Archive for the ‘terror’ Category

Summer Storms Over Hungary (I): The Nazi Deluge of May-August 1944.   Leave a comment

The Introduction of ‘The Final Solution’ to Hungary:

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By 1944 it was clear that the Hungarians had backed the wrong side in the war, despite the extension of the country’s territories that its support for the Axis Powers had enabled since 1938. After their forces had been crushed on the Eastern Front fighting alongside the Germans, Regent Horthy had tried to manoeuvre a way out of the war. In March, however, when Hitler had learnt of Horthy’s plans, he forced the Regent to accept an occupation of the country and the application of the ‘Final Solution’ to Hungary’s territories through the deportation of the entire Jewish population, as enumerated in 1941, to Auschwitz.

 

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Four gas chambers were fully operation by 1943 and were working at full stretch by the time 437,000 Hungarians were brought there from early May and killed, within a matter of eight weeks, by early July. At the camp, between four and eight hundred people could be packed into huts that had originally been designed for forty-two horses, in which lice and flees were endemic.

SS Obersturmbannfuhrer (Lieutenant-Colonel) Adolf Eichmann led the special force that deported the Jews from Hungary.

He later boasted to one of his cronies that he would ‘jump laughing into his grave’ four his part in the deaths of four million Jews. In a 1961 diary entry after his conviction in Israel for genocide, Eichmann wrote, chillingly:

I saw the eeriness of the death machinery, wheel turning on wheel, like the mechanisms of a watch. And I saw those who maintained the machinery, who kept it going. I saw them, as they re-wound the mechanism; and I watched the second hand, as it rushed through the seconds; rushing like lives towards death. The greatest and most monumental dance of death of all time; this I saw.

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Ghettoisation, Deportation & Collaboration:

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Above: The Dohány Street Synagogue, at the centre of the Jewish ghetto in 1944-45.

On the morning of 3 April, British and American aircraft bombed Budapest for the first time since the beginning of the war. In response, the Hungarian security police demanded that the Jewish Council provide five hundred apartments for Christians who had been affected by the raid. Those Jews moving out of their homes were to be concentrated in apartment buildings in an area between the National Theatre and the Dohány Street Synagogue (above). The following day, 4 April, Sztójay’s minister László Baky and Lieutenant-Colonel László Ferenczy of the gendarmerie met to firm up plans for the ghettoisation and deportation of the Jews of Hungary. All Jews, irrespective of age, sex or illness, were to be concentrated into ghettos and schedules were to be would be set for their deportation to Poland. The few people who were still employed in armaments production or in the mines were temporarily spared, but only until suitable replacements could be found for them. Each regional office would be responsible for its own actions. The “rounding up” of the Jews was to be carried out by the local police and the Royal Hungarian Gendarmerie units. If necessary, the police would assist the gendarmerie in urban districts by providing armed help.  It took until 16 April for the full directive and extensive explanations to be typed in multiple copies and sent to local authorities, but the ghettoisation had already begun on 7 April. The orders were marked “secret” and bore the signature of László Baky. He declared:

The Royal Hungarian government will cleanse the country of Jews within a short time. I hereby order the cleansing to be conducted district by district. Jews are to be taken to designated collection camps regardless of gender and age.

This was the basis on which the Hungarian government agreed that the Gestapo could organise the removal of the roughly 450,000 Jews from the provinces, but not the 200,000 from Budapest. It was Adolf Eichmann’s task to organise the liquidation of Hungarian Jews. Between 7 April 1944 and 8 July 1944, we know (from the meticulous records kept by Eichmann’s SS) that 437,402 men, women and children of all ages were forced to leave their homes, first herded in to ‘collection camps’ or ghettos and then transported to Auschwitz. They were to be transported in 148 long trains of cattle wagons. At the end of April,the Jewish leaders of Hungary, together with the Hungarian leaders of the Roman Catholic, Calvinist and Lutheran Churches, in addition to the Regent, Admiral Miklós Horthy, received a detailed report about the deportation to Auschwitz, but kept their silence, thus keeping the hundreds of thousands of Hungarian Jews and their Christian neighbours in ignorance, and enabling the success of Eichmann’s timetable. The reality that no one in the villages knew anything about the plan in advance of it being carried out is borne out by the testimony of the Apostag villagers detailed below. Few survived, and of those who did, even fewer returned to their former homes. Once gathered in the collection camps, they were effectively doomed to annihilation, even before they boarded the trains.

