Episodes

Tuesday Feb 18, 2025
Tuesday Feb 18, 2025
Pole Shift
Watch this on rumble: https://rumble.com/v6m59oi-pole-shift.html
The Pole Shift Theory is a hypothesis that suggests the Earth's rotational axis or its magnetic poles could undergo a rapid and significant shift, leading to dramatic changes in the planet's geography, climate, and environment. This theory has been explored in both scientific and pseudoscientific contexts, often leading to confusion between two distinct concepts: geomagnetic pole shifts and geographic pole shifts.
The first concept, geomagnetic pole shift, refers to a change in the Earth's magnetic field, where the magnetic north and south poles swap places. This phenomenon, known as a magnetic pole reversal, has occurred many times in Earth's history, as evidenced by geological records such as magnetic minerals in rocks. These reversals are gradual processes that take place over thousands of years and are not directly linked to catastrophic events. While a magnetic pole reversal could temporarily weaken the Earth's magnetic field, increasing exposure to solar radiation, it is not expected to cause immediate harm to life on Earth.
The second concept, geographic pole shift, involves a shift in the Earth's rotational axis, causing the geographic north and south poles to move to new locations. This phenomenon, known as True Polar Wander, occurs due to changes in the distribution of mass within the Earth, such as melting ice sheets, tectonic activity, or mantle convection. True Polar Wander is a slow process that happens over millions of years, but some theories propose that it could occur more rapidly under certain conditions, potentially leading to significant climatic and geological changes. In pseudoscientific and apocalyptic scenarios, a rapid geographic pole shift is often linked to catastrophic events like earthquakes, tsunamis, and extreme climate shifts.
From a scientific perspective, magnetic pole reversals are well-documented and occur periodically, but a rapid geographic pole shift is not supported by mainstream science. True Polar Wander happens very slowly over millions of years, and there is no credible evidence to support the idea of a sudden, catastrophic pole shift. While a magnetic pole reversal might affect navigation systems and increase radiation exposure, it would not directly threaten life on Earth. A geographic pole shift, if rapid, could theoretically alter climates and geography, but such an event is highly unlikely.
The idea of a pole shift has been popularized in books, movies, and conspiracy theories, often tied to predictions of global disasters. For example, the work of Charles Hapgood in the 1950s proposed that shifts in the Earth's crust could explain ancient climate changes, but his theories lack strong scientific support. In summary, while the Earth's poles do shift over long timescales, the idea of a sudden, catastrophic pole shift is not supported by current scientific evidence.
Hollywood
2012 (2009): This disaster film depicts a scenario where a pole shift causes catastrophic global events, including earthquakes, tsunamis, and volcanic eruptions. While the film doesn't delve into the scientific details of a pole shift, it uses the concept as a catalyst for widespread destruction.
The Core (2003): In this science fiction thriller, the Earth's core stops rotating, causing the magnetic field to collapse. The protagonists must embark on a mission to restart the core and save the planet from solar radiation. Although not a direct depiction of a pole shift, the film explores the consequences of a weakened or unstable magnetic field.
Polar Storm (2009): This made-for-television movie revolves around a comet fragment impacting Earth and triggering a polar reversal storm. The film portrays the potential dangers of electromagnetic pulses and their impact on technology and human survival.
Polar Opposites (2008): This TV movie features a scientist who predicts a pole shift and has to team up with his estranged friend to try and save the world from the consequences. It focuses on the idea of the magnetic poles reversing and the potential dangers that could arise.
Survive (2024): This recent release is rumored to involve a pole shift causing the oceans to retreat and submerge landmasses. It seems to be a survival thriller focusing on the characters' struggle to adapt to the changed environment.
The Day After Tomorrow (2004): While this film primarily focuses on abrupt climate change, it does feature some scenes that could be interpreted as related to magnetic shifts or disruptions. There are instances of unusual weather patterns and electromagnetic disturbances that might hint at a larger geophysical event.
Various B-movies and direct-to-video releases: Over the years, there have been numerous low-budget disaster films that have incorporated elements of pole shifts or magnetic reversals into their plots. These films often fly under the radar but might be worth exploring if you're interested in seeing how the concept has been portrayed in different contexts.
The Frozen Woolly Mammoth
In August of 1900, in the vast frozen plains of northeastern Siberia, just across the Bering Strait from Alaska, a hunter named Ewene Tarabykin was tracking an elk. As he walked along the banks of the Beryozovka River, he came across a most incredible sight. There, sticking out of the ice, was the carcass of an enormous wooly mammoth, unexpectedly uncovered after more than 40,000 years.
Shocked by his find, the simple hunter moved quickly to inform local authorities. From Siberia, it took almost a year for the message to make its way to the Academy of Sciences in St. Petersburg, some 3,000 miles away, but when it did, an expedition was immediately rushed to the site. What this expedition found when it got there stunned all involved.
Despite being tens of thousands of years old, the mammoth was astonishingly well preserved, its chestnut hair still matted on the carcass, like it had been “frozen in time.” Moreover, its mouth was filled with food “which had been cropped, but not chewed and swallowed,” “the imprint of the animal’s molars” left like an ancient record in the blades of grass.
When scientists began to examine the carcass more closely, they found something even more amazing. The animal’s stomach was filled with undigested food, swallowed, but without enough time to start the process of digestion. It was, according to one scientist, as if the mammoth had been “overwhelmed suddenly with a rapid deep freeze and instant death.”
But there was something even more bizarre – the food itself. The mammoth’s stomach contained over 40 different species of plants, many of which simply did not exist in Siberia, not then, nor at any time in the past. These were warm weather plants, the kind you find growing today in Mexico.
This remarkable find added to what other scientists had discovered when examining mammoths uncovered in the decades prior. Quite simply, the wooly mammoth was not a cold weather animal. It did not have the thick fur found on other Arctic animals, nor the glands in its skin that produce oils which protects against the cold. As the Smithsonian Institution put it in 1919, “It appears impossible to find any argument in favor of adaptation to the cold.”
So why were these mammoths being found in the coldest places on Earth? Some scientists had an answer – the wooly mammoth didn’t live in an arctic climate. Rather, they must have lived somewhere warm which somehow got very cold, very quickly.
Could this really be possible? And if so, how?
Charles Hapgood's Polar Shift Theory
For much of his career, Charles Hapgood did not stand out in any great way from other academics of his time. He received a master’s degree from Harvard in 1929, before moving into a quiet life teaching anthropology, economics, and the history of science at colleges across the United States. That is, until the late-1940s, when Hapgood would serendipitously stumble across something which would dramatically alter his career, and his life.
It started when a student in one of his classes asked a seemingly harmless question about the lost continent of Atlantis. Hapgood decided it would be fun to investigate this question with his students. But when they did, they began to uncover information they were not expecting, geological and astrological evidence which to Hapgood seemed to suggest the unthinkable.
By the mid-1950s, Hapgood had amalgamated this evidence into a stunning theory – called the shifting poles theory, or, more dramatically, the cataclysmic pole shift hypothesis.
According to Hapgood, a pole shift is when the entire surface of the earth suddenly moves as one solid piece over the layers of liquid rock that make up the earth’s core. The illustrative analogy most often used today is that of a loose peel moving around an orange.
Note, this is not the same thing as continental drift, a well-established factor where moving plate tectonics move the earth’s land masses apart. Rather, Hapgood’s pole shift referred to the earth’s geographic poles, those physical points on the earth’s surface which are intersected by its axis of rotation. A geographic pole shift meant a change in the location of these poles, and thus the physical position of locations on Earth.
Take an orange and pretend it’s a globe; draw a dot on it about where you live, then rotate the orange peel to a new location. Where are you now? This is a geographic pole shift.
Remember the discovery of wooly mammoths in the coldest places on Earth, their bodies not suited to the climate, their stomachs filled with warm weather plants. Perhaps they were living much closer to the equator before a pole shift took them suddenly into the Arctic, freezing them so fast they could not even finish chewing their food.
Scientists Supporting The Polar Shift Theory
Interestingly, many years before Hapgood, scientists studying the earliest wooly mammoth remains dabbled with just such an hypothesis.
In the late-1700s, French naturalist George Cuvier argued that life “has been often disturbed on this earth by terrible events – calamities which, at their commencement, have perhaps moved and overturned to a great depth the entire outer crust of the globe.” In 1847, a Danish intellectual named Frederik Klee proposed a periodic “deplacement au l’axe du globe” – a displacement of the earth’s spin axis, or polar shift – which meant that warm weather animals found in the Arctic had lived there when it was nowhere near the North Pole. In 1866, Sir John Evans, the President of Britain’s Geological Society, published a paper titled “On a possible cause of changes in the position of the axis of the earth’s crust,” which sought to explain the warm weather animals found in the Arctic, again, through a polar shift.
Yet, these ideas did not gain any traction and were gradually pushed aside by mainstream science … until the work of Charles Hapgood.
In 1958, Hapgood published The Earth’s Shifting Crust, laying out his theory and evidence. The book caused quite a stir, with many in the scientific community calling Hapgood’s theories pseudoscientific at best, and ridiculous at worst.
Yet, despite this opposition, Hapgood was not alone with his theories. While creating his book, Hapgood was collaborating with none other than Albert Einstein. In fact, by the time it was published, Einstein had been such a big part of the process that he wrote the book’s forward.
“The very first communication that I received from Mr. Hapgood electrified me,” Einstein wrote in 1954, asserting that Hapgood’s pole shift theory was “…of great importance to everything that is related to the history of the earth’s surface.” To other scientists, he insisted, “I think that the idea of Mr. Hapgood has to be taken quite seriously.”
Ancient Cites Aligned to the North Pole
Perhaps the most compelling evidence Hapgood presented in The Earth’s Shifting Crust were calculations indicating that the location of the North Pole had shifted three times over the last 80,000 years – to its current location from a spot in Hudson Bay about 12,000-17,000 years ago; to Hudson Bay from an area in the Atlantic Ocean between Iceland and Norway 50,000-55,000 years ago; and to this position from a spot in the Yukon 75,000-80,000 years ago. Interestingly, in showing this, Hapgood unintentionally provided an explanation for one of the longest standing archaeological mysteries on Earth.
We know that many of the great ancient sites around the world are laid out to reflect the procession of the stars above with such incredible precision that modern scientists ask how ancient civilizations could have been capable of such things. Yet, despite this near impossible precision, many of the sites are angled a few degrees off of the North Pole. How, scientists ask, could ancient civilizations have done such advanced calculations to lay out these sites, but messed up the easiest part?
Using Hapgood’s three purported pole shifts, researchers discovered something incredible. Sites like Stonehenge and the Aztec capital of Teotihuacan were aligned perfectly to the North Pole, if the North Pole was in Hapgood’s proposed Hudson Bay location. Sites like Chichen Itza and the 400-ton Baalbek stones in Lebanon were aligned perfectly to the Norway/Iceland pole, two pole shifts ago. Further, sites like the Great Pyramid at Giza, Angkor Wat, Easter Island, and Machu Picchu were all located along one line, a line which would have been the equator three pole shifts ago.
Could these ancient sites have been constructed at a time when the earth’s poles were in a different location? Consider that often the ruins we know today were built on top of even more ancient sites. Does the apparent misalignment of these ancient sites in modern times prove Hapgood’s theory?
Whether it does or doesn’t, the idea that the earth’s geographic poles have shifted in the past does not rely on ancient sites for proof. Rather, that has been given by modern science.
Modern Science Behind the Polar Shift Theory
In 2018, a study published in Geophysical Research Letters used geographical data to show that the earth’s poles were in a different spot between 48 million and 12 million years ago. To do so, researchers analyzed “hotspots” on the ocean floor where magma seeps through the earth’s crust. As the earth’s tectonic plates move over these hotspots, a path is left in the wake. By examining this path, researchers determined how the hotspots had moved, and from this, how the earth’s poles had moved in the distant past. They called this movement “true polar wander,” but one might simply call it true polar shift.
Then, in late-2021, another study published in Nature Communications concluded that the earth had “capsized” in the distant past. By examining limestone from Italy for magnetic “footprints” left in the rock, researchers determined that the earth had tilted around 12 degrees some 84 million years ago, before righting itself and returning to its original position millions of years later. As a press release which accompanied the study succinctly put it, “scientists have found more evidence that Earth tips over from time to time.”
So, if it is now established that polar shifts have happened in the past, then the question becomes, how? What causes the earth to ‘tip over’ from time to time?
What Causes Polar Shifts?
In The Earth’s Shifting Crust, Hapgood and Einstein proposed an answer. They speculated that the accumulation of ice at the earth’s poles would destabilize the earth’s rotation – too much ice and the earth will, in effect, tip over. As Einstein explained in the forward to the book,
“In a polar region there is a continual disposition of ice, which is not symmetrically distributed about the pole. The earth’s rotation acts on these unsymmetrically deposited masses, and produces centrifugal momentum that is transmitted to the rigid crust of the earth. The constantly increasing centrifugal momentum produced this way will, when it reaches a certain point, produce movement of the earth’s crust over the rest of the earth’s body, and this will displace the polar regions towards the equator.”
Despite this initial speculation, Einstein and Hapgood had doubts that the weight of accumulating ice would be sufficient to precipitate a move of the earth’s crust. They continued to correspond regularly, working through the problem right up until Einstein’s death.
Before he died, the men had come to a conclusion. As Einstein wrote, “Without a doubt the earth’s crust is strong enough not to give way proportionately as the ice is deposited.” That is to say, the buildup of ice at the poles would be insufficient to cause a polar shift. Instead, the men came to believe that it must be some sort of “causative forces below the surface” of the earth which precipitated polar shift, a theory presented by Hapgood in his 1970 book The Path of the Pole. What these causative forces were, Hapgood and Einstein were unsure.
It was not just the question of how pole shifts happened which perplexed them, but how fast. Throughout Hapgood’s work, he vacillated back and forth between the belief that pole shifts happened instantaneously, and the possibility that they could take much longer, on one hand using words like “astonishing suddenness” and “cataclysm,” while at the same time, “centuries” and “millennia,” often on the very same page.
In modern times, the scientists who have shown that polar shifts have happened in the past speak about it happening over thousands or even millions of years. Yet, a shift this slow does not explain the apparently flash frozen wooly mammoths.
Could it actually happen much faster?
Immanuel Velikovsky's Polar Shift Theory
Immanuel Velikovsky was a Russian-born psychiatrist and psychoanalyst who, upon his death in 1979, The New York Times called “a man of extraordinary talents.” Born in 1895, Velikovsky received a medical degree from the University of Moscow in 1921, before moving to Israel and helping to found the Hebrew University of Jerusalem. By 1940, he had moved to the United States, his natural curiosity leading him to an intensive study of seemingly overlapping disasters recorded in ancient manuscripts and artifacts from all over the world. In 1950, he published Worlds in Collision, in which he presented the spectacular conclusion of this study.
Around the 15th century BCE, Velikovsky wrote, Venus emerged from Jupiter as a comet. This comet closely passed the Earth, a near miss which changed the earth’s orbit and axis, causing an instant pole shift of 10 degrees or more. 52 years later, having made its journey around the sun, the comet passed Earth again, with similar results. The comet would then settle into a stable orbit, becoming the planet we know as Venus today, but not before a near miss with Mars displaced that planet from its orbit, causing Mars to make a close approach to Earth in both the 8th and 7th centuries BCE.
According to Velikovsky, each of these near misses resulted in catastrophes which were recorded in the mythologies of early civilizations around the world, as in, for example, the biblical story of the parting of the Red Sea. In other words, pole shifts happen instantaneously, and with disastrous consequences.
When Worlds in Collision was released, many in the scientific community portrayed Velikovsky as a crackpot. Despite this, the book became a New York Times bestseller, topping the charts for 11 weeks in a row. Furthermore, there was at least one mainstream scientist willing to engage with Velikovsky’s work – Albert Einstein.
As with Charles Hapgood, Einstein had many long discussions with Velikovsky about his theories. While Einstein was skeptical, he did not write off Velikovsky completely, and in fact supported parts of his theory. In 1946, four years before the book would officially be published, Einstein wrote,
“There is much of interest in the book which proves that in fact catastrophes have taken place which must be attributed to extraterrestrial causes. However it is evident to every sensible physicist that these catastrophes can have nothing to do with the planet Venus.”
As he said more succinctly in 1954, “I can say in short: catastrophes yes, Venus no.”
Is it really possible that a series of earth-shattering catastrophes are recorded in the myths of the ancients all over the world? And is it possible that these catastrophes could have been caused by an instantaneous shift in the earth’s poles?
If so, well then maybe these pole shifts explain the most mysterious ancient catastrophe of all…
Polar Shift Destroying Atlantis?
Charles-Étienne Brasseur de Bourbourg was born in a small town near Dunkirk, France in 1814. As a young man, he became a noted writer in the French literary scene, but as he neared his 30th birthday, he wanted more. He moved to Rome, where in 1845 he was ordained as a Roman Catholic priest. From there, he promptly set off across the Atlantic Ocean to become a professor of ecclesiastical history in Quebec, Canada. Soon though, his thirst for adventure got the better of him, and he headed south to Mexico and Central America as a missionary.
Really, “missionary” may not be the right word for it. In Mexico and Central America, de Bourbourg would act as an archaeologist, an ethnographer, an historian, traveling extensively through the region and becoming a world-renowned specialist in Mesoamerican studies. Much of his success can be attributed to de Bourbourg’s purportedly “legendary” ability to track down rare manuscripts. This ability led him to the discovery of the long-lost Codex Chimalpopopca, a document which de Bourbourg believed contained an amazing, paradigm shifting story.
According to de Bourbourg, the ancient text described a period of four cataclysms beginning in 10,500 BCE, each brought about by a shifting of the earth’s geographic poles. But it went further than that. In his seminal 1872 work Chronologie Historique des Mexicains, de Bourbourg described how this ancient text told of an advanced civilization that existed before those in Europe or Asia, which was destroyed during this period of cataclysms. The ancient text was, according to de Bourbourg, a history of the destruction of the mythical continent of Mu, understood today to be one and the same as the lost continent of Atlantis.
Could this ancient text really be a history of the Atlanteans?
Building on the work of de Bourbourg and his cataclysms, Charles Hapgood believed he was able to put the pieces together. Atlantis didn’t sink, he argued, but rather, a rapid pole shift must have moved the advanced civilization of Atlantis from wherever it was to a much colder area. The Atlanteans would have been like the wooly mammoths, flash frozen and buried under the ice.
For Hapgood, the perfect candidate for the lost continent of Atlantis then was obvious – Antarctica, a continent buried under ice. But Hapgood had more than speculation. In fact, he came armed with one of the most incredible artifacts in world history.
The Piri Reis Map & Atlantis
In 1465, Piri Reis was born in the historic seaport of Gallipoli in Ottoman Turkey. He would, over the next 90 years of his life, become no less than one of the most influential maritime figures in human history.
He began his career sailing alongside his uncle, a notorious pirate and later an admiral in the Ottoman Turkish navy, participating in many naval battles, until, after his uncle died suddenly during a storm in 1511, Piri Reis returned to Gallipoli and began what would truly become his life’s work – the study of navigation.
In 1521, Reis put the finishing touches on The Book of Navigation, known as “one of the early geographical masterpieces.” The book would serve as a guide to captains in the Aegean and Mediterranean Seas for 300 years. And yet, it was not the most incredible thing Piri Reis produced during his career. No, that came years earlier, in 1513, when Piri Reis put together the most detailed map of the world ever created at that time.
He constructed it using 20 different maps and charts as his source documents – eight Ptolemaic maps from 2nd century Greece, four Portuguese maps, one Arabic map, and even one map drawn by Christopher Columbus himself during his journey to the New World only 20 years prior. As one inscription on the map simply put it, “No one now living has seen a map like this.”
Despite being one of the most incredible documents human beings had ever produced, the Piri Reis map was eventually lost to history, forgotten about for hundreds of years. That is, until 1929, when it was rediscovered almost entirely by chance.
In that year, the Turkish government commissioned German theologian Gustav Deissmann to look through old, disregarded documents collecting dust at the Library of the Topkapi Palace in Istanbul. While doing so, Deissmann stumbled across a small piece of gazelle skin parchment which, when unfurled, revealed about one-third of the historic Piri Reis map, showing the western coasts of Africa and Europe, the eastern coast of Brazil, and various islands in the Atlantic in meticulous detail. The discovery caused an “international sensation,” as copies were immediately acquired by scientists, researchers, and naval experts all over the world.
Among those who obtained a copy was Charles Hapgood. As he examined the map, he began to notice remarkable, almost unbelievable features.
First, the map displayed an extraordinary knowledge of global geography, most specifically, a precise representation of the South American coastline. How was this possible? Christopher Columbus had only ventured to the New World a few years before the map had been made, and even then, he had only been to the Caribbean; he had not sailed to South America. The existence of the South American coast on the Piri Reis map suggested that Columbus himself had access to additional local maps which showed him these things.
Even more incredibly, the map showed the continent of Antarctica when it was free of ice. How was this possible, considering Antarctica was not officially discovered until 1773, 260 years after the creation of the Piri Reis map? Moreover, the last time Antarctica was free of ice was over 6,000 years ago. This suggested that the source maps Columbus used must be at least that old.
The Legendary Piri Reis Map Explained
With this in mind, Charles Hapgood noticed something truly stunning. Upon closer examination, it was clear that the map was using advanced spherical trigonometry in its measurements, a technique unavailable in the West until the 18th century. Prior to that point, it was impossible to determine a ship’s latitude in the Southern Hemisphere, since the only known method for doing this involved sighting the North Star, which can’t be seen in the Southern Hemisphere. Yet, somehow the Piri Reis map had accurate latitude measurements in the Southern Hemisphere. This meant that whatever local source maps Columbus had access to, those who made them had an understanding of spherical trigonometry.
Again, Charles Hapgood put the pieces together in his 1966 book Maps of the Ancient Sea Kings. The reason that these ancient maps were so advanced, according to Hapgood, was that they must have come from a super advanced ancient civilization – Atlantis. Antarctica was shown free of ice in such impeccable detail, Hapgood argued, because this was where the Atlanteans called home.
In other words, Antarctica is Atlantis; the ancient civilization destroyed when a rapid pole shift sent unsuspecting Atlanteans to the South Pole, burying them like the mammoths under miles of ice.
Could this really be possible? Could the lost continent of Atlantis really be buried under the ice in Antarctica?
Well, according to modern science, at least one thing is for sure – something is buried under there.
Mysterious Discoveries in Antarctica
In 2016, 3D maps from NASA’s Operation IceBridge appeared to show traces of human settlement buried a mile beneath the ice in Antarctica, “gigantic underground constructions,” some the size of the Eifel Tower. That same year, Google Earth images showed what appeared to be a massive pyramid poking out of the Antarctic tundra. The next year, satellite images revealed a “mysterious dome structure” of “concentric ovals” 400 feet across, and again, in 2020, Google Earth images appeared to show a tall, “disc-like” structure standing on top of the ice.
Ancient Antenna Found At the Bottom of Antarctica’s Sea: Eltanin Antenna
As one scientist put it, these were the type of things “…that if you see it anywhere in the world, you immediately say ’that is definitely manmade’. We’re in the middle of the Antarctic, so what in the world is that doing there?”
In 2021, NASA uncovered perhaps the most unusual discovery of all, “a vast network of subterranean waterways hidden beneath 1.2 to 2.5 miles of ice,” which seemed to be “connected to the whole Earth.” Could this be a water system used by whoever left behind the mysterious structures? Could it be the Atlanteans?
There is perhaps a more pressing question which can be asked here. That pole shifts have happened in the past is established, and many have compiled evidence suggesting the effects of such shifts – historical events like the parting of the Red Sea, flash frozen mammoths, even perhaps the utter annihilation of an advanced ancient civilization.
The real question is, if these things happened before, could they happen again?
Edgar Cayce's Prediction for a Polar Shift
On March 18, 1877, in tiny Hopkinsville, Kentucky, Edgar Cayce was born into a simple, pious life common in that place at that time. One day at the age of 9, however, Cayce would have an experience which would end that simple life forever.
While sitting in his favorite spot in the forest reading the bible, he suddenly came face to face with an angelic winged woman with a musical voice. “Your prayers have been heard,” she said to young Edgar, “Tell me what you would like most of all, so that I may give it to you.”
“Most of all,” he replied, “I would like to be helpful to others and especially to children when they are sick.”
Shortly after this astounding experience, Cayce was playing a schoolyard game when he was struck in the back by a ball and suffered a spinal injury which left him in shock. As he slept that night, his parents watching over him, he abruptly began to recite ingredients for a poultice which he claimed would heal him. His parents, with nothing to lose, made the poultice and applied it. When Cayce awoke, he was miraculously healed, and yet, he remembered nothing he’d said during the night.
This was the first instance of Edgar Cayce’s extraordinary talent. It turned out that while in a sleeping, trance-like state, Cayce could diagnose and suggest treatment for illnesses and injuries with “astonishing accuracy,” both for himself and for others. By 1910, The New York Times was reporting on Cayce, proclaiming, “illiterate man becomes doctor when hypnotized.”
But there was more. While in this trance-like state, Cayce was able to answer questions about things which had happened, and things yet to take place. In other words, Cayce was not only able to make medical diagnoses while he was asleep, he was able to predict the future. For this reason, Edgar Cayce became known as “The Sleeping Prophet.”
Over his 40-year career, Cayce gave readings to many thousands of people, including such luminaries as Marylin Monroe, Harry Houdini, Thomas Edison, and Woodrow Wilson. No wonder that at the time of his death The Washington Post called him “the 20th-century’s most famous psychic.” And make no mistake, Cayce’s prophesies, much like his medical diagnoses, were often ‘astonishingly accurate.’
In early-1929, Cayce warned of “a great disturbance in financial circles,” which was imminent, accurately predicting the stock market crash which only a few months later would lead to the Great Depression. In 1935, he foresaw an alliance between Germany, Japan, and Austria, which would result in the whole world being “set on fire,” accurately predicting World War II. He correctly predicted that two US presidents would die while in office – FDR and JFK – and spoke numerous times about the Dead Sea Scrolls years before they had even been discovered. Again and again, Cayce was correct about issues of great significance, leading some to call him “the most notable mystic since Nostradamus.”
In the 1930s, Cayce began to make a series of predictions which became known simply as “Earth Changes.” These ‘changes’ referred broadly to a series of cataclysmic events which would alter human life on Earth. Crucially, these changes would be precipitated, according to Cayce, by a shift of the earth’s poles, and the results would be catastrophic.
“The Earth will be broken up in many places. The early portion will see a change in the physical aspect of the west coast of America. There will be open waters appear in the northern portions of Greenland. There will be new lands seen off the Caribbean Sea, and dry land appear. South America shall be shaken from the uppermost portion to the end, and in the Antarctic off Tierra del Fuego, land, and a strait with rushing waters.”
“The greater portion of Japan must go into the sea. The upper portion of Europe will be changed as in a twinkling of an eye. Land will appear off the east coast of America. There will be upheavals in the Antarctic that will make for the eruption of volcanoes in the Torrid areas.”
Cayce even provided a map of what the earth would look like as these shocking changes took place.
During one reading, Cayce revealed that this period of cataclysms would begin in 2000 or 2001, when a “new cycle begins.” We are now over 20 years past Cayce’s deadline, so it seems that on this prediction at least, ‘The Sleeping Prophet’ was wrong.
Or was he …
The Next Polar Shift Event
In 2001, scientists began to notice something bizarre happening to the earth’s magnetic pole; it was moving an at unexpectedly rapid rate.
The earth’s magnetic pole is not the same as the geographic pole referred to by Hapgood. The magnetic pole is the force that makes a compass work; it is not fixed and is constantly moving. Scientists even say that it has shifted as much as 180 degrees in the past.
And yet, since 2001, it has been moving “faster than anticipated,” so quickly, in fact, that it is starting to mess up modern navigation equipment. Unbelievably, scientists are now estimating the earth’s magnetic pole will move between 250-400 miles over the next decade alone. Think about it, if you use a compass to walk north ten years from now, it will take you to a place hundreds of miles away from where it would take you today.
In fact, the magnetic pole began moving at such an alarming rate in 2001, that by 2011, NASA felt obliged to release a statement assuring people that magnetic pole shifts happen all the time, and have minimal effects on life on Earth.
Except, that was 2011, and more recent science suggests something markedly different …
Science has long known that the last time the earth’s magnetic poles flipped was about 41,000 years ago, during a period known as the Laschamps Event. Previously, scientists didn’t think this flip had any major impact on Earth’s environment or the plants and animals living there. But that all changed in 2021, when a fossilized tree many tens of thousands of years old was uncovered in New Zealand.
The perfectly preserved rings of this tree gave scientists an exceptionally detailed record of Earth’s environmental conditions deep in the past. It was like “The Rosetta Stone,” in the words of one researcher. Shockingly, the rings showed that when the magnetic poles flipped, the strength of the earth’s magnetic field almost vanished, leaving the earth without a shield against high energy particles from the sun and outside the solar system. This caused dangerous levels of ultraviolet radiation in the atmosphere, and changed the earth’s weather patterns significantly.
The result was the extinction of many large mammals, while human beings were driven into caves to escape the radiation. Some believe it could even have caused the extinction of the Neanderthals. As one researcher put it, “It would have been an incredibly scary time, almost like the end of days.”
Think about how fast the earth’s magnetic pole is moving right now. Some scientists say this could mean the next flip is “imminent,” that Earth’s magnetic field “could flip in our lifetime” – even NASA admits that it has been more than twice as long as usual since the last flip.
And if the earth’s magnetic pole does flip? Well, in the words of one scientist, “say goodbye to modern life.” It would mean the end of electromagnetic technology, satellites, internet, phones, even the power grid, alongside the mass proliferation of things like cancer.
It could be horrific, but actually, it could be even worse …
Scientists point out that the reason the earth’s magnetic pole is moving so rapidly right now is because of extreme and unusual movement within the earth’s molten core. Remember Hapgood and Einstein postulating that a buildup of ice would not be sufficient to slide the earth’s crust over its center like a loose peel around an orange, but instead, it would be something within the earth that would act as the push that causes a true polar shift. Perhaps the movement within the earth’s molten core which is happening right now is the push that Hapgood and Einstein envisioned.
Notably, in the 1994 book World in Peril, author Ken White, the son of famed Arctic explorer Major Maynard White, used geophysics to assert that the triggering mechanism for a geographic pole shift will in fact be a flip of the earth’s magnetic poles. As White wrote,
“It was determined through repeated experimentation that as the magnetic pole approached the geographic pole, the magnetic pole would at some point accelerate its rate of convergence as though pulled toward the geographic pole by centripetal force and jump to coincide; but instead of the poles coinciding, the magnetic pole would rapidly ‘flip’ around the geographic pole, then spin off towards the equator as though by centrifugal force, ending up at a position where the two axes assumed an approximate 89-degree divergence.”
Could this be what is happening now?
If so, then not only must we worry about the terrifying “end of days” effects of a potentially “imminent” magnetic pole shift, but also the type of geographic pole shift that may have flash frozen the mammoths and wiped out the advanced civilization of Atlantis.
This sounds serious. So why don’t we know more about it?
Is The Next Polar Shift Coming Soon?
Some suggest that scientists and world leaders know more about an impending pole shift disaster than they are letting on, and that they suppress this information to prevent a public panic.
It is interesting to note that at the same time as Charles Hapgood and Immanuel Velikovsky were publishing work on the geographic pole shift phenomenon, the CIA commissioned its own work on the subject, then promptly classified it for 50 years, until a sanitized version was made available on the CIA’s website in 2013. The Adam and Eve Story, as it was called, spoke of an in a much more dramatic and terrifying way than even Hapgood or Velikovsky.
“In a quarter to half a day the polimpending pole shiftes move almost to the equator, and all hell lets loose. The atmosphere and oceans don’t shift with the shell – they just keep on rotating West to East – and at the equator that speed is 1000 miles per hour. So, while the shell shifts with the poles going toward the equator, the winds and oceans go eastward, blowing across the face of the earth with supersonic speeds, inundating continents with water miles deep.”
Could this be possible? And could the CIA have suppressed the information in order to stop a public panic?
What is particularly interesting is how in recent years the world’s richest and most powerful people – Bill Gates, Jeff Bezos, Elon Musk, and others like them – have started purchasing millions of acres of farmland far from coasts around the world, land which would become most valuable, and most crucial to survival, if a pole shift inundated continents with “water miles deep.”
One might ask, “do the world’s financial leaders know something we don’t?”
In a book called The Adam and Eve Story: The History of Cataclysms by Chan Thomas, A renowned CIA document has been revised and presented in a comprehensible version. This intriguing text garnered significant attention as the end of the 2010s drew near, coinciding with science's growing recognition of the strong likelihood of a cataclysmic event known as the Magnetic Pole Shift, which has the potential to obliterate everything in its path. For years, any discussion on this matter was dismissed by labeling it as a "conspiracy theory" or "pseudoscience," but finally, it is receiving the attention it deserves, albeit perhaps too late. This book represents just a fraction of the extensive literature available on the subject of Magnetic Pole Shift. We encourage you to view it as a foundational resource for further exploration of this immensely significant topic.
The book presents a cataclysmic theory of Earth's history, arguing that periodic pole shifts and global inundations have repeatedly devastated civilizations, reshaping geography and driving human evolution. Thomas attempts to support this theory using a wide range of scientific and historical sources, interwoven with interpretations of ancient myths and religious texts. He presents these cataclysms as driven by a weakening of the Earth's internal magnetic and electrical structure as the solar system passes through galactic null zones.
Key Ideas and Claims:
Catastrophic Pole Shifts and Inundations: The central assertion is that the Earth's outer shell (the crust) periodically shifts drastically (around 90 degrees) relative to its interior, causing massive earthquakes, tsunamis, and windstorms. These cataclysms wipe out civilizations and drastically alter the planet's geography.
"With a rumble so low as to be inaudible, growing, throbbing, then fuming into a thundering roar, the earthquake starts.....only it's not like any earthquake in recorded history."
"In California the mountains shake like ferns in a breeze; the mighty Pacific rears back and piles up into a mountain of seawater more than two miles high.... then starts its race eastward."
Recurring Cycle: These cataclysms are not random events but occur on a roughly 7,000-11,500-year cycle, driven by the solar system's passage through magnetic null zones in the Milky Way Galaxy.
"Right now we don't known why, every few thousand years on a varying timetable, the magnetic and electrical orderliness in the shallow molten layer is disorganized."
Melting Icecaps & Rising Sea Levels: During a pole shift, previously polar regions rotate towards the equator, causing rapid melting of ice caps and resulting in a global sea-level rise of approximately 200 feet. New ice caps form in the new polar regions.
"Greenland and Antarctica, now rotating equatorially, find their ice caps dissolving madly in the tropical heat... In less than twenty-five years the ice caps are gone, and the oceans around the world rise over two hundred feet with the new-found water."
Geological Evidence: Thomas interprets geological features like the Grand Canyon strata, Monument Valley, and the presence of granite blocks on the Jura Mountains as evidence of past cataclysmic inundations and sloshing of water on a massive scale.
"The oceans - the great homogenizers - have laid down another deep layer of mud over the existing strata in the great plains, as exposed in the Grand Canyon, Painted Desert, Monument Valley, and the Badlands."
"For many years I searched and hunted for evidence of what I call "sloshing" of fast-moving muck water as it becomes trapped in a huge basin... I found a treasure trove of sloshing evidence in the part of Arizona and Utah known as Monument Valley."
Mammoth Freezing and other Extinctions: Evidence like frozen mammoths with undigested food in their stomachs is presented as evidence of flash freezing during cataclysmic events. The quick extinction of species in places such as the Pejark Marsh is also offered as evidence of cataclysm.
"The Beresovka mammoth, frozen in mud, with buttercups in his mouth..."
"The Pejark Marsh in Australia, which shows a quick extinction of many, many species, including humans, 11,500 years ago."
Linguistic and Mythological Connections: Thomas claims that the Adam and Eve story, Noah's flood, and other myths are accounts of past cataclysms, preserved in ancient languages like Naga (prehistoric Mayan). He suggests that the Tree of Life represents a "mother continent" and that the serpent symbolizes water.
"Because of the use of tree, fruit, serpent, cherubim, word of fire, and other words of Moses which were glyphs in the picture language of prehistory, it is evident that the Creation and Adam and Eve stories were probably written in the glyphs of Naga..."
"Yes, Noah, Adam and Eve, Osiris, Ta'aroa, Zeus, and Vishnu have much deeper meaning now; and, as they join hands and walk with us, we hear Adam and Eve saying: "Listen - for now we can truly share our story with you!"
Earth's Internal Structure: Thomas explains his theory hinges on the existence of a shallow molten layer 60 miles below the Earth's surface, which can act as a lubricant, allowing the Earth's shell to shift when the planet's magnetic and electrical orderliness are disrupted. He references Hannes Alfven's work on magnetohydrodynamics (MHD) to support this idea.
"Inside the Earth, the electrical and magnetic structure of the interior makes these layers act as if they were near solid, or plastic. As long as the interior magnetic and electrical structure of the Earth maintains its orderliness, this old Earth keeps on rotating on its axis in a normal manner."
"Alfven expanded his mathematical research to show that space is literally a sea of mhd energy, and that, as weak as the magnetic field of any blue-white star is, it is strong enough to support an internal mhd energy structure within the star."
Bode's Law and Celestial Mechanics: He reinterprets Bode's Law to propose a structured arrangement of planets and minor planets in the solar system, suggesting the capture of our moon and explaining the formation of other celestial bodies.
"Bode's Law, expanded here to include orbits of both fundamentals and harmonics, now offer an orderly meaning to us."
Moral and Societal Decay Preceding Cataclysms: Thomas argues that societal breakdown, criminality, and a decline in empathy are characteristic of the periods leading up to cataclysms, possibly due to the weakening magnetic field.
"After all of my study, it seemed strange that it had not entered my mind that rape and forcible rape are a part of the overwhelming criminality in the precursor period preceding a cataclysm."
"Remember that, especially in the years preceding and following a cataclysm, those without empathy turn criminal first."
Survival Preparations: A significant portion of the book focuses on practical advice for surviving the next cataclysm, including selecting a safe location, stockpiling supplies, and preparing for societal collapse. He gives instructions for how to monitor for changes in Earth's magnetic field by watching a compass.
"As sure as the Sun rises in the East and sets in the West, the time will come when you must decide whether you and your family should survive the next cataclysm."
"NOW! Take your family and your entire survival storage to your retreat... Be sure to take with you whatever instruments (and the supplies for those instruments) needed for your protection and survival. Be sure your family is well trained in their use."
UFOs and Extraterrestrial Involvement: Thomas suggests that UFO sightings may be related to extraterrestrial observation and intervention, possibly to monitor or even aid certain individuals (like Jesus) during cataclysmic times. He believes these "angels" or aliens do not choose to live on Earth due to our planet's immoral and destructive nature.
"So why would these men, these angels, watch over Jesus? The only answer is in legend, in that they watched over him because he was a genius... These people from other worlds never come here to live because this planet is the garbage dump of the Universe."
Author's Perspective:
Chan Thomas presents himself as a researcher driven by a desire to understand the causes of past cataclysms, drawing on a wide range of scientific disciplines and ancient knowledge. He claims to have faced ridicule and scorn from the scientific community for his unconventional ideas.
"To all of those who ridiculed, scorned and laughed relegating me to the nuthouse and even firing me. For how else would I have been so driven to pursue, solve, find and derive the truth. I owe them."
"As a result of his research and analysis since 1949, Dr. Thomas has become recognized as the world's leading authority in cataclysmology."
Noteworthy Points:
The document blends scientific claims with interpretations of religious texts and mythology, often without clear separation or rigorous sourcing.
Many of the scientific claims are presented as established facts, even if they are controversial or lack mainstream scientific support.
The book reflects a strong sense of urgency and a call to action to prepare for an impending cataclysm.
Disclaimer: While this briefing document summarizes the ideas presented in the provided excerpts, it is important to note that many of the claims and interpretations in "The Adam and Eve Story" are considered pseudoscientific and are not supported by mainstream scientific evidence. This document is provided for informational purposes only and should not be taken as an endorsement of the book's claims.
When we talk about magnetic field reversals, this is a real and well-documented phenomenon. The Earth's magnetic field does flip periodically, with the north and south magnetic poles swapping places. This is supported by a wealth of geological evidence. Scientists who study this are called paleomagnetists, and they analyze the magnetic signatures preserved in rocks to understand the history of the Earth's magnetic field.
However, the "pole shift" that's often depicted in movies usually involves a dramatic shift in the Earth's axis of rotation, causing catastrophic events like earthquakes and tsunamis. There is no credible scientific evidence to support this kind of pole shift. The Earth's axis is relatively stable, and while it does wobble slightly (a phenomenon called precession), it doesn't undergo sudden, large-scale shifts.
So, while there are many credible scientists who study and support the concept of magnetic field reversals, you won't find any reputable scientists who support the idea of a catastrophic pole shift as depicted in fiction. It's important to remember that science fiction often takes liberties with scientific concepts for the sake of storytelling, and it's essential to distinguish between entertainment and actual scientific understanding.
Source
Deepkseek.com
Gemini AI
https://www.amazon.com/History-Cataclysms-Uncensored-Digital-Version/dp/B0C7S44KTC/ref=sr_1_1?dib=eyJ2IjoiMSJ9.ThBWHLK04BtfSJwR20IYRshCStp33rHf9y5KJgQl9qv9OvhIaAqeYLVx7-XJdv5uMG4Z-eCcwnTlVn472QMPB93YUYCwMQiBCwrJch_l2R0Dq7ecJBVm3fVlUOpHasXV0zbclgwtPpnjsvLD-NOk5hHwVl29KT58nz8YlgpBd292lkweEbdfdDuBpgJUzkt0nQ0I9MI-lc-trkGziE4v-zgfPT83FjLshpSERulq2SJG1XKkw-A7EkJ4qKW71NNLl-zJO8c7GP6PKUHktI_sKeSJ39bVzHzv4DnZBR7pDvDkrVO_e5NNwx7Sr9MDyOOvjIwfOcc4iaiNSpkGqVK1AD_8G_A2j74Kmz_EKyLtmhU.uzoyZII01Vof6Xa9BETFs2T0d06IAibcsyjNvO1O9X8&dib_tag=se&keywords=pole+shift&qid=1739777731&s=books&sr=1-1

Sunday Feb 16, 2025
Sunday Feb 16, 2025
Psilocybin Mushroom
Did the Sons of God Influence the Creation of Psilocybin Mushrooms?
Watch this on Rumble: https://rumble.com/v6lqtea-psilocybin-mushroom.html
Could fallen angels have played a role in the origins of psilocybin mushrooms? Some theories even suggest that ancient civilizations, like the "Sons of Might," may have engineered these fungi as a tool for controlling humanity. Tonight, we delve into the enigmatic beginnings of psilocybin mushrooms, exploring their history, potential benefits, and risks, as well as the intriguing possibility of alien involvement.
The Origins of Psilocybin Mushrooms
Psilocybin mushrooms, commonly referred to as "magic mushrooms," contain the psychoactive compound psilocybin, which induces altered states of consciousness. While their exact origins remain shrouded in mystery, various theories have emerged, including the controversial idea that extraterrestrials may have introduced them to Earth. This article examines these theories, the potential therapeutic benefits of psilocybin, and the risks associated with their use. It also reviews current research and suggests avenues for further exploration.
Exploring the Ancient History of Psilocybin Mushrooms
The history of psilocybin mushrooms is a fascinating journey through time. For centuries, these mushrooms have been used by cultures worldwide for spiritual and medicinal purposes.
The Aztecs of Central America were among the earliest known users, incorporating psilocybin mushrooms into religious ceremonies and rituals. They believed the mushrooms could connect them to the spirit world, offering visions and insights that guided their daily lives.
In the 1950s, Western scientists rediscovered psilocybin mushrooms and began studying their effects. Research revealed that consuming these mushrooms could lead to altered states of consciousness, hallucinations, and feelings of euphoria. Since then, psilocybin has been extensively studied for its potential to treat mental health conditions such as depression, anxiety, and addiction. It has also been used in therapeutic settings to help individuals explore their inner selves and gain deeper insights into their lives.
