
    “Hedge fund titan George Soros reportedly amassed $13.3 billion in deferred hedge fund fees and investment gains on those fees by moving his assets to Ireland and then to the Cayman Islands. Hedge funds love to set up shop offshore. And it’s not because of the weather.” [13]
    How does investing in offshore hedge funds (which involve additional substantial legal and regulatory risks) provide any benefit to government employees participating in ERSRI—a pension which is tax-exempt, the investments of which are required to be selected and managed for their exclusive benefit?
  • B.Private Equity Potential Fiduciary Breaches and Illegalities: In order to assess the risks, potential fiduciary breaches and violations of law related to the 72 private equity funds owned by ERSRI, I reviewed SEC filings and other public records related to 12 of these investments in my second investigative report. Millions in illegal fees, undisclosed payments to politically-influential intermediaries (placement agents); collusion by managers to suppress the share prices of companies; fraud on the U.S. government; tax evasion and the Governor potentially profiting at the expense of ERSRI are but a few of the matters investigated related to ERSRI alternative investments.
    In addition to the substantial revelations of private equity wrongdoing mentioned below, I am aware there is a substantial body of confidentially-reported misdeeds. The overwhelming majority of abuses that have been reported to regulators (including malfeasance regulators are currently prosecuting) have not been made public by whistle-blowers, aggrieved investors and regulators. Thus, the abuses listed below are the mere “tip of the iceberg.”
    1. Unauthorized or undisclosed fees: On November 3, 2015, the SEC announced that Fenway Partners LLC and four executives agreed to pay a total of more than $10.2 million to settle charges that they failed to tell investors about payments to employees by one of its private equity fund companies. The private equity firm and the executives were not “fully forthcoming” to a client and investors about the conflict of interest, which involved more than $20 million in payments, the SEC said. “The case is part of the SEC’s ongoing crackdown into what it sees as a widespread industry problem concerning how buyout firms allocate and disclose various kinds of fees. It follows a $39 million SEC sanction against Blackstone Group in October and a $30 million sanction against Kohlberg Kravis Roberts & Co. in June.” [14]
    Earlier this year TPG disclosed millions in annual additional fees charged to investors (on top of asset management, performance, transaction and monitoring fees), as the SEC has pushed for greater disclosure. [15]
    According to regulatory filings, Carlyle collected $245 million in extra fees between 2008 and the end of 2013, compared with $4.6 billion in carried interest. [16]
    When private equity managers are “not fully forthcoming” or steal (i.e., take without permission) undisclosed monies from public pensions, criminal prosecution should be considered.
    2. Secret agents: As noted in my first report, when asked by the SEC in 2009, ERSRI admitted that Fenway Partners Capital Fund III paid an influential intermediary, Marvin Rosen, of Diamond Edge Capital Partners $262,500 related to this investment and paid the firm a total of approximately $1 million related to four private equity investments. Mr. Rosen was a Democratic fundraiser linked to former President Bill Clinton whose firm earned millions in New York pension fund deals in 2005 and 2006 when Alan Hevesi was state controller. [17] Fenway and Mr. Rosen were also was involved in a pay-to-play controversy related to the New Mexico state pension. [18]
    Carlyle, one of the largest and most politically connected private equity firms, in 2009 agreed to pay $20 million and make broad changes to its practices to end an inquiry by New York’s state attorney general into its pension business. Under the deal, Carlyle no longer would use intermediaries, known as placement agents, to gain investment business from public pension funds nationwide, and would curtail its campaign contributions to elected officials who oversee pension funds. [19]
    3. Price Collusion: In August 2014, Carlyle settled a lawsuit contending that it and other large buyout firms had colluded to suppress the share prices of companies they were acquiring. The lawsuit targeted some other ERSRI private equity managers, i.e., Bain Capital, and TPG. Carlyle agreed to pay $115 million in a settlement but didn’t pay those costs. “Instead, investors in Carlyle Partners IV, a $7.8 billion buyout fund started in 2004, will bear the settlement costs that are not covered by insurance. Those investors include retired state and city employees in California, Illinois, Louisiana, Ohio, Texas and 10 other states. Five New York City and state pensions are among them.”
    4. Fraud: It has been a bumpy few years for Providence Equity, said the New York Times in April 2015. In February, one of the firm’s biggest investments, the security screener Altegrity, filed for bankruptcy in the face of fraud accusations. Providence had its entire $800 million stake wiped out, the largest loss in the firm’s 26- year history. In 2011, a former USIS (Altegrity’s previous name) manager in Alabama filed a whistle-blower lawsuit that the government later joined asserting that 40 percent, or 665,000, of the investigations USIS turned in to the government between 2008 and 2012 were incomplete. [20] Altegrity’s reputation suffered another blow after revelations that it had performed the background checks on Edward J. Snowden, the former National Security Agency contractor who leaked documents to journalists, and Aaron Alexis, the Washington Navy Yard shooter who killed 12 people in 2013. The final straw was a hacking attack on USIS, which led the government to withdraw its contracts. With the loss of that business, and buckling under $1.8 billion in debt, Altegrity filed for bankruptcy protection in February.
    Again, when public pensions suffer losses as a result of fraud perpetrated on the government, law enforcement should consider separate prosecution of the pension managers responsible.
    5. Private equity secret profiting: As disclosed in Providence Equity’s most recent Form ADV filing with the SEC, certain of the principals and employees of the adviser or their family members may invest in the Providence funds and the management fees assessed on their investments are typically substantially reduced or waived entirely. In addition, all of the principals’ and employees’ capital subscription may be made through reductions in or waiver of the management fee payable to the adviser by such fund in lieu of capital contributions by such principals and employees.
    Again, how does ERSRI gain from—why would ERSRI fiduciaries agree to—permitting employees of a richly-compensated asset manager to participate in the same funds in which the pension invests on more favorable terms? Based upon my experience, it is likely that virtually all of ERSRI’s private equity managers permit their principals, employees and “friends” to participate in their funds on a preferential basis—potentially profiting at the expense of ERSRI.
    6. ERSRI’s Investment in Raimondo’s Point Judith II: ERSRI’s investment in Point Judith II venture fund, formerly managed by Governor Raimondo, raises numerous “red flags,” primarily discussed in my original report. As noted in my second report, since this investment will terminate in 2016, the truth about the performance of this investment may finally become known to the public in the near future.
    Red flag: Not only was Raimondo successful in soliciting a $5 million investment from ERSRI in her small, unproven venture fund, for some reason ERSRI paid Point Judith Capital the highest of fees for this investment—fees even higher than the firm requested in its sales presentation to ERSRI. Why did ERSRI pay a higher fee to Raimondo’s Point Judith than the firm originally asked? As I stated in my first report, “It appears that the 2.5 percent asset-based and 20 percent performance fees paid to Point Judith by ERSRI are significantly higher than the then venture capital industry standard of 2 percent asset-based and 20 percent performance fees. Since Point Judith Capital was a small, unproven manager at the time of the investment by ERSRI, there is no reason to believe the firm should have commanded a higher fee.”
    Red flag: Further, Raimondo and ERSRI made numerous public statements regarding the performance of the Point Judith II fund, as well as released summary performance figures which were strikingly divergent. Based upon incomplete information she has provided, the performance of the investment has ranged from her initial claim of 22 percent, to 12 percent, to 10.9 percent, to 6.2 percent, to 4 percent, to -16.7 percent. In conclusion, as a result of the Treasurer’s refusal to publicly disclose all of the material information regarding Point Judith Capital and the Point Judith II fund she formerly managed and sold to ERSRI, choosing instead to disclose limited unverified information which is wildly inconsistent, it is impossible for the general public, participants and taxpayers to assess her and the firm’s investment capabilities, as well as whether ERSRI should have ever invested, or should remain invested, in the Point Judith II fund. In order to prevent any possible confusion or misleading of investors, it is appropriate to refer this matter to the SEC for investigation, I stated.
    Red flag: As a Point Judith insider, Raimondo, or other mystery investors, may have been granted special rights more favorable than those granted to the state, including special withdrawal rights; rights to receive reports from the partnership on a more frequent basis or that include information not provided to other limited partners; rights to receive reduced rates of the incentive allocation and management fee; rights to receive a share of the incentive allocation, management fee or other amounts earned by the general partner or its affiliates. If true, Raimondo who received her interests in the Point Judith fund for free and other mystery investors may be profiting at the expense of the state, which paid $5 million for its limited partnership interests.