Allied Inaction:

Although it was logistically possible for the Allies to have bombed Auschwitz by air from Foggia in Northern Italy from early 1944, the decision was taken not to bomb a camp that the Allies had known since 1942 was being used for the systematic extermination of Polish Jews. While it was evident that the unmarked underground gas chambers and crematoria might well have escaped, it is argued that it might have been possible to bomb the railway lines running to and from the camp, and would anyway have been worth the attempt. French railway lines, stations, depots, sidings and marshalling yards were principal targets during the pre-D-Day bombing operations, after all. The possibility of killing large numbers of inmates was a major consideration, of course, but a much more regularly used argument was that the best way to help the Jews was to defeat the Germans as quickly as possible, for which the RAF and USAAF needed to bomb military and industrial targets instead. On 26 June 1944, the US War Department replied to a request from American Jewish organisations for the bombing of the Kosice (Kassa) – Preskov railway line between Hungary and Auschwitz by saying that it considered the most effective relief to the victims … is the early defeat of the Axis. By then, the opportunity to save the remainder of the Hungarian Jews from outside Budapest had telescoped to little more than a fortnight, since the last deportations were on 9 July and photo-reconnaissance, weather analysis and operational planning would together have taken longer than fifteen days. One historian has concluded that … Even if it had been successfully bombed, Jews would simply have been transported over a different route.

In any case, with the Allied Chiefs still concentrating on the battle for Normandy (Caen only finally fell on 9 July), the bombing of Auschwitz and/ or Kosice was not likely to get much high-level consideration. Nonetheless, the camp inmates desperately wanted the camps to be bombed, even if many of them would have been killed in the process. When the nearby IG Farben factory was attacked, killing forty Jews and fifteen SS, the inmates quietly celebrated.

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The first transports from Hungary to Auschwitz began in early May 1944 and continued even as Soviet troops approached. The Hungarian government was solely in charge of the Jews’ transportation up to the northern border. The Hungarian commander of the Kassa railroad station meticulously recorded the trains heading to Auschwitz with their place of departure and the number of people inside them. The first train went through Kassa on May 14th. On a typical day, there were three or four trains, with ten to fourteen thousand people on each. There were 109 trains during these 33 days through to 16 June, as many as six trains each day. Between June 25th and 29th, there were a further ten trains, then an additional eighteen trains between 5-9th July. By then, nearly 440,000 victims had been deported from the Hungarian towns and countryside, according to the official German reports. Another ten trains were sent to Auschwitz via other routes from Budapest, while seven trains containing over twenty thousand people went to Strasshof at the end of June, including two from Baja, on the lower Danube.

The Deportation of Rural Jewish Communities:

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The village of Apostag is in the County of Bács-Kiskun, occupying an area of thirty-two square kilometres, and with a population of just over 2,100. It is located close to the eastern bank of the River Danube, to the south of Budapest. It is both a village and a municipality. There has been a Synagogue in Apostag since 1768, by which time the Jewish population had developed into a sizeable, settled community, worthy of its own place of worship.  The Jews had first settled in this part of Hungary at the beginning of the Turkish occupation, following the Battle of Mohács in 1526.

By the end of the Great War and the beginning of the living memory of those giving oral evidence, there were some 2,300 inhabitants of the village and 104 Jewish families. Some of them owned land and some rented it, so not all the Jewish families were rich, and some remained quite poor. There were between one and three children in the families (smaller than the average ‘Magyar’ family). Twenty-four councillors were elected for the Village Council, one for each group of ten families. These representatives needed to be fairly wealthy landowners to qualify for election and the fact that twelve of these councillors were Jewish also shows how integral a part of the leadership of the village they had become.