Today, psilocybin mushrooms continue to be used for spiritual and medicinal purposes in many cultures. In the West, they are increasingly popular as tools for self-exploration and personal growth. Whether you're curious about their ancient history or their modern applications, psilocybin mushrooms offer a captivating glimpse into humanity's relationship with the natural world.
The Alien Hypothesis: Did Extraterrestrials Play a Role?
One of the most intriguing theories about psilocybin mushrooms is that they may have been introduced to Earth by extraterrestrial beings. This idea gained traction in the 1960s when some scientists speculated that the global distribution of psilocybin mushrooms, despite their absence in any single region's natural history, could suggest an otherworldly origin.
Proponents of this theory point to the unique chemical composition of psilocybin mushrooms, which contains compounds not found in other fungi. Some suggest that these mushrooms may have been genetically engineered by an advanced species, possibly for communication or other purposes. However, there is no scientific evidence to support these claims. The widespread presence of psilocybin mushrooms could simply be the result of natural migration and dispersal.
While the alien hypothesis remains a captivating topic, it remains unproven. Until concrete evidence emerges, the true origins of psilocybin mushrooms will continue to be a subject of debate and speculation.
Investigating the Chemical Composition of Psilocybin Mushrooms
Understanding the chemical makeup of psilocybin mushrooms is crucial for comprehending their effects on the human body. These mushrooms contain a variety of compounds, with psilocybin being the primary psychoactive ingredient. Psilocybin is a tryptamine alkaloid structurally similar to serotonin, a neurotransmitter in the human brain. Other compounds found in these mushrooms include baeocystin, norbaeocystin, and psilocin.
Scientists use advanced techniques such as high-performance liquid chromatography (HPLC) and mass spectrometry to analyze the chemical composition of psilocybin mushrooms. These methods help identify and measure the concentration of each compound, providing insights into how they interact with the human brain.
By studying the chemical composition of psilocybin mushrooms, researchers can better understand their therapeutic potential and the risks associated with their use. This knowledge is essential for developing safe and effective treatments for mental health conditions.
The Cultural Significance of Psilocybin Mushrooms
Psilocybin mushrooms hold deep cultural significance across the globe. In some societies, they are revered as sacred tools for spiritual exploration and communication with the divine. In others, they are used recreationally to enhance creativity and self-awareness.
In modern times, psilocybin mushrooms have gained popularity as a means of exploring consciousness and addressing mental health challenges. They are increasingly recognized for their potential to treat conditions like depression, anxiety, and addiction, as well as for their ability to foster a deeper connection to nature and the self.
The Potential Benefits and Risks of Psilocybin Mushrooms
Research has shown that psilocybin mushrooms may offer numerous benefits, including reduced anxiety and depression, improved mood, and enhanced creativity. They have also been studied for their potential to treat addiction, PTSD, and other mental health issues.
However, the use of psilocybin mushrooms is not without risks. Adverse reactions, such as anxiety, paranoia, and psychosis, can occur, particularly in uncontrolled settings. It is essential to approach their use with caution and under the guidance of trained professionals.
The origins of psilocybin mushrooms remain a mystery, with theories ranging from natural evolution to extraterrestrial intervention. As research continues, these fascinating fungi may unlock new insights into the human mind and its connection to the universe. Whether used for spiritual exploration, therapeutic purposes, or scientific study, psilocybin mushrooms offer a unique window into the complexities of consciousness and the natural world.
The story of Jacob and the rock is a fascinating one! In the biblical account (Genesis 28:10-22), Jacob is described as laying his head on a stone to sleep during his journey to Haran. This happens at a place he later names Bethel, which means "House of God." Jacob, fleeing from his brother Esau, stops for the night in the wilderness. With no comfortable bedding available, he uses a stone as a makeshift pillow. While it might sound uncomfortable to us, the act of using a rock as a headrest isn't entirely implausible in ancient nomadic cultures, where travelers often made do with whatever was available.
That night, Jacob has a vivid dream of a ladder (or staircase) reaching from earth to heaven, with angels ascending and descending. God speaks to him in the dream, reaffirming the covenant made with Abraham and Isaac, promising Jacob land, descendants, and divine protection. When Jacob wakes up, he anoints the stone with oil and declares it a sacred place, naming it Bethel. The stone becomes a symbol of God's presence and the promise made to him. In ancient Near Eastern cultures, stones were often used as markers or memorials to commemorate significant events or divine encounters.
The rock in this story carries deep symbolic meaning. It represents God's faithfulness: just as the rock is solid and unchanging, so is God's promise to Jacob. It also symbolizes transformation: Jacob's encounter at Bethel marks a turning point in his life, transitioning him from a deceiver (his name, Jacob, means "supplanter") to someone who begins to understand his role in God's plan. Additionally, the rock signifies a connection between heaven and earth: it becomes a physical reminder of the spiritual ladder Jacob saw in his dream, symbolizing the bridge between the divine and the human.
While it might seem strange to us to sleep on a rock, the story emphasizes Jacob's humility and the harsh conditions of his journey. The rock serves as a tangible element in the narrative, grounding the spiritual experience in a physical object. It also highlights the idea that God can meet us in the most ordinary or uncomfortable circumstances, transforming them into something sacred.
Some modern theorists, particularly those interested in ethnomycology or alternative religious interpretations, have speculated about the possibility of psychoactive substances playing a role in Jacob's visionary experience. For example, they might suggest that certain plants or fungi could have been present in the area, contributing to his dream. However, these ideas are speculative and not supported by the biblical text or traditional interpretations.
In summary, the rock in Jacob's story is both a practical object and a powerful symbol. It underscores the themes of divine encounter, transformation, and the enduring nature of God's promises. While it might seem unusual to sleep on a rock, the story uses this detail to highlight the extraordinary nature of Jacob's experience at Bethel.
Some scholars, like John Allegro in his controversial book The Sacred Mushroom and the Cross, have suggested that early religious experiences, including those described in texts like the Book of Enoch, might have been influenced by psychoactive substances like psilocybin mushrooms. However, this theory is highly speculative and not supported by mainstream scholarship or the text itself.
So, I got the book. No, keep in mind, I do not agree with a lot of what the author is saying, however, there is information everywhere and to not turn over every stone or mushroom to find the answers is keeping yourself in a box. Many authors believe Jesus was a shaman and used mushrooms to heal and practice sorcery. I don’t buy it.
The book asks the questions. Where did God come from? What do the bible stories really tell us? Who or what was Jesus Christ? This book challenges everything we think we know about the nature of religion. The ancient fertility cult at the heart of Christianity. The living power of cultic rites and symbols. The sacred mushroom as the emblem and embodiment of divinity. The secret meaning of biblical myths. The language of religion that links us to our ancestors. The Sacred Mushroom and the Cross sets out John Allegro's quest through a family tree of languages to find the truth about where Christianity came from.
"The Sacred Mushroom and the Cross" proposes a radical reinterpretation of the Bible, arguing that early Christianity and other ancient religions originated from a worldwide cult that consumed psychoactive mushrooms. The author uses etymological analysis to suggest that many biblical figures and stories are based on coded references to the Amanita muscaria mushroom. This study explores the connection between language, mythology, and the ritualistic use of mind-altering substances in shaping religious beliefs. Allegro supports his theory by examining Sumerian, Semitic, and Indo-European languages. The book suggests that understanding the linguistic roots of these texts reveals a hidden layer of meaning related to fertility cults and the role of sacred plants in ancient societies. Other listed publications cover various unconventional theories ranging from prehistoric civilizations to UFOs and catastrophism. The additional texts explore alternative views on history, archaeology, and unexplained phenomena.”
John Marco Allegro's "The Sacred Mushroom and the Cross," focusing on its central themes:
I. Core Argument: The Entheogenic Origins of Religion and Language
Central Thesis: Allegro argues that many of the core concepts, rituals, and etymologies of ancient religions, particularly Judaism and Christianity, are rooted in a prehistoric fertility cult centered on the psychoactive mushroom, Amanita muscaria.
Language as a Key: Allegro attempts to demonstrate this connection by tracing the etymological roots of religious terms back to Sumerian, which he posits as a foundational language for these concepts. He focuses on the use of Sumerian "word-bricks" which he identifies as unchanged in many languages. According to Allegro,
"Sumerian tends to keep these basic idea-words unchanged."
The Sacred Mushroom as the "Seed of God": He posits that the mushroom was seen as a divine entity, its psychoactive properties providing a glimpse into the realm of the gods.
"The seed of God was the Word of God."
II. Fertility Cult and Sexual Symbolism
Emphasis on Sexual Imagery: The book is replete with interpretations of religious symbols and language through the lens of sexual acts and organs. Allegro argues ancient peoples used sexual singing, orgiastic displays and copulation to "simulate it by sexual means".
The Phallus as a Central Symbol: The penis, both literal and symbolic (represented by the mushroom stem), is a recurring motif. Allegro suggests that celestial bodies, like stars, were perceived as "penes in the sky."
The Vulva and Womb: Similarly, the vulva and womb are frequently referenced, representing the earth's fertility.
III. Deciphering Religious Terms and Rituals
Etymological Analysis: Allegro dissects numerous religious terms, linking them to Sumerian roots and interpretations related to fertility, sex, and the mushroom.
Examples: He derives the name "Peter" from Sumerian terms related to "bolt-mushroom" (i.e., tiqla), linking it to the mushroom's role as the "key" to accessing heaven and hell.
He argues the word "basilisk" means "womb-blood", associating it with menses.
He connects "Corban" (temple treasury) with root LI-KUR-BA(LA)G-ANTA.
He connects the two tablets that the Ten Commandments were written on to the two halves of a mushroom volva.
He analyzes Issachar and derives the root d-b-r, "lead out."
Word-Play and Puns: He emphasizes the role of word-play and puns in the creation and transmission of religious narratives. Words which looked alike, we might think accidentally, were considered actually to be connected in some way.
IV. Key Themes and Concepts
The Creative Word: Allegro sees the concept of the "Word of God" as originally tied to tangible elements of nature, such as rain fertilizing the earth. "But originally it was not an abstract notion; you could see the “Word of God”, feel it as rain on your face, see it seeping into the furrows of mother earth, the “labia”.
Death and Resurrection: Allegro interprets death and resurrection myths as symbolic representations of the mushroom's life cycle.
The Virgin Goddess: He emphasizes the role of the virgin goddess and the mushroom volva in fertility cults. As the virgin goddess plays an important part in fertility cults throughout the ancient world, so the virgin volva of the sacred mushroom, her real-life counterpart of Nature, figures largely in fungus nomenclature and mythology.
Cosmology: The universe was understood as a "gigantic" mushroom: "At the base was the cup-shaped volva containing the waters of creation. The central pillar, variously identified with sacred mountains, supported the heavenly canopy."
V. Specific Examples and Claims
The "Jesus-Fungus": Participation in the "mystery of ingesting the Jesus-fungus" was to avail oneself of the power of his primogeniture.
The Magi: The Magi of the Gospel birth story were the "great drug- pedlars of the ancient world."
David: The description of David as the “Na‘im of the stretched penis (,z-m-r) of Israel” there is a clear connection with a passage in Isaiah about the “Adonis plantations”: “You plant the plants of Na‘iman (Adonis), you sow the penis {z-m-r) of the field (?)”
VI. Linguistic Considerations
Sumerian as the Source: Allegro sees Sumerian as the foundational language, influencing subsequent Semitic and Indo-European languages. "we are not surprised to find that an early form of the root has *n in place of /, so that Sanskrit, one of the earliest dialects of Indo-*European, has a root skan- with the idea of “going up”.
Phonetic Correspondences: He identifies phonetic variations between Sumerian and other languages, such as interchangeability between 'l' and 'n', 'l' and 'sh', and between the Sumerian Kh and hard g.
Vowel Patterns: "Vowels follow a fairly uniform and easily recognizable pattern. However, the sound i often disappears between consonants in the derived forms. For example the Sumerian B1L, “burn”, appears in the Greek phlegd and Latin flagro, “burn”.
Important Note: Allegro's theories are highly controversial and have been widely criticized by scholars for their speculative nature, selective use of evidence, and unconventional linguistic interpretations.
One can easily read the Bible and see that the Magi showed up and gave Jesus gifts of gold, frankincense and myrrh which are all used in alchemy and as psychedelics. They were not Jews but were wizards and warlocks via Kings of the east and this is definitely suspect. Why would Satan bring such gifts to Jesus? Some scholars interpret them as ones who left their faith when they saw the Star of Bethlehem.
The Book of Enoch, specifically 1 Enoch (also known as the Ethiopic Book of Enoch), does mention fallen angels teaching humans various forbidden knowledge, including sorcery. This is detailed in the Book of the Watchers (1 Enoch 6–16), which describes the rebellion of a group of angels called the Watchers.
According to the text, the Watchers, led by the angel Shemihazah (or Semjaza), descended to Earth and took human wives, which was a violation of divine order. In addition to this, they taught humans various forms of knowledge that were considered forbidden or dangerous. One of the Watchers, named Asael (or Azazel), is specifically associated with teaching humans:
The art of making weapons and warfare.
The use of cosmetics and jewelry (which led to vanity and corruption).
Sorcery, spells, and occult knowledge.
The cutting of roots and herbs (possibly referring to medicinal or magical practices).
This forbidden knowledge is said to have led to widespread corruption and violence among humanity, which ultimately prompted God to send the Great Flood as a form of judgment.
The Book of Enoch is not part of the canonical Bible for most Jewish and Christian traditions, but it is considered scripture by the Ethiopian Orthodox Church. It has had a significant influence on Jewish and Christian thought, particularly in shaping ideas about fallen angels, demons, and the origins of evil.
The Annunaki and other Mesopotamian cultures do not have clear evidence linking them to mushrooms, either in their texts or artifacts. However, several other ancient civilizations, both pre- and post-Mesopotamian, have been associated with mushrooms through artistic depictions, archaeological findings, or speculative interpretations. These connections often revolve around the ritual, spiritual, or medicinal use of mushrooms, particularly psychoactive varieties.
In ancient Egypt, while there is no direct evidence of mushroom use, some fringe theories suggest that mushrooms may have played a role in religious or ritual practices. These theories often point to mushroom-like shapes in Egyptian art or hieroglyphs, though mainstream Egyptologists do not widely accept these interpretations. The focus in Egyptian culture is more on plants like the blue lotus, which was well-documented as a sacred substance.
Moving to North Africa, the Tassili n'Ajjer cave paintings, created by prehistoric Saharan cultures around 6000–4000 BCE, feature humanoid figures with mushroom-shaped heads. Some researchers, such as Terence McKenna, have interpreted these as evidence of early mushroom use, possibly for shamanic or ritual purposes. However, this interpretation is debated, and mainstream archaeology often describes these figures as stylized human forms or symbolic headdresses rather than direct evidence of mushroom use.
In Mesoamerica, the connection between ancient civilizations and mushrooms is much clearer. The Aztecs, Maya, and other cultures used psychoactive mushrooms, known as teonanácatl ("flesh of the gods"), in religious and shamanic rituals. Spanish chroniclers like Bernardino de Sahagún documented their use in the 16th century. Additionally, mushroom stones—carved stone sculptures resembling mushrooms—have been found in Guatemala, Mexico, and other parts of Central America. These artifacts are often linked to rituals involving psychoactive mushrooms, and some pre-Columbian codices also depict mushroom-like imagery, further supporting their cultural significance.
In ancient Greece and Rome, there is no direct evidence of mushroom use, but some scholars have speculated about their role in secretive religious practices. For example, the kykeon, a ritual drink used in the Eleusinian Mysteries, has been theorized by researchers like Carl Ruck and R. Gordon Wasson to contain psychoactive substances, possibly ergot, a fungus related to LSD. However, this remains speculative and controversial, as mushrooms are not prominently featured in Greek or Roman art or texts.
In Siberia, the use of the red-and-white Amanita muscaria mushroom by shamans is well-documented, particularly among indigenous peoples. This mushroom was used for its psychoactive properties and is often associated with the origins of the "flying reindeer" myth, which some believe influenced modern Christmas traditions. While physical carvings or depictions of mushrooms are rare in Siberian art, the cultural and spiritual significance of Amanita muscaria is well-established in shamanic practices.
In ancient India, the sacred drink Soma, described in the Rigveda, has been theorized by some researchers, including R. Gordon Wasson, to have been derived from a psychoactive mushroom, possibly Amanita muscaria. However, this theory is debated, and other candidates, such as ephedra or cannabis, have also been proposed. The true identity of Soma remains a mystery, but the possibility of a mushroom connection is intriguing.
In prehistoric Europe, some artifacts have been interpreted as mushroom-related, though these interpretations are often speculative. For example, certain symbols in European cave art have been suggested to represent mushrooms, but these claims are not widely accepted. Similarly, in ancient China, mushrooms like Ganoderma lucidum (reishi) were used for medicinal purposes, as documented in texts like the Shennong Ben Cao Jing. However, these were not psychoactive mushrooms and were primarily associated with health and longevity rather than spiritual experiences. Mushrooms occasionally appear in Chinese art as symbols of immortality, but there is little evidence of psychoactive mushroom use in ancient Chinese culture.
While the Annunaki and Mesopotamian cultures do not have clear connections to mushrooms, other ancient civilizations—particularly in Mesoamerica, Siberia, and prehistoric North Africa—have strong evidence or compelling theories linking them to mushroom use, especially in ritual or shamanic contexts. These connections are often supported by archaeological findings, historical texts, or cultural traditions. However, interpretations of mushroom symbolism in ancient art remain a subject of debate, and some theories should be approached with caution.
The Zoroastrians, followers of the ancient Persian religion Zoroastrianism, do not have any direct or widely accepted evidence linking them to the use of mushrooms, either in their religious texts or archaeological findings. However, there are some speculative theories and indirect connections that have been proposed by researchers, particularly in the context of psychoactive substances and their potential role in religious experiences.
One of the central elements of Zoroastrian ritual practice is the sacred drink known as Haoma, which is described in the Avesta, the primary collection of Zoroastrian religious texts. Haoma is considered a divine substance that grants vitality, healing, and spiritual insight. It is often compared to the Vedic Soma, a similarly revered drink in ancient Indian traditions. Some researchers, including R. Gordon Wasson, have speculated that Haoma (like Soma) might have been derived from a psychoactive substance, possibly a mushroom such as Amanita muscaria. This theory is based on the similarities between the descriptions of Haoma and Soma and the known effects of psychoactive mushrooms. However, this remains speculative, and other candidates, such as ephedra (a plant with stimulant properties), are more widely accepted as the likely source of Haoma.
Zoroastrianism places a strong emphasis on the pursuit of purity, wisdom, and communion with Ahura Mazda, the supreme deity. Some scholars have suggested that psychoactive substances, including mushrooms, might have been used to induce altered states of consciousness during rituals, potentially facilitating spiritual experiences. However, there is no direct evidence from Zoroastrian texts or artifacts to support this idea. Zoroastrian art and symbolism do not prominently feature mushrooms or mushroom-like imagery. Instead, the focus is on elements like fire, light, water, and plants, which are central to Zoroastrian cosmology and rituals.
Archaeologically, there is no evidence from Zoroastrian sites, such as fire temples or ancient Persian ruins, that suggests the use of mushrooms in religious or ritual contexts. The absence of mushroom-related artifacts or depictions makes it difficult to draw any firm conclusions about their role in Zoroastrian practices. This lack of evidence contrasts with other ancient cultures, such as the Mesoamerican civilizations, where mushroom use is well-documented through artifacts like mushroom stones and historical accounts.
In modern times, some alternative historians and entheogen enthusiasts have proposed that Zoroastrianism, like other ancient religions, might have incorporated psychoactive substances, including mushrooms, into its practices. These theories often draw parallels with other cultures, such as the Vedic use of Soma or the Siberian use of Amanita muscaria. However, these ideas are not supported by mainstream scholarship and are considered speculative. Without concrete evidence from texts, art, or archaeology, the connection between Zoroastrianism and mushrooms remains a topic of fringe theory rather than established fact.
In summary, while Zoroastrianism has a rich tradition of ritual practices involving sacred substances like Haoma, there is no direct evidence linking the religion to the use of mushrooms. The speculation about psychoactive mushrooms in Zoroastrianism largely stems from comparisons with other ancient cultures and the ongoing mystery surrounding the identity of Haoma. Without definitive evidence, the connection remains an intriguing but unproven idea.
The idea that mushrooms or fungi might not be from Earth is a fascinating and speculative topic that has been explored in both scientific and fringe theories. However, it’s important to clarify that there is no credible scientific evidence to support the claim that mushrooms are extraterrestrial in origin. That said, certain unique characteristics of mushrooms and fungi have led some researchers and theorists to propose unconventional ideas about their origins. Here are some of the components and features of mushrooms that have sparked such speculation:
1. Unique Biochemistry
Chitin Cell Walls: Unlike plants, which have cell walls made of cellulose, fungi have cell walls composed of chitin, the same material found in the exoskeletons of insects and crustaceans. This unique biochemical feature has led some to speculate that fungi might have a different evolutionary origin compared to other terrestrial life forms.
Metabolic Versatility: Fungi are incredibly adaptable and can thrive in extreme environments, from deep ocean vents to radioactive zones. Their ability to break down complex organic materials, including pollutants and even plastics, is unparalleled in the biological world. Some theorists argue that this adaptability suggests an extraterrestrial origin, though mainstream science attributes it to evolutionary innovation.
2. Psychoactive Properties
Psilocybin and Other Compounds: Certain mushrooms, such as Psilocybe species, produce psychoactive compounds like psilocybin and psilocin, which can profoundly alter human consciousness. Some theorists, like Terence McKenna, have speculated that the presence of these compounds might indicate an extraterrestrial "intelligence" or purpose behind fungi, suggesting they were "seeded" on Earth to influence human evolution or consciousness. However, this idea is not supported by scientific evidence and is considered speculative.
3. Role in Evolution and Ecosystems
Symbiotic Relationships: Fungi form symbiotic relationships with plants (mycorrhizae) and were crucial to the colonization of land by plants over 400 million years ago. Some theorists argue that this pivotal role in Earth's evolutionary history could suggest an extraterrestrial origin, as if fungi were "introduced" to facilitate life on Earth. Again, this is a fringe theory without scientific backing.
Decomposition and Nutrient Cycling: Fungi are Earth's primary decomposers, breaking down organic matter and recycling nutrients. Their unique role in ecosystems has led some to speculate that they might have been "designed" or "introduced" to maintain planetary balance, though mainstream science explains this as a result of natural evolution.
4. Resilience to Extreme Conditions
Radiation Resistance: Some fungi, like Cryptococcus neoformans, can survive high levels of radiation, including the intense radiation found in space. The discovery of fungi thriving in the Chernobyl Exclusion Zone and their potential use in radiation shielding has led to speculation about their extraterrestrial origins or their suitability for space colonization.
Space Survival Experiments: Fungi have been shown to survive in the vacuum of space and under microgravity conditions, as demonstrated in experiments on the International Space Station (ISS). While this resilience is remarkable, it does not imply an extraterrestrial origin but rather highlights their adaptability.
5. Panspermia Hypothesis
Fungi as Interstellar Travelers: The panspermia hypothesis suggests that life on Earth may have originated from microorganisms or organic molecules transported by comets, meteorites, or cosmic dust. Some theorists have proposed that fungi, with their hardy spores, could be ideal candidates for surviving interstellar travel. While this is an intriguing idea, there is no direct evidence to support the notion that fungi originated outside Earth.
6. Speculative Theories and Pop Culture
Terence McKenna's "Stoned Ape" Theory: While not directly related to extraterrestrial origins, McKenna's theory that psychoactive mushrooms influenced human brain evolution has inspired broader speculation about fungi's role in shaping life on Earth. Some have taken this idea further, suggesting that mushrooms might have been "planted" by extraterrestrial beings to guide human development.
Science Fiction and Fringe Theories: Mushrooms and fungi have been featured in science fiction and alternative theories as alien life forms or tools of extraterrestrial intelligence. For example, the idea of fungal networks as a form of "alien communication" has been popularized in works like Star Trek: Discovery and other media.
Conclusion
While mushrooms and fungi have unique and fascinating characteristics—such as their chitin cell walls, psychoactive compounds, ecological roles, and resilience to extreme conditions—there is no scientific evidence to support the claim that they are extraterrestrial in origin. Most of the speculation about mushrooms being "not from Earth" stems from fringe theories, science fiction, and imaginative interpretations of their biology. Mainstream science attributes the remarkable features of fungi to their evolutionary adaptation to Earth's environments over hundreds of millions of years. The idea of extraterrestrial fungi remains an intriguing but unproven concept.
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Deepseek.com
https://www.tiktok.com/t/ZT2DWoknY/
https://www.amazon.com/Sacred-Mushroom-Cross-Christianity-fertility/dp/0982556276

Sunday Feb 16, 2025
Sunday Feb 16, 2025
Lipid Nanoparticles
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Hydrogels are water-based, soft materials that have become a cornerstone in biomedical research and applications. Their unique properties—such as high water content, flexibility, and biocompatibility—make them ideal for a wide range of uses, including drug delivery, tissue engineering, and regenerative medicine. Hydrogels are three-dimensional networks of polymers that can absorb and retain large amounts of water. These polymers are crosslinked, meaning they form a stable structure that doesn’t dissolve in water. This structure allows hydrogels to mimic the natural environment of human tissues, making them highly compatible with biological systems.
One of the key properties of hydrogels is their high water content, which can reach up to 90%. This creates a moist environment that supports cell growth and tissue repair. Additionally, hydrogels are biocompatible, meaning they are non-toxic and interact well with living tissues, reducing the risk of adverse reactions. Scientists can also tune the mechanical strength, porosity, and degradation rate of hydrogels to suit specific applications. Some hydrogels are even "smart" materials, capable of responding to external stimuli like temperature, pH, or light, which makes them particularly useful for targeted therapies.
Hydrogels have a wide range of applications in the biomedical field. In drug delivery, they are used to control the release of drugs over time. Their porous structure allows drugs to diffuse slowly, ensuring sustained and targeted delivery, which is especially beneficial for treating chronic conditions like diabetes or cancer. In tissue engineering, hydrogels serve as scaffolds for growing new tissues. They provide a supportive environment for cells to attach, multiply, and form functional tissues, such as cartilage, bone, and even heart tissue. Hydrogels are also excellent for wound healing, as they keep the wound moist, promote healing, and can deliver antimicrobial agents directly to the site. Their flexibility and comfort make them ideal for dressing burns or surgical wounds. In regenerative medicine, hydrogels are used to repair damaged tissues and organs by releasing growth factors or stem cells that stimulate the body’s natural healing processes.
Recent advancements in hydrogel technology have further expanded their potential. Self-healing hydrogels, for example, can repair themselves after damage, extending their lifespan and reliability. Injectable hydrogels can be injected into the body in liquid form and then solidify at the target site, making them minimally invasive. Nanocomposite hydrogels, which incorporate nanoparticles, offer enhanced mechanical properties and additional functionalities, such as conductivity or antimicrobial activity. These innovations are pushing the boundaries of what hydrogels can achieve in medicine and beyond.
Despite their immense promise, there are still challenges to overcome with hydrogels. Controlling their degradation rate to match specific applications is one such challenge. Scaling up production without compromising quality is another. Additionally, improving how hydrogels interact with the body to avoid immune responses or rejection is critical for their long-term success. Future research aims to address these challenges and develop even more advanced hydrogels. For example, combining hydrogels with other technologies, like 3D printing, could revolutionize personalized medicine and on-demand tissue fabrication.
Hydrogels are a versatile and powerful tool in modern medicine. From delivering life-saving drugs to regenerating damaged tissues, their potential is vast. As research continues to push the boundaries of what hydrogels can do, they are poised to play an even greater role in improving healthcare outcomes worldwide. Their ability to mimic natural tissues, respond to stimuli, and be tailored for specific needs makes them an invaluable resource in the ongoing quest to advance medical science and patient care.
Hydrogel technology and related biomedical advancements, including drug delivery systems and tissue engineering, are being studied and applied in various regions, including Africa. The extent and focus of these studies often depend on local healthcare needs, funding, and research infrastructure. Africa faces a high burden of infectious diseases such as malaria, HIV/AIDS, and tuberculosis, making hydrogel-based drug delivery systems particularly relevant. For example, hydrogels are being investigated as potential carriers for controlled drug delivery to improve treatment outcomes for malaria by delivering antimalarial drugs in a sustained manner, which could reduce the frequency of doses and improve patient compliance. Similarly, research is exploring hydrogels for delivering antiretroviral drugs for HIV/AIDS, potentially through injectable or implantable systems, which could revolutionize treatment in regions with limited healthcare access.
In addition to infectious diseases, hydrogels are being studied for their ability to promote wound healing and treat burns, which are common in many African countries. Access to advanced wound care is often limited, and hydrogels offer a promising solution due to their ability to maintain a moist environment, deliver antimicrobial agents, and reduce infection. This makes them particularly valuable in low-resource settings where traditional wound care options may be scarce. Furthermore, hydrogels are being explored for regenerative medicine and tissue engineering, which could have significant applications in Africa. For instance, hydrogels could be used to regenerate skin tissue for burn victims, who often face limited treatment options, or to repair bone and cartilage for patients with injuries or degenerative conditions.
Hydrogels are also being researched as delivery systems for vaccines, which could have significant implications for public health initiatives in Africa. For example, hydrogels could be used to deliver vaccines in a single dose that releases over time, reducing the need for multiple injections and improving vaccination coverage in remote areas. Additionally, hydrogels could help stabilize vaccines, making them easier to transport and store in regions with limited refrigeration, which is a common challenge in many parts of Africa. These advancements could play a critical role in improving vaccination rates and combating preventable diseases.
Some African institutions and researchers are actively exploring hydrogel technology, particularly in countries like South Africa, where universities and research centers are at the forefront of biomedical research on the continent. These institutions are conducting studies on hydrogels for drug delivery and tissue engineering, often in collaboration with international partners. Such collaborations are essential for developing and testing hydrogel-based solutions tailored to local healthcare challenges. However, despite the potential benefits, there are significant challenges to the widespread adoption of hydrogel technology in Africa. Limited funding for research and development can hinder progress, and many regions lack the infrastructure needed to manufacture and distribute advanced biomedical materials. Additionally, there is a need for greater awareness and training in the use of advanced materials like hydrogels among healthcare providers to ensure their effective implementation.
Hydrogel technology is being studied and applied in Africa, particularly in areas like drug delivery, wound care, and regenerative medicine. While challenges such as funding, infrastructure, and training remain, the potential benefits are significant, especially for addressing infectious diseases, improving wound care, and advancing public health initiatives. As research and infrastructure continue to grow, hydrogels could play a transformative role in improving healthcare outcomes across the continent. By addressing these challenges and leveraging local and international collaborations, Africa can harness the potential of hydrogel technology to meet its unique healthcare needs.
In the year 2000, Children’s Hospital of Philadelphia (CHOP) was granted Patent US6333194B1, titled Hydrogel Compositions for Controlled Delivery of Virus Vectors and Methods of Use Thereof. A viral vector is a modified virus designed to deliver genetic material into cells, commonly used in gene therapy and vaccines. These vectors are rendered harmless by removing the disease-causing components, though they still require careful handling due to their ability to deliver genetic material. The patent describes a method for encapsulating viral vectors within nano-sized hydrogels, enabling delivery into cells via mRNA gene therapy.
Hydrogels are soft, water-based materials capable of expanding and retaining water. Composed of crosslinked polymers, they form a 3D structure that absorbs water without dissolving. Hydrogels have diverse applications, including tissue engineering, drug delivery, and regenerative medicine. The duration a drug remains in a hydrogel depends on its design and the drug itself, ranging from hours to months, with some engineered for sustained release over a year or more. This is achieved through controlled diffusion and degradation mechanisms.
In 2004, US Patent US20060251719A1, Sustained-Release Hydrogel Preparation, was granted, focusing on controlling the timing of drug release within hydrogels. These patents, though dated, have likely been refined by 2019.
Carrie Madej, a physician with a deep commitment to humanity and holistic wellness, emphasizes the sacredness of life and the importance of balancing body, mind, and spirit. She advocates for physicians to educate patients on health and identify root causes of disease. Graduating from Kansas City University of Medical Biosciences in 2001, she now educates on vaccines, nanotechnology, and human rights. Despite being heavily suppressed, her message resonates with many. She warns that 75% of the global population has received COVID-19 mRNA gene therapy, potentially carrying Marburg virus, a situation she describes as a crime against humanity.
Hydrogel nanolipid particles, combining hydrogels and nanoparticles, are used in drug delivery and tissue engineering. Patent US9012240B2, granted in 2009, describes porous hydrogel nanoparticles that sequester analytes for immobilization, using an open polymeric meshwork to enclose affinity bait.
Bill Gates has been criticized for promoting mRNA vaccines in Africa, with claims that these are not traditional vaccines but experimental gene therapies. Gates’ foundation has invested $40 million in mRNA vaccine production in Africa, aiming to address vaccine inequities. Critics argue that African nations, which were less vaccinated during COVID-19, had lower per capita deaths, raising questions about the efficacy of these vaccines. Gates’ initiatives have sparked concerns about depopulation and the use of Africans as test subjects.
Dr. Dave Martin highlighted that the National Institute of Allergy and Infectious Diseases (NIAID), led by Dr. Anthony Fauci, funded lipid nanoparticle (LNP) technology used in Moderna’s and Pfizer-BioNTech’s mRNA vaccines. LNPs are synthetic lipids that encapsulate mRNA, forming nanoparticles. U.S. Patent 8,999,351, issued to Tekmira Pharmaceuticals, was supported by an NIAID grant, though the funds were initially awarded to Alnylam Pharmaceuticals. Legal disputes over trade secrets between these companies further complicate the narrative.
The number of LNPs or viral vectors in a single vaccine dose is staggering: AstraZeneca’s vaccine contains 50 billion viral vectors, Pfizer-BioNTech’s has ~40 billion LNPs, and Moderna’s contains ~10 billion LNPs. Each LNP can produce 1,000 spike proteins, potentially resulting in trillions of pathogenic spike proteins in the body. This raises concerns about the long-term effects of these nanoparticles, which can migrate from the injection site to other parts of the body, including vital organs and the bloodstream.
The potential for LNPs to cause adverse effects is significant. If LNPs escape the muscle tissue, they can transfect cells in blood vessels, organs, and lymph nodes, leading to inflammation, clotting, and cell death. This has been linked to myocarditis, thrombosis, and other severe conditions. The aspiration technique, recommended in Denmark, reduces but does not eliminate these risks.
Bill Gates’ involvement in vaccine development has drawn criticism, particularly given his family’s history in eugenics. His comments about “messing around” with lipid nanoparticles and the ease of producing mRNA have raised alarms. Critics argue that Gates’ focus on population control and profit-driven initiatives pose significant risks to public health.
The United Nations has acknowledged that a polio vaccine initiative funded by Gates has caused outbreaks of vaccine-derived polio in Africa. Similar incidents have occurred in Pakistan, Afghanistan, and Iran. These failures highlight the risks of using live virus vaccines, which can mutate and cause new outbreaks. Gates’ continued involvement in vaccine development, including COVID-19 vaccines, has sparked widespread concern.
The development and deployment of mRNA vaccines and hydrogel-based delivery systems represent significant advancements in biotechnology. However, the potential risks, including adverse effects and unintended consequences, cannot be ignored. The involvement of figures like Bill Gates and the complex web of funding and patents raise ethical and safety concerns that demand rigorous scrutiny. As the world navigates the challenges of modern medicine, it is crucial to prioritize transparency, safety, and the well-being of all individuals.
Can these amazing discoveries be abused? Absolutely as we have learned from the Bill & Melinda Gates foundation and their supposed depopulation agenda. The foundation has faced criticism and legal challenges related to its funding of vaccine programs, particularly in developing countries. Some critics have alleged that these programs have caused harm or unintended consequences, though these claims are often highly contentious and not always substantiated in court. The foundation has also been involved in disputes over patents and intellectual property, particularly in the context of its funding for medical research and vaccine development.
A Dutch court has ruled that billionaire and global vaccine proponent Bill Gates will face trial in the Netherlands over his involvement in misleading the public about the safety of COVID-19 vaccines, The Defender reported. The case, brought forward by seven plaintiffs who claim to have suffered vaccine injuries, marks a significant blow to Gates, who has been a key figure in pushing COVID-19 vaccination efforts worldwide.
According to Dutch newspaper De Telegraaf, the plaintiffs filed the lawsuit last year, naming Gates as one of 17 defendants, along with former Dutch Prime Minister and current NATO Secretary General Mark Rutte, members of the Dutch government’s COVID-19 Outbreak Management Team, Pfizer CEO Albert Bourla, and the Dutch state itself. The Bill & Melinda Gates Foundation has become one of the World Health Organization’s (WHO) most significant donors in recent years, contributing hundreds of millions of dollars annually. They have also been reported to have been kicked out of many countries for crimes against humanity. One such country is India, where the Bill & Melinda Gates Foundation and their vaccine empire are under fire, including a pending lawsuit currently being investigated by the India Supreme Court. They are also accused of spending hundreds of millions of dollars in grants to control social media fact checkers and news outlets. As of June of 2020, Bill Gates has given no less than $250 million in foundation grants into mainstream journalism.
Watch video 1
Dr. Carrie Madej has lost her license to practice medicine and her research has been heavily redacted, shadowbanned and discredited. She also has been harassed, had her life threatened and still continues to put out information that is disturbing and are crimes against humanity if true. But of all the accusations this foundation has against it, is it not far fetched to think they have an agenda, which could be depopulation and are simply carrying out what Bill said in public? He said in a TedTalk that he will use Vaccines to lower the population levels. That is a fact. And is it responsible to experiment on an unexpecting and unwilling population or simply put without their will? After all, a top Nigerian official has accused Microsoft co-founder Bill Gates of using the people of Africa as guinea pigs for his scientific experiments. And doctors in Kenya have accused UNICEF, the World Health Organization and the Bill and Melinda Gates Foundation of secretly trying to sterilize millions of women in Africa via a tetanus vaccine program.
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It seems irresponsible to say such things especially when Lipid nanoparticles are still brand new technology. The dangers that follow mRNA gene therapy drugs and the idea that the nanoparticles can hold deadly diseases for a later release is frightening. It’s easy to just accuse without having sufficient evidence to support your facts, but sometimes, you can just read between the lines. I did some digging on Lipid nanoparticles and found out they are more dangerous than we could ever imagine.
Lipid nanoparticles (LNPs) are a key component of many modern drug delivery systems, particularly in mRNA-based vaccines like those developed for COVID-19. While LNPs have revolutionized medicine by enabling the efficient delivery of genetic material into cells, they are not without potential risks and dangers. One of the primary concerns with LNPs is their potential to trigger immune responses. LNPs can activate the immune system, leading to inflammation or allergic reactions. This is particularly concerning for individuals with pre-existing autoimmune conditions or heightened immune sensitivity. Symptoms may include localized inflammation at the injection site, systemic inflammatory responses such as fever or fatigue, and, in rare cases, severe allergic reactions like anaphylaxis.
Another significant concern is the potential for toxicity and organ damage. LNPs can accumulate in certain organs, such as the liver, spleen, and lungs, due to their small size and the body's natural filtration systems. This accumulation raises concerns about potential toxicity and long-term damage to these organs. For example, the liver, being a primary site for LNP accumulation, could experience inflammation or dysfunction. Similarly, if LNPs reach the lungs, they could cause inflammation or other respiratory issues. These risks highlight the need for careful monitoring of individuals receiving LNP-based treatments.
Off-target effects are another potential danger associated with LNPs. While they are designed to deliver their payload, such as mRNA, to specific cells, they can sometimes end up in unintended tissues or organs. This off-target delivery can lead to unintended effects, such as the production of proteins in the wrong cells, potentially disrupting normal cellular functions, or the activation of immune responses in unintended areas, leading to localized inflammation or damage. These off-target effects underscore the complexity of using LNPs in medical treatments.
The long-term effects of LNPs on the human body are not yet fully understood, as they are a relatively new technology. Questions remain about how long LNPs persist in the body, whether they can cause chronic inflammation or autoimmune disorders, and their potential effects on reproductive health or fetal development. These uncertainties highlight the need for ongoing research to fully understand the implications of LNP use in medicine.
There have also been reports of rare but serious cardiovascular side effects associated with LNP-based vaccines. These include myocarditis and pericarditis, which are inflammations of the heart muscle or lining, particularly observed in young males. Additionally, some studies suggest that LNPs could interact with blood components, potentially increasing the risk of clotting disorders. These cardiovascular risks are an important consideration, especially for individuals with pre-existing heart conditions.
LNPs can interact with the immune system in complex ways, potentially leading to overactivation of immune responses, causing cytokine storms or other systemic reactions. In some cases, they might also cause immune suppression, which could increase susceptibility to infections. These interactions highlight the delicate balance required when using LNPs in medical treatments to avoid unintended immune system consequences.
Beyond individual health risks, there are broader concerns about the use of LNPs, including their environmental impact and ethical issues. The long-term environmental effects of LNPs, particularly if they enter water systems or ecosystems, are not well studied. Additionally, the use of LNPs in experimental treatments or vaccines raises ethical questions about informed consent and the potential for unequal distribution of risks and benefits. These concerns emphasize the need for comprehensive studies and ethical considerations in the development and deployment of LNP-based technologies.
Finally, the production of LNPs requires precise control over their size, composition, and stability. Variations in manufacturing processes could lead to inconsistent performance of the drug or vaccine and increase the risk of adverse effects due to impurities or improper formulation. Ensuring high-quality manufacturing standards is crucial to minimize these risks and ensure the safety and efficacy of LNP-based treatments.
In conclusion, while lipid nanoparticles have enabled groundbreaking advancements in medicine, particularly in mRNA vaccines and gene therapies, they are not without risks. The potential dangers include immune reactions, organ toxicity, off-target effects, and unknown long-term consequences. Ongoing research is essential to better understand these risks and develop strategies to mitigate them. For now, the benefits of LNPs in treating diseases like COVID-19 are considered to outweigh the risks for most people, but continued monitoring and transparency are crucial to ensure their safe and effective use.
Without the lipid nanoparticles, mRNA cannot enter human cells, and the body would recognize the mRNA as a foreign and destroy it. In order to allow the mRNA to travel throughout the body, the mRNA is encased in lipid nanoparticles.
The lipid nanoparticles are synthetic fat molecules that mimic natural fat molecules. This means that they are not recognized by the body as a threat and are not destroyed by immune response as a foreign invader, which allows them to enter and release their mRNA cargo inside of cells. The mRNA then takes over and tricks the cells into synthesizing its foreign protein.
Lipid nanoparticles (LNPs) are synthetic lipids developed in the laboratory, and the technology has many unknowns. The technology is so new that there are no long-term studies on their health impacts. However, studies done before Pfizer was granted Emergency Use Authorization (EUA) revealed LNPs travel everywhere in the body and collect in most, if not all, organs. Pfizer told the world its mRNA gene therapy drug stays in the arm into which it is injected, even though the Pharma giant knew from its own biodistribution study that that was a lie. [“A Tissue Distribution Study of a [3H]-Labelled Lipid Nanoparticle-mRNA Formulation Containing ALC-0315 and ALC-0159 Following Intramuscular Administration in Wistar Han Rats,”
In nature, nanoparticles have always existed. Carbon nanotubes, discovered in the coating of pottery from India dating 600-300 BC, enabled it to last for centuries. However, there is no way to know if the nanotubes were there by accident or not. Also found circa 900 AD, Damascus steel contained cementite nanowires, and the origins and how they were made are unknown.
In the eighth-century Mesopotamia, which is modern-day Iraq, artisans were known for creating a glittering effect on a pot’s surface known as Lusterware. The process involved applying a mixture that included metal nanoparticles applied on previously glazed items, giving it an iridescent, metallic luster.
Modern-day nanotechnology first began in 1833 when the word “polymer” was introduced by a world-renowned Swedish chemist, Jöns Jakob Berzelius.