In conclusion, the evidence of pervasive wrongdoing involving alternative investments held in the portfolios of pensions established for state and local government workers nationally, including ERSRI, is overwhelming. The malfeasance evident in ERSRI’s alternative investments is harmful to the already severely underfunded pension.

The so-called “reform” of ERSRI involving heavy use of alternative investment funds engaged in practices unsuitable or illegal for the pension is doomed to continue to fail. Five years into a ten-year looting, already an estimated $2 billion has been lost in Rhode Island. It is not too late to act to protect the retirement savings of state and local government workers of modest means.

At this pivotal moment when $1 trillion in public pension assets are at risk nationally, regulators and law enforcement must pierce the veil of secrecy, examine the myriad forms of commonplace alternative industry wrongdoing, and craft an effective response to protect government workers retirement security—before the ten-year looting cycle has been completed.

It is time to address whether alternative industry malfeasance may be criminally, as well as civilly actionable when public pensions, such as ERSRI, are harmed.

I am available to answer any questions you may have and provide any assistance. Please do not hesitate to call me.

Edward “Ted” Siedle
President

[1] Findings of certain of these forensic investigations have been made public and can be viewed at my company website, www.investigatemyretirementplan.com.
[2] http://www.scribd.com/doc/176896709/Rhode-Island-Public-Pension-Reform-Wall-Street-s-License-to-Steal
[3] http://files.golocalprov.com.s3.amazonaws.com/Double%20Trouble%20FINAL.pdf
[4] https://www.change.org/p/u-s-securities-and-exchange-commission-investigate-potential-violations-of-the-rhode-island-8-billion-state-pension-fund
[5] http://www.forbes.com/sites/edwardsiedle/2015/11/20/rhode-island-retired-teachers-association-turning-up- the-heat-on-pension-looting/
[6] Page 51.
[7]  http://www.bloomberg.com/news/articles/2014-04-07/bogus-private-equity-fees-said-found-at-200-firms-by-sec
[8]  How Fair are the Valuations of Private Equity Funds? http://papers.ssrn.com/sol3/papers.cfm?abstract_id=2229547
[9] http://www.pionline.com/article/20150330/ONLINE/150339990/sec-charges-private-equity-firm-patriarch-ceo- with-improper-valuation
[10] https://people.hofstra.edu/Daniel_J_Greenwood/pdf/Looting.pdf
[11] http://www.providencejournal.com/article/20140224/NEWS/302249995
[12] http://wpri.com/2014/10/15/arnold-donates-another-100k-to-pro-raimondo-super-pac/
[13] http://www.forbes.com/sites/trangho/2015/05/09/why-hedge-funds-love-to-go-offshore/
[14] http://www.reuters.com/article/us-sec-fenway-idUSKCN0SS22620151103#GZTKQVh88ckmZo8f.97
[15] http://www.scmp.com/business/banking-finance/article/1673090/blackstone-tpg-capital-disclosefees-under-
pressure-us-sec
[16] http://www.wsj.com/articles/fees-get-leaner-on-private-equity-1419809350?cb=logged0.46937971841543913
[17] http://www.nydailynews.com/news/bill-clinton-pal-earned-huge-pension-fees-marvin-rosen-firm-millions- hevesi-reign-article-1.361953
[18] http://watchdog.org/15168/nm-gary-bland-trouble-for-the-sics-pay-to-play-lawsuit/
[19] http://www.nytimes.com/2009/05/15/nyregion/15carlyle.html
[20] http://www.nytimes.com/2014/10/19/business/retirement/behind-private-equityscurtain.html?_r=0

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No pressure, House of Reps, but people are dying


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Jonathan Goyer

The Good Samaritan Act was passed in the RI Senate last week on the second legislative day of the season and the enthusiastic support the Act has received from Governor Gina Raimondo and Speaker Nicholas Mattiello gave advocates hope that the bill might be on the fast track. Those hopes were dashed last night when the vice chair of the House Judiciary Committee, Representative Doreen M. Costa (R District 31 Exeter, North Kingstown) motioned to hold the bill for further study.

Larry Berman, communications director for the Office of the Speaker, explained that, “It is customary to hold almost all bills of substance after the first hearing.  The exceptions are for minor bills such as marriages.  This enables the committee members and staff to review the testimony and many times there are changes made after listening to the testimony.”

The bill exempts “from liability any person who administers an opioid antagonist to another person to prevent a drug overdose. It would further provide immunity from certain drug charges and for related violations of probation and/or parole for those persons who in good faith, seek medical assistance for a person experiencing a drug overdose.”

The bill under consideration in the House is identical to the one that passed in the Senate and it seemed all the members of the House Judiciary Committee were on board with the bill, or at least anxious to be seen sitting in support of it. I have never attended a committee meeting where every member was present when role was called. Even Committee Chair Cale P. Keable (D District 47 Burrillville, Glocester) noted that having no absentees at a committee meeting “hasn’t happened in a long time.”

“Overdoses represent a public health crisis,” said Dr. Nicole Alexander-Scott, director of the Rhode Island Department of Health, in her testimony before the committee, “that is as urgent as any crisis we have ever confronted in Rhode Island in the past.” Both Director Alexander-Scott and Maria Montanaro, director of the Department of Behavioral Healthcare, Developmental Disabilities and Hospitals presented evidence that the law saves lives.

Jonathan Goyer, who is in recovery and works as an advocate combating drug addiction and overdose told the committee, “No pressure, but as I’m sitting in the back of the room, there’s a good chance that as we all sat in here, that we just lost another life… and I don’t think we need to wait until next week, I think it needs to pass today.”

But the bill did not pass, and will not pass this week.

Larry Berman told me the Good Samaritan Act, “is tentatively scheduled to be posted for a vote at the next Judiciary Committee meeting, Tuesday, January 19, and then it could be brought to the floor for a potential vote by the full House on Thursday, January 21.”

No pressure, House of Representatives, but people are dying.

You can watch all the testimony in the video below.

And you can watch Jonathan Goyer explain how Narcan helps save lives here:

A lesson in the use of Narcan

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Underage sex trafficking in Providence to be discussed at San Diego conference


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Family Service of RI LogoThe decade-long partnership between Family Service of Rhode Island and the Providence Police Department, and their work on sex trafficking issues, will be a focus of an upcoming international conference in San Diego on Wednesday, January 27th.

The 30th annual “San Diego International Conference on Child and Family Maltreatment” is sponsored by the Chadwick Center at Rady Children’s Hospital, San Diego, and the University of California School of Medicine in San Diego.  The conference’s focus is on multi-disciplinary best practices to prevent, investigate, treat and prosecute child and family maltreatment.

Col. Hugh Clements, Jr., Providence’s police chief, and Family Service of Rhode Island senior vice president Susan Erstling, PhD will present “Partnering With Police: Current Practices and Lessons Learned around Early Identification of Rhode Island Minors at High Risk for Sex Trafficking and Sexual Exploitation.”