One of these councillors, János, had joined the army in 1940 and was a soldier until 1948. He was only given leave once during this time, and this, crucially and perhaps poignantly, happened to be in May 1944. While he was at home, the Jewish families were taken away from the village. There is no evidence that anyone in the village, including ‘regular’ soldiers like János, had any prior knowledge of the Nazi deportation plan. Even if they had heard something, there were only two cars in the village in 1944, so there was no real possibility of escaping abroad in the days and nights before it was so rapidly and ruthlessly enacted. As it happened, János was surprised by the speed with which the Hungarian Gendarmerie and ‘Military Police’ came in and took the Jewish people to Kalocsa. No one knew where they were being taken, or how long they would stay there, or what would happen to them. They were told to gather what they needed and they had to leave this village. Two little girls, aged 9 and 11, were somehow left behind, and they were able to stay on for a while, but one day the soldiers came and took them to Kalocsa as well. He was able to talk with the Hungarian soldiers who said that they weren’t very happy to take the girls away, but they had to do this. In 1991, the surviving villagers recalled:

When the Jews had to leave this village, Anna saw a little girl in someone’s lap, crying, ‘don’t let me go away, I want to stay here’, but she had to go as well. Everybody had to leave this village. When the Jews had to leave the village, they didn’t want to leave their houses and were wailing at the walls. They were kissing the walls with their lips and caressing them with their hands. The children were crying. It was really terrible. Some of the Christian families who lived close to the Jews went to the Jewish houses to say goodbye, and it was a very sad event, such a sad thing that they cannot forget it.

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The Library in the Village House (former synagogue), Apostag, 1991.

All the witnesses agreed in their evidence that the village people who weren’t Jewish couldn’t do anything to save their Jewish neighbours. The villagers also told us how they had watched from the nearby woods, in secret disbelief, as the soldiers took the Jews away in May 1944. They went on carts from the village to Kalocsa, which although further south of Budapest along the Danube, was apparently used as an assembly point for the Hungarian Jews being sent to the concentration camps. The villagers all stated that they did not know this at the time. So, when the Jewish people were taken away from the village, nobody knew anything about where they would go. They went by horse and cart to Kalocsa, some with their non-Jewish servants driving, so unaware were they of the ghastly reality which awaited them. All anyone knew was that they would stay for a while in Kalocsa, but nothing else. Of the roughly six hundred Jews deported from the village, only six ever returned after the war, before emigrating.

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In total, 147 trains were sent to Auschwitz, where 90% of the people were exterminated on arrival. Because the crematoria couldn’t cope with the number of corpses, special pits were dug near them, where bodies were simply burned. It has been estimated that one-third of the murdered victims at Auschwitz were Hungarian. For most of this time period, 12,000 Jews were delivered to Auschwitz in a typical day. Photographs taken at Auschwitz were found after the war showing the arrival of Jews from Hungary at the camp (see above and below).

The devotion to the cause of the ‘final solution’ of the Hungarian Gendarmerie surprised even Eichmann himself, who supervised the operation with only twenty officers and a staff of only a hundred, including drivers, cooks, etc.

Very few members of the Catholic or Protestant clergy raised their voices against sending the Jews to their death. A notable exception was Bishop Áron Márton, in his sermon in Kolozsvár (now Cluj Napoca in Romania) on 18 May. But the Catholic Primate of Hungary, Serédi, decided not to issue a pastoral letter condemning the deportation of the Jews. By contrast, later that summer, when the fate of the Hungarian Jews became known in the West, British Prime Minister Winston Churchill, in a letter to his Foreign Secretary dated 11 July 1944, wrote:

There is no doubt that this persecution of Jews in Hungary and their expulsion from enemy territory is probably the greatest and most horrible crime ever committed in the whole history of the world….

Churchill in France in 1944

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Above: Hungarian Jews from the Carpathian Basin continue to arrive at Auschwitz in the summer of 1944.

Even so, in the summer of 1944, the Hungarian Foreign Ministry continued to defend its actions on The Jewish Question against the mounting international outcry against the genocide, led by the United States. According to the Hungarian government, the Hungarian nation was defending its own against the…

… greatest danger… a much greater danger than that presented to the white population of the USA by the negroes or the Japanese. As the Soviet army approached the frontiers of Hungary the defeatist propaganda and disruptive activity of the Jews had had to be stopped. They had therefore been segregated and set to useful work in Hungary and elsewhere. A large number of Jews had been transferred to Germany as a workforce, as had for years also been the case with Christian Hungarians.