A year later, he introduced the term “isomer,” meaning substances with identical but differing properties. In other words, the substances have the same number and types of atoms but differ because the arrangement of the atoms makes them have different chemical structures.
This later helped launch an explosion of new synthetic polymers in the 1930s and 1940s, especially after World War II, including polyvinyl chloride (PVC), polyurethane (PU), nylon fibers, neoprene (synthetic rubber), polytetrafluoroethylene (PTFE or Teflon), and polystyrene (PS). Suddenly, synthetic fibers, films, plastics, rubbers, coatings, and adhesives were everywhere.
But these petroleum-sourced polymers contrast with biopolymers. Biopolymers are polymers from sources in nature and can be produced chemically from biological materials or are made by living organisms.
In 1965, Alec D. Bangham, a British biophysicist discovered liposomes (derived from two Greek words: lipo (“fat”) and soma (“body”)), and composed primarily of phospholipids, which are phosphorus-containing complex lipids and closed lipid bi-layer vesicles.
Bangham found that liposomes could be made spontaneously in water. These were the earliest version of lipid nanoparticles. Liposomes became the most widely studied and recognized drug delivery platform due to their biocompatibility and biodegradability, which resulted in minimal adverse reactions. They are currently used in skin care products and in nutritional supplements as well.
Liposomes used for drug treatments have had challenges, including poor stability and storage, and they are affected by pH and temperature. They have a low encapsulation rate due to a leakage problem with water-soluble drugs. Now, the use of PEGylated liposomes helps to improve encapsulation efficiencies and the size of particles, giving them a “stealth” effect, which increases their circulation time in the body.
Liposomes are hollow with one or more rings of lipid bilayers and are spherical vesicles surrounding a watery core, used as a drug carrier, made mainly from phospholipids and other physiologic lipids.
LNPs are made with lipid, or fat, components other than phospholipids. They are novel synthetic and semi-synthetic lipids that have greater stability because reactants act very slowly. LNPs have a more rigid form and structure, and this gives them significant advantages over liposomes.
The term ‘lipid nanoparticle’ originated in the 1990s. Big Pharma’s seems to have its sights set on revolutionizing healthcare using LNPs. LNPs are tiny fat balls, measured in nanometers, at a size of less than 200nm. A nanometer is one billionth of a meter. In comparison, the width of a human hair is 80,000nm to 100,000nm.
The science behind LNPs is an idea taken from nature. They are created using a micelle-like structure that holds drug molecules in a non-watery core surrounded and protected by a double-layer membrane of different lipids. With gene therapy, it is the encapsulated artificial pseudouridine (Pfizer’s mRNA) carried into the cells, where it gets deposited and used to make spike protein.
This process of artificially introducing nucleic acids (DNA or RNA) into cells is only possible by through LNPs’ ability to mimic natural and, thus, familiar fat molecules. This mimicry gives LNPs the ability to increase biodistribution throughout the body and, therefore, circulate longer in the body without detection by the immune system. This is made possible by the development of lipid- and polymer-based carriers called PEGylated phospholipids, or polyethylene glycol (PEG) polymer, a hydrogel that coats the lipid nanoparticle and helps it imitate the biological membrane. Without it, the immune system would quickly destroy the mRNA as the enemy invader it is. LNPs are a danger because they hijack cells and cause them to release the encapsulated, artificial pseudouridine they carry into the cells so that a foreign spike protein will be produced.
COMIRNATY® is the FDA-approved version of BNT162b2, Pfizer’s EUA COVID “vaccine” product. Although not available in the United States, it is being presented interchangeably by the Food and Drug Administration (FDA) and Pfizer, with the only difference being in one of the liquid buffers within the solution. The LNP formulation is identical and referred to as PF-07305885 (BNT162b2) and lipids.
The Pfizer safety data and hazard sheet gives very limited information. Here are Pfizer’s stated components, along with the information this author found for each, as well as the warnings found attached to several of the components:
STRUCTURAL LIPIDS
ALC-0315 – ((4-hydroxybutyl) azanediyl) bis(hexane-6,1-diyl) bis(2-hexyldecanoate), a novel synthetic lipid, “proprietary” to Acuitas Therapeutics, and used in combination with other lipids to form lipid nanoparticles. A phospholipid makes up the basic structure of the nanoparticle wall, molecules modeled after phospholipids found in living cells. It is an ionizable, cationic lipid whose positive charge binds to negatively charged mRNA. It is positively charged at an acidic pH but neutral in blood. The pH-sensitivity is beneficial for delivery of the mRNA into the cells because neutral lipids have less interactions with the negatively charged membranes of blood cells, thus making it more biocompatible.
ALC-0159 – 2- [(polyethylene glycol)-2000]-N, N-ditetradecylacetamide – the second novel, synthetic lipid proprietary to Acuitas Therapeutics. It is a PEG/lipid conjugate (i.e., PEGylated lipid), PEG hydrogel, and it provides a hydrating layer surrounding the nanoparticle. It is functional and helps control the particle life and size, provides a hydrating layer which increases stability, helps prevent aggregation (clumping), and prolongs the circulation within the body.
DCPC – 1,2-Distearoyl-sn-glcerc-3-phosphocholine – a (semi) synthetic phosphatidylcholine that is a structural neutral lipid used as a component of the outer wall of the LNP. It has a cylindrical shape that allows its molecules to form a layered phase, stabilizing the structure of lipid nanoparticles.
Cholesterol – gives the LNP a polymorphic shape which helps to get the messenger RNA (mRNA) into the cells. It also aids fluidity of a lipid membrane depending on temperature, enables the encapsulated ingredients to be transported by the blood, and is a major constituent within the LNP. As a helper fat, it improves cellular delivery and stability, as well as contributing to the structure of the LNP.
Naturally-occurring cholesterol analogues in lipid nanoparticles induce polymorphic shape and enhance intracellular delivery of mRNA.
mRNA (messenger RNA) – has many different names stated by Pfizer in the safety sheet: Tozinameran is the generic name for BNT162b2, and the name COMIRNATY® is also being used. Additionally, it is listed as PF-07302048 Containing PF-07305885 (BNT162b2); CorVAC Containing PF-07305885 (BNT162b2); CoVVAC Containing PF-07305885 (BNT162b2); COVID Vaccine Containing PF-07305885 (BNT162b2); COVID-19 Vaccine Containing PF-07305885 (BNT162b2); BNT162b2 (BioNTech code number BNT162; and Pfizer code number PF-07302048).
Messenger RNA is a synthetically generated version of the coronavirus spike protein, changed to make it more bioavailable by introducing analogs to the RNA sequence grown in E-Coli bacterium. “The resulting mRNA is known as nucleoside changed RNA (modRNA); Full length SARS-CoV-2 spike protein bearing mutations preserving neutralization-sensitive sites.
(PF-07305885) – A mystery ingredient that is listed separately and named in the Pfizer safety sheet.
The mRNA itself is enveloped by ALC–0315 and cholesterol within the LNP.
See image 3
Pfizer did not disclose that tetrahydrofuran, a suspected carcinogen, is a solvent used in the manufacturing of the ALC-0159. There are other ingredients that were used in manufacturing this drug but that not disclosed to the public, because disclosure would allegedly expose a trade secret. In some cases, ingredients, such as processing aids, are used without data showing how much was allowed in the finished product. Examples include ethanol; citrate buffer; HEPES (4-(2-hydroxyethyl)-1-piperazineethanesulfonic acid), a zwitterionic sulfonic acid buffering agent; EDTA; residuals; metal substances or compounds; and by-products. Additionally, the public has not been told what quality control standards were applied or who was regulating the manufacturing process from start to finish.
There have been many requests for this information, but governments, including the United Kingdom, have denied Freedom of Information (FOI) requests under “Absolute and Qualified Exceptions.” As well as statements such as, “We do not give away commercial secrets concerning the manufacture and control of any medicinal product or its ingredients. The levels of ingredients, impurities and degradants are controlled in all authorized medicinal products so that they are safe.” So, the public has been given no real answer, as well as no transparency.
There are four salts in the Pfizer mRNA vaccine used to keep its pH consistent over time. Two of these salts, monobasic potassium phosphate and dibasic sodium phosphate dihydrate, are also used in some pharmaceutical treatments, as well as in fertilizers and as food additives. Potassium chloride and sodium chloride (i.e., table salt) are common, naturally occurring substances.
Potassium Chloride – a buffering agent used to prevent a solution from becoming too acidic or basic.
Disodium phosphate dihydrate – a buffer used to prevent a solution from becoming too acidic or basic.
Sodium Chloride – a buffering agent used to prevent a solution from becoming too acidic or basic.
Potassium Phosphate – a buffering agent used to prevent a solution from becoming too acidic or basic.
OTHER INGREDIENTS
Deionized Water – neutral fluid to mix and dissolve ingredients.
Sucrose – helps to stabilize ingredients, particularly at low temperatures.
Tromethamine – “Tromethamine (a.k.a., “Tris”) is a blood acid reducer which is used to stabilize people with heart attacks.” This addition was found buried on page 14 in the Pfizer paperwork submitted to the FDA.
Trometamol hydrochloride– an amine compound for pH control of metabolic acidosis.
The following two ingredients were discovered by a United Kingdom (U.K.) physician’s Freedom of Information (FOI) request to the U.K. government which requested disclosure of all of the vaccine ingredients. Only two ingredients were disclosed with a statement that all other information is protected and would not be shared. Both “added to the list of excipients in Section 6.1 of the SmPC for Pfizer’s experimental drug for the purpose of pH-adjustment. Neither is listed in Table 2 of Pfizer’s Summary Basis for Regulatory Action (SBRA).”
Sodium Hydroxide– This is lye, a highly caustic and reactive inorganic base.
Hydrochloric Acid – A water-based, or aqueous, solution of hydrogen chloride gas, also known as muriatic acid; a very strong acid.
Pfizer encapsulates the mRNA inside the LNP through synthetic production methods, a process that runs a solution of the lipids alongside another solution containing the mRNA in a buffer, such as acetic acid, and then puts them through a microfluidic mixer. These two solutions are close to each other as they are run through the mixer and spontaneously and rapidly combine forming LNP with mRNA encased inside it.
They get bottled and need to be stored in ultra-low temperature freezers from -60°C to -80°C (or -76°F to -112°F).
Chilling and avoiding sunlight or ultraviolet (UV) light as well as shaking the vial helps to slow down chemical reactions called oxidation. Oxidation degrades the LNP and will cause leakage and clumping of the lipids. The instructions state the LNP/mRNA vials need to thaw before use. Vials may be stored at -25ºC to -15ºC (-13ºF to 5ºF) for only up to two weeks.
Dr. Chris Flowers did a report on quality control of the vaccines in which he states:
“Quality control is a major issue given that mRNA is very unstable, reported by the European Medicines Agency and published in the British Medical Journal (BMJ) , and the LNP platform is tricky to get right consistently, both for the size of the particles and the distribution of mRNA within them.
Furthermore, there are technical issues with the mRNA/LNP platform which require ultra-low temperature freezers to maintain the integrity of these lipid particles, as they are subject to oxidative degradation where the lipids form into clumps. Indeed, there are many issues with the LNP storage and transport, as their integrity can be easily destroyed by vigorous shaking, including using road transport.” (https://dailyclout.io/failure-of-serialization-by-pfizer-flouted-established-pharma-rules/)
Pfizer’s protocol calls for the vial contents to be inspected before use and that they should appear as a white to off-white suspension that may contain white to off-white, opaque, shapeless particles. If it appears discolored or has other particles in it, then it is to be discarded. Depending on the formulation, a saline dilution may need to be added before use. Then, the vial should be gently inverted 10 times, not shaken, and discarded after six hours.
Changes in the LNP/mRNA appearance are from chemical reactions in the drug compound. As it degrades, one or more substances can be changed into something else. There is a loss of electrons, which always occurs accompanied by oxidative reduction and is also the reason drugs have a limited shelf life.
Whether from storage, handling, and administration protocol errors or not, chemical transformation happens. However, it will happen faster if the protocol is not followed properly. Sub-zero freezing, refrigeration, limited use time, no sunlight or UV light exposure, and no shaking are all stipulated, which helps slow down the chemical reactions. However, it is a challenging protocol to adhere to in all instances. If the LNPs break down, they leak their mRNA gene therapy drug cargo, so less of the mRNA gets into the cells.
In their administrative factsheet, Pfizer mentions the possibility of seeing “other particles” in the vials. Why would there be “other particles?” Could it be it from degradation, and/or are its other ingredients not disclosed, or both? Scientists, doctors, and other researchers have analyzed and discovered other elements in COVID-19 drug vials — ingredients that Pfizer and other companies have not published, disclosed, explained, or categorically denied the existence of in their formulations. Black specks and a metallic-like substance were seen in these vials, and a group of independent German scientists found toxic components that are metallic elements in AstraZeneca, Pfizer, and Moderna vaccine vials.
These scientists claim their results have been cross confirmed using the following measuring techniques: “Scanning Electron Microscopy, Energy Dispersive X-ray Spectroscopy, Mass Spectroscopy, Inductively Coupled Plasma Analysis, Bright Field Microscopy, Dark Field Microscopy and Live Blood Image Diagnostics, as well as analysis of images using Artificial Intelligence.”
Their findings are as follows:
See image 4
The German scientists also did a blood analysis on vaccinated and unvaccinated people and provided pictures of their findings, which they also submitted to the German government authorities for review. Many others have done analyses on the vial contents with similar findings.
Hundreds of doctors, scientists, and other professionals from over 34 countries signed and presented a manifesto declaring an international medical crisis caused by the COVID-19 LNP mRNA injections.
The medical crisis declaration states:
“A large number of adverse side effects, including hospitalizations, permanent disabilities and deaths related to the so-called ‘COVID-19 vaccines’, have been reported officially. The registered number has no precedent in world vaccination history. “
Examining the reports on CDC’s VAERS, the UK’s Yellow Card System, the Australian Adverse Event Monitoring System, Europe’s EudraVigilance System and the WHO’s VigiAccess Database, to date there have been more than 11 million reports of adverse effects and more than 70,000 deaths co-related to the inoculation of the products known as ‘covid vaccines’.
We know that these numbers just about represent between 1% and 10% of all real events. Therefore, we consider that we are facing a serious international medical crisis, which must be accepted and treated as critical by all states, health institutions and medical personnel worldwide.”
The absolute critical change demands a worldwide stop to all mRNA countermeasures.
NANOPARTICLE INVASION
Nanotechnology and nanoparticles are now used in electronics, healthcare, chemicals, cosmetics, composites, and energy. Nanoparticles are exceedingly small, from 1nm to 100nm, in size and are not visible by the human eye. Their movement cannot be controlled, and there is an inability to predict results for the outcome of changing molecules, which may mean undesirable results.
There can be significant health issues, such as malignant tumors, for those handling nanoparticles, because they can enter the body through the skin or inhalation. Once in the body, it is difficult, if not impossible, to get them out.
Lipid nanoparticles have had failures and toxicity issues in the past, so novel lipids were formulated to withstand the body’s defenses, thus allowing the LNPs to get their cargo into the cells. Dr. Richard Urso is a scientist, inventor, and medical doctor in practice since 1988. He was the former Chief of Orbital Oncology at the University of Texas MD Anderson Cancer Center and is a drug designer, a treatment specialist, and the sole inventor of an FDA-approved wound-healing drug. He studied and used LNPs in chemotherapy treatments. But he has been against the use of these LNP/mRNA drugs.
He discovered the dangers of the LNP delivery platform from their use in his patients’ chemotherapy treatments and abandoned them because of similar serious harms now arising from COVID-19 LNP/mRNA gene therapy drug treatments.
In a 2022 interview, Dr. Urso said, “From [ages] 25 to 44, we saw last quarter of last year an 82% rise in deaths, so there’s a lot of data that’s out there that is very, very troubling… This lipid nanoparticle messenger RNA platform, I don’t care what you attach it to, it is always going to travel everywhere. It’s always going to be a problem. And that’s why you see the distribution of disorders coming from this after the vaccines affect so many different organ systems because it distributes everywhere.”
LNPs travel throughout the body and accumulate in organs and the brain. Wherever mRNA encased in LNPs goes, it also delivers spike protein . [“A Tissue Distribution Study of a [3H]-Labelled Lipid Nanoparticle-mRNA Formulation Containing ALC-0315 and ALC-0159 Following Intramuscular Administration in Wistar Han Rats,”
Dr. Urso also said, “…the mRNA stays in the body for up to 15 months because the body is unable to degrade it and is not sure what to do with it, so it causes ongoing inflammation and a disruption of the immune system. The spike protein is a huge disrupter of blood products as well, the evidence shows this LNP platform for this gene therapy is terrible in many ways because it is distributed in every part of the body with no way to control it, creating inflammation in multiple organ systems throughout the body and has caused more deaths and injuries than all the vaccines combined over the last 30 years.”
Dr. Urso is the co-founder of the Global Covid Summit, an international alliance of over 17,000 physicians and medical scientists who put out a declaration stating:
The state of medical emergency must end
Scientific integrity must be restored
COVID-19 injections must stop
Crimes against humanity must be addressed.
Dr. Russell L. Blaylock also spoke out against the COVID experimental LNP/mRNA drugs. He, a prominent neurosurgeon now retired, was a clinical assistant professor of neurosurgery at the University of Mississippi Medical Center and now is a visiting professor in biology at Belhaven University, as well as a published author. He wrote a hard-hitting article in the National Library of Medicine about the lies and corruption surrounding the COVID-19 “pandemic.”
Dr. Blaylock confirms the biodistribution of the LNPs. He wrote, “The Japanese resorted to a FOIA (Freedom of Information Act) lawsuit to force Pfizer to release its secret biodistribution study. The reason Pfizer wanted it kept secret is that it demonstrated that Pfizer lied to the public and the regulatory agencies about the fate of the injected vaccine contents (the mRNA enclosed nano-lipid carrier). They claimed that it remained at the site of the injection (the shoulder), when in fact their own study found that it rapidly spread throughout the entire body by the bloodstream within 48 hours. The study also found that these deadly nano-lipid carriers collected in extremely high concentrations in several organs, including the reproductive organs of males and females, the heart, the liver, the bone marrow, and the spleen (a major immune organ). The highest concentration was in the ovaries and the bone marrow. These nano-lipid carriers also were deposited in the brain.”
The biodistribution study used luciferase enzyme, which produces a bioluminescent substance giving off light, and radioisotope markers to accurately track the distribution of LNPs from COVID mRNA drugs. It clearly showed LNPs went throughout the body.
Inflammation from LNPs can affect the vagus nerve, which controls the diaphragm and, thus, breathing. It is the tenth of the twelve cranial nerves and the longest, most important in the human body that directs the inner nerve center, the parasympathetic nervous system.
The vagus nerve originates in the brain stem and wanders down through the body branching off into multiple organs including the thymus, heart, lungs, liver, gallbladder, stomach, pancreas, kidneys, adrenals, spleen, intestines, ovaries, and testes. Seventy-five percent of its function involves sending information from the organs it controls to the brain, so it is the “mind-body connection.” A higher vagal tone is associated with better overall health and well-being. The sensory signals from internal organs travel through the vagus nerve to the basal ganglia, which is a part of structures deep within the brain, and it enables the brain to keep track of organ actions. It helps regulate functions like digestion, heart rate, blood pressure, vascular tone, respiration and even speaking. Moreover, it also helps control reflex actions like coughing, swallowing, gagging, and sneezing.
Damage or dysfunction to the vagus nerve can affect one’s mood, digestion, cardiovascular system and has been linked to on-going inflammation, leading to chronic diseases, cancer, cardiovascular issues, neurodegeneration, and even death. Interference with the vagus nerve can cause partial or completely blocked electrical impulses in the heart. Depending on the severity of damage to the vagus nerve along with other health conditions, the symptoms can range from none to dizziness, fainting, or death.
LNPs are supposedly safe and non-toxic, but mice studies done with intradermal injection of LNPs caused inflammation and showed the fast movement, scattering, and distribution rate of LNPs into tissues. The intranasal inoculation caused approximately 80% of the mice to die in less than 24 hours. So, LNPs were known to be highly inflammatory before Pfizer’s human trials started.
Now, since LNP/mRNA drugs have been given to humans, inflammation is occurring throughout people’s bodies and weakening their immune systems. The inflammation is causing injury and/or further damage to weak or diseased systems and organs. Since COVID LNP/mRNA injections began, there have been significant increases in many serious, sudden, and even fatal heart conditions; increases in cancers; neurological problems; circulatory problems; and more . Each additional shot taken can increase the number and severity of adverse effects.
The FDA was taken to court to stop them from keeping Pfizer’s clinical trial documents secret. A Texas court ordered the FDA to release 450,000 pages of documents starting on January 31, 2022. Without access to these documents, patients were not able to give informed consent, because the drug-related risks were not fully disclosed.
Pfizer had the largest healthcare fraud settlement in the history of the Department of Justice on September 2, 2009. Pfizer was fined $2.3 billion for fraudulent marketing.
Now Pfizer is making billions by manufacturing and marketing a completely ineffective “vaccine.” Deepak Kaushal, who admitted to faking data ten separate times with federal grant applications and had a paper retracted, is the co-author of the Pfizer COVID-19 vaccine animal study, by which Pfizer’s BNT162b2 was determined “safe and effective.” Why was a known perpetrator of fraud allowed to participate in the study that led to the FDA’s EUA approval for a treatment deployed to billions of people?
Insurance companies are reporting historically high rates of serious health issues and death from non-COVID-19-related causes since the LNP/mRNA shots rolled out to the public. Young people are experiencing myocarditis, heart attacks, strokes, and sudden deaths, none of which is normal for that demographic. Dr. Peter McCullough explained the findings out of Thailand showing one in 43 adolescents are having heart issues, including subclinical myocarditis, a silent killer. He said, as a cardiologist, “There is no heart damage that is mild or inconsequential, and all COVID vaccines should be stopped for all young people.
Embalmers have found unnatural, “whitish” clots in the arteries and vessels of those who have died after receiving mRNA COVID shots. Richard Hirschman, an embalmer, has been documenting these strange clots since 2021.
Lipid nanoparticles cause harms to humans, and there is no known way to remove them from the body. Because these harms — as well as the facts that LNPs travel throughout the body, lodge in organs, and cannot be removed — were not disclosed to patients before they received the LNP/mRNA COVID “vaccines,” patients were not able to provide informed consent to receiving the experimental COVID medications. The American Medical Association (AMA), which has aggressively pushed COVID vaccines, says, “Informed consent to medical treatment is fundamental in both ethics and law. Patients have the right to receive information and ask questions about recommended treatments so that they can make well-considered decisions about care…In seeking a patient’s informed consent…physicians should:
Assess the patient’s ability to understand relevant medical information and the implications of treatment alternatives and to make an independent, voluntary decision.
Present relevant information accurately and sensitively, in keeping with the patient’s preferences for receiving medical information. The physician should include information about:
The nature and purpose of recommended interventions
The burdens, risks, and expected benefits of all options, including forgoing treatment
Document the informed consent conversation and the patient’s…decision in the medical record in some manner. When the patient…has provided specific written consent, the consent form should be included in the record.”
Because these basic steps were not taken, governments, public health agencies, medical professionals, and corporations acted, according to the AMA, in an unethical manner toward billions of people who have received the COVID vaccines worldwide. Americans and others must take legal action against those who failed to complete one of the most basic tenets of ethical medical interventions.
source
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Saturday Feb 15, 2025
Saturday Feb 15, 2025
The White Horse - First Seal
Watch this on Rumble: https://rumble.com/v6kzpup-the-white-horse-first-seal.html
I am noticing a major uptick in people talking about Trump being the 1st seal broken in revelations. Let’s dive into this. Jesus has to break the seal first. Following is not the Trumpet blowing and then the bowl which is the wrath of God.
1st Seal
Revelations 6:2 says “And I saw when the Lamb opened one of the seals, and I heard, as it were the noise of thunder, one of the four beasts saying, Come and see. And I saw, and behold a white horse: and he that sat on him had a bow; and a crown was given unto him: and he went forth conquering, and to conquer.”
The first seal represents the beginning of the tribulation. The white horse appears and a rider on it has a bow. No arrows. This means he goes out and conquers without war. Those that succumb to his requests are starring at the bow and are afraid of it. He is given a crown, which means he is King of the entire world. There will be clearly 10 other Kings that rule the world via economics or the world is divided by 10 countries or regions. They all will allow the King of Kings with the crown to do whatever he wants.
This King is interpreted as the Antichrist. A false messiah who emerges during the Tribulation to establish peace and dominance (often through deception). His conquering will be justified and the world will be in awe willingly giving over its sovereignty and allegiance to him. Some see this as a rise of empires or warfare, but this doesn’t make sense since he has no arrows so he will not shoot a single shot.
This is the 1st year of 7 in which the antichrist will bring a false sense of peace. RFK Jr. said in a speech at the White House that Trump is the one riding on white horse to save us all from the corrupt corporations and swamp. This is where many people point out that Trump is the Antichrist.
The Bible’s timeline is agreed by most scholars that the seals are broken first. This means all 7 seals will be broken first, then the 7 trumpets are blown and finally the bowls of wrath are poured onto the world. So, if we are entering into the first seal, what follows is the second seal so we need to understand what happens during the first and second to get a clear understanding of what is going on and if we are indeed beginning the tribulation.
The Seven Seals (Revelation 6-8:1)
The Lamb (Jesus) opens the seven seals of the scroll, which initiate God's judgments on the earth.
The first six seals bring about a series of events:
First Seal: The white horse and rider (conquest, often associated with the Antichrist).
Second Seal: The red horse and rider (war).
Third Seal: The black horse and rider (famine).
Fourth Seal: The pale horse and rider (death and Hades).
Fifth Seal: The cry of the martyrs.
Sixth Seal: Cosmic disturbances (earthquake, sun turns black, moon turns red, stars fall).
The seventh seal (Revelation 8:1) introduces the seven trumpets.
The Two Witnesses
The Two Witnesses are a pair of prophetic figures described in Revelation 11:3-12, who play a critical role during the Tribulation period. They are commissioned by God to prophesy for 1,260 days, which corresponds to approximately 3.5 years, or the first half of the Tribulation. Clothed in sackcloth, a symbol of mourning and repentance, they deliver a message of warning and judgment to a rebellious world. Their ministry takes place in Jerusalem, which is symbolically referred to as Sodom and Egypt in Revelation 11:8, highlighting its spiritual corruption and opposition to God. The Two Witnesses are endowed with extraordinary powers, including the ability to shut the sky so that no rain falls during their prophecy, reminiscent of Elijah’s ministry in 1 Kings 17:1. They can also turn water into blood and strike the earth with plagues, echoing the miracles performed by Moses in Exodus 7-12. Additionally, they have the power to call down fire from heaven to consume their enemies, similar to Elijah’s actions in 2 Kings 1:10. These miraculous signs not only validate their divine authority but also serve as a direct challenge to the forces of evil during the Tribulation.
The identity of the Two Witnesses is not explicitly stated in Scripture, leading to various interpretations. Many scholars associate them with Moses and Elijah, as their miracles closely mirror the ministries of these Old Testament figures. Moses represents the Law, while Elijah represents the Prophets, and together they symbolize the entirety of God’s revelation to humanity. This connection is further supported by their appearance with Jesus at the Transfiguration in Matthew 17:1-3, where they discussed Jesus’ impending departure. Others suggest that the Two Witnesses could be Enoch and Elijah, as these are the only two individuals in the Bible who were taken to heaven without dying (Genesis 5:24; 2 Kings 2:11). Some interpretations view the Two Witnesses as symbolic figures, representing the Church or a remnant of believers who testify during the Tribulation. Regardless of their specific identities, their role as God’s final witnesses is clear: they call humanity to repentance and demonstrate God’s power and judgment.
The Two Witnesses are divinely protected throughout their ministry, and no one can harm them until their mission is complete. However, after the 1,260 days of their prophecy, the Beast from the Abyss (the Antichrist) is permitted to kill them. Their bodies lie in the streets of Jerusalem for 3.5 days, and the world rejoices over their deaths, exchanging gifts and celebrating their demise. This celebration reflects the world’s rejection of God’s message and its alignment with the Antichrist. After this brief period, God resurrects the Two Witnesses, and they ascend to heaven in a cloud, witnessed by their enemies. This miraculous resurrection and ascension serve as a powerful testimony to God’s sovereignty and a final warning to those who oppose Him.
The ministry of the Two Witnesses occurs during the first half of the Tribulation, alongside the opening of the seven seals and the sounding of the seven trumpets. Their death at the hands of the Antichrist marks a significant turning point in the Tribulation, often associated with the midpoint of the 7-year period. At this time, the Antichrist breaks his covenant with Israel (Daniel 9:27) and sets up the abomination of desolation (Matthew 24:15), ushering in the Great Tribulation, a period of unprecedented suffering and persecution. The resurrection and ascension of the Two Witnesses signal the transition to this second half of the Tribulation, during which the seven bowls of God’s wrath are poured out on the earth.
The significance of the Two Witnesses extends beyond their individual actions. They fulfill the prophecy of Zechariah 4:11-14, which speaks of two anointed ones who stand before the Lord. Their ministry also underscores the biblical principle that the testimony of two witnesses is required to establish truth (Deuteronomy 19:15), ensuring that their message is credible and authoritative. Through their miracles, death, and resurrection, the Two Witnesses demonstrate God’s power over life and death, His commitment to justice, and His desire for humanity to repent. Their presence during the Tribulation serves as a final call to repentance and a reminder of God’s ultimate victory over evil.
In summary, the Two Witnesses are God’s final prophets during the Tribulation, prophesying for 1,260 days in Jerusalem. They perform miraculous signs, are protected by God, and are ultimately killed by the Antichrist. However, their resurrection and ascension to heaven demonstrate God’s sovereignty and serve as a powerful testimony to the world. Their ministry fulfills biblical prophecy, validates God’s power, and provides a final opportunity for humanity to turn to God before the culmination of His judgment.
Noahide Laws & Project 2025
The idea of connecting Noahide Laws and Project 2025 to the Two Witnesses is an intriguing and symbolic interpretation, though it is not explicitly supported by Scripture. The Noahide Laws are a set of seven moral principles derived from Jewish tradition, based on commandments given to Noah after the flood (Genesis 9:1-17). These laws are considered universal and apply to all humanity, not just Jews. They include prohibitions against idolatry, blasphemy, murder, theft, sexual immorality, and eating the flesh of a living animal, as well as a positive command to establish courts of justice. If the Noahide Laws were to be enforced globally, some might interpret this as a revival of Old Covenant principles on a universal scale. The Two Witnesses, often associated with Moses and Elijah, represent the Law and the Prophets, which are foundational to the Old Covenant. In this sense, the enforcement of Noahide Laws could symbolically reflect the ministry of the Two Witnesses, as both emphasize God’s moral standards and call humanity to repentance.
Project 2025 is a strategic initiative (in the context of U.S. politics) aimed at shaping policy and governance. If interpreted symbolically, it could represent a broader movement to establish a global system of laws or governance that aligns with certain moral or religious principles. If Project 2025 (or a similar initiative) were to promote the enforcement of Noahide Laws or other moral codes, it could be seen as a modern attempt to bring back Old Covenant-like principles. This could symbolically parallel the Two Witnesses’ role in calling humanity back to God’s standards during the Tribulation. However, this interpretation is highly speculative and depends on viewing contemporary events through a prophetic lens. It is important to note that such connections are not explicitly supported by biblical texts and should be approached with caution.
While the connections between Noahide Laws, Project 2025, and the Two Witnesses are thought-provoking, there are important distinctions to consider. The Two Witnesses are described as individuals with a specific, miraculous ministry during the Tribulation (Revelation 11:3-12). They perform signs and wonders, call down plagues, and are killed and resurrected, which are unique to their prophetic role. In contrast, Noahide Laws and Project 2025 are systems or initiatives rather than individuals. They lack the miraculous and apocalyptic elements associated with the Two Witnesses. Additionally, the Two Witnesses’ ministry is explicitly tied to the end-times narrative in Revelation, while Noahide Laws and Project 2025 are contemporary developments that may or may not have prophetic significance.
From a theological perspective, it is important to consider the relationship between the Old Covenant and the New Covenant. The New Testament emphasizes that the Old Covenant has been fulfilled in Christ (Hebrews 8:13; Matthew 5:17). While the Two Witnesses may symbolize the Law and the Prophets, their ministry points to the ultimate fulfillment of God’s plan in Christ, not a return to Old Covenant practices. Any attempt to revive Old Covenant principles on a global scale, such as through the enforcement of Noahide Laws, would need to be understood in light of this fulfillment. The Two Witnesses’ call to repentance and adherence to God’s standards is ultimately a precursor to the establishment of Christ’s kingdom, not a reinstatement of the Old Covenant.
Could Project 2025 represent the Two Witnesses? While it is possible to draw symbolic parallels between Project 2025 (or similar initiatives) and the Two Witnesses, this interpretation is not explicitly supported by Scripture. Instead, it reflects a symbolic or allegorical approach to prophecy. If Project 2025 were to promote a global system of morality based on Noahide Laws or similar principles, it could symbolically reflect the Two Witnesses’ call to repentance and adherence to God’s standards. However, some interpretations of end-time prophecy suggest that a global system of governance will emerge under the Antichrist. In this context, Project 2025 could be seen as a step toward such a system, rather than a reflection of the Two Witnesses. This highlights the complexity of interpreting contemporary events through the lens of biblical prophecy.
The idea of the Noahide Laws and Project 2025 symbolically reflecting the Two Witnesses is an imaginative interpretation, but it is not explicitly grounded in biblical prophecy. The Two Witnesses are described as individuals with a specific, miraculous ministry during the Tribulation, while Noahide Laws and Project 2025 are systems or initiatives. However, if viewed symbolically, the enforcement of universal moral laws could be seen as a modern parallel to the Two Witnesses’ call for repentance and adherence to God’s standards. Ultimately, interpretations like these should be approached with caution, as they rely on symbolic connections rather than direct biblical evidence.
Donald Trump
The idea of Donald Trump being symbolically linked to the rider on the white horse in Revelation 6:2 is a fascinating interpretation that has gained traction among some Christians and observers of prophecy. This connection is largely based on symbolic parallels rather than explicit biblical evidence, but it raises interesting questions about how contemporary events might be viewed through the lens of Scripture. The rider on the white horse is described in Revelation 6:2 as carrying a bow and wearing a crown, going out to conquer. Many biblical scholars and theologians interpret this rider as the Antichrist, a false messiah who emerges during the end times to establish a deceptive peace and dominance. Others see the rider as a symbol of conquest in general, representing the rise of empires, political leaders, or military power. The rider’s bow without arrows is often interpreted as achieving victory through deception or diplomacy rather than direct conflict, which adds to the intrigue of this imagery.
In a recent speech, RFK Jr. described Trump as riding a white horse, symbolizing a leader who will "conquer" and restore order by taking out the "swamp" of corruption in America. This imagery resonates with some Christians who see Trump as a figure who could usher in a new era of peace and prosperity, aligning with the idea of the rider on the white horse. Trump’s promise to "drain the swamp" and restore America’s greatness is seen by some as a form of political and cultural conquest. Additionally, the idea of a "new era" could be interpreted as a temporary or deceptive peace, similar to the Antichrist’s rise to power. Trump’s reliance on rhetoric, negotiation, and political strategy (rather than military force) could also be seen as a modern parallel to the rider’s bow without arrows. These symbolic parallels have led some to draw connections between Trump’s leadership and the biblical imagery of the rider on the white horse.
There are certainly some coincidences and similarities that make this comparison intriguing. The idea of a leader riding a white horse and bringing peace is a powerful archetype that resonates with many people, both in biblical prophecy and in contemporary politics. Trump’s leadership style and promises to restore order and prosperity have led some to view him through this symbolic lens. For Christians who believe in pre-tribulation eschatology, the opening of the first seal is seen as the beginning of the Tribulation, marked by the rise of a deceptive leader. If Trump were to be re-elected or play a significant role in global politics, some might interpret this as a step toward the fulfillment of this prophecy. However, it is important to approach such interpretations with caution, as they rely on symbolic connections rather than direct biblical evidence.
Despite these parallels, there are significant differences and theological considerations to keep in mind. While Trump may be seen as a strong or transformative leader, there is no biblical evidence to suggest that he is the Antichrist or fulfills the specific role of the rider on the white horse. The Antichrist is described in Scripture as a globally dominant figure who deceives many, establishes a false peace, and ultimately opposes God (2 Thessalonians 2:3-4; Revelation 13). The rider on the white horse is part of a highly symbolic vision in Revelation, and applying this imagery to a specific modern leader requires careful interpretation. Associating contemporary political figures with biblical prophecy can lead to confusion or misplaced expectations, so it is important to approach such interpretations with humility and discernment.
It is also helpful to consider the broader context of Revelation 6. The rider on the white horse is the first of four horsemen, each representing different aspects of God’s judgment. The white horse symbolizes conquest (possibly deceptive peace), the red horse represents war, the black horse signifies famine, and the pale horse brings death. These horsemen collectively symbolize the beginning of the Tribulation, a period of increasing chaos and judgment leading up to the return of Christ. The rider on the white horse is just one part of this larger narrative, and his role should be understood within the context of the other horsemen and the unfolding of God’s judgment.
The comparison between Donald Trump and the rider on the white horse is an intriguing symbolic interpretation, but it is not explicitly supported by Scripture. While there are some parallels—such as the idea of conquest, a false sense of peace, and the use of diplomacy or rhetoric—these connections are speculative and should be approached with caution. The rider on the white horse is most commonly interpreted as the Antichrist or a symbol of deceptive conquest, and applying this imagery to a specific modern leader risks oversimplifying the complex and symbolic nature of biblical prophecy. Ultimately, while it is fascinating to explore how contemporary events might align with biblical themes, it is important to focus on the clear teachings of Scripture and avoid overinterpreting symbolic passages.
Second Seal
When the second seal is broken, a red horse and its rider appear, symbolizing a profound and devastating shift in the events of the Tribulation. The color red is often associated with bloodshed and violence, and this imagery sets the tone for the rider’s mission. The rider is given a great sword, which signifies widespread conflict and war. Unlike the first seal, where the rider on the white horse represents conquest—possibly through deception or diplomacy—the second seal introduces a more overt and destructive form of conquest. The rider on the red horse is granted the power to take peace from the earth, leading to widespread violence and bloodshed. This marks a significant escalation in the judgments unleashed during the Tribulation, as the relative stability or deceptive peace of the first seal gives way to chaos and conflict.
The breaking of the second seal signifies the onset of global war and unrest. The phrase "take peace from the earth" suggests that the conflicts initiated by this rider will be widespread, affecting nations and peoples across the world. This could include large-scale wars, civil unrest, or even acts of terrorism that disrupt societal order. The great sword given to the rider emphasizes the severity and lethality of these conflicts, as swords are instruments of close combat and personal violence. This imagery underscores the human cost of these wars, with countless lives lost and communities torn apart. The second seal, therefore, represents a dramatic shift from the deceptive calm of the first seal to the brutal reality of widespread violence.
Theological interpretations of the second seal often connect it to the rise of the Antichrist and the unfolding of end-time events. Some scholars suggest that the rider on the red horse could symbolize the Antichrist’s use of war and violence to consolidate power and assert dominance over the earth. Others view the second seal as a broader representation of humanity’s propensity for conflict and destruction, which will reach its peak during the Tribulation. Regardless of the specific interpretation, the second seal serves as a stark reminder of the consequences of humanity’s rebellion against God and the inevitable judgment that follows.
The second seal also fits into the broader context of the four horsemen of the Apocalypse, who are introduced in Revelation 6 as agents of divine judgment. The rider on the red horse follows the rider on the white horse, who represents conquest, and precedes the riders on the black and pale horses, who symbolize famine and death, respectively. Together, these four horsemen depict a progression of judgments that escalate in severity, leading to widespread suffering and devastation. The second seal, with its focus on war and violence, sets the stage for the subsequent judgments, which will further compound the suffering of humanity.
The breaking of the second seal introduces the rider on the red horse, who symbolizes war and the removal of peace from the earth. This judgment marks a significant escalation in the events of the Tribulation, as widespread violence and conflict erupt across the globe. The rider’s great sword and the imagery of bloodshed emphasize the human cost of these wars, while the broader context of the four horsemen highlights the progressive nature of God’s judgments. The second seal serves as a powerful reminder of the consequences of humanity’s rebellion and the inevitability of divine judgment during the end times.
Although it appears like we are going through a tumultuous time, it appears the powers to be are faking the end of days, in my opinion. If Jesus did indeed break the first seal, we will most definitely see the two witnesses and I believe they are going to be human and not a symbol of a religious movement like Noah Hide laws or Project 2025. The reason is the witnesses will be killed by the antichrist and the world will rejoice watching their bodies in the street decay for 3 days. Then they get raised from the dead. If we are to take the Bible seriously, we have to watch for these two witnesses as it’s our only clue as to if we are actually going through it. The devil only gets 7 years before he’s thrown into the pit for 1,000.
Noah’s Flood
Another thing to consider is Jesus’ warning to the Apostles in Matthew 24:37-39 “But as the days of Noah were, so shall also the coming of the Son of man be. For as in the days that were before the flood they were eating and drinking, marrying and giving in marriage, until the day that Noah entered into the ark, And knew not until the flood came, and took them all away; so shall also the coming of the Son of man be.” This is a great clue as we have to understand what was happening before the days of Noah.
The period right before the Flood, as described in Genesis 6, was a time of profound moral decay, violence, and rebellion against God. The Bible paints a grim picture of humanity during this era, stating that "the wickedness of man was great in the earth, and that every intention of the thoughts of his heart was only evil continually" (Genesis 6:5). This verse highlights the pervasive nature of human sin—every thought and action was tainted by evil. The world had become a place of chaos, where people were consumed by selfishness, violence, and a complete disregard for God’s ways. Genesis 6:11-12 further emphasizes this, declaring that the earth was "filled with violence" and "corrupt in God’s sight." The corruption was so widespread that it affected all of creation, leading God to grieve that He had made humanity (Genesis 6:6). This deep sorrow reflects the severity of humanity’s rebellion and the necessity of divine intervention.
One of the most mysterious and debated aspects of the pre-Flood world is the mention of the Nephilim in Genesis 6:4. The verse reads: "The Nephilim were on the earth in those days, and also afterward, when the sons of God came in to the daughters of man and they bore children to them. These were the mighty men who were of old, the men of renown." The term "Nephilim" is often translated as "giants" or "fallen ones," and they are described as "mighty men" and "men of renown." The identity of the Nephilim and the "sons of God" has been the subject of much speculation. Some interpret the "sons of God" as fallen angels who intermarried with human women, producing the Nephilim as their offspring. This view is supported by passages like Jude 1:6-7 and 2 Peter 2:4-5, which speak of angels who sinned and were judged. Others argue that the "sons of God" were the godly line of Seth, who intermarried with the ungodly descendants of Cain, leading to moral corruption. Regardless of their origin, the Nephilim are associated with the widespread violence and corruption that characterized the pre-Flood world. Their presence may have contributed to the chaos and moral decay that prompted God’s judgment.
The wickedness of humanity and the corruption of creation grieved God deeply. Genesis 6:6 says, "And the Lord regretted that He had made man on the earth, and it grieved Him to His heart." This anthropomorphic language expresses God’s sorrow over the state of His creation. Despite His patience and longsuffering, humanity’s rebellion had reached a point where judgment was necessary. God resolved to "blot out man whom I have created from the face of the land" (Genesis 6:7), but He also showed mercy by choosing to preserve Noah and his family. In the midst of this corruption, Noah stood out as a righteous man. Genesis 6:9 describes him as "a righteous man, blameless in his generation. Noah walked with God." Noah’s faithfulness and obedience to God made him the vessel through which God would preserve humanity and the animal kingdom. God instructed Noah to build an ark to save himself, his family, and pairs of every kind of animal from the coming Flood. Noah’s obedience in building the ark, despite the ridicule and opposition he likely faced, is a testament to his faith (Hebrews 11:7).