Family Service of Rhode Island, a statewide non-profit, has partnered with the Providence Police for more than a decade on crime prevention and victim services.  Family Service of Rhode Island also partners with the Rhode Island State Police and the East Providence Police on similar initiatives.

As part of the presentation, Family Service of Rhode Island has developed a video featuring Providence Police Detective Koren Garcia and Family Service of Rhode Island’s police liaison Carla Cuellar discussing how they work together with victims on issues relating to the legal system, emotional trauma, and medical care, and the role of Hasbro Children’s Hospital’s Child Safe Clinic.

https://youtu.be/zk5SADffDc8

“I urge everyone interested in sex trafficking issues, particularly persons in law enforcement and social work, to watch this video. It provides a real-world look at the day-to-day problems confronting victims and first providers,” said Dr. Erstling.  She noted that January is “Human Trafficking Awareness Month.” Dr. Erstling is senior vice president of trauma, loss and children’s services at Family Service of Rhode Island, which is the regional site for the National Child Traumatic Stress Network.

“We are pleased to share the firsthand practical knowledge we have on helping traumatized victims with professionals from across the nation and beyond,” said Margaret Holland McDuff, CEO of Family Service of Rhode Island, who helped create the agency’s partnership with the Providence Police a decade ago.

Col. Clements and Dr. Erstling will be joined at the presentation by Amy Goldberg, MD, pediatric specialist at the Lawrence A. Aubin Child Protection Center, Hasbro Children’s Hospital. Dr. Goldberg will address the  pediatric and medical aspects of child sex trafficking as well as collaborative strategies  in conducting interviews, medical evaluations, and follow up care to reduce re-traumatization, avoid criminalization and to recognize the significant developmental and physical aspects of having been commercially exploited.

[From a press release]

Tim DeChristopher: Prison taught me to believe in evil


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Tim DeChristopher entering Scott Matheson Courthouse July 26, 2011 Salt Lake City Utah USA
Tim DeChristopher entering Scott Matheson Courthouse July 26, 2011 Salt Lake City Utah USA

Tim DeChristopher spent 21 months in prison after disrupting a Bureau of Land Management oil and gas auction in 2008 by outbidding oil companies eager to snatch up pristine lands around national parks in Utah. Now he’s a divinity student at Harvard. When asked “How did prison change you?” DeChristopher offers a surprising answer:

“It taught me to believe in evil.”

DeChristopher delivered a sermon about his imprisonment and subsequent revelation at the First Unitarian Church of Providence Sunday morning. He began by telling a story about an incident that occurred about six months into his incarceration.

A man named Alejandro was serving time for drug smuggling. Like many inmates, Alejandro turned to crime because of lack of opportunity and a need to provide for his family. During visiting hours, Alejandro was met by his wife, infant child and four year old son. When it came time for visiting hours to end, Alejandro’s son did not understand why his father could not come home with him. He clung to his father and cried until a guard intervened and help Alejandro’s wife physically remove the boy.

“We were all fighting back tears,” said DeChristopher, “All were crying, except for the guard, his eyes were dry.”

The guard was merely inconvenienced.

The guard’s job is to literally tear families apart says DeChristopher, “To do this, you must see inmates as less than human.”

“Evil,” says DeChristopher, “is the denial of the inherent worth and dignity of other people. This is that nature of the prison system today.”

The evil is structural, not personal, and prisons are always evil, even if they are only the lesser of two evils.

The private prison company lobbyists who write the laws that help imprison people for nonviolent crimes don’t have to separate children from their mothers and fathers. Judges, lawyers and juries don’t have to pull children away either.

“Those most impacted [by the system] can do the least about it,” says DeChristopher.

A guard must suppress his conscience, “or find another job” if possible. Most of the guards that DeChristopher dealt with were former military: uneducated and sometimes dealing with mental illness, “practiced in the ways of dehumanization.”

The “suppression of humanity in others goes hand in hand with the suppression of one’s own humanity,” says DeChristopher. The constant belittling of prisoners seemed rote, like programming, and DeChristopher began to see the guards as machines. He told a fellow inmate, “Think about the guards as robots, so you don’t expect anything from them.”

Well after prison, DeChristopher realized, that like the guards, he had denied the basic humanity of those around him. For a Unitarian Universalist, respecting the inherent worth and dignity of all human beings is the first of seven principles. But rather than see his lapse as a failing, DeChristopher sees the principles as aspirational.

Structural Evil

“Structural evil requires a structural response,” says DeChristopher. He thinks people can push back against unjust laws and unjust systems by refusing to convict when we sit on juries if the law or the application of the law will result in injustice. Many courts will tell juries that they must not use their conscience, but only decide cases on the law. DeChristopher maintains that to do this only concentrates power in the hands of judges and prosecutors.

“We need more conscience, more compassion… laws that put non-violent offenders in prison for decades are largely out of line with our values,” says DeChristopher, “Society is alienated along class and race.”

To combat dehumanization, we must find our vulnerability, sacrifice our privilege, and see the inherent worth and dignity in others. There is, says DeChristopher, “a divine spark in each of us” that is “a powerful creative force for combating structural evil.”

But this isn’t easy to do. “Three years after my release, I still don’t think that I could have been strong enough to be vulnerable,” says DeChristopher.

You listen to DeChristopher’s sermon here.

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Potential Disasters: dangerous facility in a high risk area


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The Environmental Justice League of Rhode Island (EJLRI) has created a brilliant position paper, “National Grid’s Liquefied Natural Gas (LNG) Liquefaction Facility: Toxic Hazards in the Port Providence: Proposals for a Just Transition” that eviscerates National Grid‘s plans to build a new liquefaction facility for fracked LNG at Fields Point in South Providence. Over the next few days RI Future will be presenting the EJLRI’s position paper in its entirety.

Potential Disasters: dangerous facility in a high risk area

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Despite what the gas industry says, LNG is a dangerous substance. Developing additional large scale LNG infrastructure in densely populated urban areas, and particularly at Fields Point in the Port of Providence, poses a number of risks for potential disasters. This following section is an abbreviated summary of some of the risks and potentially dangerous scenarios. The gas industry is quick to state that LNG isn’t flammable or explosive, and that it isn’t stored under pressure. This is somewhat t​rue, but it’s a dangerous half ­ truth. LNG is stored at very cold temperatures (under ­260°F), in double shelled containers without any air present. In these conditions, LNG is in stable liquid form and without air it is not flammable.