The Rounding-up of the Roma:

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Above: Rounding up the Roma & a labour detail in 1944

The ‘Christian’ Hungarians referred to may well have been members of the Roma communities. Alongside the anti-Jewish actions, the Roma were also herded into labour camps in several counties, including Szolnok and Bács-Kiskun, which were established on some of the larger farms. In June, those Roma designated as unreliable were moved to special concentration camps within Hungary. These were established near the bigger provincial towns, and the settled Roma communities in Szolnok, Csongrád, Bács-Kiskun, Pest, Heves and Nógrád counties were moved to camps in Szekszárd, Veménd, Pécsvárad, Baja and Nagykáta. A sizeable number of Roma and Sinti ‘gipsies’, in the tens of thousands, were also sent to their deaths in Auschwitz and other camps.

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The Role of the Regency & the Reserve Corps in ‘saving’ the Jews of Budapest:

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The idea that any member of the Hungarian government, including the Regent (pictured left), was unaware of the scale and nature of the deportations is fanciful, to say the least, as is the idea that Horthy was responsible for stopping the deportations from the countryside and/ or the capital. It is true that Horthy ordered the suspension of all deportations on July 6, but by then the Regent was virtually powerless. This is demonstrated by the fact that another 45,000 Jews were deported from the Trans-Danubian region and the outskirts of Budapest to Auschwitz after this day. Domokos Szent-Iványi (below right), an officer in the Regency and a leading member of the Hungarian Independence Movement, wrote of Horthy’s motivation:

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The Regent’s idea was not to abdicate since that would end in the destruction of the lives of many thousands of people, first of all, Hungarian Jews. His old thesis was that he was still captain of the ship of State and that his duty was to remain on the bridge until the ship was saved or went down, of course with him, the Commander of the ship…

Macartney, a fellow British diplomat, recorded in his memoirs that:

Even the Jews have reason to be thankful that he decided as he did. He did not save the Jews outside Budapest (and it may well be that a more subtle politician or one less easily influenced, could have done more than Horthy did in this direction). But he saved the Jews of Budapest, and no other man could have done it…

Photo Sándor H. Szabó / MTI

Above: The Royal Palace on Castle Hill in Buda, which housed the Regency offices, facing the Parliament House and Government offices across the Danube in Pest; taken from Gellért Hill.

The Jews of Budapest itself, numbering about 230,000, had not yet been touched except that they had been required to move into Jewish Houses, but neither had they yet been saved. The negotiations between the Jewish leaders and the Germans were still going on. Although at one time Eichmann offered to suspend the deportations, or at least the gassings, pending the conclusion of a bargain, his price was far higher than anything which the Hungarian Jews could pay. Most of the negotiations concerned relatively small numbers – in the first place, only 750 emigrants for Palestine. Later, larger numbers were mentioned, partly in connection with a remarkable offer made by the Germans to trade the Jews for war material. The Allies rejected this, and in the end, the Kasztner-Brand negotiations brought the release of only a few thousand Jews. A few Jews bought their way out privately, and these included one group whose fate involved issues of nation-wide importance. These were the inter-linked families of the Weiss, the Kornfelds, the Chorins and the Mauthners, who between them owned not only the Weiss Manfred Works on Csepel, by far the biggest heavy industrial plant in Hungary, which alone employed over forty thousand workers, but also a very large number of other assets.

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Above: Map (with Hungarian legend) showing the extent of the ‘Holocaust of European Jewry’, 1933-45, with deaths shown as a percentage of the total Jewish population, the main centres of the Jewish population in 1933 (red spots and squares) and the main concentration/ extermination camps (black spots).

In the spring and early summer of 1944, those who were interested in what was happening to Jews throughout Eastern Europe had relatively broad access to accurate information, whether from Hungarian soldiers returning from the front, or from refugees escaping from Galicia into Hungary. However, the plain fact is that these pieces of information did not interest a significant part, perhaps the majority, of both the non-Jewish and Jewish population of Budapest. Hungarian Jews looked down on other eastern European Jews and were unconcerned as to their fate. In any case, open resistance on the scale seen in Warsaw seemed futile and their faith in Hungarian society was not completely dead. Samuel Stern, the leader of the Jewish Council in Budapest, had no illusions about Eichmann’s aims, as he later stated:

I knew about what they were doing in all the occupied countries of Central Europe and I knew that their operation was a long series of murders and robberies… I knew their habits, actions, and their terrible fame.