The pre-Flood world was characterized by moral decay, violence, and rebellion against God. Humanity’s thoughts and actions were continually evil, and the earth was filled with bloodshed and lawlessness. The presence of the Nephilim and their influence may have contributed to the chaos, further exacerbating the corruption. Despite this, Noah’s righteousness provided a glimmer of hope. God gave humanity 120 years to repent (Genesis 6:3), during which Noah preached righteousness and built the ark (2 Peter 2:5). However, the people ignored Noah’s warnings, and their refusal to repent sealed their fate. The Flood was God’s response to the unrelenting wickedness of humanity. It served as both an act of judgment and a means of cleansing the earth. Genesis 7:11-12 describes how "all the fountains of the great deep burst forth, and the windows of the heavens were opened," resulting in a catastrophic flood that covered the entire earth. Only Noah, his family, and the animals on the ark were spared. The Flood marked the end of an era of corruption and the beginning of a new covenant between God and humanity.
The story of the pre-Flood world serves as a sobering reminder of the consequences of unchecked sin and rebellion against God. It also highlights God’s justice in judging sin and His mercy in preserving a remnant. The Flood is echoed in the New Testament as a warning of the final judgment to come (Matthew 24:37-39; 2 Peter 3:5-7). The pre-Flood era teaches us about the importance of righteousness, obedience, and heeding God’s warnings. Noah’s faithfulness in the midst of a corrupt world stands as an example of how to live in obedience to God, even when surrounded by evil. The Flood reminds us that God’s justice will ultimately prevail, but His mercy is always available to those who turn to Him.
The flood was the only way to keep Adam’s bloodline. I believe the Nephilim and Sons of Might bred out 99.9% of all men and women’s genes from Adam to form the serpent’s seed or triple helix. Noah wasn’t righteous as he was a drunk. But his bloodline was and it was needed for the coming of Jesus to set us all free from a hostage situation. I believe when mankind with the help of sons of might’s technology have brought back the days of Noah and will continue to push and push for the tribulation. But we have some problems here. The two witnesses haven’t showed up yet and we have no nephilim. the Bible is pretty clear that once the first seal is broke, the tribulation starts. But how can Satan force God to break it when the nephilim aren’t here?
Now, maybe the nephilim have been here for a while now but have not come to the surface. They are trying to but are waiting for a sign. It seems the whole world has been waiting for this sign. But what is it?
In Matthew 24:37-39, Jesus compares the days leading up to His return to the days of Noah, emphasizing the suddenness of the judgment that came upon the unprepared. However, as you noted, the process leading up to that judgment—specifically, the 120 years God gave Noah to build the ark (Genesis 6:3)—was not swift. This suggests a period of warning and preparation before the final judgment. Jesus’ analogy highlights both the suddenness of the ultimate judgment and the extended period of grace and warning that precedes it.
In Genesis 6:3, God declares that His Spirit will not strive with man forever, and He gives humanity 120 years before the flood comes. During this time, Noah preaches righteousness (2 Peter 2:5) and builds the ark as a warning to the world. Similarly, Jesus' reference to the days of Noah in Matthew 24 implies a period of warning and preparation before the final judgment. This suggests that before the tribulation (symbolized by the breaking of the seals in Revelation), there will be a time of grace and warning for humanity. Just as Noah’s generation had ample opportunity to repent, so too will the world have a chance to respond to God’s message before the end.
If we apply the analogy of the days of Noah, the event that must happen before the first seal is broken could be understood as a period of warning and preparation. This could include the preaching of the gospel to all nations, as Jesus mentions in Matthew 24:14, which serves as a final witness to the world. It may also involve a rise in evil and moral decay, much like in Noah’s time when “the wickedness of man was great in the earth, and every intent of the thoughts of his heart was only evil continually” (Genesis 6:5). Additionally, if you hold to the pre-tribulation rapture view, the rapture itself could be the event that precedes the breaking of the first seal. The removal of the Church would act as a final warning to the world, much like Noah’s ark was a warning to his generation.
While the judgment itself (the flood in Noah’s time, the tribulation in the end times) comes suddenly, the buildup to it is not swift. The 120 years given to Noah show that God provides ample time for repentance and preparation before executing judgment. In the same way, the breaking of the first seal in Revelation 6:1-2 (often interpreted as the rise of the Antichrist or a false peace) marks the beginning of the tribulation, but it is preceded by a period of warning and preparation. This period serves as a final opportunity for people to turn to God before the judgments of the tribulation unfold.
In conclusion, the event that must happen before the first seal is broken could be understood as a period of warning and preparation, much like the 120 years given to Noah. This period may include the preaching of the gospel, the rise of evil, and possibly the rapture (if you hold to that view). The key takeaway from Jesus’ analogy is that, while the judgment will come suddenly, there is a time of grace and warning beforehand. Believers are called to be watchful and ready, just as Noah was obedient and prepared during his time.
source
Deepseek
Biblical References
Matthew 24:37-39
Jesus compares His second coming to the days of Noah, emphasizing sudden judgment after a period of warning.
Genesis 6:3
God declares a 120-year period of grace before the flood, during which Noah builds the ark.
Genesis 6:5
Describes the wickedness of humanity before the flood, highlighting the moral decay of Noah’s time.
2 Peter 2:5
Refers to Noah as a "preacher of righteousness," indicating his role in warning his generation.
Revelation 6:1-2
The breaking of the first seal, often interpreted as the beginning of the tribulation and the rise of the Antichrist or a false peace.
Matthew 24:14
Jesus states that the gospel will be preached to all nations as a witness before the end comes.
Theological Concepts
The Rapture
Derived from passages like 1 Thessalonians 4:16-17 and 1 Corinthians 15:51-52, the rapture is a key event in eschatology (the study of end times). Views on its timing (pre-tribulation, mid-tribulation, or post-tribulation) vary among Christians.
The Tribulation
Based on Revelation 6-19, the tribulation is a period of God’s judgment on the earth. The breaking of the seals, trumpets, and bowls are key events within this period.
The Days of Noah as a Typology
Many theologians see the days of Noah as a typology (a symbolic foreshadowing) of the end times, emphasizing themes of judgment, grace, and preparation.
Historical and Theological Context
Early Church Teachings
Early Christian writers like Augustine and Irenaeus often drew parallels between Noah’s flood and the final judgment, emphasizing the themes of warning and salvation.
Reformation and Modern Theology
Reformers like John Calvin and modern theologians such as John Walvoord (a proponent of dispensationalism) have contributed to the understanding of eschatology, including the rapture and tribulation.
Dispensationalism
This theological framework, popularized in the 19th and 20th centuries, emphasizes a literal interpretation of biblical prophecy and often includes a pre-tribulation rapture.
Additional Resources
If you’d like to explore these topics further, here are some recommended resources:
Books
The Late Great Planet Earth by Hal Lindsey (a popular work on eschatology).
Revelation Unveiled by Tim LaHaye (a detailed commentary on the book of Revelation).
Systematic Theology by Wayne Grudem (includes sections on eschatology and the end times).
Commentaries
The MacArthur Bible Commentary by John MacArthur.
The NIV Study Bible (includes notes on Matthew 24 and Revelation).
Online Resources
Websites like GotQuestions.org provide accessible explanations of biblical topics, including the rapture, tribulation, and the days of Noah.
Bible study tools like BlueLetterBible.org offer access to commentaries, lexicons, and cross-references.

Friday Feb 14, 2025
Friday Feb 14, 2025
The Collins Elite
Watch this on Rumble: https://rumble.com/v6km99p-the-collins-elite.html
Collins Elite are a Shadow Group In The U.S. Government that Believe ETs Are Demons. A surprising new analysis and an overview of the available reports reveal that within the U.S. defense and intelligence agencies lies a shadow group that is influential, fanatically religious and that actively undermines UFO studies by the government and its associated program managers, believing that UFOs are demonic.
An ongoing investigation into this bizarre and unscientific situation seeks to call fundamentalists who want to dismantle such programs by name. In doing so, they destroy the professional reputation and advancement of science. Incredibly, these extreme evangelicals believe that these “aliens” are demons and that those who study them are playing with fire. They are working from within to put pressure on these military and intelligence programs and on the professionals involved in examining the phenomena.
It has been many years since the New York Times revealed the existence of Advanced Aerospace Threat Identification Program (AATIP) of the US Pentagon. The program had a recognized budget of US $ 22 million and ran for 2007–2012. It produced military radar reports, weapon camera images and detailed UFO sighting reports (now officially referred to as Unidentified Aerial Phenomena or UAPs). Former AATIP program manager, intelligence officer Luis Elizondo, also confirmed the existence of a collection of foreign materials, similar to metals, recovered by civilians and military personnel, apparently as UFO waste or collision items. Federal contracts were assigned to Bigelow Aerospace for the modification of facilities near Las Vegas, NV, to house and test these items. The Bigelow Aerospace is owned by Robert Bigelow, a billionaire and a major financial contributor to UFO causes, close to the senator Harry Reid and other influential individuals.
But it goes far beyond that:
Luis Elizondo’s predecessor (a PhD rocket scientist ‘Beltway’) endured efforts by religious fanatics to inflict professional ruin on him, because the data he was gathering was a threat to their belief system! It appears that a specific element of religious extremists has somehow placed itself in the main government military and intelligence agencies that have allowed them to do so. And that element did not like the discoveries of Elizondo’s predecessor – and tried to destroy his career – because they think UFOs and their demonic occupants.
Elizondo himself, in managing the program, experienced obstacles similar to those that impose his strange ET-as-Devil belief.
Incredibly, former UK Ministry of Defense UFO research officer Nick Pope also came forward to say that he was also harmed in his work on the phenomenon by people who consider him satanic, running these unscientific campaigns across the world.
This author strives to track down and name the religious extremists who are preventing the study of government UFOs and the program managers who may be helping them.
This threat to science, rationality and free research is rampant. And, unfortunately, this set of beliefs is not limited to just one branch or agency. This superstitious and reactionary way of thinking is difficult to understand in 2020, but it spreads to senior US military and intelligence officers who, driven by the strange idea that ETs are demonic, continue to impede authorized study of UFOs.
Elizondo discloses interference by officials who claim ETs are demons
Luis Elizondo, former head of AATIP
The blog of the To The Stars Academy (TTSA), on November 1, 2018, presented a brief article and little known or mentioned published by Luis Elizondo, where he writes in part:
Unidentified aerial phenomena (UAP) have been linked to demons and anti-Christian-Jewish beliefs. I experienced this first hand during my time working on the US Government’s Advanced Aerospace Threat Identification Program (AATIP), where certain senior government officials thought our collection of facts about UAPs was dangerous to their philosophical beliefs. In fact, my predecessor’s career at AATIP was ruined because of a mistaken fear by a few of the elite. Rather than accepting the data provided by a high-ranking rocket scientist, they decided that the data was a threat to their belief system and instead destroyed their career because of it.
These extraordinary admissions by Elizondo, who wrote the book Imminent, indicate that he and the person who held that position previously experienced the same madness that “aliens are the devil” and career impediment by employees when they were managers of the UAP program.
The Pentagon scientist whose career was destroyed by anti-UFO religious fanatics Dr. James Lacatski is not a household name in the UFO world – but he should be. He was the program manager for the Pentagon’s UFO study shortly before Luis Elizondo. Elizondo provided clues about Lacatski in his post. These clues and others led to the name of Lacatski, thanks to the brilliant work of Keith Basterfield, a long-time Australian UFO researcher and writer, and Roger Glassel, Swedish UFO researcher, specializing in archiving documents obtained under the Freedom of Information Act. They learned about an Advanced Aerospace Weapon Systems Application Program ( AAWSAP). Glessel says that “AAWSA, if not the same thing, seems to be closely related to AATIP”. Support for this has now come from several sources:
Emmy and Peabody award-winning columnist Las Vegas George Knapp (investigative TV reporter), who personally knows Senator Harry Reid, D-NV, retired) Confirms that: “Senator Harry Reid and his colleagues obtained funding for an ongoing study, but it was not called AATIP. The original acronym was AAWSAP or Advanced Aerospace Weapon System Applications Program.“
Senator Harry Reid himself (D-NV, retired) stated: “I received a communication from a man who worked for one of the defense agencies, a PhD. He said: ‘I know everything about rockets, but I don’t know what those things are’.”Reid was certainly referring to Lacatski, who was a senior scientist at the Defense Intelligence Agency and an expert on subjects that include new methods of energy and propulsion. Senator Reid also told George Knapp that the Pentagon’s UFO program has ended for reasons that include: ”there were other authorities who had religious objections“.
Nick Pope, a former UFO investigator at the UK Ministry of Defense, recently told the newspaper reporter Subway (UK), Jasper Hamill, that he found the same kind of attitude when working in the UK, and that he himself heard about religious fanatics in the USA versus flying saucers with AATIP: “I knew that the Pentagon’s reaction to UFO research was partly due to the religious beliefs of some of those involved“, he said. “It was a strange irony that UFO investigations were being hampered because some people who believe in God meant that they did not believe in the existence of extraterrestrial life or that they considered UFOs and extraterrestrials to be demonic. The fact that some people consider UFOs to be demonic seems to have their roots in the biblical description of Satan as being ‘the prince of the power of the air’. Luis Elizondo says he encountered a religious reaction from the senior team when he ran the Pentagon’s UFO Program, and I saw some evidence of that also at the Ministry of Defense (UK)“. This suggests that this “aliens are demons” mentality is global and exists among powerful elements in nations other than the United States.
The Defense Intelligence Agency approved a study entitled ‘Warp Drive, Dark Energy, and Manipulation of Extra Dimensions‘(Space Warp Engine, Black Energy and Extra Dimension Manipulation), associated with AAWSAP. James Lacatski is named as the contact in this document, AAWSAP Program Manager. This study is part of a series of advanced reports on propulsion and navigation technology produced under the program.
How does this religious faction incorporated into military intelligence prevent the authorized study of UFOs? There are several possible ways: depreciation and verbal harassment, isolation, not answering questions, denying or delaying the necessary resources, issuing poor performance reports and limiting program staff.
Finding and losing Lacatski
This author located Dr. Lacatski, 68, and obtained his personal contact information and contacted him directly at his retirement home in Bowie, Maryland, in mid-December 2019. Dr. Lacatski, like many , apparently does not answer the phone from unknown numbers. After a few responses for a few days, I left a voice message asking him to call me back, indicating that I wanted to briefly count on his assistance in a “history of science” project. Not receiving his reply, a second and last voice message left by me was more direct and detailed. I asked Dr. Lacatski to consider telling his story because it is being told by others (mentioning Elizondo) and that we need to call this anti-scientific element now by name and prevent it from happening again, because, unfortunately, it is still for other people.
I didn’t get an answer from him. Later, I contacted his wife, Wisal, 61, employed by NASA, via a work email there. Again, no answer. And it’s no surprise: I suspect they want peace and federal pensions. Who can blame them? Lacatski has been through enough Luciferian madness and probably does not want to relive it. He’s a silent hero. All he tried to do was serve science and our country in search of the unknown and was instead attacked by religious fanatics.
Lacatski’s interest in paranormal things
I discovered that Lacatski was raised in a family where Catholic school education was valued. Even his mother was a Catholic school girl. But Lacatski also has a very strong interest in paranormal and extra-dimensional things. This probably contributed to the reason that the ultra-conservative religious element wanted to expel him.
Lacatski wanted to visit a famous 550-acre farm in Utah, where for more than half a century, paranormal phenomena and UFOs have a reputation for having occurred. For years, until recently, the farm was owned by Robert Bigelow (mentioned earlier) and is known as the ‘Skinwalker Ranch‘. Activities and entities include sightings of orbs and UFOs, cryptid animals, poltergeists and disturbing magnetic fields. One telling thing was mentioned in The New York Times on December 17, 2017: “Mr. Reid said that his interest in UFOs came from Mr. Bigelow. In 2007, Mr. Reid said in the interview that Mr. Bigelow told him that a Defense Intelligence Agency employee approached him, wanting to visit Utah’s Bigelow farm, where he conducted research. Reid said he met with agency officials shortly after his meeting with Bigelow and found that they wanted to start a UFO research program.“. After this meeting with Reid and Lacatski, the program (AAWSAP, later AATIP) started with Lacatski, and later Elizondo. This is supported by the research and is considered to be the opinion of Keith Basterfield (UFO researcher mentioned above).
Lacatski is also closely associated with Dr. Eric Davis, a Baylor professor who received military contracts for technical documents on new and hyper-technical concepts of space travel. Davis is also known to be involved with UFOs. See Davis’s 2002 email to Admiral Tom Wilson, director of the Defense Intelligence Agency (DIA, 1999–2002), discussing the reality of visiting ET[[link]. Davis also claims that in Skinwalker Ranch he witnessed the presence of a large dark-haired entity and other anomalous phenomena. Dr. Lacatski is clearly listed as having read and approved Davis’s publication for the DIA mentioned above (Warp Drive, Dark Energy and Manipulation of Extra Dimensions).
Lacatski’s contacts extend to Reid, Davis, Bigelow and Elizondo. He is well connected to this paranormal / UFO circle and probably similar ones.
Robertson, Falwell, Huckabee provide information about the mental state of those who think “aliens are demons”.
The group that wished the expulsion of Elizondo’s predecessor shares the same views on ET as religious evangelical extremists, as the former US presidential candidate, Reverend Pat Robertson, (TV program ‘The 700 Club‘) And the late Reverend Jerry Falwell, extreme right and “Moral Majority Leader”, political influencer and co-founder of the evangelical Liberty University, and Mike Huckabee, minister, ex-governor, candidate for republican presidency and commentator of Fox News.
Pat Robertson has stated on numerous occasions that ETs are, in reality, “demons” and that they are trying to lead people away from Christ. He says that even studying ETs is a serious offense. He says: “The Bible says that the earth belongs to man, but the heavens belong to the Lord. He gave us the Earth ”. Robertson warned of ETs: “These things are, at best, nothing lifeless, intelligent and demonic. They are not a host of heaven, they are fallen angels.”
The Collins Elite was a rumored government group that was involved in the research of UFOs and believed that aliens were more demonic than they were extraterrestrial. The group’s core belief centers around the idea that UFOs and the entities associated with them are demonic in nature.
In the book Final Events and the Secret Government Group on Demonic UFOs by, Nick Redfern describes an event that happened in 1946 out in the California desert with Jack Parsons and L. Ron Hubbard. They allegedly stole a ritual created by Aleister Crowley called Babylon Working in which they opened up a portal or gate to hell. Obviously, the following that occurred was a string of mysterious UFOs and UAPs that have engulfed the planet ever since. The ritual was satanic black sex magic which was supposed to bring the world a child. This child was to be the birth of the new world order and be the antichrist. Parsons said it was unsuccessful, however, following the ritual, a mysterious woman showed up at his house in which she started a jealous love affair between Jack and Ron where they would compete to have her. The Scarlet woman appears Jack was supposed to impregnate her to create the moon child, an early form of the Babylon goddess of the Lima Aleister Crowley’s religion. Marjorie Cameron, who professionally used the mononym Cameron, was an American artist, poet, actress and occultist. A follower of Thelema, the new religious movement established by the English occultist Aleister Crowley, she was married to rocket pioneer and fellow Thelemite Jack Parsons.
The magick ritual the two men performed in 1946, the intent of which was to conjure a child in the ethereal realm that would be called down and directed into the womb of a female volunteer. When born, this magickal child would incarnate the forces of Babalon and become the Scarlet Woman of Revelations, symbolizing the dawning of the Age of Horus, the coming new eon.
FINAL EVENTS and the Secret Government Group on Demonic UFOs
The book delves into a complex narrative involving UFOs, alien abduction, occultism, and the belief that a secret group within the US government, known as the Collins Elite, views these phenomena through the lens of demonology. The narrative is constructed through the author's investigations and interviews with figures, including an alleged former member of the Collins Elite, revealing their beliefs and actions. It is said that the military hired the Collins Elite to cast spells to close the portal Jack Parson’s opened up.
Main Themes & Key Ideas:
The Collins Elite: This is a secretive, deeply embedded group within the US government, military, and intelligence agencies that views the UFO/alien phenomenon not as extraterrestrial visitation, but as a manifestation of demonic entities. They believe these entities are manipulating humanity, targeting souls, and have been doing so throughout history. The Collins Elite exists in a state of "overwhelming apprehension, fear, and absolute dread."
Demonic Deception: The core belief of the Collins Elite is that UFOs and "Grays" are not aliens, but are malevolent demonic forces in disguise, seeking to deceive and control humanity. They view the abduction phenomenon as a mechanism for these entities to harvest human souls. This is linked to a broader religious and spiritual understanding of evil and the end times.
The Role of Jack Parsons: The book emphasizes the role of Jack Parsons, a rocket scientist involved in the early days of the Jet Propulsion Laboratory (JPL), who was also deeply involved in occult practices, especially those of Aleister Crowley. Parsons is described as a key figure who "played an integral role in creating" the US space program. His occult practices are seen as a possible point of entry for malevolent forces that tie in with UFOs. The Collins Elite investigated Parsons's potential links to Israel, and his occult dabbling and believe he may have unknowingly opened a door to these forces. There is an indication that the US military became interested in Parsons after his meeting with representatives of Israel following the Kenneth Arnold sighting.
Occult and Paranormal Research: The narrative reveals clandestine government interest in parapsychology, ESP, remote viewing, and mind control, some of which is tied to the Nazi's research in such fields. This includes a CIA program called MKULTRA led by Sidney Gottlieb, who is referred to as the "Black Sorcerer" for his work in mind control and developing poisons. The Collins Elite also researched the human mind's potential to penetrate the veils of secrecy around the UFO phenomenon, sometimes involving trance states and channeling.
Abductions and Soul Harvesting: Abduction experiences are portrayed as not just physical events, but as attacks on the human soul. The Collins Elite believe the "Grays" are interested in human reproductive processes, and the abduction experience itself can be related to ancient stories of demons and night terrors. They view it as a process of harvesting human souls.
The Religious/Eschatological Interpretation: The book frequently intertwines the UFO narrative with religious concepts of demons, fallen angels, the end times, and a cosmic war between good and evil. The coming of the “Antichrist” is linked to a global deception involving the revelation of an alien presence which will in fact be a lie perpetrated by fallen angels. The text cites Biblical passages to support these claims.
Government Secrecy and Disinformation: The book highlights a pattern of government secrecy and disinformation surrounding the UFO phenomenon. The Collins Elite kept their investigations secret not because of a larger conspiracy but due to fears that tax payer money was being used to study demonology and flying saucers. The narrative indicates potential attempts by the US government to weaponize both advanced technology and religious fervor, creating a kind of military unit/religious cult for control purposes.
Project Blue Beam: The author touches on Project Blue Beam, a conspiracy theory involving the use of holograms to create a false Second Coming or other religious events in order to establish a New World Order. The text suggests that while the idea was “discussed,” it does not appear to be ready for implementation at this time. There is also the suggestion that this deception is already part of the larger UFO phenomenon.
Key Individuals & Events:
Ray Boeche: An Anglican priest who initially revealed his story to Redfern, and whose information forms the foundation of Redfern's investigation. He was warned about demonic forces influencing the physical world and UFOs.
Richard Duke: Allegedly a senior, now deceased, member of the Collins Elite who provided Redfern with insights into their operations and beliefs. He acted as a whistleblower.
Jack Parsons: Rocket scientist and occultist who the Collins Elite investigated, believing he opened a doorway to demonic influence.
Robert Goddard: A pioneer in rocket technology with links to Roswell who had heard about Parsons.
Kenneth Arnold: Pilot who first reported seeing flying saucers in 1947.
Jesse A. Marcel: Intelligence officer at Roswell who handled debris from the alleged UFO crash.
Frances Swan: Individual who claimed to have contact with aliens and whose contact was indirectly reported to the Collins Elite. She had an unusual connection to the town of Yarmouth, Maine where occult activity was said to be taking place.
Ruth Montgomery: A psychic who the Collins Elite contacted, resulting in the leak of Army mind-reading experiments to the press.
Betty and Barney Hill: The abduction case of the Hills was pivotal for the Collins Elite.
Anne Henson: A teenager who had multiple UFO sightings and interactions with what appeared to be government agents.
Sidney Gottlieb: Head of the CIA’s Chemical Division, known as the “Black Sorcerer,” who led MKULTRA.
"Dr. Mandor": Described as a creepy, non-American individual and member of the Collins Elite who researched the connection between abductions and Djinn, and NDE's and the human soul.
Sybil Leek: An English witch whose family history showed an interest in the occult and whom the Collins Elite researched.
Judy Doraty: Individual who claimed to have witnessed a UFO with her family.
Paul Inglesby: A UFO theorist who had a vision of demonic forces controlling spaceships.
Joe Jordan: Individual working at Kennedy Space Center who believes that demonic entities are trying to steal souls through UFO deceptions.
Guy Malone: Author and speaker who believes that fallen angels and globalists are working together to bring about a one world government, that the alien presence is a deception by fallen angels, and that the Bible is being misinterpreted as a UFO story.
Key Quotes:
"At its cold heart lies a bleak and disturbing scenario to explain the UFO presence in our world that, for many years, has been firmly and secretly embraced as nothing but the literal truth by a group of American government, military, and intelligence personnel. Collectively, they call themselves the Collins Elite."
"In short and simplistic terms, the Grays are hungry for our souls—voraciously and, perhaps, insanely so, too. Not only that but they apparently hate us on a scale that is nearly unimaginable."
"[The wreckage] could not be bent or broken…or even dented by a sixteen-pound sledgehammer. [It was] almost weightless…like a metal with plastic properties.” (Jesse A. Marcel, describing Roswell wreckage)
"Everyone—particular the Pentagon boys—knew the hammer was going to come down on all this if Congress found out good U.S. dollars were being used to pay for [a study of] demonology and flying saucers." (Duke on the initial secrecy)
“What we saw that as meaning…was some attempt to smear the Bible with these alien forecasts that didn’t happen.” (Duke on Frances Swan's claims)
"...often we are very close to our goals then we pull back” and “...often we forget that the only scientific way forward is to learn from the past.” (Gottlieb's reasoning behind Operation Often)
"…not only did I witness future events, in a mental telepathic sort of way, but throughout the whole of this time a battle was raging for possession of my soul.’” (Paul Inglesby)
“This is a device which manipulates the subatomic basis of matter at a quantum level and builds a bridge between mind and physical substance. If I understood it correctly, this supposedly stimulated the mind into having vivid hallucinations but, at the same time, created physical effects in the real world which could take on a semblance of the appearance of the hallucinated images." (Jenny Randles on a mind-manipulation device)
"The demons know they’re doomed to Hell; the Bible teaches that is what will happen to them. But when that time comes, they plan on trying to take as many of God’s creation with them as they can. It’s a cosmic war.” (Joe Jordan on demonic motives)
"Can you imagine the entire country – maybe ten years from now and after the next 9-11, a dirty-bomb in a big city, maybe – policed and controlled by the U.S. military, an army totally convinced and believing that what they’re doing is according to what God wants and that will save the U.S. from a satanic threat? " (Manners on the future U.S. military)
“They came to believe that the NHEs were not extraterrestrial at all; they believed they were some sort of demonic entities. And that regardless of how benevolent or beneficial any of the contact they had with these entities seemed to be, it always ended up being tainted, for lack of a better term, with something that ultimately turned out to be bad. There was ultimately nothing positive from the interaction with the NHE entities. They felt it really fell more under the category of some vast spiritual deception instead of UFOs and aliens. In the course of the whole discussion, it was clear that they really viewed this as having a demonic origin that was there to simply try and confuse the issue in terms of who they were, what they wanted, and what the source of the ultimate truth is. If you extrapolate from their take that these are demons in the biblical sense of the word, then what they would be doing here is trying to create a spiritual deception to fool as many people as possible.”
“Most of it was related to psychotronic weaponry and remote viewing, and even deaths by what were supposed to be psychic methods.” Certainly, the NHEs, it was deduced by those attached to the DoD project, possessed extraordinary, and lethal, mental powers. And, as a result, deeper plans were initiated, using nothing less than ancient rites and black rituals, to actually try and contact the NHEs with two specific—some might say utterly crackpot—goals in mind: (1) controlling them and (2) exploiting their extraordinary mental powers in the form of devastating weaponry.”
“Boeche” is Ray Boeche, an Episcopal priest and theologian who had established himself as an investigator in the religious implications of UFOs. Two members of the Collins Elite — Defense Department physicists — approached him and shared with him their concerns:
The conversations [with Boeche] always followed broadly similar ground: namely, that the Human Race was being deceived into believing that it was receiving visitations from aliens, when in reality demonic forces were secretly squaring up for Armageddon and the final countdown. And, the DoD’s overwhelmingly reckless dabbling into occult-driven areas to try and make a bizarre-but-futile pact of some sort with these same forces was inevitably, and only, destined to make things much, much worse for each and every one of us.”
With respect to his own views, as well as those of the two DoD physicists, Boeche added: “As a pastor and someone who’s trained as a theologian, I can’t come to any other conclusion than there is some sort of spiritual deception going on here. In so many of these kinds of alien contacts, the entities involved make a denial of Christianity; anytime the spiritual issues are addressed, there is always some sort of denial of the validity of Christianity and the validity of the Bible. And I find it interesting that these percipients are told that Jesus was a great guy, but you just misunderstood him. They say: he wasn’t really God’s son. You just don’t quite get it. But you never hear them say that about Buddha, or Krishna, or Mohammed. It always seems to come down to some sort of denial of Christianity. The percipients, whether you consider them contactees or abductees are engaged by the NHEs in spiritual discussions—but it’s always one-sided. “I would have a lot less suspicion of the potential of the demonic nature of these things if they were to say: ‘You guys are all screwed up; all of your spiritual leaders had some good ideas, but none of them really got it. It’s a big mess.’ But it seems to be so specifically pointed at the Judeo-Christian tradition. It certainly seems to me like it’s the two genuine forces squaring up against each other.”
“The book presents a highly controversial and unsettling perspective on the UFO/alien phenomenon. It alleges the existence of a deeply secretive group within the US government that views these phenomena through the lens of demonology, suggesting that abductions are an act of demonic soul harvesting, and that all of this is leading to a great deception. The information presented is often based on anecdotal evidence and relies on the interpretation of religious and occult texts. The book posits that government agencies are not only deeply involved in the UFO mystery, but are potentially working with demonic forces and actively preparing for an end-times scenario, which they are also attempting to manipulate. The book highlights a disturbing intersection of government secrecy, advanced technology, religious extremism, and the occult.”
Dr. Thomas Horn, author of many accredited books about the alien deception, Initially was skeptical of the Final Events outline and sensing somebody somewhere had simply repeated to Redfern what I had said and extrapolated it into a full-blown fabrication, I decided to talk to him on the phone and then conduct a follow-up Q & A over email. Below is a portion of the email exchange in which Redfern describes how he became aware of and eventually met with the Collins Elite:
HORN: Nick, tell me how you became aware of the Collins Elite.
REDFERN: In 2007, I had a lengthy conversation with an Anglican priest named Ray Boeche, who is also a former state-director for the Mutual UFO Network. Back in 1991, Ray met—in a Lincoln, Nebraska hotel—with two Department of Defense scientists who were working for a classified Pentagon project to try and contact what were termed Non-Human Entities, or, NHEs. The NHEs being the intelligences behind the UFO phenomenon. The idea was to try and understand, and duplicate, their technology: to make weapons out of it, in other words. However, the more the group looked into it all, the more they came to believe the NHEs were not extraterrestrial in origin, but were using that image as a cover. Their real origin, the group finally believed, was literally demonic. Ray related this and much more to me, which collectively demonstrated that there was a group—or probably groups—within the US Government that believed the UFO phenomenon is real, but is of a negative, spiritual nature. One of those groups called itself the Collins Elite, and that’s the one I had contact with.
HORN: Under what circumstances did you first meet with them?
REDFERN: This chiefly came by following all the data that Ray Boeche gave me, including some that Ray preferred I left out of my book on the subject, titled Final Events. And I did indeed leave out of the book that data Ray asked me not to include. The collective data—names, dates, places etc.—let me chase things down further. And I openly phoned a number of places linked to the story—government and military facilities—and laid my cards on the table and told them what I was looking for: a group in the government that concluded UFOs have demonic origins. I often find that taking a very forthright and very alternative approach like this can open doors. Sometimes, letting people know you’re looking is actually a good thing and makes them wonder why, and it can lead to positive developments. Not always, but sometimes it works. And in this case it did. That led me to a handful of people from the Collins Elite. They initiated all—literally all—of the contact I had with them, by phone and in person, but which is not ongoing now. Meetings occurred chiefly at diners, restaurants, and in hotels of their choosing.
HORN: What was the conclusion of the CE in relation to the UFO phenomenon?
REDFERN: Their belief is that the UFO phenomenon is 100 percent real, but that its origin is satanic. As they see it, the “aliens are visiting us” angle is a camouflage to allow Satan—if he really exists, of course—to get his grips into us. They believe that the presence of the UFO phenomenon, right now, and since 1947, is the commencement of an “end times” scenario, where the “E.T. landing” angle may be played out to con the world into believing the “Grays” are friendly extraterrestrials. The CE believes that belief and prayer, rather than weapons, can hold off this infiltration and invasion.
HORN: How do Jack Parsons, Aliester Crowley, and gang tie in?
REDFERN: In its very earliest years—the late 1940s to the early 1950s—the CE focused a great deal of its attention on Crowley and Parsons, their connections, Parsons’ interest in UFOs and rocketry, and Crowley’s manifestation of the grey-alien-like “Lam” during the Amalantrah Working of 1918. It was, chiefly, these two men—and their actions—that laid the foundation for the “how and why” of the CE’s beliefs concerning the theory that the UFO phenomenon is demonic, deceptive, manipulative and deadly. From there, the CE began looking at the early Contactees and George Adamksi’s Crowley connection, and George Hunt Williamson’s use of Ouija boards to contact alleged alien entities. This is how their beliefs began to be constructed, by putting all these threads together and trying to make some collective sense of it all.
HORN: Did the CE provide you with any documentation?
REDFERN: I was given access to some documents. Some of them are in the book, others I have never revealed, for various reasons, mostly based on requests not to from the CE. One lengthy document came to me via the group, and was one of their own reports, which further bolstered their beliefs that the UFO phenomenon is a satanic deception. They also provided me with other documents…that have surfaced via the Freedom of Information Act [and] which they had on file as it was all relative to their research, such as the FBI’s and Air Force’ files on Jack Parsons, and official documentation on remote-viewing. The CE-created documentation is not covered by FOIA provisions because the CE is technically not an agency or group of government. Its members are government employees, but their work for the CE is done in a private capacity. So, while they have definitely received government funding and support, their research is technically not “government work,” and therefore, their self-created documents are not subject to government secrecy laws. However, the CE has deeply influenced powerful figures in government for decades, which makes the group’s work—and its position—extremely important in terms of what people in government, the military, and the intelligence community thinks about the demonic theory.
HORN: As far as you know, were members of the Collins Elite Roman Catholic or did they ever convey a Roman Catholic theological worldview?
REDFERN: Not as far as I know. But, I could be totally wrong, for the following reason: It’s important to note that the overwhelming majority of the data given to me was provided to me in the form of statements and disclosures. That’s to say, they shared what parts of the story, and their work, that they wanted to share. I was rarely given the opportunity to ask questions.
HORN: You mention Lieutenant Colonel Nelson Pacheco’s work Unmasking the Enemy in your book. Are you aware it promotes Mary as deity?
REDFERN: Yes, I am aware of that. I’ve read the book a couple of times. A lot of the conclusions are similar to those reached by the CE.
HORN: Is CE member “Richard Duke” willing to talk to me?
REDFERN: I have no idea. The meetings I had, which covered 2007 to 2010, were always at the control of the people I spoke with. I was never, ever, able to initiate a contact, aside from when I put out those initial feelers. After that, it was always a case of them pulling the strings and advising me “when” and “where” information. So, all I can say is this: given that [you are] covering very similar territory and research to that contained in my Final Events book it would not surprise me if an approach is one day made or an exchange of data occurs. But, I’m not able to influence that.
HORN: Can we see the photocopies of “The Collins Report”?
REDFERN: Maybe one day, and the other documents too. This is a bit of a grey area, as the report was prepared by the CE and for CE members and for interested parties in the government, military, and intelligence community. But, because the CE is not technically an agency or arm of government, the report itself falls—copyright-wise—under the ownership of the man who wrote it. I was allowed to reproduce a couple of pages of its text in my Final Events book—chiefly as it relates to the demonic theory for Roswell. But, because the document is the private work of an individual and intended for the membership of the CE and other interested people in government, it’s still his private work. In that sense, it’s as protected as any author’s book is. So, it’s not a document that can be obtained via the Freedom of Information Act, as it’s not a government document. Permission would have to come from the author. Just like in any normal situation where an author’s permission is sought to quote from their books, etc.
Following the phone and email exchanges with Redfern, I continued doubting much of his story but made fairly significant efforts to verify it while giving him the benefit of a doubt. I’ve also on several occasions repeated my willingness to meet with a member of the Collins group anywhere, anytime, and have been told a meeting between them and I could occur, though as of this date I am still waiting. Meanwhile, my sources in the United States—which extend from US military intelligence to national defense employees with both Department of Defense and intel top-secret security clearances—came back empty-handed. This included our friend Colonel Steve Bauer, who served longer as a US government military aide than anyone in the history of the White House under five US presidents—Nixon, Ford, Carter, Reagan, and Bush. Bauer had never heard of the “Collins Elite” and couldn’t locate a single intelligence resource that otherwise would substantiate Redfern’s claims. But I knew, having said that, that this by itself didn’t prove the story as detailed in Final Events was untrue. Counterintelligence, Majestic 12-level compartmentalization, and official denial is a well-established part of the government’s past and present protocols when handling questions concerning UFOs and so-called alien abduction activity—a fact that every significant investigator into this phenomenon has run into when trying to separate fact from fiction. So, I moved on and checked with another international contact—former director of Britain’s Military of Defense’s department for UFO research, Nick Pope—and was surprised when he cautioned against disbelief and even confirmed the existence of a Collins Elite-like group among Britain’s aristocracy. Following this, I reached out to a Ball Aerospace contact who works with advanced systems and technologies for Space Control & Special Missions. He, too, cautioned against doubting the Collins reality and sent me a four-page document outlining the following main points, ending with an ominous warning. Below are just some of the talking points from his meticulous outline.
Security levels and Compartments: Start with the understanding that a Top Secret DOD (Department of Defense) or SCI (Sensitive Compartmented Information; intelligence world) clearance is the first level of clearance required before one gets to SAP programs. There are at least four levels of Top Secret (TS) special access programs (SAPs) that currently exist in the US DOD/Intel world: Acknowledged top secret SAPs
(Security cleared) Congress (or staff) has access to full knowledge of program name, mission, budget, etc. Unacknowledged top secret SAPs. Cleared Congress (or staff) has access to full knowledge.. Unacknowledged/Waived top secret SAPs. Program, Budget, customer, and mission are all highly classified.
Only two Senators and two Congressmen are made aware of the program, typically at a very high level only. Typically referred to as a “Black” program. Completely. Unacknowledged top secret SAPs. No acknowledgement or overview to the Congress
Accountable only to the agency that authorizes mission and money ostensibly related to a Presidential Order. Really known as “Deep Black” in the vernacular.. This level is itself not acknowledged; can’t be acknowledged for obvious reasons. Two agencies in particular make great use of this: CIA and NSA. With more than 25 years in this world, I personally have experience with levels 1 through 3 only. Level 4 is outside my scope.
Most of the high level UFO work is done at level 4. It is not acknowledged and specifically not even known except to those briefed into the compartment/program. Only leaks aid in the process of discovery.
This is likely a strong reason why Nick Pope is reluctant to spell out unambiguously what by definition is meant to be concealed at an unacknowledged level. Formation of the Collins Elite. A number of intelligence agencies looking at the UFO situation are drawn into the orbit of a larger picture held by the CIA. Army Intel; Naval Intel; Air Force Intel; Defense Intel Agency (DIA), etc. This seems consistent with how high level exchange takes place; they contribute to larger efforts out of their own agencies and budgets.
A subgroup of this CIA-dominated and controlled compartment, informally sees things differently and begins to form a counterpoint voice to the research. They call themselves after a time the “Collins Elite.” This seems plausible based on the discussions and factions I have seen over the years. Independent thinking is valued. Like-minded experts gather around themselves. Over time, the Collins Elite position becomes more refined, more emphatic, more concerned.
One notes that most of these guys are industry old timers, with an old Christian worldview, having been in this covert intel circle for 30–40 years. The Collins Elite seems to be an internal but informal collection of guys who maintain their independence of thought about matters in this highly classified and clearly controversial realm.
Review. S. Intelligence agencies are trying to understand UFOs in early 1950s. Same intel agencies also trying to understand the occult sorcery of two key figures: Aleister Crowley and Jack Parsons—and how it could be applied as a National Defense asset.
Deeply covert CIA-controlled intel group wants to pursue research on psychotronic weapons and remote viewing “technologies” and embarks on a deluding journey, a perverted scheme and Faustian bargaining.
After years and decades of incremental research in this arena, several deaths more recently occur to test subjects in these realms; things are going badly awry. A sub-group watching all this, loosely confederated, calling itself the “Collins Elite” begins to recognize this as completely occult, demonic/Satanic, and begins to organize itself as a counterpoint to the general research direction. The Collins Elite begins to see a much larger and terrifying picture of what this whole unleashed enterprise is leading to; the connection to fallen angels, the Nephilim, and a plan for taking over the world.
Conclusion
This unsettling story has every indication of being true; it follows directly from everything you and I know about UFOs and their ultimately nefarious mission tied to an end-time prophetic scenario. Unraveling this further is loaded with known and unknown complexities—and that includes dangers.[iii] (emphasis added). Following the thorough examination from my friend at Ball Aerospace and subsequent inquiries through friends like LTC Robert Maginnis at the Pentagon, I remain as unconvinced as ever that the so-called Collins Elite is anything more than the fabric of an over-active imagination. That said, I could be wrong, and we have been and are uncovering evidence that an authentic unnamed, enigmatic group is indeed active in US intelligence with knowledge of an alien-demon connection that we remain dedicated to uncovering, which we’ll pick up in the next entry.
source
FINAL EVENTS and the Secret Government Group on Demonic UFOs -- Redfern, Nick -- 2011 -- Anomalist Books
https://www.amazon.com/Events-Secret-Government-Demonic-Afterlife/dp/1938398114
https://www.skywatchtv.com/2021/06/01/deception16/
https://medium.com/@burnallcopies/collins-elite-14c049d98cb4
(This is Published in 2020 link; https://www.soulask.com/shadow-group-in-the-u-s-government-believe-ets-are-demons/#google_vignette)
https://roddreher.substack.com/p/who-are-the-collins-elite

Thursday Feb 13, 2025
Thursday Feb 13, 2025
Getty Conspiracy
Watch this on Rumble: https://rumble.com/v6k6zkj-getty-conspiracy.html
Jean Paul Getty Sr. (December 15, 1892 – June 6, 1976) was an American-born British petroleum industrialist who founded the Getty Oil Company in 1942 and was the patriarch of the Getty family. A native of Minneapolis, Minnesota, he was the son of pioneer oilman George Getty. In 1957, Fortune magazine named J. Paul Getty the wealthiest living American, while the 1966 Guinness Book of Records declared him to be the world's wealthiest private citizen, worth an estimated $1.2 billion (approximately $8.6 billion in 2023). At the time of his death, he was worth more than $6 billion (approximately $25 billion in 2023). A book published in 1996 ranked him as the 67th wealthiest American who ever lived (based on his wealth as a percentage of the concurrent gross national product).
Getty is considered to have been frugal, notably negotiating his grandson's kidnapping ransom in 1973. He had five children and divorced five times. Getty was an avid collector of art and antiquities. His collection formed the basis of the J. Paul Getty Museum in Los Angeles; more than $661 million of his estate was left to the museum after his death. He established the J. Paul Getty Trust in 1953. The trust, which is the world's wealthiest art institution, operates the J. Paul Getty Museum Complexes: the Getty Center, the Getty Villa and the Getty Foundation, the Getty Research Institute, and the Getty Conservation Institute.