The potential dangers with LNG occur if something goes wrong and it leaves these conditions. At any temperature over ­260°F it begins to boil and convert to methane gas, which causes it to expand by 600 times. At these temperatures, any sealed container would become rapidly pressurized. If LNG spills and begins mixing with air, it does become flammable between concentrations of 5 – ­15 percent gas to air. For comparison, propane is flammable at concentrations of 2.1 – ­9.5 percent, gasoline is flammable at 1.3­ – 7.1 percent. As leaking or spilled LNG boils and expands, at first it presents ​hazards of cryogenic freezing (​due it’s very cold temperature) and asphyxiation ​(due to it being heavier than air, displacing oxygen). If the expanding LNG cloud comes across an ignition source with enough air mixed in, it would become a​ pool of fire that can ignite back to the source of the spill.​ If the spilled LNG is pressurized (for example during the re-­vaporization process, when LNG is converted back to gas to re-inject in to the grid), it can cause a jet fire. If a vapor cloud of boiling and expanding LNG occurs within a confined structure, and catches fire, it can become over pressured and potentially explosive. Ignition of pressurized liquids can cause a BLEVE: Boiling Liquid Expanding Vapor Explosion.​​ (See here and here)

Relevant Past LNG Disasters

Washington State: March 31st, 2014

​A rupture in one of the “pressure vessels” next to an LNG storage tank was cited as the cause of an explosion that injured 5 workers, sent 250 pound fragments of steel shrapnel flying over 300 yards, punctured a double shell LNG storage tank, and caused an evacuation of people within two miles from the LNG storage facility. “B​enton County sheriff’s Deputy Joe Lusignan said Wednesday that it was ‘a little bit of a miracle’ that no one was killed. ‘It was an extremely powerful explosion, the initial explosion,’ he said. ‘Fortunately, we didn’t have any subsequent ones after that.’” The blast caused an evacuation within a 2 mile radius, far larger than the half­ mile area that National Grid is considering for impacts in Providence. Luckily, the area in Washington was sparsely populated, with only 1000 residents and agricultural workers evacuated, whereas a 2 mile radius from the LNG tank in Providence has a population of close to 80,000 people, which doesn’t include additional people at work, school, or in RI Hospital and trauma center. According the Reuters, the LNG blast in Washington “could focus attention on the risk of storing massive gas supplies near population centers.”​

Skikda Algeria, January 2004

The port city of Skikda, Algeria suffered an explosion and deadly incident at an LNG Liquefaction Facility. A steam boiler exploded “after it probably drew flammable vapors from a hydrocarbon refrigerant leak into its air intake. This triggered a secondary, more massive vapor cloud explosion destroying a large portion of the plant. The incident killed 27 people, injured 74, and created an $800 million loss.” In the U.S, the 2004 incident spurred increasing opposition to LNG import facilities being proposed at the time. In response, “energy industry executives and regulatory officials have pointed out that the explosion in Skikda [was] attributed to a boiler that is not expected to be part of LNG terminals in the United States, which are to be used for warming liquefied gas back into a vapor, then storing it. The Skikda plant did the opposite, chilling natural gas until it condensed into a liquid.” National Grid’s proposed Liquefaction Facility in Providence would perform the same function as the Skikda plant in Algeria.

LNG Facility in Providence Denied in 2005 due to safety risks ­

I​n 2005, FERC denied an application from Keyspan (now National Grid) to expand the existing Fields Point LNG storage tank into an LNG import facility. FERC Commissioner Nora Brownell stated that the proposal was turned down because of safety risks and the “very real concerns made by the residents in communities and all of the towns nearby.” The “Commission staff concluded that the KeySpan LNG conversion project would not meet current federal safety standards… [and] identified 75 specific environmental mitigation measures that must be met by KeySpan LNG and its accompanying pipeline project [CP04­223, CP04­193].

A report by former White House anti­-terrorism adviser Richard Clarke concluded that “urban import terminals, such as Fields Point LNG, would be vulnerable to “catastrophic” terrorist attacks, and also make “extremely attractive” terrorist targets.”  In the detailed 159­ page report, Clarke details multiple scenarios in which an attack on the LNG facility in Fields Point Providence results in an LNG pool fire and catastrophic mass casualties. The comprehensive report detailed neighboring industrial and chemical facilities that would be impacted by a LNG fire, but said that further study would be needed to assess the additional risks posed.

High Risk Neighbor: Univar Chemical Facility ­

The proposed LNG Liquefaction facility neighbors a chemical facility owned by Univar, a multinational chemical corporation that also happens to manufacture chemicals for hydraulic fracturing (“fracking”). Fracking is a controversial process used in extracting natural gas from shale and other unconventional formations; the process has been banned in New York State due to public health concerns raised by the NY Department of Health. While it is unknown whether Univar’s facility in Providence has a direct link with fracking, the facility is listed on EPA’s Toxic Release Inventory due to onsite release 1,275 pounds of toxic chemicals in 2013. Chemicals listed on the EPA’s Toxic Release Inventory database for the Univar site in Fields Point include but are not limited to:

1,1,1­TRICHLOROETHANE, ACETONE, AMMONIA, CHLORINE, CHLOROBENZENE, DI(2­ETHYLHEXYL) PHTHALATE, DIBUTYL PHTHALATE, ETHYLENE GLYCOL, FORMALDEHYDE, FREON 113, METHANOL, N,N­DIMETHYLFORMAMIDE, PHOSPHORIC ACID, SODIUM HYDROXIDE, STYRENE, TETRACHLOROETHYLENE, TOLUENE, TRICHLOROETHYLENE and TRIETHYLAMINE.

Former White House Anti­-Terrorism official Richard Clarke wrote in his 2005 report on LNG in Fields Point that,

In the event of a [LNG] pool fire, temperatures would be high enough to compromise chemical storage tanks. Univar workers handle such chemicals as chlorine, sodium hydroxide, hydrogen peroxide, and potassium hydroxide at the site. Chlorine leaks can be lethal. For example, a recent chlorine gas leak in South Carolina killed nine people and required evacuations for up to one mile from the site. We do not know all the effects of gas leaks on all these chemicals, or the potential consequences of explosion of these chemicals caused by high heat from an LNG pool ­fire. Additional research into the safety of this chemical facility is needed in assessing the risks posed.”

14 mile hazard radius: 110,000 schoolchildren at risk ­

I​n 2014, the Center for Effective Government released a report titled “Kids in Danger Zones: One in Three U.S. Schoolchildren at Risk from Chemical Catastrophes” which investigated schools being located within the hazard radius of chemical facilities. Appendix III of the report shows the percentage of students in vulnerability zones, by state. ​With 67 percent of students at risk from a chemical incident, Rhode Island is ranked 2nd highest nationwide, ​ranking above both Texas and Louisiana which are both known for welcoming petrochemical facilities in busy Gulf of Mexico ports. RI’s high chemical risk ranking is due almost entirely to the Univar chemical facility in Providence, adjacent to the proposed LNG Liquefaction Facility. Within the 14 mile hazard radius of the facility there are 311 schools with approximately 110,000 children.

Major Fuel Terminals and Fuel Transportation ­

T​he Port of Providence is the largest fuel port in Southern New England, and supplies oil products (gasoline, diesel, ethanol, jet fuel, etc) to all of Rhode Island, Eastern Connecticut, and Worcester County and South Coast Massachusetts. The fuels are transported in and out of South Providence by international tanker ships, heavy truck traffic, and and a railway line that travels between I­95 and Roger Williams Park and Zoo before connecting with the Amtrak and MBTA Commuter Train tracks in South Elmwood. Port of Providence has terminals operated by Sprague Energy, Global Partners LP, Enterprise Products (subsidiary of Duke Energy), New England Petroleum, and Motiva (a joint venture between Shell Oil and Saudi Arabia’s Aramco). National Grid’s LNG storage tank and proposed liquefaction facility is bordered by the Motiva terminal to the West and Northwest, and next to Global’s terminal to the South and Southeast.

Given the close proximity of highly flammable and potentially explosive substances, an incident at one facility could trigger a secondary incident at a neighboring facility. An incident, whether caused by natural disaster, human error, equipment malfunction, or terrorism, could quickly spread and cause much larger incidents. The presence of pipelines, tanker ships, fuel trucks, storage tanks, and ethanol trains each pose individual risks, their concentration in close proximity multiplies the potential scenarios in which an incident could occur. The Thurbers Ave exit is one of the busiest set of highway ramps in Rhode Island, with sharp turns and confusing cross traffic patterns. This is the exit that the majority of truck traffic into and out of the port uses, including the LNG tanker trucks carrying “methane refrigerated liquid.” A​ny potential accident, and the resulting disaster scenario, must be taken into consideration with National Grid’s proposed Liquefaction Facility.