Getty was born in Minneapolis to Sarah Catherine McPherson (Risher) and George Getty, who was an attorney in the insurance industry. He grew up as a Methodist; his father was a devout Christian Scientist and both his father and mother were strict teetotalers. Jean was of part Scottish descent. In 1903, when Jean was 10 years old, his father traveled to Bartlesville, Oklahoma and bought the mineral rights for 1,100 acres of land. The Getty family then moved to Bartlesville, where J. Paul Getty attended the Garfield School. Within a few years Getty had established wells on the land which produced 100,000 barrels of crude oil a month.
As newly minted millionaires, the family moved to Los Angeles, but J. Paul Getty later returned to Oklahoma. At age 14, he attended the Harvard Military School for a year, followed by Polytechnic High School in Sun Valley, Los Angeles studying reading. He became fluent in French, German and Italian, and conversational in Spanish, Greek, Arabic, and Russian. A love of the classics led Getty to acquire reading proficiency in ancient Greek and Latin.
Getty enrolled at the University of California, Berkeley but did not complete a degree. Enamored of Europe after traveling abroad with his parents in 1910, he enrolled at the University of Oxford in Oxford, England on November 28, 1912. A letter of introduction by President of the United States William Howard Taft enabled him to gain independent instruction from tutors at Magdalen College. Although he was not registered at Magdalen, he claimed the aristocratic students "accepted me as one of their own" and he fondly boasted of the friends he made, including the Prince of Wales, the future King Edward VIII of the United Kingdom.[8]: 29 He obtained a diploma in economics and political science from Oxford in June 1913, then spent months traveling throughout Europe and Egypt before meeting his parents in Paris and returning with them to the U.S. in June 1914.
In the autumn of 1914, George Getty gave his son $10,000 (equivalent to $300,000 in 2023) to invest in expanding the family's oil field holdings in Oklahoma. The first lot he bought, the Nancy Taylor No. 1 Oil Well Site near Haskell, Oklahoma, was crucial to his early financial success. The well struck oil in August 1915 and by the next summer the 40 percent net production royalty he accrued from it had made him a millionaire.
In 1919, Getty returned to business in Oklahoma. During the 1920s, he added about $3 million to his already sizable estate. His succession of marriages and divorces so distressed his father that Getty inherited only $500,000 of the $10 million fortune his father left at the time of his death in 1930. Getty was left with one-third of the stock from George Getty Inc., while his mother received the remaining two-thirds, giving her a controlling interest. In 1936, Getty's mother convinced him to contribute to the establishment of a $3.3 million investment trust, called the Sarah C. Getty Trust, to ensure the family's ever-growing wealth could be channeled into tax-free, secure income for future generations of the Getty family. The trust enabled Getty to have easy access to ready capital, which he was funneling into the purchase of Tidewater Petroleum stock.
During the Great Depression, Getty acquired Pacific Western Oil Corporation and began the acquisition (completed in 1953) of the Mission Corporation which included Tidewater Oil and Skelly Oil. In 1967, Getty merged these holdings into Getty Oil. In 1948–49, Getty paid Ibn Saud $9.5 million in cash, guaranteed $1 million a year, and a royalty of 55 cents a barrel for the Saudi Arabian Neutral Zone concession, which was 2.5 times more than what other major oil companies were paying in the Middle East at the time. Oil was finally discovered in March 1953.[12] Since 1953, Getty's gamble produced 16 million barrels a year, which contributed greatly to the fortune responsible for making him one of the richest people in the world.
Getty's wealth and ability to speak Arabic enabled his unparalleled expansion into the Middle East. He owned the controlling interest in about 200 businesses, including Getty Oil. Getty owned Getty Oil, Getty Inc., George F. Getty Inc., Pacific Western Oil Corporation, Mission Corporation, Mission Development Company, Tidewater Oil, Skelly Oil, Mexican Seaboard Oil, Petroleum Corporation of America, Spartan Aircraft Company, Spartan Cafeteria Company, Minnehoma Insurance Company, Minnehoma Financial Company, Pierre Hotel, Pierre Marques Hotel, a 15th-century palace and nearby castle at Ladispoli on the coast northwest of Rome, a Malibu ranch home, and Sutton Place, a 72-room mansion near Guildford, Surrey.
Getty's first forays into collecting began in the late 1930s, when he was inspired by the collection of 18th-century French paintings and furniture of the landlord of his New York City penthouse, Amy Guest, a relation of Sir Winston Churchill. A fan of 18th-century France, Getty began buying furniture from the period at reduced prices because of the depressed art market. He wrote several books on collecting, including Europe and the 18th Century (1949), Collector's Choice: The Chronicle of an Artistic Odyssey through Europe (1955) and The Joys of Collecting (1965). His stinginess limited the range of his collecting because he refused to pay full price. Getty's companion in later life, Penelope Kitson, said, "Paul was really too mean ever to allow himself to buy a great painting." Nonetheless, at the time of his death he owned more than 600 works valued at more than $4 million, including paintings by Rubens, Titian, Gainsborough, Renoir, Tintoretto, Degas, and Monet. Getty's reluctance to donate any more artworks to Los Angeles County after he realized how his first donations had been shabbily presented at the Los Angeles Museum of History, Science and Art caused Edward W. Carter to orchestrate the fundraising effort for the Los Angeles County Museum of Art. During the 1950s, Getty's interests shifted to Greco-Roman sculpture, which led to the building of the Getty Villa in the 1970s to house the collection. These items were transferred to the Getty Museum and the Getty Villa in Los Angeles after his death.
The Getty Center, in Los Angeles, California, is a campus of the Getty Museum and other programs of the Getty Trust. The $1.3 billion center opened to the public on December 16, 1997, and is well known for its architecture, gardens, and views overlooking Los Angeles. The center sits atop a hill connected to a visitors' parking garage at the bottom of the hill by a three-car, cable-pulled hovertrain people mover.
Located in the Brentwood neighborhood of Los Angeles, the center is one of two locations of the J. Paul Getty Museum and draws 1.8 million visitors annually. (The other location is the Getty Villa in the Pacific Palisades neighborhood of Los Angeles, California.) The center branch of the museum features pre-20th-century European paintings, drawings, illuminated manuscripts, sculpture, and decorative arts; and photographs from the 1830s through present day from all over the world. In addition, the museum's collection at the center includes outdoor sculpture displayed on terraces and in gardens and the large Central Garden designed by Robert Irwin. Among the artworks on display is the Vincent van Gogh painting Irises.
Designed by architect Richard Meier, the campus also houses the Getty Research Institute (GRI), the Getty Conservation Institute, the Getty Foundation, and the J. Paul Getty Trust. The center's design included special provisions to address concerns regarding earthquakes and fires.
Originally, the Getty Museum started in J. Paul Getty's house located in Pacific Palisades in 1954. He expanded the house with a museum wing. In the 1970s, Getty built a replica of an Italian villa on his home's land to better house his collection, which opened in 1974. After Getty's death in 1976, the entire property was turned over to the Getty Trust for museum purposes. However, the collection outgrew the site, which has since been renamed the Getty Villa, and management sought a location more accessible to Los Angeles. The purchase of the land upon which the center is located, a campus of 24 acres (9.7 ha) on a 110-acre (45 ha) site in the Santa Monica Mountains above Interstate 405, surrounded by 600 acres (240 ha) kept in a natural state, was announced in 1983. The top of the hill is 900 feet (270 m) above sea level, high enough that on a clear day it is possible to see not only the Los Angeles skyline but also the San Bernardino Mountains, and San Gabriel Mountains to the east as well as the Pacific Ocean to the west.
The price tag of the center totaled $733 million which includes $449 million for construction, $115 million for the land and site work, $30 million for fixtures and equipment, and $139 million for insurance, engineers' and architects' fees, permits and safety measures, according to Stephen D. Rountree, former director of the Getty's building program and director of operations and planning for the trust.
Current appraisal for the property fluctuates with the market, but in June 2013 the land and buildings were estimated at $3.853 billion (art not included).
In 1984, Richard Meier was chosen to be the architect of the center. After an extensive conditional-use permit process, construction by the Hathaway Dinwiddie Construction Company began in August 1989. The construction was significantly delayed, with the planned completion date moved from 1988 to 1995 (as of 1990). By 1995, however, the campus was described as only "more than halfway complete".
The center ultimately opened to the public on December 16, 1997. Although the total project cost was estimated to be $350 million as of 1990, it was later estimated to be $1.3 billion. After the center opened, the villa closed for extensive renovations and reopened on January 28, 2006, to focus on the arts and cultures of ancient Greece, Rome, and Etruria. Currently, the museum displays collections at both the Getty Center and the Getty Villa in Pacific Palisades.
In 2005, after a series of articles in the Los Angeles Times about the spending practices of the Getty Trust and its then-president Barry Munitz, the California Attorney General conducted an investigation of the Getty Trust and found that no laws had been broken. The trust agreed to appoint an outside monitor to review future expenditures. The Getty Trust experienced financial difficulties in 2008 and 2009 and cut 205 of 1,487 budgeted staff positions to reduce expenses. Although the Getty Trust endowment reached $6.4 billion in 2007, it dropped to $4.5 billion in 2009.[19] The endowment rebounded to $6.2 billion by 2013.
On March 31, 2015, The grandson of J Paul Getty, heir to the Getty oil fortune, was found dead in his Hollywood Hills mansion with his pants pulled down, bleeding profusely from his anus. Why did Andrew Getty, son of Gordon Getty, the 54th richest man in the United States at the time, die in the manner that he did, from blunt force rectal trauma? And how was death from anal rape classified as "natural causes" by the LAPD after very little investigation?
The autopsy on Andrew Getty, performed on April 2, 2015, included a toxicology report showing that methamphetamine and prescription drugs were present in Getty's blood at the time of his death and that duodenal ulcers could have caused gastrointestinal bleeding. Drug paraphernalia were also found in the home. However, the issue of "severe blunt trauma to the rectum" has yet to be explained or properly investigated by authorities.
Andrew Getty was not the first grandson of J. Paul Getty to die in middle age under odd, drug-related circumstances. The family appears to be unusually plagued by decadent living, tragedy and drug addiction resulting in death, including the suicide of J Paul Getty's oldest son, J Paul II. You can read a comprehensive article by Forbes Magazine on the history of the Getty family and their fortune, made largely in Saudi Arabia and Kuwait by J Paul Getty Sr., Additionally, Gordon Getty, Andrew's father, kept a second family, which was an "open-secret" in Hollywood circles.
Andrew's cousin, J. Paul Getty III, was kidnapped in Italy in 1973 and the kidnappers cut off the 16-year-old's ear after J. Paul Getty Sr. refused to pay the ransom. Getty Sr. eventually paid a ransom of approximately 3 million dollars. Once released by the kidnappers, Getty Jr. cut off all contact with J. Paul Sr. and his own father and led a reckless life of drug addiction and fast living until experiencing a debilitating stroke in his 20s. He died in 2011 at age 54. In addition, Getty Jr.'s stepmother, actress Talitha Pol, died of a heroin overdose in 1971.
The Getty Museum, a fortress engineered to withstand high levels of radiation, nuclear fallout and high magnitude earthquakes, was built when the original Getty Villa, still housing the Getty's antiquities collection in Malibu, California, became too small to accommodate Getty's enormous art collection.
Sir John Paul Getty, (born Eugene Paul Getty; September 7, 1932 – April 17, 2003), the elder son of Jean Paul Getty Sr. (1892–1976), was responsible for developing and completing the Getty Center Museum fortress. In 1986, he was awarded an honorary knighthood by Queen Elizabeth for loyalty and "services" to the Crown (to the tune of 200 million dollars) and for his support of the Conservative Party. His honorary knighthood became true knighthood when he became a British citizen in 1997. Interestingly, The Getty Center, the big sister campus to the Malibu Villa, of the Getty Museum, which cost $1.3 billion to build, opened to the public on December 16, 1997. In 1998 Eugene changed his name to Sir Paul Getty.
An ex-CIA operative, Steven D Kelley, claims that the knighting of Sir Paul Getty was payment for services rendered in building the Getty Center Museum complex and the massive deep underground facilities beneath the Center. This man purports that the Getty Museum is situated over a vast tunnel network and massive underground facility designed to house the British Royal Family in the event they should need to go into hiding. The operative also claims that there are thousands of children being bred and held captive under the Getty Fortress and used in breeding programs, satanic ritual abuse and then harvested as food, adrenalized blood elixirs and bone marrow stem cell crops. Please see the bottom of this article to sign a petition, organized by Kelley, to request that the United States Marines raid the Getty and free these captive children.
Recently, the Getty Museum was engulfed in a raging wildfire, making it inaccessible, while hundreds of homes in Bel Air were burning and thousands of people were forced to evacuate. The scene was apocalyptic, with people recording the blaze with their cell phones, depicting scenes reminiscent of Dante's INFERNO. Who started these fires? Why? Are they the result of directed energy weapons? If so, what are they attempting to destroy or cover up? Is there a major deep state or white hat operation going down behind the "smoke screen" of this "inferno'?
SGT Report published an excellent video connecting the Getty to the elite pedophile rings in Hollywood and the current exposure these rings are getting. Is the deep state planning to "sacrifice" the Getty Museum and underground base, with its massive holding of irreplaceable art and artifacts and the alleged thousands of children held captive beneath it, in order to cover up the mass child trafficking operation going on within this possible satanic stronghold.
Ironically, a Sony blockbuster film, All The Money In The World, starring Kevin Spacey and depicting the story of J. Paul Getty Sr.'s refusal to pay for his grandson's ransom, was due for release on December 22, 2017.
Then Kevin Spacey was accused by multiple men of molestation, rape and sexual harassment, the most recent accusation coming out only two weeks ago. Spacey's Netflix series, House of Cards, was cancelled as a result and he will no longer receive the Emmy award that he was supposed to be presented with in January of 2018. Spacey has been linked to billionaire Jeffrey Epstein's Lolita Express pedophile ring, taking multiple flights with Bill Clinton to Epstein's Caribbean pedo-island, where the elite engage in sex with minors and children who are trafficked to the island.
Ridley Scott, the award winning director, refused to scrap the film and is re-shooting all of Spacey's scenes, this time with J Paul Getty played by veteran actor, Christopher Plummer.
Why is the film All The Money In The World being made to be released for Christmas, 2017? What is happening underground at the Getty Museum in Brentwood, California, while LA burns? Are we about to be indoctrinated with J Paul Getty's tragic yet sentimentalized life story spun by the CIA-run Hollywood machine in order to hide a much more serious and sinister reality-- the global elite child trafficking and harvesting industry and the breakaway civilization's literal feeding on the flesh and blood and sexualized terror of human children? What about the British Crown and Getty family's involvement in it? Just as the sacrifice of Harvey Weinstein was an attempt to take the focus off of Pizzagate, the film All The Money In The World is meant to implant our minds with a programmed message from the deep state elite.
"For where the instrument of intelligence is added to brute power and evil will, mankind is powerless in its own defense." -Dante Alighieri, from INFERNO, Part One of THE DIVINE COMEDY
Humanity is no longer powerless against institutionalized evil. We are revealing the identities of those attempting to recreate hell on Earth, putting an end to the Luciferian agenda, and ending 5,000 years of magick-based mind-control.
Pacific Palisades Fires Affect Getty Villa and A-Lister Properties | Pedophiles Burning The Evidence?
The entire Pacific Palisades is being burned — where the top [DS] Hollywood celebs & producers live at — such as Ben Affleck, Jennifer Lopez, Tom Hanks & Rita Wilson, Steven Spielberg, Chris Pratt, Reese Witherspoon, Matt Damon, Adam Sandler, Billy Crystal, Eugene Levy, Michael Keaton, Dan Aykroyd, Bradley Cooper, J.J. Abrams, Judd Apatow, Jennifer Aniston, Chevy Chase, Martin Short, James Woods, Dr. Dre, Julia Louis-Dreyfus, Larry David & Conan O’Brien. - RealCanadianPatriots
It is surely no accident that fires are taking down residences and other buildings in the Pacific Palisades / Malibu / Getty area, west of Los Angeles. We offer the following as breadcrumbs for further research. A reminder that anyone involved in pedophilia, trafficking, SRA, adrenochrome consumption, &etc. would be eligible for military prosecution under EO 13818. The ‘stars’ who are said to be fleeing their homes are likely no longer around, many of them.
John Paul Getty was a notorious womanizer, but Pizzagate investigators have recently accused him of child abuse. Currently I have no evidence that Getty was a child abuser. Voat investigators have alleged that a damning piece of evidence exists. I am trying not to get my hopes up, because even if it exists, it is not likely to get released any time soon.
From a website that was taken down called voat, we read:
“Slightly over three decades ago, there was a meeting on a yacht in the Med. A very important meeting. Things were dire and the whole escapade was crumbling and was going to leave some very important people with some very public egg on their face.
Attending the meeting were several world leaders, two of the richest people in the world, and several others, all of whom who were being catered to by a group of teens from the country of one of the world leaders.
The focus of their discussion was half a world away. To see what they were discussing, we need to take a step back.
In the late 1960’s and early 1970’s, G was one of the wealthiest men in the world. Although he could have any one in the world to have sex with, G enjoyed the company of young girls. Very very young girls. Under 10 was his preferred.
He imported the girls from a foreign country and housed them in the annex of his home which he reached via an underground tunnel. The girls were supplied by a very close friend of his who we will call M. It turns out M also had a love of young girls and provided them to other people like G all over the world.
In return, M was protected in power and also enriched himself personally from these men who gave him gifts of not only cash, but also paintings by the masters and so much more. They also arranged for other governments to prop his up in the face of rebellion.
When Getty died, things started to go downhill. Although one of his children (J) also was a fan of the young girls and availed himself frequently, he also ended up taking things too far and some of the girls ended up dead. J also had some big drug issues and was not of the same caliber connection wise that G had been. J was also under a great deal of pressure from siblings and bankers to do something with the annex to the house. The same annex where the young girls were located.
Fast forward a few years. The same men in power like G that had helped prop up M were all dying off. They were being replaced by other men who had their focus on other areas of the world. All too often they didn’t care about young girls and had other vices that they could fulfill from other dictators. The problem was what to do about all the girls all over the world that were in place or dead? That was the purpose of the meeting on the yacht.
What was decided was everyone who had a girl in their possession could keep them in place but could never let them go. If they wanted them killed, they could send them to J and he would make arrangements to kill them. In total, about 50 of these girls were killed. They were dumped beneath the foundation of an addition to the annex which was built several miles from the original annex.
Below the living areas, there are tube trains. Tube trains that go to the other underground bunkers. Most of the underground bunkers are built in areas controlled by the military or airports where you have law enforcement, but the Getty is the civilian installation. The Ziggurat, which is a federal building, is supposedly hooked up to the tunnel system.
The last level is the most evil. They have a Satanic Temple down at the bottom. There is human sacrifice going on down there. Every year, over 100,000 children go missing as well as the homeless. He states that these elitists think they are gods. They are polytheists. They worship the Egyptian Gods, the Greek Gods, and the Roman Gods, and they are very much into this stuff.
The crown and the elite are very concerned about the public finding out about it. All these guys report to the crown, such as the Templars, the Bilderberg’s, etc. In the book, “The Protocols of the Elders of Zion”, there is a chapter about the underground cities. In chapter 9 Re-education it states, “if they guess what is going on before the time comes; but in the West we have against this a maneuver of such appalling terror that the very stoutest hearts quail – the undergrounds, metropolitans, those subterranean corridors which, before the time comes, will be driven under all the capitals and from whence those capitals will be blown into the air with all their organizations and archives.” Mr. Kelley pops the question, “What does this mean?” There is a nuclear trap door at Getty. If a million Angelinos decided to come, they will fight them off the best that they can, close the nuclear blast door, and hit the button. There goes the Getty Museum turning into glass, which will close off that elevator.
Slightly over three decades ago, there was a meeting on a yacht in the Med. A very important meeting. Things were dire and the whole escapade was crumbling and was going to leave some very important people with some very public egg on their face.
Attending the meeting were several world leaders, two of the richest people in the world, and several others, all of whom who were being catered to by a group of teens from the country of one of the world leaders.
The focus of their discussion was half a world away. To see what they were discussing, we need to take a step back.
In the late 1960's and early 1970's, G was one of the wealthiest men in the world. Although he could have any one in the world to have sex with, G enjoyed the company of young girls. Very very young girls. Under 10 was his preferred.
When G died, things started to go downhill. Although one of his children (J) also was a fan of the young girls and availed himself frequently, he also ended up taking things too far and some of the girls ended up dead. J also had some big drug issues and was not of the same caliber connection wise that G had been. J was also under a great deal of pressure from siblings and bankers to do something with the annex to the house. The same annex where the young girls were located.
If you ever want to know why a hit was never put out on the spouse of M or any of his own kids it is because that meeting on the yacht was recorded both via audio and video and M made sure that everyone knows she has a copy of them. She also made it known that if she, or her kids were to die, that the recordings would be released. M's spouse is very old so people are worried that she has not made any plans to not release it when she dies. Apparently this recording discusses many world leaders and titans of industry who all had their own young boys or girls from this country they abused.
Oh, and just so you know, this will be revealed. This is too important to not be revealed.”
G: J. Paul Getty
M: Ferdinand Marcos (President of the Philippines) (art collection)
Spouse: Imelda Marcos
J: John Paul Getty Jr. “Getty Center”/”Getty Center Monorail”
Now you know why, like the families of so many other pedophiles, JP Getty’s descendants have led such messed up lives.
Also, supports the rumors always being passed around about the Getty Center in LA, about: deaths, bodies disposed of, tunnels, elite rituals.
Note also that the timeframe referred to here is the 1980s, the same timeframe as the Franklin scandal involving GHW Bush during the Reagan presidency.
Which explains why the CIA under GHW Bush, propped up Marcos against attempts to oust him in the Philippines (amid widespread anger among the populace.)
There are many Voat pizzagate stories about Getty and the Getty Museum – where there’s smoke there’s fire…
The underground base and city at the Getty Museum in Los Angeles is exposed by whistleblower Steven D. Kelley. He reveals how his experience in the laser industry led him into contact with the dark military-intelligence alphabet agencies. Using remote viewing techniques, Kelley was able to see some of the levels below the surface, where he saw stolen Tesla free energy technology. Kelley reveals the underground city is linked by tube to Edwards AFB and the rich LA homes in surrounding hills, and exposes how Satanic rituals are occurring there, using homeless people and missing kids. According to Steven Kelley, an underground complex beneath the Getty Museum in Los Angeles is the "crown jewel" of some 250 sites across the US designed to provide refuge to the Illuminati in a doomsday scenario. In the interim, these bunkers are used for depraved activities including orgies and the satanic sexual abuse and sacrifice of children.
Steven D Kelley was a Laser Electro Optics Engineer, Laser pioneer and inventor who created Laser Aiming Weapon Systems for military use. He was contracted through the NSA, CIA and other government agencies to provide high precision laser technology through his company S.K. Industries.
After a career as a jeweler and a Precision Optical Engineer, Steven became a laser pioneer, creating the world’s smallest laser aiming system, dominating the world solid state laser module production through a contract with the NSA Oliver North Gang. This would ultimately lead to the formation of S.K. Industries, laser aiming systems, who would produce the LAW-17 laser aiming system, designed for and used by Western special groups for anti-terrorism. The Law-17 laser is still to this day the most accurate laser aiming system ever produced. The same laser was a standard spec component for every Satellite due to its small size and stability.
After falling out with the CIA/NSA, Steven became exposed to Billy Meier, and his Pleadian contacts. This exposure, and Steven’s experience in micro photolithography, connected to his experience with Silver electroforming, led to discoveries that eventually were used to provide special components to experiments in speed of light propulsion, or beam ship construction.
Through his work, he was made aware of the multi-level underground systems of tunnels and bunkers that exist under the Getty Museum in Santa Monica Mountain, Los Angeles, California, USA. He had devoted more than a decade of his life of making people aware of this “City under the Getty” as a hub of child trafficking, a system of tunnels that connect this site to Deep Underground Military Bases (DUMBs), a place of advance technology and a place for the global elite to retreat to in case of a global apocalypse.
As an author, scientist and radio host, Kelley has made significant contributions in various fields, including laser technology, alternative energy and paranormal research. This biography delves into the life of Steven D. Kelley and the fascinating journey that led to the publication of his book, “Lasers, Cavers and Magic” in 2011
His book provides a summary of key themes, ideas, and events detailed in excerpts from his work, "Lasers, Cavers & Magic." The text appears to be a semi-autobiographical account, interwoven with technical details, philosophical musings, and accounts of dealings with various organizations and individuals. The overarching narrative follows Kelley’s personal journey, from childhood experiences to his development of advanced laser technology and his interactions with government agencies, other inventors, and the global arms trade.
II. Key Themes and Ideas:
Early Life and Influences:
Premonitions and Destiny: Kelley describes having childhood visions, including one of "a great desert war" that he interpreted as Armageddon. This leads him to question "if our lives are programmed in advance" and whether free will truly exists. "Even at that early age I had visions of a great desert war which seemed strange to me at the time. I had never read the Bible but I knew that this was Armageddon and I was going to play a role. Was I having a glimpse of my future? Was this a clue that our lives are programmed in advance and we plan everything to the last detail before we are even born? Is there really such a thing as free will and do we have the power to control our destiny?" Early Exposure to Reading: James Bond novels fueled a "voracious appetite for reading" which indicates an active and inquisitive mind being developed. Neighborhood Exposure: Kelley’s childhood included interactions with a "whore house" and a dangerous dog, highlighting an unconventional environment during his formative years.
Experiences with a First Love: He describes a girlfriend from his youth who he regretfully left due to his immaturity. He recognizes her inherent quality and laments his lost opportunity, demonstrating the maturation of his emotional intellect.
Technological Development and Innovation:
Precision Optics and Lasers: The author’s journey into optics and laser technology begins with his work in microlithography for semiconductor production, highlighting his technical aptitude and entrepreneurial tendencies. "optics were driving the semi-conductor industry and I began to make components for microlithography systems that were used to make semiconductors."
Thin Film Coating: Kelley’s brother is involved in thin film coating, a related technology in optics. This implies an environment supportive of technical endeavor and knowledge development. Electroplating and Precision Manufacturing: He establishes his own company, S.K. Industries, focusing on electroplating, emphasizing silver as an ideal material for "microscopic precision". He demonstrates a deep understanding of how fundamental properties of materials affect their usefulness. "What makes the silver ions so special is that unlike any other material you can use, it has the ability to find and enter the smallest details of an intricate part. This means that silver is the best material available if you want to construct something with microscopic precision."
Laser Gun Sights: A significant portion of the narrative centers around the development and marketing of his high-quality laser gun sights, including the LAW-17. He is dedicated to innovation and quality in all of his projects. "It’s true, being handmade; we were the Ferrari of laser gun sights. Because of the unique configuration of the system we were also the most accurate and durable laser gun sight in the World."
Plasma Beam Technology: Kelley begins to develop a high power light referred to as the "Plasma Beam," and hints at its more sophisticated applications.
Government and Covert Operations:
CIA Contracts: Kelley and his brother deal with the CIA regarding laser technology, initially through his brother's company. He discusses contracts for laser diodes and the strange knowledge they have about technology he had not yet invented, indicating covert operations behind the scenes.
"Pretty soon Norman was asked to talk to some CIA people about a laser contract. For whatever reason Norman was uninterested or felt he was too busy. I don’t think Norman realized how significant this was."
Interactions with API: Kelley’s dealings with a CIA front company, API, demonstrate the complexities and potential for exploitation when dealing with government agencies. He also recognizes the need for contracts to protect himself.
NSA involvement: Through a contact in Alaska, Kelley learns about the existence of "the Ollie North gang" operating within the NSA. This establishes his understanding of the political climate in his field.
Military Connections: His involvement extends to supplying lasers to police, military groups, and other international organizations, illustrating his technology’s wide application and high regard.
Business and Entrepreneurship:
Building a Business: From building plating tanks in his brother's house, Kelley expands his business and experiences the challenges of management, competition, and intellectual property.
Strategic Acquisitions: Kelley's business plans include buying out competitors and suppliers, demonstrating an aggressive growth strategy. He identifies specific companies as strategic opportunities for improving his business model.
Marketing and Promotion: He uses aggressive marketing techniques, including large ads in trade magazines and editorial coverage to build brand awareness and drive sales.
Personal Relationships and Conflicts:
Relationship with Rob: Kelley’s partnership with Rob (the initial developer of the laser sight he adopts) illustrates both the promise and the problems of collaboration. Rob's actions are a major source of betrayal, which highlights the difficult nature of business partnership.
Relationship with Danelle: Kelley's long-term relationship with Danelle, the mother of his children, underscores the complexities of personal bonds.
Encounters with Tom: His dealings with Tom, a mysterious individual supposedly connected to the DEA and wealthy, highlight the dangerous implications of his work and the potential for deception. Tom's interest in "non ferrous metal" hints at a broader plot surrounding silver. Friends and Allies: Kelley develops many allies through his journey, including his brother, Bill, Fred, and a man named Gaston in Alaska. These are the people Kelley turns to for support and advice when he runs into conflicts.
Philosophical and Metaphysical Musings:
The Nature of Reality: He ponders questions about destiny, free will, and the nature of reality. Energy Exchange: He explores the concept of energy exchange during sexual interactions and the balance between masculine and feminine energies.
The Power of the Mind: Kelley connects the human brain’s energy generation to that of an atomic blast, suggesting the capacity for extraordinary potential, and he references the works of Nikolai Tesla.
"What this means is that a human brain is capable of generating energy similar to that of an atomic blast. Never underestimate the power of the human brain, especially the power of many humans working together."
Spiritual and Occult Themes: He discusses underground cities, a satanic temple at the Getty, and the symbolism of masonic orders, all of which add a mystical element to the narrative.
III. Important Facts:
S.K. Industries: The name of Kelley’s business, involved in laser development and manufacturing.
LAW-17: A highly accurate and durable laser gun sight for Glocks developed by S.K. Industries
The Plasma Beam: A high powered light with advanced applications.
Microlithography: A key technology for semiconductor production.
Electroplating: A metal-forming process utilizing electrolysis.
The Ollie North Gang: An alleged group within the NSA.
Hanford Nuclear Plant: A site involved in the production of plutonium and significant radiation contamination.
IV. Conclusions
HIs book paints a picture of a man who is both a brilliant innovator and a complex individual. Steven Kelley’s story includes technical achievements, entrepreneurial endeavors, and encounters with clandestine government agencies, all while pondering deep questions about life and reality. He demonstrates a commitment to his values, especially those concerning quality, honesty, and integrity in his business dealings. He seems to be driven by a higher purpose or destiny which he is still working to understand. The narrative suggests there are forces operating at multiple levels, both in the shadows of society and within the fabric of the universe.
A City Beneath the Surface
Beneath the Getty Museum lies a sprawling underground complex, complete with elevators leading to levels as deep as 12 stories underground. This isn’t mere speculation. Multiple sources, including former employees and independent investigators, have corroborated the existence of these subterranean layers. Imagine a city under a city: secret chambers, endless hallways, and tunnels leading to locations far beyond the museum grounds.
But why? Why does an art museum need such extensive underground facilities?
The answer chills to the bone. According to whistleblowers, these spaces were used to house thousands of women and children, many of whom were trafficked and held as sex slaves. Reports suggest that up to two million individuals passed through these underground chambers until as recently as 2018.
High Security: Who’s Protecting What?
The Getty Museum is no ordinary institution. Its security measures rival those of a military base. Armed guards, surveillance systems, and restricted access zones ensure that only a select few can navigate its hidden depths. According to insiders, only A-listers and those deeply entrenched in elite circles have unrestricted access.
These individuals use the museum as a front to partake in unspeakable acts, shielded by layers of secrecy and an ironclad security system.
The Tunnel Network: A Gateway to Global Trafficking
One of the most shocking revelations is the network of tunnels connected to the museum. These passages are said to stretch miles, linking the Getty’s underground city to other strategic locations in Los Angeles and beyond. Investigators believe this tunnel system served as a trafficking hub, facilitating the movement of victims on a scale that defies comprehension.
Imagine a conveyor belt of human suffering, hidden beneath one of the most celebrated cultural institutions in the world. This isn’t just conspiracy theory fodder; it’s a reality that demands scrutiny.
The answer is as simple as it is infuriating: money and power. The Getty family wields immense influence in media, politics, and law enforcement. When you control the narrative, you can bury the truth—sometimes literally.
Whistleblowers who attempt to expose the Getty’s dark secrets often face intimidation, discrediting campaigns, or worse. It’s a David-and-Goliath battle, and Goliath is armed to the teeth.
Epstein Island: The Tip of the Iceberg
Jeffrey Epstein’s island was a wake-up call for many. It pulled back the curtain on a hidden world of elite predators and their heinous crimes. But make no mistake: Epstein Island was just the beginning.
The Getty Museum represents something far more insidious—a global operation that’s been hiding in plain sight. While Epstein’s crimes were confined to a private island, the Getty’s reach extends into the very fabric of our cities and societies.
source
https://steemit.com/dakini5d/@dakini5d/what-is-the-connection-between-pedogate-kevin-spacey-the-la-fires-the-getty-museum-and-the-violent-death-of-andrew-getty
https://www.forbes.com/sites/afontevecchia/2015/04/23/the-getty-family-a-cautionary-tale-of-oil-adultery-and-death/#55e5b9367eee
http://www.latimes.com/local/california/la-me-2nd-getty-family-an-open-secret-20150331-story.html
http://www.realclearlife.com/movies/allegations-sexual-harassment-kevin-spacey-surface/
http://www.thesleuthjournal.com/kevin-spacey-lolita-express-bill-clinton/
https://www.truth11.com/pedo-getty-villa-museum-burns-2/
https://web.archive.org/web/20201222003656/https://voat.co/v/pizzagate/2621820
https://web.archive.org/web/20201225040554/https://voat.co/v/pizzagate/1500196
https://web.archive.org/web/20201223092912/https://voat.co/v/pizzagate/2277932
https://web.archive.org/web/20201223054238/https://voat.co/v/pizzagate/2277302
https://web.archive.org/web/20201222044115/https://voat.co/v/pizzagate/2276828
https://web.archive.org/web/20201224063716/https://voat.co/v/pizzagate/1547814
https://web.archive.org/web/20201224191448/https://voat.co/v/pizzagate/2320492
https://web.archive.org/web/20201224064656/https://voat.co/v/pizzagate/2277877
http://www.linkedin.com/pulse/20141018162718-29817943-secret-cia-bank-accounts-for-former-u-s-president-and-other-key-politicians
http://www.crazydaysandnights.net/2018/07/blind-items-revealed-14_5.html
https://www.spreaker.com/episode/xzrs-steven-d-kelley-pizzagate-beneath-the-getty--40162540
https://www.stevendkelley.com
https://en.wikipedia.org/wiki/J._Paul_Getty
https://en.wikipedia.org/wiki/Getty_Center
https://beforeitsnews.com/conspiracy-theories/2025/01/2-million-women-children-child-trafficking-under-the-getty-museum-whistleblower-steven-d-kelly-what-is-really-going-on-kerry-cassidy-sean-david-morton-jordan-maxwell-run-in-2521902.html
https://worldreportstoday.com/boom-the-power-of-silence-millions-enslaved-beneath-the-getty-museum-a-fortress-of-horror-revealed/

Wednesday Feb 12, 2025
Wednesday Feb 12, 2025
Food Insecurity
Watch this on Rumble: https://rumble.com/v6jsidm-food-insecurity.html
Play video
https://www.tiktok.com/t/ZT2Sy8CjX/
NASA warns chances of 'city-destroying' asteroid hitting Earth in 2032 have INCREASED yet again. Scientists currently predict that the probability of 2024 YR4 hitting Earth should collapse towards zero as more data is collected.
Now this came from the Daily Mail which is a tabloid. But CNN just released Newly discovered asteroid now has a slightly higher risk of hitting Earth. Just playing this to you as I told you before when the boogieman in caves (terrorists) don’t work on the public anymore, they will release the astroids as the next global threat.
We learned this from Carol Rosin, Wernher Von Braun’s assistant during his deathbed confession. It’s all manufactured and made up. It’s all lie. Just like Food Insecurity.
Food Insecurity
Poverty and food insecurity, exacerbated by COVID and the soaring cost of living, plague both the US and Canada. At the height of the pandemic, school closures in the US deprived many children of their vital food source: free school lunches. This, coupled with job losses and inflation, plunged many into food insecurity. The economic outlook has still not improved for these families, thanks to the high rate of inflation, which is keeping grocery and gas prices elevated.
In Canada, a cost-of-living crisis has seen demand for food banks surge, with the 2023 Hunger Count by Food Banks Canada revealing a 32% rise in year-on-year visits in 2022. Parents made up the largest share of food bank users. Like in the US, they are grappling with exorbitant housing, food, and fuel costs, compounded by childcare expenses. A record 1.9 million Canadians sought assistance from food banks in just March 2023 alone.
How has US food insecurity increased, but not poverty? The poverty line, defined by Lyndon B. Johnson in 1963, hasn't been reassessed since. Back then, poverty was defined as anyone spending a third of their income on a “bare essentials diet.” But thanks to globalization and agricultural advances, an average American now spends only one-eighth of their income on food.
Instead, housing and childcare are the biggest budget busters. An American renter making $30,000 likely allocates over half their income to housing and may struggle with food insecurity. But, given the 1960s “poverty” guidelines, they need to earn nearly three times less, or $12,880, to be considered poor.
Myth: Hunger is not a problem in the United States Truth: Nearly one in eight people across the nation experience food insecurity, and the number continues to grow during the coronavirus pandemic. Feeding America, the largest domestic hunger-relief organization, estimates more than 42 million people may experience food insecurity this year, including 13 million children.
Food insecurity refers to the lack of access to enough food and the limited or uncertain availability of nutritionally adequate foods for a healthy, active lifestyle, as defined by the U.S. Department of Agriculture. "A lot of people don’t like to think that people actually do go hungry … The misconception that it doesn’t exist in America is incorrect,” said Lance Whitney, director of Supplemental Nutrition Assistance Program outreach for the Arkansas Hunger Relief Alliance.
Myth: Food insecurity only impacts certain groups, like people experiencing homelessness. Truth: Food insecurity does not discriminate. One common misconception Tami Kuhns, executive director of the Community Services Clearinghouse in Fort Smith, hears is food insecurity only impacts those who are experiencing homelessness or unemployment. "There’s a lot of people that work every day to make ends meet. They have to choose between paying their electric bill or buying their medicine, especially the elderly and the disabled,” Kuhns said.
According to the Economic Research Service (ERS) of the United States Department of Agriculture (USDA), food insecurity is defined as “the limited or uncertain availability of nutritionally adequate and safe foods, or limited or uncertain ability to acquire acceptable foods in socially acceptable ways.”[1] This may include “reduced quality, variety, or desirability of diet,” but does not necessarily include reduced food intake.[2] Food insecurity considers circumstances over the past year (or sometimes the past month). In contrast, food secure households are said to have “consistent access to enough food for active, healthy lives for all household members at all times during the year.”[3]
Very low food security—a more severe category of food insecurity—is represented by “multiple indications of disrupted eating patterns and reduced intake.”[4]
Food insufficiency is a simpler measure of whether or not there was enough to eat. Of course, there is overlap between the two measures, and individuals who suffer from food insufficiency are likely to also be considered to have very low food security.
To measure food insecurity, the USDA has conducted an annual survey since 1995 in partnership with the Census Bureau (the Current Population Survey Food Security Supplement, CPS-FSS) of 40,000 nationally representative households. This survey assesses households’ abilities to meet their food needs, including how often they may not have had enough food or any food for some period of time in the prior year. The survey on food insecurity asks 10 questions of all households plus an additional 8 questions for households with children. The questions assess the severity and frequency of any lack of access to food or decrease in the quality or variety of foods eaten. Respondents are also asked about behaviors that might be affected by food insecurity, such as reducing portion size, feeling worried or hungry, or losing weight. Respondents are found to be food insecure or have very low food security if enough of their answers are affirmative, with varying thresholds for households with and without children.[5]
Food insufficiency, along with insecurity, over the past year or in a 30-day period is also assessed by the questions asked in the CPS-FSS. To more closely monitor food insufficiency, since the beginning of the COVID-19 pandemic the Census has conducted a bi-weekly Household Pulse Survey, which includes a single, straightforward question regarding whether and how often households did not have enough to eat over the past week, or in later months, the past two weeks. This shorter look-back period is intended to assess more rapid changes. Respondents are asked to choose between the following categories to describe their current household food situation over the past week (or, in later months, past two weeks): “Enough of the types of food wanted,” “Enough food, but not always the types wanted,” “Sometimes not enough to eat,” or “Often not enough to eat.” Individuals selecting sometimes or often not enough to eat are typically considered to not have sufficient food and may closely align with those considered to have very low food security. Those who respond that they have “enough food, but not always the types wanted” would more closely align with the broader definition of food insecurity.
Both surveys also collect some information regarding household demographics and socio-economic conditions, such as race, age, employment status, income, education, housing, and health status. The demographic and socio-economic household data collected by the CPS-FSS are more robust because they are collected along with the more in-depth census survey and ask more detailed questions, particularly with regard to the respondents’ employment status.
There are, since 2006, no longer official metrics on hunger specifically (in contrast to food insecurity or insufficiency), primarily because it is an “individual-level physiological condition” that may or may not be related to food insecurity; further, because it is a subjective feeling, interpreted differently by different people, it is much more difficult to measure in a meaningful way.[6]
Food insecurity is also gauged, unofficially, by various organizations working every day to provide food to fellow Americans. One of the largest such organizations is Feeding America, a nationwide network of food banks. Feeding America has been publishing data on food insecurity by county for the past decade, estimated by surveying households about their access to and consumption of food and using correlated factors, including poverty, unemployment, homeownership, and disability prevalence at the state level. The organization also analyzes responses to the Current Population Survey from food insecure households regarding their food budget shortfall. Last, their analysis estimates the cost of food in each county by category and the cost of an average meal by food-secure families to estimate the likelihood that a typical family in a given county can afford a healthy meal. In short, Feeding America compiles a comprehensive set of data regarding factors known to be highly correlated with food insecurity in order to estimate food insecurity in each county.
Official metrics estimate 10.5 percent of Americans (35.2 million) were food insecure in 2019, including 4.1 percent (9 million) who were considered to have very low food security and 3.7 percent who were estimated to be food insufficient. While the overall number of food-insecure Americans decreased by a statistically significant degree from 11.1 percent in 2018, the share of very low food security households remained virtually unchanged (from 4.3 percent in 2018), suggesting that whatever factors benefitted those with less severe food insecurity did not reach those struggling the most.
Households with children are more likely to be food insecure than those without, although in more than half of these households, only the adults were food insecure, because adults typically choose to ensure their children eat even if it means they go hungry.[9] Nevertheless, 5.3 million children faced food insecurity themselves, and 361,000 children suffered from very low food security in 2019.
Households with children headed by a single woman are nearly twice as likely as those headed by a single man to be food insecure, though women living alone are at virtually equal risk as men living alone. Black and Hispanic Americans are much more likely to be food insecure than White Americans.
As expected, those with lower income are more likely to be food insecure than those with higher income: More than a third of households at or below the federal poverty level (FPL) are food insecure, compared to 5.1 percent of those earning 185 percent or more of the FPL. Of course, there is nothing magical about reaching 185 percent FPL that suddenly makes food drastically more accessible; rather, this threshold is used for sorting the data because it is the eligibility threshold for the Special Supplemental Nutrition Program for Women, Infants, and Children (WIC).
Based on the methodology described above, Feeding America estimates 11.5 percent of Americans (37.2 million people) were food insecure in 2018 (roughly equal to the official metric that year). The average cost of a healthy meal in the United States was estimated at $3.09.