Ethanol “bomb” trains ­

E​thanol trains docking at the Motiva terminal are within the half mile hazard radius of the proposed Liquefaction Facility, and are directly adjacent to the sharp turn on I­95 by the Thurbers Ave exit. It is not unfathomable to conceive of a potential disaster involving a traffic accident with a fuel tanker or train car containing explosive ethanol or toxic chemicals traveling into or out of the port. In preparation for a potential incident, RI Department of Environmental Management and the City of Providence hosted a Tri­State HAZMAT Full­Scale Response Exercise on September 10th, 2011 focusing on a scenario of an ethanol train derailment at the Motiva terminal in Port of Providence, requiring both land­based and marine response teams.

According to the joint press release,“E​thanol is a highly volatile, flammable, colorless clear liquid and unlike gasoline, is completely soluble in water rendering containment boom and absorbent boom virtually useless during a release. More than two million gallons of denatured ethanol move through the Port of Providence area by rail, barge, and tractor ­trailer every week.” In 2014, community groups in Boston organized against ethanol trains coming through densely populated neighborhoods and sharing tracks with MBTA and commuter rail trains. A​lternatives for Communities & Environment​(ACE), Chelsea Collaborative, and Chelsea Creek Action Collaborative successfully won a statewide legislative moratorium against the dangerous ethanol “bomb”trains. ​(See here and here)

Dangerous incidents occurring in the Port of Providence

The following are not just hypothetical scenarios to study, they have occurred in the past. Luckily, previous incidents have been contained and have not escalated to worst case scenarios, but that potential exists.

Lightning Strike​­

On July 19, 2006 lightning struck an oil tanker that was about to dock at the Motiva facility adjacent to National Grid’s LNG tank. Associated Press reported that it resulted in a four alarm fire and that “every firefighter in Providence was on the scene.” A truck driver parked nearby said he​“saw a bolt of lightning, followed by an explosion and a large fireball. [He] said he could feel the heat from the initial explosion several hundred feet away in a nearby parking lot. ”I’ve never seen anything in the world like this,” he said.” EPA responded by setting up air quality monitors nearby to check for toxic releases of airborne pollutants.

Earthquake​ ​

On July 22, 2015 there was a 2.3 magnitude earthquake in Rhode Island which was felt in Johnston RI, and Bristol RI, and Fall River, MA. The epicenter was determined to be in the Port of Providence at Fields Point, the exact location of the existing LNG storage tank and proposed Liquefaction Facility. According to R.J. Heim, reporting for WJAR/NBC10, “t​he earthquake leaves many people wondering if it compromised infrastructure at the busy port or shake a cluster of fuel tanks located nearby.” National Grid reported that their facility was not compromised, but questions remain as to whether the outcome would have been different if the Liquefaction Facility were in operation at the time, or if a stronger earthquake were to hit along the same fault line.

Hurricane ­

H​urricane Sandy was devastating for New York City and parts of the southern coast of Rhode Island, but luckily was not a direct hit on Providence. The Port of Providence is at sea level, and is on the wrong side of the Hurricane Barrier. A significant storm surge coming up Narragansett Bay would be blocked at the Hurricane Barrier, protecting downtown Providence that would cause additional surge and impacting the port. Of three major tidally influenced rivers that flow into Narragansett Bay in Providence, the Hurricane Barrier would block a storm surge from entering the Woonasquatucket or Moshassuck Rivers, displacing that excess water into the Blackstone River and the narrow top of the bay, where this heavy industrial port is located. A joint research project by University of Rhode Island, the RI Department of Transportation, and the Federal Highway Administration recognizes that “hurricanes pose a significant threat” and is undertaking a vulnerability assessment of infrastructure at the Port of Providence. However, most studies of storm impacts on the Port of Providence only consider the economic impact and how to make infrastructure more resilient; the impact on the communities of South Providence and Washington Park is often ignored.

Emergency Preparedness and Response

There are many potential disasters waiting to happen with the existing industries in Port of Providence, let alone with the proposed $100 million liquefaction facility. While there has been at least one disaster response exercise focused on the port, and a large quantity of specialized foam was purchased following the lightning ­induced fire at the Motiva terminal, neither of these initiatives relate to the specialized disaster response scenarios required in the event of an LNG or a secondary Univar chemical facility incident. Given the high concentration of facilities in the Port that store toxic materials, discharge pollutants, and/or require a chemical risk management plan, there are major questions remaining about what the overall disaster response plan is, who would be able to respond, and whether those  responders would have the proper training and equipment required.

Richard Clarke’s 2005 report L​NG Facilities in Urban Areas details many possible disaster scenarios that the state is ill equipped the handle. While scenarios involving LNG import tankers no longer apply due to FERC’s rejection of the previous 2005 proposal, the existing LNG incidents around the world have all been with Liquefaction Facilities, Peak Shaving storage tanks, or tanker trucks ­ all of which are or will be present in Port of Providence.

What would happen if an incident compromised the I­95 corridor near Thurbers Ave, or if an event impacted the state’s only trauma center? How would a two mile radius evacuation of a densely populated area occur, with RI Hospital, Hasbro Children’s Hospital, and Women and Infants all being within the two miles? What plans are in place to protect the children who attend schools within the hazard radius? Do any existing plans for disaster preparation and response take into account the high level of linguistic diversity within the community?

See also:

●  Flawed Proposal: Background info on National Grid’s unnecessary project

●  Potential Disasters: dangerous facility in a high risk area

●  Environmental Racism: ongoing and underlying environmental justice issues

●  Climate Change: it causes climate change and is at risk from climate impacts

●  Public Health: health disparities and impacts on health care institutions

●  Economic Inequality: high cost project that will cause economic damage

●  Alternatives and Solutions: Strategies for Climate Justice & a Just Transition

New Year’s Eve rally to demand justice for Tamir Rice and Sandra Bland


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2015-12-31 White Noise Collective 21A rally was held outside the Federal Court House on Exchange St in Providence New Year’s Eve to demand justice for  Tamir Rice, Sandra Bland and the countless others “who have been killed by state violence and who’s lives have seen no justice in this broken system.” The White Noise Collective [WNC], a “collective of people working at the intersection of whiteness and gender oppression to disrupt racism and white supremacy” organized the rally and march “in response to the non-indictments” of Rice and Bland handed down by grand juries this week.

2015-12-31 White Noise Collective 09Tamir Rice was a 12-year old boy in Ohio gunned down by police within seconds of their arrival on the scene. Tamir was holding a toy gun. Sandra Bland was 28-year old woman found hanging in her cell after being pulled over for a minor traffic violation and arrested in Texas. Her death was ruled a suicide. In both cases no indictments have been brought against the police.

Most of those participating in the rally in Providence were white. “White silence in the face of state violence,” says the WNC, “is a huge part of what allows a white supremacist system to continue taking black lives without repercussion.” The protesters marched through downtown Providence, holding signs, chanting and singing outside the crowded downtown Providence restaurants, and ended up under the Holiday Tree outside the Providence City Hall.

Similar events were held across the country.

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First Amendment protects freedom of conscience, not just religion


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Constitution of the United States“It is beyond reproach that the First Amendment only protects sincerely held beliefs that are ‘rooted in religion,’” said Assistant Attorney General Adam J. Sholes, as quoted in the Providence Journal.

Sholes couldn’t be more wrong and his position is particularly troubling given that he practices law in the State of Rhode Island, the place where the first government guaranteeing freedom of conscience was formed.

The case revolves around Devon Letourneau and Robert Vangel, two men at the ACI who are suing the state, alleging that “they are being blocked from practicing their faith” while in prison. The faith they maintain they are being blocked from practicing is the Five-Percent Nation, which many in law enforcement see as little more than a criminal gang.