From 2020 to 2022, there have been 100 huge food processing plants in America have either caught fire or blown up. Millions and millions of chickens, ducks and turkeys were destroyed. Tucker Carlson when he was at Fox News had also briefly touched on this issue, insinuating that there might be deliberate attacks against these facilities to weaken the food systems. The actual real number of destroyed plants are 750 as the Gateway Pundit reported. But this isn’t the strangest thing about this story. No one has any data from 2023 to 2024. All of the independent researchers that were tracking this just stopped. I can’t find anything for 2023 to now. Did it all just stop? If you google food plant fire, you will see a bizarre search result of plants burned this year and in 2022, but nothing in 2023 or 2024 in the results.
Somehow, those that were independently tracking the fires have just stopped and disappeared. The fires never stopped. They continued and the numbers of plants since the year 2020 are in the thousands. It appears food insecurity is being manufactured and we don’t know by whom. And there are two years of missing information. I searched every AI and the results are minimum. It also follows a ton of fact checkers where it appears the AI is told to tell us that it’s just a conspiracy. And there are no stories about it anywhere anymore. It all just died in 2022.
Food insecurity leads to disease and ultimately communism. It’s happened before:
The Russian Revolution (1917): World War I devastated Russia's economy and agricultural system, leading to widespread food shortages and famine. This fueled popular discontent with the Tsarist regime, creating an opening for the Bolsheviks, led by Lenin, to seize power. Their promise of "bread, land, and peace" resonated with a hungry and desperate population.
China (20th Century): China experienced frequent famines and food shortages throughout the first half of the 20th century, exacerbated by war and internal conflict. This created fertile ground for the Chinese Communist Party, led by Mao Zedong, to gain support among the peasantry. Their promises of land reform and food security were crucial to their eventual victory in the Chinese Civil War.
The Holodomor in Ukraine (1932-1933): While not leading to the initial rise of a communist regime (as the Soviets were already in power), this man-made famine was a direct result of Stalin's collectivization policies. The deliberate starvation of millions of Ukrainians was used as a tool to crush resistance and consolidate communist control. It highlights how communist regimes can exploit food insecurity for political purposes.
French Revolution (1789): While not leading to a communist regime, widespread famine and food shortages were major factors that fueled popular discontent against the French monarchy. The cry for "bread" was a central rallying point for the revolutionaries.
Various Latin American Revolutions (20th Century): Many Latin American countries experienced significant food insecurity due to factors like land inequality, poverty, and political instability. This contributed to the rise of leftist movements and revolutions, such as in Cuba, Nicaragua, and El Salvador, where issues of food distribution and agrarian reform were central demands.
Vietnam (20th Century): Food shortages and the disruption of agricultural production during the Vietnam War fueled social unrest and contributed to the communist victory. The Viet Cong gained support by promising land redistribution and food security to rural populations.
Ethiopia (20th Century): Famine and drought in the 1970s, exacerbated by government policies, led to widespread suffering and contributed to the overthrow of the monarchy. A communist regime, the Derg, subsequently took power.
North Korea (20th and 21st Centuries): Food shortages and famines have been a recurring feature of North Korea, often caused by government mismanagement and international sanctions. This has contributed to the regime's isolation and its reliance on repressive measures to maintain control.
Political change always follows food insecurity. America is being setup for this change.
Short-Term Effects (Months to a Year):
Increased food prices: Scarcity drives up prices, making food less affordable for many, particularly low-income households.
Strain on food assistance programs: Demand for programs like SNAP and food banks would surge, potentially overwhelming resources and leading to rationing or reduced benefits.
Social unrest: Protests, demonstrations, and even localized violence could erupt as people struggle to access basic necessities.
Increased crime: Desperation may lead to a rise in theft, particularly of food and other essential goods.
Health problems: Malnutrition and related health issues would become more prevalent, putting a strain on the healthcare system.
Mid- to Long-Term Effects (Years to Decades):
Economic decline: Reduced productivity due to malnutrition and social unrest could lead to economic recession or depression.
Political instability: Widespread discontent could erode trust in government, leading to political polarization, gridlock, or even regime change.
Social fragmentation: Increased inequality and competition for resources could exacerbate social divisions and erode community cohesion.
Migration and displacement: People may move in search of food and resources, leading to internal displacement or increased pressure on neighboring countries.
Geopolitical implications: Food insecurity could weaken the US's global standing and influence, potentially leading to increased international tensions.
Important Considerations:
Severity and duration: The severity of these consequences would depend on the extent and duration of the food insecurity.
Government response: Effective government intervention, such as providing emergency aid, stabilizing food supply chains, and addressing underlying economic issues, could mitigate some of the negative effects.
Resilience of communities: Strong community networks and social support systems can help people cope with hardship and build resilience.
Here are some further examples of what could happen in the US, drawing parallels with countries that have faced significant food insecurity:
1. Increased Social and Political Instability:
Egypt (2011): Rising food prices were a key trigger of the Egyptian revolution. People took to the streets demanding "bread, freedom, and social justice." Similar protests and unrest could occur in the US if food becomes unaffordable or unavailable.
Venezuela (2010s): Economic mismanagement and political instability led to severe food shortages, hyperinflation, and widespread social unrest. Looting, riots, and violence became commonplace. The US could see similar scenarios if food insecurity becomes severe and prolonged.
2. Rise in Crime and Social Disorder:
Argentina (2001): During an economic crisis, food shortages and desperation led to widespread looting of supermarkets and food warehouses. Similar events could happen in the US if people are unable to access food through legal means.
Zimbabwe (2000s): Hyperinflation and food shortages led to a breakdown of law and order, with increased crime rates and social unrest. The US could experience a similar deterioration of social order if food insecurity becomes widespread.
3. Mass Migration and Displacement:
Syria (2011-present): Drought, conflict, and economic hardship have forced millions of Syrians to flee their homes, creating a massive refugee crisis. In the US, severe food insecurity could lead to internal migration as people seek areas with better access to food and resources.
Irish Potato Famine (1840s): Widespread famine led to mass emigration from Ireland to other countries, including the US. Similarly, food insecurity in the US could lead to increased emigration as people seek better opportunities elsewhere.
4. Increased Government Control and Authoritarianism:
Soviet Union (1930s): Stalin's collectivization policies and forced famine in Ukraine were used to consolidate communist control. While unlikely to lead to outright communism in the US, severe food insecurity could lead to increased government intervention in the food system and potentially more authoritarian measures to maintain order.
North Korea (present): The government uses food as a tool of control, with food shortages and famine used to suppress dissent. In the US, food insecurity could give the government more power to control food distribution and potentially limit individual freedoms.
5. Decline in Public Health and Well-being:
Sub-Saharan Africa: Many countries in this region experience chronic food insecurity, leading to malnutrition, stunted growth, and increased susceptibility to disease. The US could see a similar decline in public health if food insecurity becomes widespread, with increased rates of malnutrition, chronic diseases, and mental health issues.
Important Notes:
These are just potential examples: The specific consequences of food insecurity in the US would depend on various factors, including the severity and duration of the crisis, the government's response, and the resilience of communities.
The US has resources and infrastructure: The US has a more developed economy and infrastructure than many of the countries mentioned above, which could help mitigate some of the negative effects of food insecurity.
Early intervention is crucial: Addressing the root causes of food insecurity and taking proactive steps to strengthen the food system can help prevent these scenarios from occurring.
By learning from the experiences of other countries, the US can take steps to prevent and mitigate the potential consequences of food insecurity. It's crucial to address this issue proactively to ensure a stable and prosperous future for all.
I do believe those fires at the food processing plants were deliberate. Just like al of the airplane crashes we see daily. A few things come to mind as to the reason behind the arson. It’s obvious to me someone or some organization wants America to suffer and have a regime change. And if it is not that, then we have been under attack by a country or terror group. How the media has played this off as random is definitely top notch reporting.
But no one has been questioning the US government paying farmers to destroy their crops. This same exact phenomenon was in full swing in 2020 and 2022 but seemed to have been covered up since. Just like the fires.
It would appear as though the plan all along was to quietly start throwing a few wrenches into the supply chain at that time in order to get the ball rolling. It was easy to blame the resulting problems on “COVID,” and this continued for years.
As the four anniversary of the plandemic approached, things got increasingly more chaotic. And now we have reached a point of no return, it seems, which is why the narrative shifted from COVID to Vladimir Putin.
The timing of Russia’s invasion of Ukraine is suspect because it occurred just as the consequences of several years of planned and engineered famine were really starting to become apparent. This provided cover for the media to blame Putin for even higher gas and food prices and the coming prospect of global food shortages.
For the past month, we have been told that because of the invasion and associated sanctions, natural gas is now in short supply. Natural gas, it turns out, is used to produce the fertilizer for food crops.
It is almost as if somebody wants food to become scarce so that the people become easier to control. With Putin as the new fall guy (it was COVID prior to this), the next engineered phase of the global plandemic can simply be blamed on Russia.
You may recall that I’ve reported in the past about bad weather conditions that interfered with crop yields. I warned that in the future, these losses would catch up with the supply chain and cause problems.
What we did not know at the time is that a plandemic was going to be launched to create a perfect storm type of situation in which the dominoes would begin to fall more quickly and more severely, creating confusion as to the cause.
This is how the powers that be are keeping all eyes off of themselves. They launch chaos event after chaos event while quietly knocking over the dominoes on purpose in the background undetected.
Periodically I post updates here about how more and more government money thrown at so-called “anti-poverty” programs never seems to reduce measured poverty even by a little. I call this phenomenon the “poverty scam.” The persistent high rate of supposed “poverty” — in the face of well over a trillion dollars of annual spending supposedly intended to cure it — is then repeatedly used to sucker the voters and the Congress into another round of increases in the spending, none of which will ever reduce poverty as measured. My latest post on this subject was on September 16, occasioned by the issuance from the Census Bureau of its “poverty” statistics for 2022. (That latest issuance of poverty statistics showed a large uptick in measured poverty despite an approximately 8% increase in the spending supposed to cure it.). For dozens of more posts on this subject, go to the Poverty tag in the Archive section.
And yet, among the categories of federal statistics that are cynically crafted to deceive and manipulate the public to support advocacy for growth of programs, there is a category that is even worse than “poverty,” and that is the category of “food insecurity.” The “food insecurity” statistics do not come from the Census Bureau, but rather from another agency, the Department of Agriculture. Those are the people who administer the various federal food programs, like the Supplemental Nutritional Assistance Program (“SNAP”, aka food stamps), the Women, Infants and Children Program (“WIC”), and others. At the DOA, they have taken the art of creating fake statistics that can never improve no matter how much is spent to a whole new level.
Just the News has the scoop in a story dated October 26: “Bidenomics Boomerang: Hunger explodes on Joe’s watch as 10 million more fall into food insecurity.” Excerpt:
The number of Americans suffering from hunger and food insecurity exploded by more than 10 million under President Joe Biden, according to a U.S. Agriculture Department report this week that provided fresh evidence of inflation‘s impact of a basic staple of life. The report found 44.2 million Americans were living in food-insecure households in 2022, compared to 33.8 million the year before. “From 2021 to 2022, there were statistically significant increases in food insecurity and very low food security for nearly all subgroups of households described in this report,” USDA [sic] reported Wednesday.
More than 10 million households, and a more than 30% increase in the number of households, represents quite a huge one-year jump in this measure of “food insecurity.” JTN mentions inflation as a contributing factor, and likely that has something to do with the increase. But what is this statistic actually measuring? JTN takes the opportunity to bash Biden about hunger supposedly exploding on his watch. But does “food insecurity” really have anything to do with hunger?
Probably your first instinct will be to infer that for “food insecurity” to increase so much there must at least have been some big decrease in the government benefits intended to address the issue. Boy would that be wrong. In fact, the first two years of Biden saw an incredible explosion of spending on the programs intended to cure this affliction. Here are the data from the Department of Agriculture for the SNAP program number of beneficiaries and spending from 2016 (last year of the Obama administration) through 2022 (most recent year of data):
See picture 1
As you can see, during the Trump years (2017-2020) both the number of participants and spending went down substantially up to 2019, before rebounding in the pandemic year of 2020. Then, during the two Biden years of 2021 and 2022, the number of beneficiaries further increased (by about 5%) despite the fading of the pandemic and the low unemployment rate; and meanwhile the spending skyrocketed, from about $79 billion in 2020 to almost $120 billion in 2022 — an increase of over 50%.
And here we have the true scandal of the federal food programs and the supposed “food insecurity” measurement. How is it even possible for programs supposedly designed to address a problem to fail so completely? During years when spending designed to reduce food insecurity increased by more than 50%, the number of people deemed to be in food insecurity not only did not decrease, but increased by over 30%.
I think that the answer to the question is that the “food insecurity” statistic was cynically created from the beginning to be impervious to decrease no matter how much gets spent on food assistance. Despite ubiquitous references and claims that the “food insecurity” statistic has something to do with hunger (and even JTN falls for this in the quote above), in fact “food insecurity” has nothing explicit to do with hunger, and the questions in the questionnaire mention nothing about hunger. Instead, the measure of food insecurity, devised during the Clinton Administration in the 1990s, basically comes from the answer on a survey to this question: “We worried whether our food would run out before we got money to buy more.” Was that often, sometimes, or never true for you in the last 12 months? Some of the people who respond affirmatively to that may well have been hungry at some time during the period in question, but you have no way to determine how many, if any.
Somehow the number of people who give an affirmative answer to that question (44.2 million in 2022 according to the latest report) bears a remarkable resemblance to the number of beneficiaries of the food stamp program (41.2 million in 2022 according to the DOA data in the chart). While there is no way to know that they are the exact same people, one might very reasonably look at the two numbers and infer that the large majority of the recipients of food stamps answer yes to the food insecurity survey question. After all, the design of the food stamp program is that the beneficiaries get a monthly allocation that they must make last to the end of the month. Of course many of them spend the allocation early and run low at the end of the month. The incredible thing is that even with a near 50% increase in the monthly benefit level during the Biden years, the percentage of people who spend the money early does not go down, but rather up.
You would think that the disaster of seeing “food insecurity” go up by 30% despite a $40 billion jump in spending would bring loud demands from the public, or at least the Congress, for firing of the responsible bureaucrats and restructuring of the program to something that is effective. But that’s not how this works. In the great bureaucratic tradition, the failure of the big spending increase to ameliorate the problem will be used by the agency to demand another round of increases in spending and staff. This time, they will argue, the increase in spending will work. The way to succeed in your main goal — which is growing your budget and staff — is to fail, and the more spectacularly the better.
What we can expect is more chaos. All of the food shortages will catch up to us. Our reserves are being used now. Trump’s tariffs on America for foreign goods will make things even worse.
Within a few short years or sooner, we will be desperate for food and other necessities and it sets Trump up perfect to do whatever it is he has planned.
source
https://www.gzeromedia.com/gzero-north/graphic-truth-food-insecurity-and-poverty-in-the-us-canada
https://www.swtimes.com/story/news/2021/09/08/5-myths-food-insecurity-debunked-facts-hunger-snap/5717230001/
https://www.americanactionforum.org/research/food-insecurity-and-food-insufficiency-assessing-causes-and-historical-trends/
https://wltreport.com/2024/07/07/list-all-food-processing-plants-that-have-burned/
https://www.thegatewaypundit.com/2022/09/updated-list-us-based-food-manufacturing-plants-destroyed-biden-regime-can-now-participate-add-incidents-interactive-map/?utm_source=Twitter&utm_medium=PostBottomSharingButtons&utm_campaign=websitesharingbuttons
https://www.greatreset.news/2022-04-01-planned-famine-government-paying-farmers-destroy-crops.html
https://muse.jhu.edu/article/855082/pdf
https://www.manhattancontrarian.com/blog/2023-10-27-the-food-insecurity-scam-is-even-worse-than-the-poverty-scam
https://www.tiktok.com/t/ZT2Sy8CjX/

Tuesday Feb 11, 2025
Tuesday Feb 11, 2025
E.L.F. Mind Control
Watch this in Rumble: https://rumble.com/v6jdzjj-e.l.f.-mind-control.html
Extremely low frequency (ELF) is the ITU designation for electromagnetic radiation (radio waves) with frequencies from 3 to 30 Hz, and corresponding wavelengths of 100,000 to 10,000 kilometers, respectively. In atmospheric science, an alternative definition is usually given, from 3 Hz to 3 kHz. In the related magnetosphere science, the lower-frequency electromagnetic oscillations (pulsations occurring below ~3 Hz) are considered to lie in the ULF range, which is thus also defined differently from the ITU radio bands.
ELF radio waves are generated by lightning and natural disturbances in Earth's magnetic field, so they are a subject of research by atmospheric scientists. Because of the difficulty of building antennas that can radiate such long waves, ELF have been used in only a very few human-made communication systems. ELF waves can penetrate seawater, which makes them useful in communication with submarines, and a few nations have built military ELF transmitters to transmit signals to their submerged submarines, consisting of huge grounded wire antennas (ground dipoles) 15–60 km (9–37 mi) long driven by transmitters producing megawatts of power. The United States, Russia, India, and China are the only countries known to have constructed these ELF communication facilities. The U.S. facilities were used between 1985 and 2004 but are now decommissioned.
ELF is a subradio frequency.[14] Some medical peer reviewed journal articles refer to ELF in the context of "extremely low frequency (ELF) magnetic fields (MF)" with frequencies of 50 Hz[15] and 50–80 Hz. United States Government agencies, such as NASA, describe ELF as non-ionizing radiation with frequencies between 0 and 300 Hz. The World Health Organization (WHO) have used ELF to refer to the concept of "extremely low frequency (ELF) electric and magnetic fields (EMF)". The WHO also stated that at frequencies between 0 and 300 Hz, "the wavelengths in air are very long (6,000 km (3,700 mi) at 50 Hz and 5,000 km (3,100 mi) at 60 Hz), and, in practical situations, the electric and magnetic fields act independently of one another and are measured separately".
Due to their extremely long wavelength, ELF waves can diffract around large obstacles, are not blocked by mountain ranges or the horizon, and can travel around the curvature of the Earth. ELF and VLF waves propagate long distances by an Earth–ionosphere waveguide mechanism. The Earth is surrounded by a layer of charged particles (ions and electrons) in the atmosphere at an altitude of about 60 km (37 mi) at the bottom of the ionosphere, called the D layer, which reflects ELF waves. The space between the conductive Earth's surface and the conductive D layer acts as a parallel-plate waveguide which confines ELF waves, allowing them to propagate long distances without escaping into space. In contrast to VLF waves, the height of the layer is much less than one wavelength at ELF frequencies, so the only mode that can propagate at ELF frequencies is the TEM mode in vertical polarization, with the electric field vertical and the magnetic field horizontal. ELF waves have extremely low attenuation of 1–2 dB per 1,000 km (620 mi), giving a single transmitter the potential to communicate worldwide.
Schumann resonances
The attenuation of ELF waves is so low that they can travel completely around the Earth several times before decaying to negligible amplitude, and thus waves radiated from a source in opposite directions circumnavigating the Earth on a great circle path interfere with each other. At certain frequencies these oppositely directed waves are in phase and add (reinforce), causing standing waves. In other words, the closed spherical Earth–ionosphere cavity acts as a huge cavity resonator, enhancing ELF radiation at its resonant frequencies. These are called Schumann resonances after German physicist Winfried Otto Schumann, who predicted them in 1952, and were detected in the 1950s. Modeling the Earth–ionosphere cavity with perfectly conducting walls, Schumann calculated the resonances should occur at frequencies of fn=7.49 V n(n+1) Hz.
The actual frequencies differ slightly from this due to the conduction properties of the ionosphere. The fundamental Schumann resonance is at approximately 7.83 Hz, the frequency at which the wavelength equals the circumference of the Earth, and higher harmonics occur at 14.1, 20.3, 26.4, and 32.4 Hz, etc. Lightning strikes excite these resonances, causing the Earth–ionosphere cavity to "ring" like a bell, resulting in a peak in the noise spectrum at these frequencies, so the Schumann resonances can be used to monitor global thunderstorm activity. Interest in Schumann resonances was renewed in 1993 when E. R. Williams showed a correlation between the resonance frequency and tropical air temperatures, suggesting that the resonance could be used to monitor global warming.
Since ELF radio waves can penetrate seawater deeply, to the operating depths of submarines, a few nations have built naval ELF transmitters to communicate with their submarines while submerged. It was reported in 2018 that China had constructed the world's largest ELF facility roughly the size of New York City in order to communicate with its submarine forces without requiring them to surface. The United States Navy in 1982 built the first ELF submarine communications facility, two coupled ELF transmitters at Clam Lake, Wisconsin, and Republic, Michigan. They were shut down in 2004. The Russian Navy operates an ELF transmitter called ZEVS (Zeus) at Murmansk on the Kola Peninsula. The Indian Navy has an ELF communication facility at the INS Kattabomman naval base to communicate with its Arihant-class and Akula-class submarines.
Since the late 1970s, various conspiracy theories have risen around exposure to ELF electric and magnetic fields (EMF). External ELF magnetic fields induce electric fields and currents in the body, which, at very high field strengths, may cause nerve and muscle stimulation and changes in nerve cell excitability in the central nervous system. ELF at human-perceivable kV/m levels was said to create an annoying tingling sensation in the areas of the body in contact with clothing, particularly the arms, due to the induction of a surface charge by the ELF. Of the volunteers, 7% described the spark discharges as painful when the subject was well-insulated and touched a grounded object within a 5 kV/m field, whereas 50% described a similar spark discharge as painful in a 10 kV/m field.
ELF waves can also travel considerable distances through "lossy" media like earth and seawater, which would absorb or reflect higher-frequency radio waves. ELF waves are electromagnetic radiation with frequencies between 1 Hz and 300 Hz. They are a type of non-ionizing radiation.
Natural sources: Lightning, thunderstorms, and ionospheric currents
Artificial sources: Power lines, electrical wiring, and appliances like hair dryers, televisions, and computers
Some studies have suggested a link between magnetic fields near power lines and an increased risk of cancer. ELF waves can pass through seawater, so the US and Russian militaries use them to communicate with submarines. Atmospheric scientists study ELF waves to understand how lightning impacts the Earth's environment. Researchers study ELF waves at the South Pole Station. ELF waves can be used to place thoughts in people’s minds without using implants. In 1991, a paper trail began to appear when the CIA connected the U.S. government’s Global Strategy Council with a paper entitled, “Nonlethal: Development of a National Policy and Employing Nonlethal Means in a New Strategic Era.” Their paper was prepared by Janet Morris. The USAF School of Aerospace Medicine, Brooks Air Force Base, TX put out a report USAFAM-TR-87-30 entitled “Behavioral response of rats exposed to high-power microwave radiation.” High-power,ultra-short pulse-width emitters of microwaves were used to alter the thinking in rats. The report refers to two other reports: one by T. Wheeler, et al.
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“Retrograde Amnesia in Rats Produced by Electron Beam Exposure,” entitled USAFAM-TR-83-3, Feb. ‘83. The other report is by R. Bermant, “Classical conditioning of Microwave-Induced Hyperthermia in Rats.” Radio Sci. 14 (6S): 201-207, 1979. This is a clear paper trail, that military research has gone on to control the brain via microwaves. Another institution in Texas, the Texas Dept. of Criminal Justice TDCJ-ID, has been putting high-tech listening implants into the ear canal behind the ear drum which lets them monitor what the ear is hearing–a great way to spy.
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This is according to an implant victim who with medical help discovered his implant. The Walter Reed Army Institute of Research (WRAIR) discovered that pulsed microwave audiograms also called analogs of the sounds of spoken words, could be transmitted to a target, and the effect on victims would be to hear voices in their head.
HEARING DEVICE
BACKGROUND OF THE INVENTION
1. Field at the Invention
This invention relates to devices for aiding hearing in mammals. The invention is based upon the perception of sounds which is experienced in the brain when the brain is subjected to certain microwave radiation signals.
2. Description of the Prior Art
In prior art hearing devices for human beings, it is well known to amplify sounds to be heard and to apply the amplified sound signal to the ear of the person wearing the hearing aid. Hearing devices of this type are however limited to hearing dysfunctions where there is no damage to the auditory nerve or to the auditory cortex. In the prior art, if there is damage to the auditory cortex or the auditory nerve, it cannot be corrected by the use of a hearing aid.
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During World War II, individuals in the radiation path of certain radar installations observed clicks and buzzing sounds in response to the microwave radiation. It was through this early observation that it became known to the art that microwaves could cause a direct perception of sound within a human brain.
These buzzing or clicking sounds however were not meaningful and were not perceptions of sounds that could otherwise be heard by the receiver. This type of microwave radiation was not representative of any intelligible sound to be perceived.
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In such radar installations, there was never a sound that was generated which resulted in subsequent generation of microwave signals representative of that sound. Since the early perception of buzzing and clicking. further research has been conducted into the micro-wave reaction of the brain.
In an article entitled Possible Microwave Mechanisms of the Mammalian Nervous System” by Philip L Stocklin and Brain F. Stocklin, published in the TIT Journal of Life Sciences.
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Tower International Technomedical Institute. Inc. P.O. Box 4594, Philadelphia. Pa. (1979) there is disclosed a hypothesis that the mammalian brain generates and uses electromagnetic waves in the lower microwave frequency region as an integral part of the functioning of the central and peripheral nervous systems.
SUMMARY OF THE INVENTION
Results from theoretical analysis of the physics of brain tissue and the brain/skull cavity, combined with experimentally determined electromagnetic properties at mammalian brain tissue, indicate the physical necessity for the existence of electromagnetic standing waves. called modes in the living mammalian brain.
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The made characteristics may be determined by two geometric properties of the brain: these are the cephalic index at the brain (its shape in prolate spheroidal coordinates) and the semifocal distance of the brain (a measure of its size).
It was concluded that estimation of brain cephalic index and semi-focal distance using external skull measurements on subjects permits estimation of the subjects’ characteristic mode frequencies, which in turn will permit a mode-by-mode treatment at the data to simulate hearing.
PROZAC AND SLAVES AND MICROWAVE TOWERS
Some of the Monarch slaves are receiving Prozac. Prozac (fluoxetine hydrochloride serotonin reuptake inhibitor) is dangerous for everyone. Prozac is now the second most used drug in the world.
Three examples of the ongoing nightmare now happening worldwide: September 14, 1989–Joseph Wesbecker on Prozac went crazy and got a gun and opened fire in the Standard Gravure Building in Louisville killing eight and wounding twelve others before killing himself.
20 suits against Eli Lilly were filed by the victim in this case. July 1990–Rhonda Hala of Shirley, NY filed a $150 million suit against Eli Lilly charging that Prozac had driven her repeatedly to attempt suicide. August 1990–CCHR called on Congress to ban Prozac and 3 widows in Louisville, KT filed $50 million lawsuits each, charging that a man on Prozac had been driven insane to kill by the Prozac and had killed their husbands.
Two other lawsuits were filed in this time period, one from Indianapolis, and one from Chicago from people driven to attempt suicide by Prozac. Certain brain activities trigger people on Prozac to become homicidal or suicidal. Thanks to research by Illuminati-controlled companies, the Network knows exactly how to use ELF waves vectored on a particular person by 3 separate towers to stimulate the Prozac-controlled brain to murder.
This is being used to increase acts of anarchy and violence in order to help ensure anti-gun legislation. If a slave doesn’t comply or needs to be thrown from the Freedom Train they can become a useable statistic. Simply trigger them to murder and then watch the police gun them down. The NWO gains one more statistic and another case to scare the public into accepting gun control.
THE USE OF WAVES & ELECTRICITY TO IMPLANT THOUGHTS
The programmers are always trying to outdo what they’ve done before. They are not satisfied with the old recipes for scrambled brains, they keep inventing and refining new methods. Anything and everything within their grasp has been tried.
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They have found that ELF and VLF electromagnetic waves can be used to control people’s thoughts. Harmonics and sound waves are used to manipulate the RNA covering of neuron pathways to the subconscious. Harmonic generators (code-named “ether-wave”) are able to embed detailed commands that are linked to audible triggers.
This is one of the standard features of the Monarch program. It allows the slaves to be controlled by trigger words that make no sense or seem to carry no negative connotation to outside listeners. For instance the words, “Mr. Postman wait and see” (a Marionette command) might set off an access sequence so that a slave living away from its master goes to its master (also called a handler).
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THE USE OF HARMONICS HAS TAKEN AWAY MUCH OF THE WORK OF THE BIG PROGRAMMERS. NOW HARMONIC MACHINES CAN IMPLANT THE PROGRAMMING AND CODES THAT THE PROGRAMMERS PUT IN.
It’s quicker and perhaps more efficient, although the lesser cult groups have to get by with the older methods.
And the Illuminati still have many excellent programmers in full-time and part-time use. According to an eyewitness, their top programmers are far beyond their 1950-60 predecessors like Mengele. There are four types of brain waves: alpha, beta, delta, and theta.
The four basic models of Monarch slaves have the same names as these four types of brain waves. High-level Illuminati models may have programming that includes all of these types. According to one ex(?)-government source, the CIA has been labeling their harmonic-created total Mind-controlled slaves by the following:
Bravo 2 series models are men programmed to run the Beast computers.
Delta series are models for espionage and assassination.
Juliet series are sexual mind-controlled slaves.
Kilo 5 series is military espionage.
Michael 1 series slaves are CIA agents under total mind control.
Operation Greenstar was the Mind-control project to create UFO abduction scenarios.
Much of the high-level programming in the 1980s and 1990s is no longer done with human programmers but is done via programmed machines using drugs, electricity, and harmonics.
TRACKING / I.D. IMPLANTS
A great deal has come out in a whole number of Christian books, as well as secular books about the microchips that are being implanted in both people and animals.
THESE MICROCHIPS WILL DO MANY THINGS, DEPENDING UPON WHICH TYPE OF MICROCHIP THEY ARE, HOWEVER, SOME OF THESE MICROCHIPS EMIT CODED SIGNALS WHICH ALLOW SATELLITES WITH COMPUTERS TO TRACK THE EXACT LOCATION OF THE PERSON OR ANIMAL CARRYING THE CHIP.
Obviously, a Mind-controlled slave is not going to have the freedom to reject a chip like this. This gives the owner a method for tracking the slaves should they ever escape to their exact location. Many of the slaves, CIA agents, and military men have these implants already.
Many Desert Shield troops (to make sure they weren’t lost in the desert) were required to get the tracking implants. Some countries are making it mandatory for pets to get tracking implants.
MONITORING IMPLANTS
As I write this, I have the report “An eight-channel micro powered PAM/FM biomedical telemetry system” written by the Space Biology Lab/Brain Research Institute of the UCLA Center for Health Sciences, of Los Angeles, California 90024.
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What they are reporting on is an implant that will electronically report back what is going on with a person’s body to whoever is monitoring the person. Their “biotelemetry” consists of a signal conditioner(s), a multiplexer (for multichannel systems), and a transmitter.
The entire size of the implant is 6.35cm. by 0.97 cm thick. EEG monitoring is being done of free-swimming divers by implants. A frequency of 2300 Hz. was used on the first underwater monitoring devices. (note: 2002 study)
COMMUNICATION IMPLANTS
First, we will give an overview of the subject and then we will cover the details of how the technology works. The Bible predicts that at the end of the church age the rulers of the world “Have one mind, and shall give their power and strength unto the Beast” REV 17:13.
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Robert Muller, a member of the Illuminati, and former Assistant Secretary General of the UN, who has been involved in setting up a “Peace University” in Costa Rica, said in a symposium “Toward a Global Brain, Our Next Evolutionary Step” (Nov. 9-11, 1984, “We are beginning to link together to form one world, minds and souls. Let go of our own beliefs – crap stuff. We stand now at the threshold of the first spiritualization of humanity.
The goal of having a single “World Mind” is being advocated by people tied to the Illuminati and the New Age Movement they have created. In the New Age book Gods of Aquarius, the author advocates, “The only viable solution is to link the brains of all men into one giant super brain.
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IT HAS BEEN THE ENTIRE SPECIES THAT HAVE BEEN DEVELOPING AND IT MUST BE LINKED INTO ONE SUPER BEING. A SYNTHESIS OF HUMAN MINDS IN A WORLD BRAIN.”
Hollywood put out a movie in 1970 called Colossus-The Forbin Project which shows how the ultimate computer will dominate the minds of men. Unfortunately, the Illuminati now have the capability via their fronts to implant transmitters that will communicate messages to the human brain that are received via computers.
The ability to literally have a single World Brain is within the grasp of the elite. They must now simply figure out methods to accomplish it. All this New Age talk by world leaders like Robert Muller about a single World Mind is not hot air. Unfortunately, the technology is here already. Will humanity stop the secret elite, or will humanity continue to slide into deeper slavery?
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CIA PROGRAMMER/RESEARCHER PROFESSOR DELGADO WROTE IN PHYSICAL CONTROL OF THE MIND IN 1969 THAT, “BRAIN TRANSMITTERS CAN REMAIN IN A PERSON’S HEAD FOR LIFE.
The energy to activate the brain transmitter is transmitted by way of radio frequencies.” The radio frequencies used to transmit to brain implants are usually from 15 to 35 KHz. Radiofrequency analyzing computers hooked up to computers have charted the radio frequencies being used to transmit to victims with implants. (See Mediaeko Investigating Reporting Group. Brain Transmitters What They Are and How They Are Used. 1993, pg. 8.)
The use by handlers of Frequency shift signals, which is a special way of modulating through a given spectrum of frequencies, has been observed and recorded.
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SOME OF THE FIRST BRAIN TRANSMITTERS LOOKED LIKE BULLETS AND WERE PLACED INTO THE VICTIM’S BRAIN VIA THE NOSE. IN THE LATE 1960S, SOME OF THE TRANSMITTERS WERE SIMPLY SWALLOWED, OR CARRIED EXTERNALLY BY THE VICTIM.
Small wires embedded behind the ears are one of the implants. Sometimes implants are placed within the pain/pleasure center of the brain, which allows the handler to manipulate what feels great or what feels painful. The Intelligence agencies have given their implants a whole variety of names. Some of these names for brain implants are:
EDOM — Electronic Dissolution of Memory
EEOM–Electronic Enhancement of Memory
ESB –Electronic Stimulation of the brain
RHIC — Radio Hypnotic Intra-cerebral Control
Terms that accompany these techniques include:
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PREMA–Personal Radio & Electro-Magnetic Frequency Allocation. This is an individual’s personal frequency which is scanned by a hand-held device (such as a Reading Wand). PRIME FREAK–This is the Primary Frequency of an individual, which the intelligence agencies will obtain and then manipulate to control an individual.
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VITAL HUMAN BRAIN FREQUENCY– This is a frequency that is vital for humans, (the 800 MHz band) which is manipulated for mass mind control. In 1978, Samuel Chavkin warned in his book The Mind Stealers “With the increasing sophistication and miniaturization of electronics, it may be possible to compress the necessary circuitry for a small computer into a chip that is implantable subcutaneously.
In this way, the new self-contained instrument could be devised, capable of receiving, analyzing, and sending back information to the brain, establishing artificial links between unrelated cerebral areas, functional feedbacks, and programs of stimulations contingent on the appearance of predetermined wave patterns.”
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Since Chavkin wrote this in 1978, the Network has come a long way on miniaturization and sophistication of their implants. One of the most important end times communications systems of the Illuminati and their intelligence agencies is their ALEX system.
This will operate on several levels. The electronic end of the ALEX system which stands for Amalgamated Logarithmic Encrypted Transmission (ALEX) is a method for encrypting electronic transmissions so that a computer which could decode 5 Trillion codes a second would take 2,000 years to decipher one of these transmissions.
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In other words, when the ALEX system is operating–it cannot be decoded. The ALEX system has 700 Billion Trillion codes! Yes, the intelligence agencies/Illuminati have really outdone themselves with overkill on this one! By the way, this is very ULTRA secret.
The ALEX system intersects with the Monarch Mind Control Programming. The ALEX (also called ALEXUS) is part of the tracking and AntiChrist-Call-Back Programming. Outside computers are able to interconnect with the Monarch Mind Control slave and call them back for AntiChrist activities.
In other words, the Council of 9 of the Illuminati has placed an alter by the name of Alex or a similar name in high level slaves and they have either via implants or some other type of programming made these slaves available for programming via electronic communications that tie in with their ALEX computers.
(Fritz Springmeier touched on this AntiChrist programming in his “Chapter 3 Mind Control” monograph in 1992, when he mentioned Imperial conditioning.) Actually Imperial and Emperor programming are programs that work in conjunction with the ALEX system.
SINCE THE EARLY 1960S, THE INTELLIGENCE AGENCIES HAVE BEEN PUTTING TWO-WAY RADIO COMMUNICATION IMPLANTS INTO VICTIMS. THIS IS CALLED TELEMETRY OR REMOTE CONTROL.
The radio wave enters the implant, the implant transmits it to the brain, and the brain’s reaction is then picked up and relayed back to a computer which decodes what the brain waves show the brain was thinking.
These implants in the early ‘60s were half the size of a cigarette filter. A few of victims have managed to escape the control of the System and get x-ray pictures of the implants and then have them removed. One victim in this Portland area has tried for years to find a legitimate surgeon to remove the implant. Liquid crystals are said by some to be used. It is said that the liquid crystals are implanted to function as transmitters. Others say that the liquid crystals were tried and were lethal.
ACCESSORIES
It was discovered that if a strobe is flashed into the eyes at ten cycles/per sec. or 10 hertz (hz), the brain will retune itself to that frequency. The brain will downshift from a beta state of consciousness down to an alpha or below.
The entire cortex is influenced by the strobe light. Actually, this was just a rediscovery of what some of the ancients had discovered. Flashing lights have been used by people to go into altered states for a long time. Ptolemy, the famous ancient Greek astronomer built a wheel that would flash sunlight, and people would stare at this contraption and go into an altered state.
As with many inventions, they can be used for good or bad. The following machines are things that anyone can purchase, just like a stun gun or a cattle prod. An array of mind-altering electronic devices have been created over the last few decades. Personal light-and-sound machines that alter the brain’s consciousness that were once $60,000 dollars are now a few hundred. They have goggles that fit over a person’s eyes.
THE SYNCHRO ENERGIZER, WHICH REQUIRES A TRAINED OPERATOR TO RUN ITS CONTROL PANEL, IS A MACHINE TO ELECTRONICALLY ALTER THE BRAIN’S CONSCIOUSNESS WITH A SOUND AND LIGHT SHOW.
Nine lights work via the goggles to give a light show to alter the brain’s wave pattern. It is sold by Synchro-Tech of Cleveland via Syncho Energize on Broadway, NY. An operator can start the Synchro Energizer at the brain’s high beta waves and then takes the wave pattern downward through the alpha, and then to the theta and sometimes into the delta (the sleep state).
There are smaller machines designed to do the same thing, such as the Relaxman, built by Synchro-Tech.
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She goes on to explain about the implants, wires & tubes that are put in victims of “alien abductions”. Karla Turner doesn’t know that she is a victim of trauma-based mind control, but she’s getting close to understanding what she has been subjected to. ‘The Journal, Alexandria, VA, Nov. 8, 1995, carried a story “Surgeon, a UFO buff operated and found…” The story was by Steve Chawkins of the Scripps Howard News Service.
The article talks about a Ventura, CA surgeon who has removed implants from abduction victims. The implanted items that are removed from victims, disappear when sent in for tests to determine what they are.>·Relevance Magazine-art. on Beh. Mod. implants. >·Fortean Times #83, Oct.-Nov. ‘95 article on Russia’s mind control called PIS which is similar to America’s.
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Stanford University, CA helped with this. A person can now be “hot-wired” to a computer, such as Arnold Schwarzenegger in the film Total Recall. ·LA Times, 8/17/94, article about the Hughes Identification Device which is a tracking implant (microchip) which is called SmartDevice.
6 million/per year are planned to be quietly inserted into people during surgery. ‘In a recent article “Alien-Human Interactions: the Facts and Propaganda” by Karla Turner, she points out that many alien abductees (like herself) are “monitored and harassed by human agents of some sort and the cases of phone and mail surveillance are only part of the story….
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Barry Karr of the Center for Scientific Investigation of Claims of the Paranormal states, “We haven’t heard of anything that, without the shadow of a doubt, couldn’t have been made here on Earth. Let’s see the evidence.”
It is clear that some people are now realizing that these implants are being placed into people by human slave owners, who simply are hypnotically telling their slaves that they are aliens. IBM began work on the implantable microchips under the cover of other goals. In the 1960s G.E. took over the development. Honeywell continued the work after they merged. The R2E Division of the cIIi Honeywell Bull in France has then gone on to develop the Smart card.
Lithium batteries in implants were secretly being used in the 1960s long before the public got wind. Fairchild has publicly announced several years ago that they have a bio-chip the size of a human hair with 4 times the capacity of the BT952000 project. These are some of the companies who have provided the Network with a large assortment of implantable chips.
Electro shock is used to control a slave and to erase memory. Stun guns are used daily on some slaves. Slaves are under so much control that they will shock themselves if the master wants them to.
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Equipment has been developed to alter states of consciousness electronically, and also to track, and monitor slaves. The most serious development in electronics for mind-control is their ability with high tech equipment to actually place thoughts into a persons mind. Harmonic machines (given code-names) are now being used to do lots of the programming.
Powerful individual & mass-mind control can take place via electronic means; our question, who will control the controllers of these electronic means? So far the American & European people have been content to let them get by with what they have done.
Earth is wrapped in a donut shaped magnetic field. Circular lines of magnetic flux continuously descend into the North Pole and emerge from the South Pole. The Ionosphere, an electromagnetic-wave conductor, 100 kilometers [62 miles] above the earth, consists of a layer of electrically charged particles acting as a shield from solar winds.
Earth Resonant Frequency
Natural waves are created which result from electrical activity in the atmosphere. They are thought to be caused by multiple lightning storms. Collectively, these waves are called 'The Schumann Resonance', with the strongest current registering at 7.8 Hz. These are quasi-standing [scalar], extremely low frequency (ELF) waves that naturally exist in the earth's electromagnetic cavity which is the space between ground and the Ionosphere. These 'earth brainwaves' are identical to the frequency spectrum of our human brainwaves.
[Frequency nomenclature: 1 hertz = 1 cycle per second, 1 Khz = 1000cps, 1 Mhz =1 million cps. Wavelength: A 1 Hertz wave has a wavelength that is 186,000 miles long, A 10 Hz wave is 18,600 miles long, etc. Radio-waves move at the speed of light (186,000 miles per second)]
HAARP
The Creator designed living beings to resonate to the11 natural Schumann Resonance frequency pulsation in order to evolve harmoniously. The Ionosphere is being manipulated by US government scientists using the Alaskan transmitter called HAARP, (High-Frequency Active Auroral Research Program) which sends focused radiated power to heat up sections of the Ionosphere, which bounces power down again. ELF waves produced from HAARP, when targeted on selected areas, can weather-engineer and create mood changes affecting millions of people. The intended wattage is 1,700 billion watts of power.
Geomagnetic Waves & GWEN
Sixty four elements in the ground modulate, with variation, the geomagnetic waves naturally coming from the ground. The earth's natural 'brain rhythm' above is balanced with these. These are the same minerals found in red blood corpuscles. There is a relation between the blood and geomagnetic waves. An imbalance between Schumann and geomagnetic waves disrupts these biorhythms. These natural geomagnetic waves are being replaced by artificially created low frequency (LF) ground waves coming from GWEN Towers.
GWEN (Ground Wave Emergency Network) transmitters placed 200 miles apart across the USA allow specific frequencies to be tailored to the geomagnetic-field strength in each area, allowing the magnetic field to be altered. They operate in the LF range, with transmissions between LF 150 and 175 KHz. They also emit waves from the upper VHF to the lower UHF range of 225 - 400 MHz. The LF signals travel by waves that hug the ground rather than radiating into the atmosphere. A GWEN station transmits in a 360 degree circle up to 300 miles, the signal dropping off sharply with distance. The entire GWEN system consists of, (depending on source of data), from 58 to an intended 300 transmitters spread across the USA, each with a tower 299-500 ft high. 300 ft copper wires in spoke-like fashion fan out from the base of the system underground, interacting with the earth, like a thin shelled conductor, radiating radio wave energy for very long distances through the ground.
The United States is bathed in this magnetic field which can rise from ground up to 500 ft, but goes down into basements, so everyone can be affected and mind-controlled. The entire artificial ground-wave spreads out over the whole of the USA like a web. It is easier to mind-control and hypnotize people who are bathed in an artificial electromagnetic-wave.
GWEN transmitters have many different functions including:
1. controlling the weather,
2. mind control,
3. behavior and mood control, and
4. sending synthetic-telepathy as infrasound to victims with US government mind-control implants.
GWEN works in conjunction with HAARP and the Russian Woodpecker transmitter, which is similar to HAARP. The Russians openly market a small version of their weather-engineering system called Elate, which can fine-tune weather patterns over a 200 mile area and have the same range as the GWEN unit. An Elate system operates at Moscow airport. The GWEN towers shoot enormous bursts of energy into the atmosphere in conjuction with HAARP. The website www.cuttingedge.org wrote an expose of how the major floods of the Mid-West USA occurred in 1993.
Atmospheric Vapor Rivers
Enormous, invisible rivers of water, consisting of vapors that flow, move towards the poles in the lower atmosphere. They rival the flow of the Amazon River and are 420 to 480 miles wide and up to 4,800 miles long. They are 1.9 miles above the earth and contain a volume of water equivalent to 340 lbs of water per second. There are 5 atmospheric rivers in each Hemisphere. A massive flood can be created by damming up one of these massive vapor rivers, causing huge amounts of rainfall to be dumped. The GWEN Towers positioned along the areas north of the Missouri and Mississippi Rivers were turned on for 40 days and 40 nights, probably mocking the Flood of Genesis. (This was in conjunction with HAARP, that creates a river of electricity flowing thousands of miles through the sky and down to the polar ice-cap, manipulating the jet-stream , like the Russian Woodpecker.) These rivers flooded, causing agricultural losses of $12-15 billion. HAARP produces earthquakes by focusing energy along fault lines. GWEN Towers are located on the fault lines and volcanic areas of the Pacific Northeast.
In 1963, Dr Robert Beck explored effects of external magnetic-fields on brainwaves showing a relationship between psychiatric admissions and solar magnetic storms. He exposed volunteers to pulsed magnetic-fields similar to magnetic-storms, and found a similar response. US 60 Hz electric power ELF waves vibrate at the same frequency as the human brain. UK 50 Hz electricity emissions depress the thyroid gland.
Human Vulnerability
Dr Andrija Puharich in the 50's/60's, found that clairvoyant's brainwaves became 8 Hz when their psychic powers were operative. He saw an Indian Yogi in 1956 controlling his brainwaves, deliberately shifting his consciousness from one level to another. Puharich trained people with bio-feedback to do this consciously, making 8 Hz waves. A healer made 8 Hz waves pass into a patient, healing their heart trouble, her brain emitting 8 Hz . One person emitting a certain frequency can make another also resonate to the same frequency. Our brains are extremely vulnerable to any technology which sends out ELF waves, because they immediately start resonating to the outside signal by a kind of tuning-fork effect. Puharich experimented discovering that
A) 7.83 Hz (earth's pulse rate) made a person feel good, producing an altered-state.
B) 10.80 Hz causes riotious behaviour and
C) 6.6 Hz causes depression.
Puharich made ELF waves change RNA and DNA, breaking hydrogen bonds to make a person have a higher vibratory rate. He wanted to go beyond the psychic 8 Hz brainwave and attract psi phenomena. James Hurtak, who once worked for Puharich, also wrote in his book The Keys of Enoch that ultra-violet caused hydrogen bonds to break and this raised the vibratory rate.
Puharich presented the mental effects of ELF waves to military leaders, but they would not believe him. He gave this information to certain dignitaries of other Western nations. The US government burned down his home in New York to shut him up and he fled to Mexico. However, the Russians discovered which ELF frequencies did what to the human brain and began zapping the US Embassy in Moscow on 4 July 1976 with electromagnetic-waves, varying the signal, including focusing on 10 Hz. (10 Hz puts people into a hypnotic state. Russians and North Koreans use this in portable mind-control machines to extract confessions. A machine was even found in an American church to help the congregation believe!) The Russian "Woodpecker" signal was traveling across the world from a transmitter near Kiev. The US Air Force identified 5 different frequencies in this compound harmonic Woodpecker signal that was sending signals through the earth and the atmosphere.
Nikola Tesla revealed in 1901 power could be transmitted through the ground using ELF waves. Nothing stops or weakens these signals. The Russians retrieved Tesla's papers when they were finally returned to Yugoslavia after his death.
Puharich continued to monitor the Russian ELF wave signal while in Mexico and the higher harmonics produced in the MHz range (5.340 MHz). He met the CIA and started working for them. He and Dr. Robert Beck designed equipment to measure these waves and their effect on the human brain. Puharich started his work by putting dogs to sleep. By 1948/49 he graduated to monkeys, deliberately destroying their eardrums to enable them to pick up sounds without the eardrum intact. He discovered a nerve in the tongue could be used to facilitate hearing. He created the dental tooth implant which mind-control victims are now claiming was surreptitiously placed in their mouth by controlled dentists causing them to hear 'voices in their head.' The implant was placed under dental caps or lodged in the jaw.
Vaccine Implants
Implants are now smaller than a hair's width and are injected with vaccine and flu shots. Millions have had this done unknowingly. These 'biochips' circulate in the bloodstream and lodge in the brain, enabling the victims to hear 'voices' via the implant. There are many kinds of implants now and 1 in 40 are victims from 'alien abduction' statistics, though 1 in 20 has also been gauged. The fake alien abduction event, revealed to be actually the work of US military personnel using technology to make hologram spaceships outside, virtual reality scenarios of going onto a spaceship with humans in costumes, has been astutely perceived. Though real alien abductions do occur, the 'alien abduction' scenario has been useful to stop any further investigation or accountability of government authorities by poor victims who would face mockery and appear silly.
Are we being forced to respond to an artificially induced vibratory rate by global masters who want this planet to have a sudden leap in evolution, populated by the psychically aware and therefore a superior class of humans or is the agenda designed to eliminate billions of people who are 'useless eaters', deceptively being disposed by electro magnetically-induced cancers and diseases?
Electromagnetic Disease Transmission, ELF, & Chemtrails
The physics and engineering behind electromagnetic disease transmission are frightening. Diseases can be reproduced as 'disease signatures' in that the vibration of a disease can be manufactured and sent on to be induced. (The brainwave pattern of hallucinogenic drugs can also be copied and sent by ELF waves to induce 'visions'.) Once diseases are sprayed in the air, electromagnetic-waves attuned to the disease, using harmonics and subharmonics, will make them more lethal and infectious by sending particular disease frequency death-patterns.
Chemtrails are being sprayed daily all over USA (and other countries too) in a white crisscross pattern. They contain diseases and chemicals which affect our state of consciousness. They can produce apathy which works in conjuction with fluoridation of the water, as well as aspartame and drugs. Fluoride disables the willpower section of the brain, impairing the left occipital lobe.
Fluoride and selenium enable people to 'hear voices'. ELF waves create disturbances in the biological processes of the body and these can be activated in the population once the diseases are introduced into the body from the chemtrails.
Some chemtrails have been analyzed and shown to be creating cleavages in spacial perceptions, blocking the interaction of various amino-acids that relate to higher-consciousness and to increase dopamine in the brain producing a listless, spaced-out state of lower reactive mind.
Basically, the goal is to fog the difference between the real and unreal and some of this could be connected with the many UFO abductions occurring en-mass. Hundreds have been witnessed laid out on tables and implanted. Intelligence agencies are in league with each other behind this disablement of the masses to such a point that they can't even fight back. In order for the perpetrators to do what they want, they need the overall 'frequency' of each victim to function at a specific rate below the threshold of awareness.
Could this be part of a greater plan with mind-control transmitters covering the whole of USA and England, cleverly disguised as cell phone towers and trees? The power from microwave towers may be turned up to such a level that people can die.
A brain functioning at beta-level (above 13 Hz) is agitated and can't change its perceptions, if it is artificially maintained by technology to that frequency. This may increase body electricity in others, giving them psychic powers. Is this linked to the New-Agers claim of a rising 12-14 Hz Schumann Resonance, inching us towards the 4th dimension? Stimulants ingested globally from caffeine genetically-modified plants, may also produce an impact on the 'global-brain' in the ionosphere collecting our brainwaves. New-age channellers say we are going into 4th dimensional frequency. They 'heard' the voice of some 'ET' who told them.
However, some 'ETs' may be local boys. Voices in the head were produced in prisoners in Utah prisons using Tesla technology. Each of the prisoners received the same message from an 'ET'. Today, it seems, it's easy to produce 'voices in the head' without implants.
A prisoner called David Fratus in Draper Prison, Utah in 1988 wrote:
"I began to receive, or hear, high-frequency tones in my ears. When I plug my ears..the tones are still inside and become amplified. It's as if they had become electrified echo chambers with the sounds coming from the inside out..I began to hear voices..into my inner ears as vivid as though I were listening to a set of stereo headphones..with the end result being that I am now having my brain monitored by an omnipotent computerized mind reading or scanning machine of some sort "
Hundreds of inmates at the Gunnison Facility of the Utah State Prison, and the State Hospital were subject to this brand of mind-control in order to test it. In the early 1970s, this was brought out in the Utah U.S. District Court, because inmates who had been subjected to this Tesla-wave mind-control in prison had tried unsuccessfully to fight back in court. The University of Utah researched how Tesla-waves could be used to manipulate the mind into hearing voices, overriding and implanting thoughts into the mind, and reading the thoughts, as well as developing eye-implants.
Tracking
Cray computers, using artificial-intelligence, monitor the victims of government implants sending pre-recorded sound-bytes or occasional live messages. They are picked up by satellite and relayed to whatever large TV broadcasting antenna, GWEN tower or other microwave antenna is near the victim. It's believed that some type of body implants pick up the signal and broadcast the correct Tesla-wave pattern to create voices within the victim.
The tracking implant keeps the staff and the satellite system informed every few minutes as to exactly where to send the voice signals. The master computer and central HQ for this is reported to be in Boulder, CO. It is thought that transponders are being made there as well. The central cellular computer is in the Boulder, CO National Bureau of Standards building. AT&T is also cooperating in this project. Several government agencies work together on this.
Tim Rifat of UK wrote that
"this inter-cerebral hearing is used to drive the victim mad, as no one else can hear the voices transmitted into the brain of the target. Transmission of auditory data directly into the target's brains using microwave carrier beams is now common practice. Instead of using excitation potentials, one uses a transducer to modify the spoken word into ELF audiograms, that are then superimposed on a pulse modulated microwave beam."
The Sydney Morning Herald on 21 March 1983 published an article by Dr Nassim Abd El-Aziz Neweigy, Assistant Professor in the Faculty of Agriculture, Moshtohor Tukh-Kalubia, Egypt. It stated:
"Russian satellites, controlled by advanced computers, can send voices in one's own language interweaving into natural thoughts to the population of choice to form diffused artificial thought. The chemistry and electricity of the human brain can be manipulated by satellite and even suicide can be induced. Through ferocious anti-humanitarian means, the extremist groups are fabricated, the troubles and bloody disturbances are instigated by advanced tele-means via Russian satellites, in many countries in Asia, Africa, Europe and Latin America."
Another source says that these have been fed with the world's languages and synthetic telepathy will reach into people's heads making people believe God is speaking to them personally to enact the Second Coming, complete with holograms! The Russians broke the genetic code of the human brain. They worked out 23 EEG band-wave lengths, 11 of which were totally independent. So if you can manipulate those 11, you can do anything.
NSA Cray computers can remotely track people just knowing the specific EMF waves (evoked potentials from EEGs in the 30-50 Hz, 5 milliwatt range) of a person's bioelectric-field. Each person's emissions are unique and they can remotely track someone in public.
Maxwell's 'Hidden' Etheric Component
Evoked-potentials officially don't exist in physics, but in 1873 a Scotsman, James Clerk Maxwell, discovered electromagnetic waves have 3 components:
He discovered waveforms which exist at a certain number of right-angled rotations away from the electromagnetic-field. These are hyperspacial components, not subject to constraints of time and space. He claimed that electromagnetic-radiation waves were carried by the ether and the ether was disturbed by magnetic lines of force. The hidden component is called only 'potential' now and not normally used except for covert hyperdimensional physics and to manipulate consciousness itself via electromagnetic-waves covering vast areas of the planet.
Approx. one person in 3000 is naturally sensitive to this magnetic-waveform component, the telepathic types (according to a writer called "Majix"), but we are all capable of tuning into this magnetic component by tuning our subconscious to it. Maxwell's successors thought potentials were akin to mysticism, because they believed fields contain mass which cannot be created from apparently nothing, which is what potentials are, both literally and mathematically - they are an accumulation or reservoir of energy; but this hasn't been taught in mainstream physics.
Thought Control
Subliminal words in the correct electromagnetic-field that expresses human consciousness, attuned to the human brain, can enter our minds at a subconscious level. Our brain activity patterns can apparently be measured and stored on computer by super-computers. If a victim needs subliminal-thoughts implanted, all that is necessary is to capture, save on computer, and target the person's brainwave pattern to send them such low frequency subliminal-messages that they actually think it is their own thoughts [confirmed by Al Bielek and Preston Nichols with the Montauk Project in Long Island]. The researcher Majix says our brains are so sensitive that they are like liquid-crystal in response to the magnetic component of the earth.
We are sensitive to earth's magnetic changes, changes in the ionospheric cavity and re-resonate those frequencies ourselves. We are incredibly complex, beyond comprehension and a type of biocosmic transducer. He adds:
"Physicists in Russia correlate the mean annual magnetic-activity, electro-magnetic and electro-static fields on human behavior and medical indications. They are similar to biorhythms. These magnetic frequencies can be manipulated. Our brain waves can mimic magnetic frequencies from very simple equipment at extremely low power levels. From half a second to 4 seconds later, the neurons and brainwaves are driven exclusively by the device, with power levels almost nonexistent. All one needs is a circularly polarized antenna aimed up at the ionospheric cavity and they can manipulate the moods of everyone within a 75 sq. mile area. The body picks up these "new" manipulated waves and begins to correspond immediately. "Sleep" frequency will make everyone become tired and sleep."
In 1967, an "internationally renowned scientist" and Christopher Hills, a pendulum expert, communicated with some ETs. (It is not known who the scientist was, but at one time both Hills and Puharich were with the medium Eileen Garrett at a time when Puharich was communicating with ETs.)
In short, ETs communicated with us via modulated radio-waves, between 10,000 and 20,000 cycles below the known electromagnetic-spectrum. In the carrier-wave by amplitude modulation, mixed with frequency modulation. Single band energy, transmission power less than 25 watts. A naturally present wave on earth, the brain modulated - a wave that resonates between the earth and the ionosphere. All humans influence the ionosphere in this manner. A reflecting technique is involved. The brain modulation consisted of pulses, akin to those known from neuro pulses. Two humans can use this. It's related to something akin to low frequency radar and to ultrasonic techniques, but qualified. A mixed electro-acoustic wave function. The electromagnetic-wave induced an ultrasonic transduction in human tissue. The brain radiation has a sonic component to it as well as an electromagnetic component. Electromagnetic-radiation has a sonic component and it's dependent on the medium through which it travels.
The scientist cut through months of work. Now HAARP is slicing up the ionosphere, the world-brain, like a microwave knife, producing long tear incisions destroying the membrane which holds the reservoir of data accumulated by all earth's history. A healer called Mr. "A" claimed to receive "Ancient Wisdom" from this protective Magnetic-Ring of energy which stores within it all knowledge since time began. Ruth Mongomery wrote about him in Born To Heal.
He claimed that if our energy flow is cut off from this magnetic-field, the Universal-Supply is obstructed and we are no longer in tune and start to get sick. The Power from this travels in split-seconds around the world and is available to anyone who is capable of receiving it and handling it. The waves from The Ring automatically translated into words in his mind, as wisdom to diagnose and heal others, coming from the storehouse of knowledge here since the beginning of time. He produced instant miracles, knitting broken bones and removing arthritis. A photo caught forked lightning coming from his fingers.
In Let's Talk MONTAUK, Joyce Murphy shows that experiments on the 410-420 MHz cycle have been done which could affect the "window frequency to the human consciousness" as a whole:
"He (Preston Nichols) used his..radio equipment to learn that whenever a 410-420 MHz signal appeared on the air, the psychic's minds would be "jammed." Tracing the signal to Montauk Point and the red and white radar antenna on the Air Force Base.."
In Encounter in the Pleiades by Peter Moon and Preston Nichols, http://www.time-travel.com/skybooks/ Preston wrote that:
"Dr. Nicholas Begich has picked up 435 MHz signals connected to HAARP and that a mind control function is being employed. He says that 400-450 MHz is the window to human consciousness because it is our reality's background frequency."
Tim Rifat wrote in his Microwave Mind Control in the UK article that cellular phones use 435 MHz. UK police use 450 MHz exclusively. Dr. Ross Adey used this for CIA behavioral modification experiments. Police have a vast array of antennae to broadcast this frequency all over the UK. Adey used 0.75mW/cm2 intensity of pulse modulate microwave at a frequency of 450 MHz, with an ELF modulation to control all aspects of human behavior. 450 MHZ radar modulated at 60 Hz greatly reduced T-lymphocyte activity to kill cultured cancer cells. A study of USA 60 Hz powerlines repeated this finding.
Nicholas Jones
source
https://paradigmshyft.com/2023/10/01/the-illuminati-formula-to-create-an-undetectable-total-mind-control-slave-part-3/
https://en.wikipedia.org/wiki/Extremely_low_frequency
https://educate-yourself.org/mc/mctotalcontrol12jul02.shtml
http://www.brazilboycott.org/
https://arizonaskywatch.com/article/articles/ELF%20mind%20control%20primer2.htm

Monday Feb 10, 2025
Monday Feb 10, 2025
The End of the Bush Coup
Watch this on Rumble: https://rumble.com/v6j0pva-the-end-of-the-bush-coup.html
In 1959, Yale’s Skull & Bones member George HW Bush joined the CIA. He was involved in the Bay of Pigs Invasion of Cuba and in 1976 became the Director of the CIA. Just a few years later, he would run under Ronald Reagan to become a Vice President and later became President. His father was a Nazi sympathizer and donated to the cause. The Whitehouse Coup Monday 23 July 2007 Document uncovers details of a planned coup in the USA in 1933 by right-wing American businessmen. The coup was aimed at toppling President Franklin D Roosevelt with the help of half-a-million war veterans. The plotters, who were alleged to involve some of the most famous families in America, (owners of Heinz, Birds Eye, Goodtea, Maxwell Hse & George Bush’s Grandfather, Prescott) believed that their country should adopt the policies of Hitler and Mussolini to beat the great depression.
This force of businessmen continued to pursue the Whitehouse until they finally achieved it with George. Although America was still a corporation, they knew they could exploit America through building businesses where the government would pay them for their services. Eventually this was the start of privatized government contracts where private companies can do work for the government. The idea was to prove it could save money, but it actually created a worse scenario where not only were contracts profitable, selling secrets was even more. The Bush’s continued to rig elections for their favor through Clinton to Obama until the Italian Mafia decided it was their turn. I do believe the mafia helped protect Trump and planned this entire coup against the Bush’s to get in on the technology cash. The only reference I have to back this up is Trump whoring out his wife to black nobility German houses of the black nobility.
Trump also has help from the East Coast Mafia as they are everywhere doing contract work for him. My research shows the Chicago Mafia were working with Bush so there is an obvious rival between the two Italian Houses. If the Rothschild dynasty of control is over as it looks like as of the turn of the 20th century, the black nobility families want in on the party. They never really went anywhere. They were doing mafia stuff worldwide buying their time until America’s bankruptcy agreement with London was up. After that, technology went crazy with the Internet and computers. In 1999, The United States’s third bankruptcy ended. The agreement was with the 12 banking families who loaned us the money. 12 central banks called the federal reserve would be setup for, and through all the major industrial parts of the United States, to loan and collect interest. The banks were N.M. Rothschild of London, Rothschild Bank of Berlin, Warburg Bank of Hamburg, Warburg Bank of Amsterdam, Lehman Brothers of New York, Lazard Brothers of Paris, Kuhn Loeb Bank of New York, Israel Moses Seif Bank of Italy, Goldman Sachs of New York, Rockefellers’ and J.P. Morgan Chase Bank of New York. The idea was to create a quasi-government department where the 12 banks would control the ebb and flow of American finance. This idea was formed on Jekyll Island in 1910. A new central bank called The Federal Reserve.
The President of the United States chooses a spokesperson for the 12 banks every 4 years. The banks make suggestions based on the data that they receive from all of the banks in America. They hold the ledgers of every transaction from all private banks nationwide. This is a power that is dangerous. They know based on company name, personal name and trust names including the amounts of money they have. Of course the 12 banking institutes promised not to use that for their own gain. The abuse that could happen is they could approach these people with these funds and exploit it. Since 1913, as you probably know, we have borrowed money from these private bankers without own print. But it never was their money. They would make suggestions to the US Treasury to print bonds which in turn the printing press would send the money to other private banks for loans with interest.
The 12 private banks called the Federal Reserve collected the interest, not the American people. The agreement was if they use their own funds in the beginning of the agreement to pay off our debts pre-1913, they get a 83 year contract to collect the interest off of all loans they issue using American’s money. So they paid off the debt we had which was 2.8 billion from their own money pool, started our debt at 0 in 1913 and sometime during the 86 years since have had control of our mint, made their money back and more through interest. But the agreement stipulates something more sinister. The money they print and collect interest on is also owed to the 12 private banks. This means , as of 2025, we owe 36 trillion dollars to the people who bought the treasury bonds. Who owns the treasury bonds? As of 2022, the 12 private banks held 34% of the us treasury bonds. The rest of the bonds are owned by pension funds, insurance companies, mutual funds, foreign investors like China (10.3%), Japan (14.3%), UK (8.5%), Luxembourg, Canada,, South Korea, Germany, France and more. So we owe all that money to those who hold our treasury bonds.
As long as we have a country, we have to pay that back.
In 1999, Russell-Jay: Gould and David-Wynn: Miller captured the Title 4 Flag and became the Postmaster’s of Philadelphia and Washington DC for a brief stint. Their story is amazing. Cloak and dagger, betrayal, meeting with the Jesuits and more. In the late 90’s these gentlemen searched history books and figured out the bankruptcy ended. No one picked it back up. I do believe this is another moment in time when America had a coup made by Bush’s from some clandestine group of interests. He was a part of Skull & Bones and had a lot of money backing him to take control over America. The Federal Reserve didn’t shut down. They continued it with no documentation that we know of supporting any agreement with the 12 banks anymore. This is when the country was only at 58% debt to income (gdp) ratio. It only owed 5.6 billion to US Treasury holders.
Russell and David inadvertently stumbled upon the coup and was able to seal a deal with the United Nations to own all land underneath every court system worldwide. Those court systems have to pay them to dock their vessels on Russell’s land since he is the chief postmaster. He was taken twice by the CIA and tortured to give up the land rights and the flag. He still holds it to this day, although the US Government ignores him and doesn’t pay him anything. And how could they? There is no documentation that we are owned or slaves to anything. I do believe Donald Trump has successfully taken over this coup but not without them taking trillions more before they eventually will be purged out. This means a new owner is here and we can only speculate as to who that is. The Bush’s are out along with the Clinton’s and The Windors. New deals are being made and this means a new government.
Who are they? Who is taking over America? They say follow the money. America is home to the biggest tech corporations worldwide. Apple, NVIDIA, Microsoft, Amazon, Google and Meta. Together they bring in trillions for America. They could have created a coup to take America back from China. The rulers before 1999 were the old guard whom I believe was The Rothschild family. After that, the Bush’s took over with help from China. We can see this in the rise of China and their economy. They were stealing secrets with the help of Bush, Clinton and Obama enriching themselves. China continues to release tech that harms the US infrastructure and dominate in the patent office for semiconductors and AI. Trump has always maintained that China is our enemy and is clamping down on the corruption of the Bush’s by weeding out the democratic traitors.
Russell-Jay: Gould, and he is pronounced this way due to a clever syntax grammar that makes legality more simple, has been posting he was in Washington DC on important business. He could have been speaking Trump to give back the flag and maritime ownership of the land underneath the courts and Postmaster General position. Too soon to tell, but it wouldn’t surprise me. Russell has been recruiting a large group of sovereign members teaching them their rights. I like Russell but my heart said not to sign up for his movement. I really wanted to. I do hope he is working with Trump to get our rights back. But I am an amateur history buff and when a coup happens with new owners, the people still lose their rights. Absolute power corrupts absolutely and history has proven this over and over time and time again.
My research has uncovered many family dynasties from the dark ages up until now whom have conquered continents, companies, banks and countries. We can only guess as to who has control of what and why. New money dynasties did crush old dynasties time after time and it could be that the new money technical giants have won the war on the control of America. Or at least that is what they maybe want us to think. Evidence points to whom was standing behind Trump during the inauguration of 2025. Elon, Bezos, Zuckerberg, Tim Cook, Shou Zi Chew of TikTok and Pichai of Google all stood behind Trump with happy faces. Two were missing and that was Bill Gates and NVIDIA’s Jensen Huang. Blackrock just reported they are moving away from net 0 alliance intiantives and DEI. Blackrock, State Street and Vanguard were not there as well. This could be a clue as Bill has been working with the old rulers. And maybe the 3 biggest asset managers are staying quiet. Time will tell, but he’s been caught genociding, especially in Africa.
In Zbigniew K. Brzezinski’s book ‘Between Two Ages: America’s Role In The Technetronic Era’, he provides a clear picture of the ideology behind the New World Order. Brzezinski asserts that the concept of national sovereignty is no longer viable, and that more intensive efforts must be made to shape a new world monetary structure. He goes on to say that Marxism represents a further vital and creative state in the maturing of man’s universal vision, and that it is simultaneously a victory of reason over belief.
Brzezinski known as Zbig, was a Polish-American diplomat and political scientist. He served as a counselor to Lyndon B. Johnson from 1966 to 1968 and was Jimmy Carter's National Security Advisor from 1977 to 1981. As a scholar, Brzezinski belonged to the realist school of international relations, standing in the geopolitical tradition of Halford Mackinder and Nicholas J. Spykman, while elements of liberal idealism have also been identified in his outlook. Brzezinski was the primary organizer of The Trilateral Commission.
In order for this world to get along, there can’t be a number one. America has been policing the world since Word War 1 and this dominance interferes in the 10 economical regional plan of the Club of Rome, which Brzezinski was a part of. MIT researchers used data modeling to predict a high probability that if society continued to pursue unrestricted economic growth, pollution and over-exploitation of resources would lead to economic and social collapse by around the mid-21st century. This collapse would be the moment the Club of Rome dreams of. Spitting the world into 10 companies.
I do believe Trump’s ambitions for Canada and Greenland are part of this as I have shown in my previous reports. They will become the 51st and 52nd states of America. They will have no choice given the sanctions they will receive. Since Britain has fallen, they grasp they’ve had on Canada is now in the hands of the country of London who has been working out this new world order strategy for the last 200 years. I know it’s hard to fathom such an undertaking with resistance from all fronts, but Albert Pike in his letters mentioned there has to be 3 world wars to achieve such a fantastic idea. I know Freemasonry seems to be dying and people don’t believe in the power that they have, but each lodge in each city has a lot more control there than you realize.
Combined with a lodge in every city, ledgers from every bank account via spying from the federal reserve, personal data give up by Facebook, including a spy device in every pocket, the perfect control mechanism is in place. Now, they need to shut down the countries and create the economic privatization of continents. Living under the land of the corporations will provide a tenant situation instead of a country. We are still a long time away from this, but company’s like State Street, Vanguard and Blackrock are slowly buying up real estate in America. If my projections are correct 40% of all homes nationwide will be owned by them in 2030. According to Yahoo! Finance, They Already Own 89% Of The S&P 500.
The United States is a Corporation and not a Country.
In 1863, Lincoln instituted martial law. He ordered that the states (people) either conscript troops and provide money in support of the North or be recognized as an enemy of the nation. This martial law Act of Congress is still in effect today – what it means is that the President has dictatorial authority to do anything that can be done by the government in accord with the Constitution of the United States of America. This is the foundation of Presidential Executive Orders.
The District of Columbia Organic Act of 1871 created a private corporation (hereinafter “Corp. U.S.”) owned and operated by the actual government for the purpose of carrying out the business needs of the government under martial law. This was done under the constitutional authority for Congress to pass any law within the ten mile square of Washington, District of Columbia.
In said Act, Corp. U.S. adopted their own constitution (United States Constitution), which was identical to the national Constitution (Constitution of the United States of America) except that it was missing the national constitution’s 13th Amendment. The national constitution’s 13th, 14th and 15th amendments are respectively numbered 14th, 15th and 16th amendments in their constitution.
The corporation began to generate debts via bonds etc., which came due in 1912, but they could not pay their debts so the 7 families that bought up the bonds demanded payment and Corp. U.S. could not pay. Said families settled the debt for the payments of all of Corp. U.S.’ assets and for all of the assets of the Treasury of the United States of America.
As 1913 began, Corp. U.S. had no funds to carry out the necessary business needs of the government so they went to said families and asked if they could borrow some money. The families said no (Corp. U.S. had already demonstrated that they would not repay their debts in full). The families had foreseen this situation and had the year before finalized the creation of a private corporation of the name “Federal Reserve Bank”. Corp. U.S. formed a relationship with the Federal Reserve Bank whereby they could transact their business via note rather than with money. Notice that this relationship was made between two private corporations and did not involve government; that is where most people err in understanding the Federal Reserve Bank system-again it has no government relation at all. The private contracts that set the whole system up even recognize that if anything therein proposed is found illegal or impossible to perform it is excluded from the agreements and the remaining elements remain in full force and effect.
Almost simultaneously with the last fact (also in 1913), Corp. U.S. passes and adopts (as if ratified) their own 16th amendment. It must be noted that this amendment has nothing to do with our nation, with our people or with our national Constitution, which already had its own 16th amendment. The Supreme Court ruled that it did nothing that was not already done other than to make plain and clear the right of the United States (Corp. U.S.) to tax corporations. We agree, considering that they were created under the authority of Corp. U.S.
Next (also 1913) Congress passed and entered the 17th amendment as ratified, even though the states had no opportunity to ratify the same. This amendment is not only not ratified, it is not constitutional; the Constitution forbids Congress from even discussing the matter of where Senators are elected.
In 1914, the Freshman class and all Senators that successfully ran for re-election in 1913 by popular vote are seated in Corp. U.S. capacity only.
In 1917, Corp. U.S. enters WWI and passes their Emergency War Powers, and Trading with the Enemies Acts.
In 1918, President Wilson is re-elected by the Electoral College but their election is required to be confirmed by the constitutionally set Senate; where in the new Corp. U.S., only Senators were allowed to participate in the Electoral College vote confirmation. The only authority that could possibly have been used for electoral confirmation was corporate only. Therefore, President Wilson was not confirmed into office for his second term as President of the United States of America and was only seated in the Corp. U.S. Presidential capacity. Therefore the original jurisdiction government’s seats were vacated because the people didn’t seat any original jurisdiction government officers.
In 1933, the Trading with the Enemies Act is adjusted to recognize the people of the United States of America as enemies of Corp. U.S.
In 1944, under the Bretton Woods Agreement, Corp. U.S. is quit claimed to the International Monetary Fund, and becomes a foreign controlled private corporation.
Some time after 1935, you ask Social Security Administration for a relationship with their program. They create an entity with a name (that sounds like your name but is spelled with all capital letters) and a depository account number in the Social Security General Trust Fund (GTF). They give you the Social Security card which identifies you as the single person with authority to control the entity they created (on review: you may notice that the Social Security Administration was the creator of the entity, the GTF is its beneficiary and you were made its Trustee.) More importantly: this capacity does not limit you or your capacity to act in your sovereign capacity in any way.
In 1968, at the national governors’ conference in Lexington, Kentucky, the IMF leaders of the event proposed the dilemma the State governors were in for carrying out their business dealings in Federal Reserve Notes (foreign notes), which is forbidden in the national and State constitutions, alleging that if they did not do something to protect themselves the people would discover what had been done with their money and would likely kill them all and start over. They suggested the States form corporations like Corp. U.S. and showed the advantages of the resultant uniform codes that could be created, which would allow better and more powerful control over the people.
By 1971, every State government in the union of States had formed such private corporations (Corp. State), in accord with the IMF admonition, and the people ceased to seat original jurisdiction government officials in their State government seats. Now, having stated these historical facts, we ask you not to believe us, but rather prove these facts for yourself. We then ask you to contact us with any evidence you find that proves or disproves these facts.
When you find there is no error, then remember these simple facts and let no one dissuade you from the truth.
The Bottom Line: when you speak about these private foreign corporations, remember that is what they are and stop calling them government.
Further, it is very important that we cease to attempt to fix them. It is far more important that we learn how to re-seat our original jurisdiction government and spread the word about the truth. By re-seating our State and national governments in their original jurisdiction nature, we gain the capacity to hold these private foreign corporations accountable. They owe us a lot of money, in fact they owe us more money than there is available in the world. The fact is that it is impossible for them to pay and that gives us the leverage we need to take back our nation and put things right. The process is a simple one. The difficulty is in getting our people to wake up to the truth. That’s why we ask you to prove the truth for yourself and contact us with the evidence you discover.
That means that you must stop acting and communicating like you are anything other than the sovereign that God created you to be. And, stop referring to Corp. U.S. or the STATE OF ‘X’ as anything other than the private foreign corporations that they are. And, finally, stop listening to the Bigfoot Patriot mythology that is espoused by those that only give these facts lip service.
It is time that we all start to wake up and follow the truth, that is to repent and become a moral and honorable society instead of lauding our Christianity while we stand guilty of:
a) not knowing the truth;
b) not living the truth;
c) believing that God will save us even though we have the tools to know the truth the ability to use the tools but we refuse to live by the truth and use the tools we have to save ourselves and thereby become free.
The biggest problem with the so called Patriot Movement is that its proponents are all excited about uniting against the tyranny of Corp. U.S. even though they are blind to the truth, have no remedy, and bail out of “the system” hell bent for a rebellion that even the scripture says cannot be won. Would that we could instead unite with truth and legally, lawfully and peacefully reseat our original jurisdiction government to take back control our nation.”
If Trump was interested in America first, he would make us a country again and pull out of the corporation. But this isn’t profitable and is bad for business unless the country is not in debt, which we are. The idea is to continue to bleed the country through tariffs which ruin small to medium sized business and swallow them up through the larger corporations. If Trump was interested in helping Americans, he would remove the Patriot Act, which allows the secret service to spy on Americans without a warrant. If Trump was interested in saving this country, he would remove The District of Columbia Organic Act of 1871 and remove DC altogether.
Instead, he is restructuring America by gutting wasteful spending and rearranging all of the policies that bleed the corporation. He has to. If we become a country again, we have to declare bankruptcy and owe 36 trillion to private investors who hold US Bonds. Instead, he plans on removing democrat social services that he thinks is wasteful. No doubt this will piss off liberals, but they are still drowning in brainwashing EMF. They will get together and create chaos for a while but eventually give up. Trump and the conservatives are too strong. Reason is, the left has worked with the corporations to stage this. They purposely added wasteful social service programs only to be knocked out by the republicans.
Don’t take it personal. The left and right are just following orders from the corporations. They hurt both the people on each side to lower their vibrations for easier control. Study leaked MK Ultra data sets and you’ll learn that mind control only works when people are angry. Placing a leftist in office for a few years and then a rightist, controls the anger which is a pendulum that swings towards the control mechanism. Only a few break the cycle and when they do, they join the small minority of people who try and take out the powers that be, to no avail. You have to militarily take them down and the national guard won’t help you. Why? Because we are a company and not a country.
This is the beginning of a new era in America. It will not fall. It will still have power but our funds will start to be in competition with the 9 other regions that are put into place via the club of rome. Those regions are:
Sub-Saharan Africa
South Asia
South-east Asia
China
Western Europe
Eastern Europe and central Asia (the 5 Stans)
Latin America
Middle East and North Africa
Pacific region
United States
Notice Russia isn’t mentioned. These are the 10 horns of revelation whom 10 kings will be in control of under the beast. Eventually, the names will change but the regions are planned and have been in the works for 200 years. I do believe Kazakhstan, Astana is the heart of where the leaders will meet and make policy. This city is designed for the arrival of the Sons of Might. Their pyramid has 200 seats at the top of the pyramid while below is the congregation of men. The 200 principalities will direct the corporations and continue policy for world peace while the King resides in Israel during the 7 year tribulation. The dates of these events are hard to predict.
Our clue as to the first horn in revelation is America’s map via The Club of Rome, which shows Canada and Greenland as part of The United States. I believe the plan is to put both regions on the federal reserve balance sheets as assets. Those resources alone will put our country back on profit. We know Goldman Sachs is one of the 12 federal reserve banks. Vanguard owns 28,546,582 shares of GS. However, they started selling them off in 2023. Not sure why. They sold 3.31% of their shares for a very good reason. Same with State Street. They owned 20 million shares in 2023 and sold 5.54% of them this year. And Blackrock did the same but were ahead of the picture as they started selling from 23 million in 2022 down 3.28% by 2024.
Why would the three largest asset management firms in the world start selling right before the election? Obviously, they knew Trump was coming. Since none of them were at the inauguration, perhaps there is a war between big tech and the investment management firms. That’s just a guess, but over the last 2 years, the unholy three sold a total of 12.13% shares in stock of Goldman Sachs. This means they are not confidence with their earnings, obviously. Goldman Sachs put out a report in 1999 about the coming China problem and predicted China and Africa will be the dominant players of the economic side placing America at 3rd. I do believe Goldman Sachs was working with the Bush’s to bring this about by selling China state secrets.
Trump appointed Goldman Sachs during his first term but not during his second. It appears Goldman Sachs tried to control Trump and the future. This means Trump has an ally supporting him and most likely its Russia. Obviously, as the left DNC, whom worked for Goldman Sachs and the China initiative, were hammering the media to tell the world Trump is a Russian asset. They went so far as to open up an investigation the day Trump took office. It appears Trump has turned his sights on Amazon and Apple to support his plan of sealing off our secrets and investing 500 billion into AI to stop the China threat which they released Deepseek that hurt the 3 main AI companies.
The next four years won’t be war. We can’t afford it unless we start printing our own money against the Federal Reserve. We all know what happens when you mention that. Lincoln and Kennedy. It will be batting down the hatches or closing the doors to technical development and military leaks to not give China an inch on any development. The left are the ones who lost their Chinese paychecks and are going to scream yet do nothing. What can they do? Get funding from China to start war? Or a civil war to gain China’s leaks back? That’s done. No more leaks. The Bush reign is over. It’s time for another regime to take its place and serve their master’s.
Trump isn't tearing down American power. He's overseeing its managed decline. His job is to sell you that collapse as a victory. Mass deportations aren't about border security. They're about removing the workforce that kept manual labor jobs cheap. You are next in line to take those jobs, picking fruit, washing dishes, scrubbing floors. Corporate America has been preparing you for it for years. They told you college was pointless not because of woke indoctrination, but because they don't want you too educated to be a warehouse grunt. Sixty percent of Americans live paycheck to paycheck. Wages have stagnated since the nineteen seventies, while CEO pay skyrocketed by over 1400%.
The elite built their empire on your labor and debt, and now they're abandoning ship, offshore accounts, private jets, billionaire bunkers. They don't care about your survival. They've made their plans. The US economy is on life support. Corporate profits hit record highs, but American industries are collapsing under global competition. Oil is a prime example. American producers need $40 a barrel just to stay viable. OPEC can still turn a profit at $10. If they want to, they can flood the market and bankrupt US Producers overnight. Trump knows this. He's already watched it happen, but he'll still tell you to drill, baby drill. His rhetoric isn't about energy independence. It's about running you into the ground. Trump's policies do not protect American jobs. They hand your future to global financial elites, those who own trillions through asset managers like BlackRock and Vanguard.
These companies have no allegiance to America. They operate above national interests, exploiting markets and workers wherever it's most profitable. They see you as disposable labor in their global empire. America's decline isn't accidental. It's baked into the system. Predatory capitalism has reached its final phase. The rich have untethered themselves from the nation and its people. They will sacrifice you without hesitation. The ship is sinking. You will not be saved.
source
https://www.wakingtimes.com/independence-day-corporation-united-states-america/
https://medium.com/the-bad-influence/were-on-track-for-the-global-collapse-predicted-by-the-club-of-rome-in-1972-6771887ae009
https://finance.yahoo.com/news/already-own-89-p-500-113144903.html
https://www.unexplained-mysteries.com/forum/topic/116441-the-bush-family-fascism-coup-of-the-us/
https://www.bbc.co.uk/radio4/history/document/document_20070723.shtml
https://www.tiktok.com/t/ZT2BRDgUT/

Sunday Feb 09, 2025
Sunday Feb 09, 2025
The Rothschild Family Revisited
Watch this on Rumble: https://rumble.com/v6in9qj-the-rothschild-family-revisited.html
According to Wikipedia, The Rothschild family is known as one of the world's most powerful families. They are involved in many industries, including finance, real estate, mining, and energy. They also have a significant philanthropic presence, supporting Jewish universities and foundations, and investing in charities. The Rothschild family has multiple companies, including Rothschild & Co, the Edmond de Rothschild Group, and NM Rothschild.
Rothschild & Co
A global financial services group with three main business divisions
Global Advisory: Provides investment banking, strategy, and financing advice
Wealth Management: Offers long-term wealth management services
Asset Management: Provides innovative investment solutions
Five Arrows: Manages alternative assets
Edmond de Rothschild Group
A family-owned financial institution that specializes in private banking and asset management
Based in Geneva, Switzerland
Includes the Edmond de Rothschild Foundations (philanthropy), Edmond de Rothschild Heritage (lifestyle brand), and the Gitana Team (sailing team)
NM Rothschild
A bank in London that is one of the main Rothschild industries
Rothschild & Co is a multinational private and alternative assets investor, headquartered in Paris, France and London, United Kingdom. It is the flagship of the Rothschild banking group controlled by the British and French branches of the Rothschild family.
The banking business of the firm covers the areas of investment banking, restructuring, corporate banking, private equity, asset management, and private banking. It is also known to serve as the advisor and lender to governments and major corporations. In addition, the firm has its own investment account in private equity.
Rothschild's financial advisory division is known to serve British nobility as well as the British royal family. Past chairman Sir Evelyn Robert de Rothschild was the personal financial advisor of Queen Elizabeth II, and she knighted him in 1989 for his services to banking and finance.
Rothschild & Co is the result of a merger between the French and British houses of Rothschild, each with individual but intertwined histories.
British history (N M Rothschild & Sons)
See also: Rothschild banking family of England
Late 18th century
In the late 18th century and early 19th century, Mayer Amschel Rothschild (1744–1812) rose to become one of Europe's most powerful bankers in the Landgraviate of Hesse-Kassel in the Holy Roman Empire. In pursuit of expansion, he appointed his sons to start banking operations in the various capitals of Europe, including sending his third son, Nathan Mayer Rothschild (1777–1836), to England.
Early 19th century
Nathan Mayer Rothschild first settled in Manchester, where he established a business in finance and textile trading. He later moved to London, founding N M Rothschild & Sons in 1811 at New Court, which is still the location of Rothschild & Co's London headquarters today.[9] Through this company, Nathan Mayer Rothschild made a fortune with his involvement in the bond market.
According to historian Niall Ferguson in 1999, "For most of the nineteenth century, N M Rothschild was part of the biggest bank in the world which dominated the international bond market. For a contemporary equivalent, one has to imagine a merger between Merrill Lynch, Morgan Stanley, JP Morgan Chase & Co. and probably Goldman Sachs too—as well, perhaps, as the International Monetary Fund, given the nineteenth-century Rothschild's role in stabilizing the finances of numerous governments."