According to the ProJo, “The state is asking that the suit be dismissed, saying that prison officials acted reasonably and in good faith in their official capacities and that the First Amendment and the federal Religious Land Use and Institutionalized Persons Act do not protect ‘cultural activities and beliefs.’ The state emphasizes that Letourneau and Vangel explicitly reject defining [their beliefs] as a religion and instead consider it a culture or way of life.”

While acknowledging that the state may have compelling interests in preventing these men from engaging in the fullness of their religious practice due to concerns about safety, security and rehabilitation, I have to firmly disagree with Assistant Attorney General Sholes. There is no question that the establishment clause of the Constitution, the part that reads, “Congress shall make no law respecting an establishment of religion, or prohibiting the free exercise thereof,” fully applies.

There are many world views, philosophies, life stances or ways of life that are not religious in nature, yet are considered fully equal to religion in terms of conscience and liberty, under the law. Though I confess to not fully understanding the intricacies of Letourneau and Vangel’s beliefs, from what I’ve read they make no less sense than any number of other religions, faiths and beliefs that are routinely accorded First Amendment protections. Further, non-religious belief systems, such as atheism and Humanism, are protected under the First Amendment as surely as Christianity or Judaism.

Thomas Jefferson wrote “that the legitimate powers of government reach actions only, & not opinions.” He further wrote that officers of civil government should “interfere [only] when [religious] principles break out into overt acts against peace and good order.” In penning these words, Jefferson set a high bar for the United States, a bar we have not always met in times of crisis or fear.

According to the ProJo, five states have classified the Five-Percent Nation as a gang or a security threat. This determination in no way diminishes the Five-Percent Nation’s status as a protected belief, but, per Jefferson, creates an onus on the government to take extra care when restricting an inmate’s ability to practice their beliefs.

The state’s defense then, should not be that the Letourneau and Vangel’s Five-Percent Nation beliefs are not protected by the Constitution as Assistant Attorney General Sholes seems to maintain, but that the state has made every safe and reasonable effort accommodate the beliefs.

In doing so, we will have protected not just the beliefs of two inmates, but the liberty of conscience of all Rhode Islanders.

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Groups request release of state police report on Tolman High School incident


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acluThe American Civil Liberties Union of Rhode Island, the NAACP Providence Branch, the George Wiley Center, the American Friends Service Committee – South East New England, and Providence Student Union today filed an open records request with the Rhode Island State Police requesting the full report of its investigation, conducted in conjunction with the Pawtucket Police Department, into the actions of a school resource officer who was recorded body-slamming a 14-year-old student at Pawtucket’s Tolman High School on October 14. The groups are also seeking the evidence gathered in the investigation, as well as documents related to any review of the pepper-spraying by Pawtucket Police of students protesting on the day following the incident.

The request, filed pursuant to the state’s Access to Public Records Act (APRA), was made after the State Police announced it had completed its review of the incident and found that the officer in question behaved appropriately. In their APRA request, the groups noted that they are not calling the report’s conclusion into question, but consider it important that the public be able to understand the report’s finding and see all the evidence used to reach this conclusion.

2015-10-16 Tolman 002The public interest in both the incident and subsequent investigation is clear, the groups stated, pointing to the extensive media coverage of the incident, the subsequent student protests, and the important policy issues the incident raised. In requesting the release of the documents, the groups noted that in August the State Police voluntarily released a detailed report into the Cranston Police Department and its “Ticketgate” scandal.

“Like that report, release of this information would shed light on important government issues, and particularly the role, responsibilities and powers of school resource officers in the schools,” the groups stated. By releasing this information, the groups noted, the State Police would be acting in line with an October 20 memo released by Governor Gina Raimondo’s office that emphasized the importance of state agencies disclosing information under APRA whenever possible.

“In balancing the public’s right to know versus any general privacy interests, we clearly believe the public interest is paramount in this instance,” the groups stated. Recognizing the need to protect the privacy of some individuals whose statements contributed to the report, the groups reminded the State Police that APRA provides for the redaction of those names and other personally identifying information rather than withholding the records.

ACLU of RI executive director Steven Brown said: “Release of the State Police report and materials is critical to promoting transparency and the public’s right to know in understanding this controversial incident that brought to light the many serious concerns raised by the routine presence of police officers in schools”

Martha Yager, program coordinator for the AFSC – SENE, said today: “I find it disturbing that it is deemed acceptable for a police officer to slam a child to the floor in school and arrest him. When a young person is loud and angry, should not the response be to patiently defuse the situation? Are not schools among the places we should teach children how to deal with their anger and distress? Why are children arrested when no law is broken? We need these documents to get a better handle on how to change a system that criminalizes children at school.”

NAACP Providence Branch President Jim Vincent added: “Although the police officer in question was cleared, the NAACP Providence Branch finds the use of force on a 14-year-old child very disturbing and calls into question whether police officers should be in schools in the first place.”

After the October incident at Tolman High School, the ACLU called on all school districts that currently have school resource officers to re-evaluate their use in the schools and to revise the agreements they have with police departments that set out their job responsibilities.

A copy of the APRA letter is available here: http://riaclu.org/images/uploads/Tolman_High_School_State_Police_APRA.pdf

From an ACLU press release

More reading:

How nonviolence street workers kept the peace in Pawtucket

Tolman students report disturbing police behavior

Violence, protest at Tolman leads to dialogue, opportunity for students

After the violence at Tolman: ‘What Now?’

ACLU calls on schools to revise policies on SROs

BackPage and bust: how to harass sex workers and influence people


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Bella Robinson, sex worker advocate and activist.
Bella Robinson, sex worker advocate and activist.

Following Steve Ahlquist’s coverage of the vigil in memory of murdered sex workers, it seems appropriate to further discuss the nonprofit industrial complex – colloquially called the “rescue industry” – that profits off the stigma of sex workers and the key role played by the police, courts, and elected officials. An instance of this is the ongoing pursuit of sex workers and clients who utilize the website BackPage.

Local sex worker and activist Bella Robinson, who has previously faced police harassment due to advertising on Craigslist, a forum akin to BackPage, told me in the final part of our interview that the various experiences she has had with the civil infrastructure, her own reflections on reforms necessary to improve lives for sex workers, the plight of under-aged persons who turn to sex work when homeless, and blatant flaws in the nonprofits that claim to advocate for sex workers that are called victims of human trafficking.

Last May, Providence Mayor Jorge Elorza oversaw 13 arrests of men in a police sting called Operation Backpage, covered by the prohibition-toned Providence Journal:

Mayor Jorge Elorza said the stings aren’t over.
“We are speaking to anyone out there thinking about trafficking or soliciting for sex on BackPage,” Elorza said. “Beware: If you’re coming in to Providence to take advantage or abuse women, watch your back, because we’re going to get you,”
Standing at the Public Safety Complex on Tuesday afternoon with police commanders, the city solicitor, and executive director of Day One, Elorza promised more action to combat sex trafficking crimes. The police will arrest sex buyers. Day One will assist girls and women caught in prostitution.
And Elorza said he is looking at joining a federal lawsuit against Backpage.com that alleges the website is used for sex trafficking. The lawsuit was filed in U.S. District Court in Boston by three women who allege they were trafficked on Backpage.com — two of whom were 15 years old when they were first advertised as escorts on the website. The Massachusetts attorney general and the cities of San Francisco and Denver have joined the lawsuit.