During the early part of the 19th century, the Rothschild London bank took a leading part in managing and financing the subsidies that the British government transferred to its allies during the Napoleonic Wars. Through the creation of a network of agents, couriers and shippers, the bank was able to provide funds to the armies of the Duke of Wellington in Portugal and Spain. In 1818 the Rothschild bank arranged a £5 million loan to the Prussian government and the issuing of bonds for government loans. The providing of other innovative and complex financing for government projects formed a mainstay of the bank's business for the better part of the century. N M Rothschild & Sons' financial strength in the City of London became such that by 1825, the bank was able to supply enough coin to the Bank of England to enable it to avert a liquidity crisis.
Like most firms with global operations in the 19th century, Rothschild had links to slavery, even though the firm was instrumental in abolishing it by providing a £15m gilt issue necessary to pass the Slavery Abolition Act 1833. The money provided by Rothschild was used to pay slave owners compensation for their slaves and the gilt issue was only fully redeemed in 2015.
Late 19th century
Nathan Mayer's eldest son, Lionel de Rothschild (1808–1879) succeeded him as head of the London branch. Under Lionel the bank financed the British government's 1875 purchase of a controlling interest in the Suez Canal. Lionel also began to invest in railways as his uncle James had been doing in France. In 1869, Lionel's son, Alfred de Rothschild (1842–1918), became a director of the Bank of England, a post he held for 20 years. Alfred was one of those who represented the British Government at the 1892 International Monetary Conference in Brussels.
The Rothschild bank funded Cecil Rhodes in the development of the British South Africa Company and Leopold de Rothschild (1845–1917) administered Rhodes's estate after his death in 1902 and helped to set up the Rhodes Scholarship scheme at Oxford University. In 1873 de Rothschild Frères (trans. "The Rothschild Brothers") of Paris and N M Rothschild & Sons of London joined with other investors to acquire the Spanish government's money-losing Rio Tinto copper mines. The new owners restructured the company and turned it into a profitable business. By 1905, the Rothschild interest in Rio Tinto amounted to more than 30%. In 1887, the French and English Rothschild banking houses loaned money to, and invested in, the De Beers diamond mines in South Africa, becoming its largest shareholders.
20th Century
The First World War marked a change of fortune and emphasis for Rothschild. After the War, the Rothschild banks began a steady transition towards advisory work and finance raising for commercial concerns, including the London Underground. In 1938, the Austrian Rothschilds’ interests were given to the Nazis, bringing to an end more than a century at the heart of Central European banking. In France and Austria, the family was scattered for the duration of the Second World War. After the war, the British and French banks committed themselves to further developing their new operation in the United States, which was eventually to become Rothschild Inc, and increased focus on mergers and acquisitions, asset management, and merchant-banking.
In the 20th century, Rothschild developed into a pre-eminent global organization, which enhanced its ability to secure key advisory roles in some of the most important, complex and recognizable mergers and acquisitions. In the 1980s, Rothschild took a leading role in the international phenomenon of privatization. The company was involved from the beginning and developed a pioneering role which spread out to more than thirty countries worldwide. In recent years, Rothschild advised on nearly a thousand completed mergers and acquisitions with a cumulative value in excess of US$1 trillion. Rothschild also advised on some of the largest and most high-profile corporate restructurings around the world.
The bank decided to enter the securities market buying Smith Brothers, a stock jobber, in December 1983.
The price of gold was fixed for years, twice daily at 10:30 am and 3:00 pm, in a small room at Rothschild's New Court headquarters on St Swithin's Lane. The world's main bullion houses: Deutsche Bank, HSBC, Scotia-Mocatta and Société Générale used the agreed rate as a price benchmark for gold products and derivatives in the world's markets. The chairperson, traditionally appointed by the Rothschild bank, sat in the center, although the bank itself has largely withdrawn from trading. The five members of the London Bullion Association: Barclays Capital, Deutsche Bank, Scotiabank, HSBC and Société Générale, now conduct their twice-daily meetings over the telephone. The meetings were a tradition as great as the ringing of the bell at the New York Stock Exchange until 2004.
French history (Paris Orléans)
See also: Rothschild banking family of France
19th century
The Compagnie du chemin de fer de Paris à Orléans was founded in 1838 as a railway company. After several takeovers and a merger with the Chemins de fer du Midi, it had about 11,000 km (6,800 mi) of track and was one of the major railway companies in France. In 1938, it was nationalized along with five other railway undertakings to form the national state railway company SNCF.
20th century
After the Second World War, the French branch of the Rothschild family took over the remains of Paris Orléans and transformed it into a holding company for its banking activities and corporate investments. These mainly included the Banque Rothschild (bank), the SGIM (property company), the SIACI (insurance), the Francarep (oil company) and the SGDBR (wineries), now Domaines Barons de Rothschild (DBR).
By 1980, the Paris business employed about 2,000 people and had an annual turnover of 26 billion francs ($5 billion in the currency rates of 1980).
The Socialist French government of François Mitterrand nationalized the Banque Rothschild and renamed it Compagnie Européenne de Banque in 1981. In 1983, David de Rothschild and Eric de Rothschild recapitalized the family's business just as their ancestors had done in the prior century under the name Paris Orléans, as it was banned from using the family name until 1986, at which time the firm was renamed Rothschild & Cie Banque.
Modern history and recent events
Anglo-French Rothschild merger
In 2003, the English (N M Rothschild & Sons) and French (Rothschild & Cie Banque) firms announced plans to merge under the leadership of David R. de Rothschild. Paris Orléans SCA became the flagship holding company of the family business of Rothschild. Although Paris Orléans is listed on the exchange, the family retains control of the firm. After the merger of the banking activities, Paris Orléans SCA became the sole owner Concordia BV, which controls Rothschilds Continuation Holdings AG, which controls the Rothschild Group's banking activities. By 2011, the firm had merged operations and was unified.
Recent history
In 2007, Rothschild formed joint venture Jardine Rothschild Asia Capital with Jardine Strategic, specializing in growth capital investments.
In 2010, the firm appointed the first non-family member chief executive officer, Nigel Higgins.
In 2011, the firm rebranded from "N M Rothschild & Sons" to "Rothschild & Co." The goal of this was to show "a new global positioning as the fulcrum of the Financial Market."
In 2015, the parent company Paris Orléans changed its name to Rothschild & Co to match the trade name of the business.
In 2017, Rothschild & Co acquired the family-controlled French private bank Martin Maurel. This merger united the businesses of two European financial families. After the acquisition, Rothschild & Co became the leading private bank in France.
In 2018, Rothschild & Co sold its trust services division (responsible for the creation and administration of trust structures) to Richard Martin, a long-time Rothschild executive for an undisclosed amount. This restructuring of Rothschild's Wealth Management practice allowed the firm to focus more on its private banking activities from the recent purchase and integration of Rothschild Martin Maurel.
In 2019, the firm acquired a stake in Redburn, a global financial services firm that provides research in various coverage sectors and brokerage execution services for traditional and algorithmic sales and trading.
In 2022, Wintrust announced a deal to acquire the U.S. asset management arm of Rothschild, which held around $8 billion in assets under management at the time.
In 2023, the Rothschild family announced its intention to take Rothschild & Co. private by repurchasing the shares listed on stock exchanges. The transaction values the firm at €3.7bn and would end several decades of the firm being publicly listed.
Operations
Rothschild & Co has three primary businesses: Global Advisory (Investment Banking Division), Wealth and Asset Management, and Five Arrows (Alternative Assets Division).
Global Advisory (Investment Banking Division)
The banking business is structured as follows:
Mergers and Acquisitions and Strategic Advisory
Debt Advisory and Restructuring
Equity Advisory and Capital Markets
Rothschild & Co is consistently in the top 10 global investment banks for mergers and acquisitions (M&A) advisory by Thomson Reuters by both number and size of deals.[51] In 2018, as with previous years, the firm ranked 1st globally and 1st in Europe by number of completed M&A transactions.
Wealth and Asset Management
Rothschild & Co's wealth management practice stems on wealth preservation through generations, just as the Rothschild family has done for over two centuries. The words of one of Mayer Amschel Rothschild's sons and founder of Rothschild & Co still illustrate the service provided to clients:
"It takes a great deal of boldness and a great deal of caution to make a great fortune; and when you have got it, it requires ten times as much wit to keep it" –Nathan Mayer Rothschild
Five Arrows in tarot is the Wildwood Tarot’s version of the Five of Swords, a card that is often associated with disharmony and hostility. Five arrows also means a complete union of the nations. The invisible bow in their logo means all will bow without their knowledge or consent.
Five Arrows is the alternative assets arm of Rothschild & Co, deploying the firm's capital alongside private and institutional investors. Five Arrows manages assets of €26 billion across private equity and private credit strategies.
Vineyards
Historically, the Rothschild family has owned many Bordeaux vineyards since 1868. Les Domaines Barons de Rothschild (Lafite) and Champagne Barons de Rothschild are some of the wineries owned in part by Rothschild & Co.
Corporate culture
Rothschild & Co has a unique culture in part due to its more than two-century history and the firm still remaining under family control.[57] The firm's new analyst education program in London, for instance, lasts nearly two months.
New Court headquarters
Rothschild & Co's headquarters in London have been continuously located at New Court, St. Swithin's Lane, London for over two centuries. After acquiring the lease in 1809, the firm continued to grow. In 1865, a new building designed by Thomas Marsh Nelson in the Italian "palazzo" style was created at the same site.[60] This building served as the headquarters for Rothschild through both world wars. In 1962, the firm demolished and rebuilt its New Court headquarters for a third time at the suggestion of Evelyn Robert de Rothschild. In 2005, the firm decided to create a fourth iteration of the building that opens up views of St Stephen Walbrook church from its lobby, and views of the London skyline from a rooftop "sky pavilion" designed by Rem Koolhaas and his Office for Metropolitan Architecture (OMA).
Controversies and legal issues
Jürg Heer scandal
Jürg Heer worked for Rothschild Bank AG (since October 2018 Rothschild & Co. Bank AG) in Zurich for more than twenty years, the last nine as its credit manager. He was dismissed in June 1992. Heer was accused of taking kickbacks of more than US$20 million in exchange for making unsecured and unapproved loans to the German and Canadian real estate magnate Karsten von Wersebe resulting in a loss of US$155 million to the bank. In 1998, in the district court of Zurich, Heer confessed that he embezzled about US$33 million from Rothschild Bank AG between 1986 and 1992. The Rothschild family committed CHF 150 million to supporting its bank in recovering from one of the then largest financial frauds in Switzerland.
NM Rothschild & Sons Ltd vs. Rothschild & Co (UK) Ltd
On 27 January 2009 NM Rothschild & Sons Ltd filed under s.69(1)(b) of the UK Companies Act 2006 for a change of name of the respondent company, Rothschild & Co (UK) Ltd, which had been registered since 31 October 2008. The Company Names Tribunal found for the applicant and ordered the respondent to change its name or else have its name changed by the adjudicator, as well as to pay the applicant's costs.
Von Schönau-Riedweg vs. Rothschild Bank AG & others
On 20 December 2012 Rothschild Bank AG brought suit against its client Corinna von Schönau-Riedweg in Switzerland, seeking a declaration that the bank had no liability with respect to the private equity transactions recommended by Rothschild Bank's former employee Wilfrid von Plotho. As a reaction to this suit von Schönau brought suit in the Superior Court in Boston/USA against Rothschild Bank AG, Rothschild Trust (Schweiz) AG, Wilfrid von Plotho and others. In December 2014 a separate and final judgment over US$15 million against von Plotho and his Panamanian offshore company ARA Management was entered in force; neither von Plotho nor ARA Management appealed from that judgment. In June 2019 the Appeals Court of Massachusetts (Boston) decided that von Schönau's suit against Rothschild Bank should be revived, as she had made a showing that Wilfrid von Plotho, she claims caused her millions of dollars to lose, was Rothschild Bank's agent in Switzerland as well as in the USA.
Non-Prosecution Agreement with the U.S. Department of Justice
According to the Non-Prosecution Agreement with the U.S. Department of Justice (Tax Division) of June 2015, Rothschild Bank (now Rothschild & Co. Bank AG) admitted that it had 66 U.S.-related accounts held by entities created in Panama, Liechtenstein, British Virgin Islands or other foreign countries with U.S. beneficial owners. Knowing it was highly probable that the U.S. clients were engaging in schemes to avoid U.S. taxes, Rothschild Bank permitted the accounts to trade in U.S. securities without reporting account earnings, or transmitting any withholding taxes, to the IRS. Of the U.S. related accounts with an aggregate maximum balance of approximately US$836 million had U.S. beneficial owners, representing approx. 5% of the aggregate maximum balance of Rothschild Bank's total assets under management during the period in question. In recognition of its illegal conduct Rothschild Bank agreed to pay US$11,510,000 as a penalty to the U.S. Department of Justice without having to admit any guilt in the matter.
1MDB Malaysian sovereign wealth fund scandal
Main article: 1Malaysia Development Berhad scandal
Rothschild Bank AG (since October 2018 renamed Rothschild & Co. Bank AG), a subsidiary of Rothschild & Co, broke anti-money-laundering rules in 1MDB case according to Swiss prosecutiors. In July 2018 the Swiss Financial Market Authority (FINMA) concluded final 1MDB proceedings, in which Rothschild Bank AG and its subsidiary Rothschild Trust (Schweiz) AG have been found to be in serious breach of money laundering rules in the context of 1 MDB. The FINMA appointed an audit agent to review enhancements already put in place by Rothschild Bank. FINMA stated, that Rothschild Bank and Rothschild Trust were found to be in "breach of due diligence, reporting and documentation requirements. Although there were early indications that this client could be involved in money laundering activities, the institutions decided nevertheless to enter into the relationship and at a later stage considerably expand it." The 1MDB fraud saw billions of dollars siphoned off from the sovereign wealth fund into the pockets of corrupt officials.
Dispute between Rothschild & Co and Edmond de Rothschild Group
After Paris Orleans was renamed to Rothschild & Co, the Swiss-based Edmond de Rothschild Group disputed the use of the family name for branding purposes. Until their settlement, Rothschild & Co and the Edmond de Rothschild Group were cross-shareholders in each other's business, further complicating the matter. In 2018 the two sides of the family resolved the dispute.
Marjorie Taylor Greene "space laser" accusation
In January 2021, US Representative Marjorie Taylor Greene (R-GA) was reported to have made a Facebook post blaming "Rothschild, Inc" among others for using "space solar generators" to ignite the 2018 Camp Fire, one of California's deadliest and most destructive wildfires.
All of that was Wikipedia’s explanation. In my two part series, we dove into the historic events of how they gained control step by step. The rest of this article fills in even more gaps and repeats many of what we have taught.
Parts 1 and 2:
https://jamescarner.com/the-rothschilds-part-1/
https://jamescarner.com/the-rothschilds-part-2/
The real power behind the United States is the Rothschild banking family, which can trace its roots to 1743 when Moses Amschel Bauer put the red hexagram above his doorway. Of course, we learned from my article here Baylon Rothschilds https://jamescarner.com/the-babylon-rothschilds/ that the Radhanites stole King Solomon’s gold and continued the usury after the first temple was destroyed. I do believe, although I cannot prove it, yet, the same bloodlines of the Radhanites are the exact same as the Ashkenazi jews. That was also the same year Moses Amschel Bauer’s son Mayer was born in Bavaria. The ashkenazi Babylonian bankers Egibi & Sons or the Murashu Banking House needed a name change. In 1760 Mayer would change the family name from Bauer to Rothschild after that red hexagram sign (‘Rot is German for ‘red’ and ‘Schild’ means ‘sign’).
Mayer Rothschild continued his father’s money lending business and also got into the business of hiring out Hessian mercenaries to foreign countries at war, resulting in vast profits for the family. Loaning to governments directly was the logical next step, mainly because it was more profitable than loaning to individuals. After all, a nation’s taxes were much more likely to come through and pay the debt than an embattled businessman’s profits. Seeing a way to control world governments through debt, Rothschild thought up a system based on the Rabbinical Jewish book, the Talmud.
The Kingdom of Israel and the Star of David
Talmudists are Jews that follow the teachings of the Talmud, which is one form of Jewish law written by the Radhanites, and one that many have claimed is anti-Christian and sexually immoral. The nation of Israel was created in 1948 with a new flag showing the Star of David, a symbol that had come about in the 1600s and which the Zionists adopted as their symbol in 1897. The Star of David is misleading, as King David never had a star symbol. His son, King Solomon, used the symbol when he ruled the Kingdom of Israel during the 900s BC, however, and that’s where we’ll begin. The symbol is an ancient sign of “magic, witchcraft, sorcery and occultism” as well as the casting of horoscopes and reading of the zodiac.
Solomon was thought to have turned away from God, which led to Israel’s destruction. One of the reasons for that may have been the use of his star symbol, which was associated with Remphan, an ancient Egyptian ‘star’ god. The symbol was also that of the worshippers of Moloch, a god of the Ammon people, who were a neighboring nation of Israel in the 900s BC. Moloch encouraged child sacrifice, typically by the parents. Solomon had many temples built for his foreign wives, and “pagan abominations” were worshipped there, including idols to Moloch. The star symbol, or hexagram, helped with this. It had six points that formed six equilateral triangles, something that allowed the insides to form a six-sided hexagon. This leads to 6 points, 6 triangles and 6 sides… or 666, the mark of the beast.
All of this was associated with Moloch, or what we’d today consider Satan. Moloch was a false god that tempted Solomon, leading to the downfall of Israel, the Babylonian Captivity, and subsequent exile of the Jewish people, both those that were innocent and the idolaters. How it happened was that Israel fell apart into two different countries in 930 BC, the Kingdom of Israel to the north and the Kingdom of Judah to the south. Sometime in the 720s BC the Assyrians invaded the Kingdom of Israel and defeated it.
The Assyrians hung on until 605 BC and the Israelis in Judah did the same until the Babylonians swallowed up their state about fifteen years later. At that point the Jews found themselves exiled until Assyrian king Nebuchadnezzar conquered Jerusalem in 586 BC, setting the groundwork for the Jews’ return in 539 BC. The continued journey of the Jewish people is much too long of a story to explore here, but elements of their story are important to our own, and important if we’re to understand how the world truly operates today.
In the 1200s AD the Mongols were pouring out of Asia and killing or enslaving all that they came across. Part of their enslavement was mental more than anything, and consisted of converting to the Jewish faith. Many that converted didn’t want to, and these people became the basis of the Ashkenazi Jews, a group that many believe rejects Jesus and accepts Satan. The real power behind the Ashkenazi Jews is the Rothschild banking family, which can trace its roots to 1743 when Mayer Bauer was born in Bavaria. That was also the same year his father had put the red hexagram above their doorway. Seventeen years later they’d be known as the Rothschild family.
Many believe the Talmud is the opposite of the Torah. While the Torah worships God, the Talmud worships Satan, they claim. Rothschild used a twisted form of the Jewish Talmud to create satanic teachings that formed the basis of his secret organization, the Illuminati. In 1776 the organization was complete and Rothschild used his associate, Adam Weishaupt, to infiltrate the Continental Order of Freemasons so that Illuminati doctrine would appear in their lodges all over Europe, and later the world.
The History of Freemasonry
Freemasonry can trace its origins back to 1400 BC when the Egyptian Pharaoh Akhenaton built a temple in El-Amarna that became the first “mystery school,” a place where “human sacrifice and mind control were common” with “initiation rites identical to those of modern Freemasonry.” Akhenaton was also the pharaoh that moved Egypt from polytheism to monotheism, a system of worshipping just one god. (Henderson, p 159; Gould, p 13) It would be nearly a thousand years later that those mystery school ideas came to Greece. It was during the time of Erechteus, who was known as the “earth-born king of Athens” and was raised by the Greek goddess Athena, so it’s claimed.
From the Greek world the ideas circulated, heading to the Romans to become the “Mysteries of the Mithras,” or sometimes “Mysteries of the Persians.” Those ideas lasted from about 68 BC to around 500 AD. They changed considerably during that time, and two dominant schools of thought developed – the Serapis and the Mithras. The Serapis spread east toward Persia while the Mithras spread west toward the fledgling nation-states of Europe, both eventually incorporating aspects of Christianity. Serapis was eventually suppressed in Rome in 391 but it morphed into Zoroastrianism in Persia. Mithras slowly took on more of the aspects of Gnostic thought in the West. (Gould, p 23-5)
As the Dark Ages took hold after the fall of Rome in the mid-400s the old mystery school ideas morphed with Christianity and eastern belief systems to take on the rudimentary form that Freemasonry has today. The secret society continued up through the time Charlemagne was named the first Holy Roman Emperor in 800. The first mention of a Freemason temple on official records was in York in 926 under King Athelstan. Freemasonry also began to take on influence from the Jewish mysticism as it cemented itself into the Kabala around 1100. (Gould, p 34).
In 1620 we have records of Freemasons in London, and a short time later a strong sect rose up in Scotland. It wasn’t until 1717, however, that modern Freemasonry came into being, at least that’s the accepted version. Many Freemasons will claim their belief system goes all the way back to King David in Israel and the Temple of Solomon, and it’s likely there’s some truth in that. It wasn’t until 1717, however, that four lodges in Great Britain formed together to become the first Grand Lodge of England. These were the first official Freemasonry lodges, and America saw its first in Philadelphia in 1730.
Thirty-nine men signed the American Declaration of Independence in 1776 and thirteen of them were Freemasons, or 33%. America has had many presidents that can call themselves Freemasons. “Every US President since FDR has been a 33rd Degree Illuminated Mason, except Ronald Reagan,” who Dean Henderson says, “was given the honorary title, and John F. Kennedy, who was assassinated.” (Henderson, p 159) Henderson was educated at the University of Montana and was a reporter for the Montana Kaimin. He’s written extensively on the Freemasons and world banking in his book Big Oil and Their Bankers in the Persian Gulf.
Freemasonry is a complex society with thirty-three degrees of advancement. “To achieve advancement to one higher degree, members are asked to spit on a cross,” Henderson tells us. “Those who refuse are congratulated while those who accept are advanced to the next level because they did what they were told.” What’s more, each Freemason Lodge is officially warranted by the British government, meaning all Freemasons the world over are swearing fealty to that nation when they give their vows and say their rites. Henderson gives us an idea of how the organization operates:
“Lower level initiates don’t know this darker side of Masonry and spend their time planning circuses and parades, ostensibly to divert people’s attention from Illuminati plans for global dictatorship… the most corruptible men advance to the higher degrees of Masonry.” (Henderson, p 158)
Freemasonry wasn’t popular everywhere, however, and a lot of that had to do with the fact that well-off and wealthy men always seemed to be members. In 1822 Czar Alexander had banned Freemasonry from Russia. It’s rather ironic, as a Russian would give us the Freemason connection to the Knights Templar.
The Knights Templar
The Knights Templar is another organization involved, and one that has grand designs on the world. The Templars were influenced heavily by Gnostic thought and the world knows about their crazy schemes because of an event in 1884. That’s when a Russian general’s daughter, Justine Glinka, paid 2,500 francs to Joseph Schorst, a member of a Freemason guild in Paris, to obtain a book called Protocols of the Wise Men of Zion.
That French Freemason guild was in reality the Knights Templar sect known as the Priory of Sion, which had been created in 1099 on Mount Zion in Jerusalem to “guard such relics as the Shroud of Turin, the Ark of the Covenant, and,” Henderson tells us, “the Hapsburg family’s Spear of Destiny which was used to kill Jesus Christ as he hung on the cross.” (Henderson, p 122) Most of that loot, if any of it even existed, was seized from beneath Solomon’s Temple during the Crusades and then secreted back to Europe for safekeeping.
Henderson gives us an idea of why this was done:
“To preserve the Holy Grail bloodline, or Sangreal, of Jesus Christ which they believe is carried forth by the French Bourbon royalty, the Merovingan family. The Priory of Sion elite believe Jesus faked his death with the help of certain herbs, then married the administer of those herbs, Mary Magdalene. “The Priory believes the couple fled to southern France and had numerous children. During the 5th century, the theory goes, Jesus’ descendents married into the Frank royalty from which France takes its name, thus creating the Merovingan dynasty.” (Henderson, p 122) The Priory believes that Jesus eventually died in Kashmir, Pakistan.
(Henderson, p 218) His bloodline – the Holy Grail – lives on, however, and it’s through the Hapsburg line. The Hapsburg family started on the Habichtburg estate in Switzerland in 1020. They were in charge of the Holy Roman Empire until its demise in 1806. From its ashes rose the German Confederation and the Hapsburgs continued on until 2011 when their 640-year family line officially came to an end with the death of Otto von Hapsburg. (Henderson, p 472)
Sion is thought to mean Zion, which itself means Jeruselem in ancient Hebrew. The Knights Templar didn’t care about Judaism, however, except to use it to cover up their economic activity. Even securing the holy land of the Middle East didn’t really interest them; it was securing its resources and its trade potential. All throughout history the small strip of land that became Israel in 1948 had been used for trade and commerce and travel.
It was still, with oil being the main commodity, and the Knights Templar and Rothschilds used the religious aspects of Judaism to secure the land they needed. If people in the world, including many disgruntled world leaders, lashed out at Judaism, so much the better – it would only distract more from the true motives, global financial control through trade, finance, and commodity markets. The Templars consolidated their power by legitimizing usury so they could lend from their banks. By the 1200s they’d used their extensive wealth from the Crusades and banking to buy 9,000 castles across Europe.
They controlled a magnificent fleet of ships from the French port of New Rochelle and bought the island of Sicily in the late-1100s from Richard the Lionheart, though it was later overrun by Turks in 1798. So powerful and so wealthy did the Templars become that in 1307 the king of France and the Pope both teamed up to discredit the group, saying they used black magic and necromancy. It took place on Friday, October 13, and ever since then that day has had a bad connotation.
By 1864 the book Justine Glinnka had bought was printed up in another book and then the same happened in the 1890s. By then, however, the authorities weren’t happy to hear about this, and the Russian author was arrested and tortured. The Illuminati was taking over, consolidating power, and secrecy was becoming the order of the day. (Henderson, p 124)
The Rothschilds in America
As the years went on, the Rothschilds became more daring. In 1785 they had plans in the works to start the French Revolution, but when those plans were discovered by the authorities, the Illuminati were kicked out of Bavaria. The country went so far as to send warnings to all the major European states about the Illuminati, but they were ignored, and Rothschild was now safe in Frankfurt. Their plans for the French Revolution went forward after all, and that allowed them to stop the Catholic Church from issuing taxes as well as create favorable new banking laws through the new nation’s constitution.
By 1791 Rothschild was extending his reach to America, where he convinced Alexander Hamilton to set up the First Bank of the United States with a 20-year charter. In 1812 Mayer Rothschild died, but his family was large enough to continue – he had five sons and five daughters and an immeasurable quantity of wealth, enough so that he could hold Prince William IX of Hesse-Hanau’s $3 million personal fortune in safekeeping. More Rothschilds would come and go, but their economic power and vision of a new world order under Satan remained. When the First Bank of the United State’s charter was up in 1811, Congress refused to renew it.
This angered the Rothschilds, who called for America to be brought back to “colonial status.” Using loaned Rothschild money, England declared war on the United States, starting the War of 1812. The idea was to bankrupt the young nation, which had little money and was looking at costs of $10 million for just 1812 alone, mainly because 10,000 men suddenly had to be raised to fight the invading British armies funded by a group of secretive, debt-hungry bankers. Congress was able to provide the funding through increased customs duties but in 1813 revenues were only going to be $17 million for the country, while costs would be $36 million.
Republicans had control of Congress, and they didn’t want to raise taxes so that meant more borrowing, $19 million worth. By 1814 the country was looking at another $30 million budget deficit and by 1815 estimates put that at $56 million. It was clear the war could not continue and both sides sued for peace, meeting in the Flanders city of Ghent in September 1814, just two months before the Congress of Vienna began meeting to settle the Napoleonic Wars. They talked for five months, and it was agreed a Second Bank of the United States would be created. The Treaty of Ghent was signed on Christmas Eve 1814 to cement the deal.
After that his family, centered in the major financial capitals of Europe, did their best to buy up all the various government bonds right when issued, selling them off to their network of brokers at an inflated price while still paying the initial offering price to the governments. They cornered markets and saw their wealth grow exponentially. So too did the tightness of their family, as historian Niall Ferguson explains in his book The Ascent of Money: “As their numbers grew from generation to generation, familial unity was maintained by a combination of periodically revised contracts between the five houses and a high level of intermarriage between cousins or between uncles and nieces.
“Of twenty-one marriages involving descendents of Nathan’s father Mayer Amschel Rothschild that were solemnized between 1824 and 1877, no fewer than fifteen were between direct descendents.” (Ferguson, p 88) Most critics lamented the Rothschild’s Jewish heritage, and the family used that anti-semitic thought to further their own ends. In time it became a shield from their critics, those that knew their true power. That lay in their war-making abilities, a pursuit dependent upon finance and debt. “Without wars,” Ferguson writes, “nineteenth-century states would have had little need to issue bonds.”America had issued a lot of bonds during the War of 1812, and total costs for the war were $158 million for the young nation, with the army and navy eating up $90 million of that.
The total cost of interest on the money borrowed came to $16 million and long-term veterans costs equaled $50 million. Instead of paying off the modest national debt of $45 million that had existed in 1812, the country now was looking at a national debt of $127 million in 1815. To the Rothschilds, it didn’t matter if the war was won or lost, or even who was fighting. Either way, there would be debt, and interest on that debt, and they’d profit. Nations would lose, and citizens would suffer, but the bankers would have their way of life. They had their way with America, for another national bank was created, allowing them unfettered access to the nation’s money supply through their power to control lending and interest rates.
It would take until 1835 for the national debt to be paid off completely, the first and only time that occurred. It was President Andrew Jackson that did it, and he was also the person to kill the second Rothschild bank in the country, the Second Bank of the United States. The Second Bank of the United States had started under another 20-year charter in 1816 and that came to an end in 1836. Before that, Jackson had consolidated the remaining $75 million of debt held by the states and done everything he could to pay it off as fast as he could, depriving the Rothschild’s of the interest they so thought they deserved. In retaliation for Jackson’s closing of the bank, Rothschild agent Nicholas Biddle “cut off funding to the US government in 1842,” which sent the country into a recession, or panic as they were still called. (Henderson, p 462)
Jackson was a military man, one who’d won the Battle of New Orleans in the closing days of the War of 1812. He knew what he was up against, had ran on the 1832 campaign slogan “Jackson and No Bank,” and he prided himself on ‘killing the bank,’ as he was fond of saying of his veto to renew the bank’s charter. “You are a den of vipers,” Jackson had said of the bankers. “I intend to expose you and by Eternal God I will route you out.” God may have disproved of the bankers, but the Vatican did not. In 1831 Pope Gregory XVI borrowed £400,000 from the Rothschilds, or the equivalent of $43 million in 2014 dollars.
James de Rothschild “became the official Papal banker,” Gerald Posner writes in his book God’s Bankers, and this proved “a lifeline to the church.” Back in America, Jackson said there would “be a revolution by morning” if the people knew what the bankers were doing to them. In 1832 he said that “foreign stockholders” controlling our currency were “more formidable and dangerous than the naval and military power of the enemy.” (Henderson, p 461) This resulted in an assassination attempt on January 30, 1835, though the assassin’s gun misfired. Jackson’s will didn’t, and his desire to see the foreign-owned and controlled bank’s end only intensified.
So did the nation’s, and Jackson’s successor, President John Tyler, also refused to sign a new charter for the bank. Back in Europe the Vatican became more entwined with the Rothschilds. In 1848 Gregory’s successor, Pope Pius IX, borrowed 50 million francs from the Rothschilds, or $10 million. By the end of that year it was determined that the Vatican was 142 million francs in debt to the Rothschilds, or about $30 million. This comprised 40% of the church’s total debt. Unlike the popes, all American presidents were able to keep their financial house in order, even Lincoln when he ordered the printing of Greenbacks during the Civil War instead of borrow from foreign banks or allow another on American soil.
The National Banking Act had been passed in 1863, however, which created yet another private bank, this time under the guise of issuing war bonds. Lincoln said during his second presidential campaign that he’d veto the bill, but an assassin’s bullet took him before he had the chance. (Henderson, p 462) By 1899 the wealth of the Rothschild family was £41 million, which “exceeded the capital of the five biggest German joint-stock banks put together,” Ferguson tells us. (Ferguson, p 88) Still, they hungered for more. All the presidents after Lincoln had kept Jackson’s pledge not to have a bank, all that is, until Woodrow Wilson swept into the White House in 1912 on a divided Republican ticket more than a united Democratic ticket.
The following year saw the third and current Bank of the United States form, the Federal Reserve, which was passed with the Federal Reserve Act on December 23 of that year. Congressman Charles August Lindbergh of Minnesota, the famous aviator’s father, called it the “greatest crime of the ages.” The Federal Reserve was a private company, and one that had no reserves of currency. Its origins lay in the banking crisis known as the Panic of 1907. President Teddy Roosevelt had signed the Aldrich-Vreeland Act in 1908 to study the causes of the Panic of 1907. From it came the National Monetary Commission, which was tasked with investigating what caused these banking panics that were becoming so prevalent in modern society.
The result was a secret meeting with the leading bankers of the day, including Benjamin Strong, adviser to J.P. Morgan and eventual first president of the Federal Reserve Bank of New York, at Jekyll Island in Georgia, the rich conclave many wealthy Montanans knew so well. Also called the Millionaires Club, the club was founded in 1886 and included some of the wealthiest families in the country like the Morgans, Rockefellers, and Vanderbilts. Montana’s Marcus Daly was a member, as was railroad tycoon and patriarch of Montana’s Hi-Line, James J. Hill. Railroad financier E.H Harriman was another, and together these men benefited from Rothschild banking money when it came to funding their operations and expansion.
These rich industrialists and bankers came up with the Federal Reserve Bank of New York, which would become the leading bank of the Federal Reserve System, the institution and framework that was hammered out over those three years following the Panic of 1907. Now they just had to get the president to sign it the idea into law.
The Untermyer Blackmail
Perhaps Woodrow Wilson didn’t want a new national bank, perhaps he wanted to keep things as they had been since Jackson’s days. There’s a good chance that he couldn’t have even if he’d wanted to, however, and an incident during his very first days in office illustrates this. Wilson was visited by Samuel Untermyer of the Guggenheim, Untermyer, and Marshall law firm. Untermyer was well-known in the Democratic Party, had advised the government on interpreting and enforcing income tax law, was also involved in anti-trust legislation. He believed in government ownership and helped prepare the Federal Reserve Bank Law, the Creighton Bill, Federal Trade Commission Bill and other legislation that limited the power of the trusts.
That day, however, the man had something else on his agenda. Untermyer had three letters that Wilson had written to a woman he’d been having an affair with while he was still at Princeton. Untermyer informed Wilson that the woman’s husband wanted $40,000 to keep the affair quiet. Wilson, however, didn’t have the money. Luckily for him, Untermyer offered to pay the money himself, so long as Wilson agreed to let him pick the first Supreme Court pick that came Wilson’s way. It was agreed, and as a result Louis Brandeis was appointed, someone that was very influential in Wilson’s decision to put America into WWI.
Having world wars was very important to the Illuminati, the secret society that the Rothschild’s had created back in 1776. Nothing created more long-term debt obligations than war, and no form of debt was more secure than that backed by taxpayers. It’s a lot to swallow, the truth. The Illuminati knew it would be, so that’s why they set up the Anti-Defamation League in 1913, so that anyone speaking out against the Rothschild’s or the Illuminati would be labeled as anti-semitic, anti-Jew. All the while, however, the nation has suffered, and slid ever more into debt.
The Federal Reserve Act of 1913 was signed into law by Woodrow Wilson on December 23, 1913. For the first time in 135 years the United States had a national bank. Before Woodrow Wilson had put the nation in war, the country had but $3.6 billion in national debt. By 1918 that was $14 billion and in 1919 it was $27 billion. Things settled down after that and the debt was actually paid down all through the 1920s, to $16 billion by the time of the Crash. Interest payments of 2.5% would run to $400 million a year on that level of debt, any bankers’ dream come true.
For the Rothschild’s that’s exactly what it was, and the clandestine banking family was fast becoming one of the most powerful players on the world stage, and one that hardly anyone knew about. They controlled the Federal Reserve and Montana began to suffer soon after.
The House of Morgan
J.P. Morgan died in 1913, the same year both the Federal Reserve and the Rockefeller Foundation were formed. Morgan was the closest America had come to a national bank from the time the Second Bank of the United States closed in 1836 and the Federal Reserve opened in 1913. The House of Morgan can trace its roots back to 1838 when George Peabody, a business associate of the Rothschilds, founded it. In this regard, the House of Morgan was nothing more than the American wing of the Rothschild’s banking empire. (Henderson, p 450-1) When Morgan got control of the nation’s gold in 1895, he had control of the business climate. Mergers began to pick up pace as businesses started to swallow one another.
In 1897 there had been just sixty-nine mergers but by 1899 there were 1,200, an increase of 1700%. All of this allowed the power of the corporations and the banks that funded them to expand, something that created the Eight Families. (Henderson, p 452)
The Eight Families
The Eight Families are the Goldman Sachs, Rockefellers, Lehmans, and Kuhn Loebs of New York, which is the American side. The European side consists of the Rothschilds of Paris and London, the Warburgs of Hamburg, the Lazards of Paris and the Israel Moses Seifs of Rome. Benjamin Strong was the first Governor of the New York Federal Reserve Board, the most powerful of all the Federal Reserve’s banks, and someone closely allied with the Eight Families. What this meant for the country is spelled out very well by Dean Henderson: “The 1913 creation of the Federal Reserve fused the power of the Eight Families to the military and diplomatic might of the US government.
“If overseas debt went unpaid, the oligarchs could now deploy US Marines to collect their money. Morgan, Chase and Citibank soon formed an international lending syndicate.” (p 452) We’ve already discussed the Rothschilds, a family that was very close to the Kuhn Loebs. The family of Kuhn Loeb came about in 1785 when the family teamed up with both leading banker Jacob Schiff and the Rothschilds. The Schiff/Loeb relationship was cemented in 1865 through marriage. In 1867 Kuhn, Loeb & Co. was founded with Jacob Schiff in charge. The firm had been based in Ohio but moved to New York and did well in the merchandise business.
As the 1880s started they, like many first looking for easy investments, got into railroads. Kuhn Leob had been the banker for Edward Harriman, one of the main moves and shakers in the American railroad industry. After battling J.P Morgan and James J. Hill, Schiff was able to gain control of the Northern Pacific Railroad in 1901. By 1911 they’d joined with the Rockefellers to take over Equitable Trust Company, the precursor to Chase Bank. They also partnered with the Warburgs during this time and married into the Goldman Sachs and Lehman families. (Henderson, p 465)
The Warburg family was a Venetian banking family of the 1500s, one that came to prominence in 1814 after teaming up with the Rothschilds. The Rockefeller Family can trace its origins to John Davison Rockefeller, who was born in 1839 in New York. The family eventually moved to Ohio, and it was there that Rockefeller got involved with oil in 1863. By 1870 Rockefeller had started Standard Oil of Ohio with an initial investment of $1 million, making it the largest corporation in the country. When the Panic of 1873 hit, Rockefeller bought up many smaller oil producers and by 1877 he controlled nearly 90% of oil production in America.
By the 1880s Standard Oil trust was formed and the company began to expand overseas, particularly Europe and Asia. The Rockefellers made it through the trust busting days of the 1890s, the Panic of 1893, and into the new century. Standard Oil was so large by that point, and had so many offshoots, that it was virtually unstoppable. The Rockefellers had enormous wealth as well, and $100 million of that was funneled into the Rockefeller Foundation in 1913 to “promote the wellbeing of mankind throughout the world.” The Lazard family came on the scene in 1848 when Alexandre, Lazare, and Simon Lazard started Lazard Frères & Co., a New Orleans firm that specialized in dry goods.
They were successful and in just a few years branched out to both New York and San Francisco. The family profited handsomely from the American Civil War and moved into banking before branching out to their native France and then into England. By this time the real power behind the business was Alexander Weill, a family cousin. Over time these “Houses of Lazard” had much influence and like the other families, they began to build connections to other powerful businessmen and industrialists. It was in Paris that the Rothschild connection was made, in 1897 when the family joined the Rothschild bank.
Philip Lehman started Lehman Brothers in 1850. The Lehman family can trace their roots back to Bavaria in the early-1800s, and specifically Abraham Lehmann, who was a cattle merchant. In 1844 Abraham’s son, Henry Lehman, came to America and settled in Alabama. In 1847 his brother Emanuel Lehman came over and then in 1850 brother Mayer Lehman came over. That was the year they changed their name to Lehman Brothers. The brothers got heavily into cotton and profited handsomely during the Civil War. Following that they moved up to New York, in 1870, to start the New York Cotton Exchange. By 1906 Lehman Brothers had partnered with Goldman, Sachs & Co., beginning a decades-long relationship in stock buying that proved extremely lucrative for both families.
Samuel Sachs was very good friends with Philip Lehman. Goldman Sachs first started as a bank in New York in 1869. Marcus Goldman had been the man behind it, and in 1882 his daughter married Samuel Sachs. By 1885 the firm had changed its name to Goldman Sachs & Co. and started striking it rich with paper products. Israel Moses Seiff was born in 1889 in England. His father had come from Lithuania and done wall at business, giving the younger Seiff a good start. From there the Seiff family got into banking and was heavily active in the Zionist Movement to see a Jewish state started in the Middle East.
There are twelve Federal Reserve branches, named:
N.M. Rothschild of London;
Rothschild Bank of Berlin;
Warburg Bank of Hamburg;
Warburg Bank of Amsterdam;
Lehman Brothers of New York;
Lazard Brothers of Paris;
Kuhn Loeb Bank of New York;
Israel Moses Seif Bank of Italy;
Goldman Sachs of New York;
Rockefellers’s J.P. Morgan Chase Bank of New York.
We know these banks are in control as J.W. McCallister, an oil insider associated with the House of Saud, wrote as much in his book The Grim Reaper. He also revealed that the Saudi Royal Family owns 80% of the New York Federal Reserve Bank, the most powerful in the American wing of the international banking system. (Henderson, p 451) Israel and Saudi Arabia: Best Friends Forever (Zionism/the Rothschilds Created Both States)
Federal Reserve Impact on Montana
The Federal Reserve played havoc in Montana. Over six years from 1920 to 1926 there were 214 banks in Montana that went under, half of all in the state, and more than anywhere else in the country. On top of this there were 20,000 mortgage foreclosures in Montana from 1919 to 1925 and that meant half of the people in the state lost their land, and often homes. The problem was that Montana had too many banks, plain and simple, and the reason for this was the Federal Reserve, the third Rothschild-controlled bank the country had seen, and the one that would do more damage than the other two combined. In 1917 alone forty-one new national banks came to Montana, often competing with state banks in towns of just a few hundred people.
Those on the East Coast saw the writing on the wall and took their money out fast. About $30 million fled the state as investors back East took what they could before losing it all. Montanans weren’t so lucky, and 11,000 farms failed as mortgage debt soared to $175 million. Montana had more bankruptcies than anywhere else in the country. The Federal Reserve never forgot its mission to help Americans because that was never its mission. Its mission was to take as much wealth from the American people as possible to benefit the Rothschild family and their cronies. Moneyed interests back East took a ‘rape-and-pillage’ attitude toward Montana, something they’d developed in the booming mining days of the 1880s and 1890s and one they’d continue to push in the 20th-century and on into the 21st.
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http://humansarefree.com/2017/05/american-history-of-rothschilds-and.html
source
https://en.wikipedia.org/wiki/Rothschild_%26_Co
https://themillenniumreport.com/2017/06/american-history-of-the-rothschilds-and-the-eight-most-powerful-families/

Cause Before Symptom
For over 1,000 years, planet Earth has been controlled by two bloodline familes who play good and evil giving the appearance of duality while the sleeping commoners fall prey to their agendas. By using religion, they control the past, present and future through ancient and new black magic technology manipulating events for greed and control.