This BackPage lawsuit has caused much consternation. By shutting down the websites that allow sex workers to manage their own business with a degree of autonomy, it would close a major revenue stream and give way to a return for those who victimize sex workers, the ranks of which have decreased with the rise of the internet. It is worth emphasizing that the Journal, which has a long-standing anti-labor and anti-sex worker editorial position, is sloppily misconstruing the international crime of human trafficking with a business exchange between consenting adults that was once legal in Rhode Island while simultaneously promoting so-called ‘free-market’ ethos in the business pages. This kind of yellow journalism is akin to when the press used to conflate homosexuality and activity between consenting adults with pedophilia and the rape of minor children. There is a genuine problem with human trafficking in this world but we are seeing the notion invoked to target working adults engaged in consensual activity. Meanwhile, Cardinal Bernard Law continues to not be prosecuted in Boston for one of the most widespread and systemic examples of human trafficking in recent American history. Much like the word socialism, the definition has been so totally abused and misused it has taken on two different meanings. For one group, it means protecting the vulnerable from sexual abuse. For another, it means harassment of laborers who want to remain in their line of work and pay taxes on their wages.

The mayor’s call for more BackPage sting operations is especially disingenuous because, by painting all those who utilize the website as human trafficking victims or human traffickers, it creates no gradation or allowance for variety and exercise of constitutionally-protected rights. If a sex worker is just using the site to offer legal BDSM services that do not involve actual coitus, they still can be charged with human trafficking, as was the case with Frances Franson in 1993 or the experiences of writer Kitty Stryker in 2014. The way police target legal BDSM participants is particularly disgusting. According to the National Coalition for Sexual Freedom, BDSM activity, even when totally consensual and legal, can be prosecuted under state criminal laws dealing with assault, aggravated assault, sexual assault or sexual abuse. Police can play cruel games where, if even a man’s breast is touched, that qualifies as contact with genitalia, or if blood or other non-sexual bodily fluids are even accidentally excreted due to chafing or abrasions, the participants can be arrested under prostitution and trafficking statutes. This type of state violence towards honest workers would be unacceptable in any other industry yet, because sexuality is involved in the equation, all existing norms of decency and respectability are ejected in the name of sensationalism.

Robinson points out a September 2015 news story from Oklahoma with the headline Prostitution sting: Police use Backpage.com to make 300-400 arrests since 2012; four arrested Monday and says “When the [legal] escort wouldn’t agree to [engage in a] sex act, they couldn’t arrest her for prostitution so they charged her with trafficking herself. Do we really believe that all 300 women verbally agreed to have sex for cash?” Police have even arrested suspected sex workers for charges of soliciting prostitution because they were carrying condoms! If a sex worker was to give their spouse or child monies gained from their sex work income, that beneficiary could be charged with trafficking, pandering, promoting prostitution, or profiteering based on these 2014 federal definitions and Rhode Island’s 2009 Prostitution and Lewdness law along with definitions provided in the law.

There have been instances where giving a sex worker a ride or shelter has resulted in the provider being charged with pimping or trafficking. In August 2014, Priscilla L. Franz, 31, of Chicago was arrested and booked on prostitution charges because she posted an ad on BackPage. Robinson says of this story “Ironically none of the BP ads are prostitution ads, but the cops tell the media it is so. The articles will always say this but when we pull charging documents we find the [legal] escorts did not allow cops to verbal solicit them for an illegal sex act.” Tara Burns, commenting on the extremely important BackPage v. Dart case where the court ruled in favor of BackPage’s right to host adult ads that were the target of an over-zealous sheriff, told reporter Susan Elizabeth Shepard:

“Several people contacted me and asked if I would post their ads, and I’m like, ‘No, I can’t, because that’s sex trafficking,'” Burns said. “Then once people figured out how to mail in money or use Bitcoin, then they would have other people asking them to post their ads, and I kept telling people, ‘Don’t do it, it’s sex trafficking.'”

This is what prohibition does, it forces sex workers to support the status quo of dissuading co-workers who want to work by any means necessary from doing so. These Kafkaesque laws, much like drug laws, could hypothetically also be used to target landlords who knowingly allow the operation of a sex worker venue without a license.

After a sex worker is handed over to the rescue industry, they oftentimes find themselves forced into low-wage menial labor and subjected to puritanical ethics that prevent them from private access to the internet, sexual activity outside of marriage, and contact with former associates. Or, as in the case in the film SELLING OUR DAUGHTERS, a documentary now in the final days of a crowdfunding drive on KickStarter, the head of the NGO will tell parents one thing about education of young girls in the Thai language while saying another thing about human trafficking of the very same girls in English (see video below).

While the nonprofits gain directly from sex workers, a whole cadre of professional hucksters build careers off hyperbole, ad hominen, and histrionics. They speak before legislatures while collecting handsome compensation for various publications, lectures, professional advisory opinions, speeches, public appearances, and other stops on the academia industrial complex. The war on sex workers is a racket, to paraphrase Smedley Butler. And all this for putting an advertisement on BackPage.

The publishing industry is loaded with both fiction and nonfiction titles about the sex worker who escapes the dastardly denizens of the industry. For example, the recent writings of the otherwise-decent Chris Hedges, who is giving a platform to prohibitionist and con artist Rachel Moran, are fully-loaded with typical hallmarks of the prohibitionist movement and slams those who support decriminalization as monstrous. In an earlier piece, he wrote “If we accept prostitution as legal, as Germany has done, as permissible in a civil society, we will take one more collective step toward the global plantation being built by the powerful.” Hedges may say that sex work is a manifestation of the neoliberal agenda and that ending prohibition is allowing it to take more power over our lives, but it seems clear to most proletarian anti-prohibitionists that in fact his ideas are feeding directly into the neoliberal mass-incarceration project. Anti-sex worker laws have a vicious tendency to target poor people of color. And once they are jailed, low-cost labor provided by the prison generates cheap goods for major manufacturing corporations. And while this goes on, politicians who pursue these BackPage busts are able to use the arrests as campaign talking points while aiming for higher office.

As was said at the outset, it is an industry. In a future, post, we will discuss one particularly nasty instance of a rescue industry profiteer and in another policy moves that need to be taken to make life better for sex workers.

Sex worker readers interested in contributing their voices to this continuing project are invited to contact our publication. Conscientious of the challenges facing laborers, we will offer a variety of options to protect contributors. Interested parties can contact Andrew.James.Stewart.Rhode.Island@gmail.com.

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Time running out for Raimondo to keep undocumented resident driver’s license promise


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2015-12-19 Driver's Licenses 028Community groups lead a march through Olneyville to remind Governor Gina Raimondo of her election year promise to sign an executive order giving undocumented residents of RI access to driver’s licenses. The groups carried the written promise with them as they marched, signed by the then candidate for governor when she met with them. The pledge originally said that as Governor she would issue the executive order within thirty days of being elected, but Raimondo crossed out thirty days and wrote in “one year.”

Community member Victoria Ruiz, who worked on the Community Safety Act, put the issue in terms of the criminalization of people of color. Not having a license, says Ruiz, is a path to criminalization, and is seen as “somehow not as bad or severe as other paths… but it’s all coming from the same system policing that wants to see all people of color criminalized…” Driver’s Licenses are a form of documentation, and a part of a “longer and bigger struggle for racial justice.”

The march was organized by the Comite en Accion, part of English for Action and a member of the We Are All Arizona coalition.About a dozen other states, including neighboring Connecticut, have a way for undocumented residents to obtained legal driver’s licenses.

The march started at the Price Rite on Valley St and continued through Olneyville Square.

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A call to end violence against sex workers


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2015-12-17 Sex Worker 001A vigil was held in Providence where the names of 41 murdered women were read aloud. They were all sex workers. One of the women, Ashley Masi, was murdered in Rhode Island.

The event was part of the International Day to End Violence Against Sex Workers, and this was the first time the event was marked in Rhode Island. Similar events were held in more than 20 other cities in the United States and 40 more cities internationally.

Bella Robinson, executive director of COYOTE RI, said in a press release that due to “criminalization and societal stigma sex workers experience extremely high levels of violence.”

2015-12-17 Sex Worker 003She added, “criminalization and stigma have created the perfect playground for bad cops and predators to continue to rob, rape and murder sex workers with impunity.”

Susan Roar, a writer-activist and mom has written for $pread Magazine, a quarterly magazine by and for sex workers and those who support their rights. She also said that, “sex workers face violence because of criminalization and social stigma.”

2015-12-17 Sex Worker 006Brown University professor Elena Shih said that the “least visible form of violence [against sex workers] is at the hands of the rescuing organizations.” She’s talking about big money international NGOs that work to get women out of sex work and into jobs making jewelry or sewing garments in factories. Women find themselves rescued from sex work only trained to do “menial and marginal work at low wages,” creating products that pay the salaries of NGO directors.

Sex workers, says Shih, don’t want to be rescued, they want to have their human rights protected, and their slogans and signs, such as “Rights Not Rescue” and “Solidarity not Sewing Machines” are pithy reminders that “sex work is work – a form of labor that people all over the world are choosing.”

Hannah, who is working on her Ph.D in anthropology, has researched Providence’s anti-trafficking task force. Made up of representatives from the police, FBI, local hospitals and local women’s organizations, the task force works on “removing girls and young woman from cases of sexual exploitation.” Every month the task force examines about 40 cases and determines “action plans.”

12375097_920474734708862_6205967338109620004_oAction plans may involve sting operations to “remove individuals from situations of perceived sexual exploitation” and the “subsequent rehousing and rehabilitation of the alleged victim.” Rehabilitation “may include counseling, trauma-informed yoga and preventing contact between the individual defined as the victim and individuals associated with his or her time in the sex industry, including friends and family.”

According to Hannah’s research, the lack of inclusion of sex workers in the anti-trafficking task force is problematic for two reasons. For one thing, sex workers are well placed to identify sexual exploitation in the sex industry. Researchers in India found that sex-worker self regulatory boards contributed to the reduction of minors in sex work in Songachi, Kolkata from 25 percent in 1992 to 2 percent in 2011.

Secondly, “anti-trafficking policy directly affects the safety and working conditions of sex workers,” so it makes sense that sex workers be included “in the creation and implementation of policy designed to reduce sexual exploitation.” As Hannah states, “Enacted with harm reduction in mind, anti-trafficking policy has the potential to negatively affect the safety of sex workers.”

Including sex workers on the task force, says Hannah,  “is essential if we are to produce an anti-trafficking strategy that minimizes harm, and promotes the safety and dignity of sex workers in the community.”

Bella Robinson says that sex workers “face more violence from the state than from customers.” She wants Attorney General Peter Kilmartin and the Providence Public Safety Commissioner Steven Paré to issue “a policy statement” that will allow, “sex workers to come forward and report crimes without fear of arrest.”

“No one expects approval,” says Robinson. She wants sex workers to be seen as “something other than victims.” The are mothers, fathers, sisters, brothers, sons and daughters.

And they deserve human rights.

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ACLU launches first of a series of lawsuits against criminalizing poverty


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2015-12-16 RIACLU Press Criminalized Poverty 005
Michael Monteiro

The Rhode island ACLU today launched the “first of a series” of lawsuits aimed at the current trend of municipalities to criminalize poverty and homelessness. At issue is Michael Monteiro, a 57 year old disabled man who until recently supplemented his disability payments by asking for money on a median strip in Cranston, holding a sign that says, “disabled, need help, God bless.”

On June 30 a Cranston police officer wrote Monteiro a court summons for soliciting money. The charge was ultimately dismissed, but the judge ordered Monteiro to stay away from the area or face arrest. This was Monteiro’s second run in with this law in Cranston, after having been arrested twice for the offense in Providence, where he lives.

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Marc Gursky

Attorney Marc Gursky, representing Monteiro, says the ordinance prohibits individuals from soliciting for money, but is selectively enforced against people like Monteiro, and not against fire fighters, cheerleaders or little league teams. Monteiro said that when he sees the cheerleaders on the median where he usually solicits donations, he leaves for the day.

Gursky also alleges that the ordinance violates the free speech clause of the Constitution. It cannot be against the law to ask for help, or to request money. If the issue is truly one of traffic and safety, says Gursky, the city should address the problem of traffic and safety, not free speech.

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Megan Smith

Megan Smith, an outreach worker and case manager with House of Hope‘s PATH program, said that cities and municipalities across the nation are dealing with the problem of homelessness and poverty by criminalizing those who are homeless and poor. Arrest places the burden of a criminal record on those affected, making it more difficult to get people the help they need.

“Poverty should make us uncomfortable,” said Smith, but these ordinances are attempts to hide the problem from sight, not to help people.

Steve Brown, executive director of the RI ACLU, said that there is no timeline on when future lawsuits will be undertaken on this issue, but that Providence and Pawtucket both have similar ordinances, and both cities could face such lawsuits. Finding plaintiffs is difficult, because people in Monteiro’s position face a lot of discrimination and it takes real courage to commit to such a suit.

As for Monteiro, he used to make $20-30 standing on the corner for about an hour, which is as long as his legs could endure. He hasn’t returned to his spot since the judge’s order, and as a result, “I have to do without…

“I have about $11 to get through the rest of the month,” he said.

Edit: Shortly after the post went up, I was asked how someone might get some money to Michael to help him while he’s waiting for this case to resolve. Steve Brown said that the ACLU can accept donations to him as long as the donations are clearly marked as being for him at this address:

American Civil Liberties Union of Rhode Island
128 Dorrance Street
Suite 220
Providence, RI 02903

If the donation is not marked, they’ll probably assume the donation is for the ACLU, which is not a bad investment.

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URI statement on downtown arrest video


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Screen Shot 2015-12-02 at 7.43.58 PMIn response to the story on RI Future, in which a video seemed to show a University of Rhode Island police officer or private security guard kick a suspect while he was being apprehended, URI has released the following statement:

URI police apprehended a man suspected of stealing a bike from in front of the URI Providence Campus building at 6:43 p.m. Tuesday, Dec. 1. After receiving a report of a bicycle being stolen, URI police and security officers responded immediately.

The suspect attempted to flee, but URI police and security officers, and a private security officer pursued the suspect and a struggle ensued.

The suspect sustained minor injuries during the arrest and Providence Rescue was called to the scene. The suspect refused medical treatment and signed a waiver. The URI police officer and the private security officer also received minor injuries as a result of the struggle.

The suspect, Alan Christopher Corey, 44, was then transported to the URI Police Department at the Kingston Campus where URI emergency medical technicians examined him. He was charged with misdemeanor larceny in connection with the theft of a bicycle, as well as resisting arrest and simple assault on a private security officer.

After Corey admitted that he had used a false name, a records check showed that he was wanted on a warrant from 6th District Court. Given the active warrant, Corey was then transported to the Adult Correctional Institutions.

As is standard practice in cases such as this, URI Police are reviewing the use of force as well as the amateur cell phone video that RIFuture obtained and the surveillance video that was available at the crime scene. The brief cell phone video shows only the latter portion of the struggle with Corey, which includes a URI security officer kicking a box cutter knife out of the suspect’s reach to clear the scene of any weapon.

Corey later admitted to stealing the bike, which has not been recovered, and apologized to the security officers for his actions that evening.

The URI police will complete their report next week.

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