János Horváth (born 1921, in Cece, Hungary), was an economist, becoming an MP 1945-7, who then emigrated to the US where he became founder-President of the Kossúth Foundation in New York. He returned to Hungary in 1997 and became an MP again after 1998 when he recalled how the Budapest Zionists had…

… got hold of the Auschwitz testimonies written by two Slovakian Jews, who had been able to escape from the death camp in early 1944. (They) had it translated and sent to diplomats and Jewish leaders abroad and in Hungary, as well as to Regent Horthy’s daughter-in-law, Ilona. This was the first time… as late as spring 1944, when political leaders in Europe and America read authentic personal testimony about systematic Nazi extermination going on in Auschwitz.

The saving of most of the Budapest Jews was made possible by Horthy’s reserve corps, the élite armoured battalion of Esztergom marching on Budapest on 5 July under the command of Colonel Ferenc Koszorús, dispersing and disarming pro-Nazi ‘gendarmerie’ units. This was a direct result of Horthy’s stunned reading of the testimonies…

Five years ago, on the seventieth anniversary of the German occupation of Hungary, Frank Koszorús, Jr,  the Colonel’s son and a lawyer in Washington DC, founder of the Hungarian American Coalition and President of the American Hungarian Federation of Wahington DC, wrote a clear statement of the established ‘facts’ of the Holocaust in Hungary; in the March 2014 edition of The Hungarian Review, he recorded the following view of these associations on the events of 1944:

The American Hungarian Federation, representing a cross-section of the Hungarian American community, strongly supports historical accuracy, completeness and integrity… Considering the extent of the catastrophe of the Holocaust, great care should be taken to avoid actions that serve no purpose other than to open old wounds and needlessly exacerbate controversies. Care should also be taken to objectively discuss all aspects of a period and not abuse history for political purposes.

Considering these general principles, the Federation believes:

First, that any attempt to whitewash the catastrophe of 19 March 1944 – when Hitler occupied Hungary – and the ensuing deportation and murder of 550,000 Hungarian Jews or the involvement of Hungarian authorities cannot be tolerated.

… the Federation further believes that rescue efforts by non-Jewish Hungarians who stood up against evil, such as Col. Ferenc Koszorús who intervened with his loyal troops to prevent the deportation of the Jews of Budapest in July 1944, must not be omitted, denied, forgotten or minimised. Such rescue efforts must also be acknowledged, taught and remembered for the sake of historical accuracy and to serve as examples for this and future generations of how one should behave in the face of barbarism that characterised the Nazis and their collaborators…

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Map showing the ghettos, main concentration zones and deportation routes in Hungary.

The figure for the total death toll in the Holocaust quoted above takes account of the estimate that about half of the Jews of Budapest eventually became the victims of the ‘Arrow Cross’ Terror of the winter of 1944-45. On the fiftieth anniversary of the Holocaust, Congressman Tom Lantos, a survivor of the Holocaust himself who served as Chairman of the United States House Committee on Foreign Affairs, publicly acknowledged the role of Colonel Ferenc Koszorús:

‘Colonel Koszorús’ unparalleled action (in July 1944) was the only case in which Axis powers used military force for the purpose of preventing the deportation of the Jews. As a result of his extraordinarily brave efforts, taken at great risk in an extremely volatile situation, the eventual takeover of Budapest by the Nazis was delayed by three and a half months. This hiatus allowed thousands of Jews to seek safety in Budapest, thus sparing them from certain execution. It also permitted the famous Raoul Wallenberg, who arrived in Budapest on 9 July 1944, to coordinate his successful and effective rescue mission…’

(Hon. Tom Lantos, ‘Ferenc Koszorús: A Hero of the Hungarian Holocaust’, Congressional Record, 26 May 1994.)

Himmler diaries

Above: Himmler and his journal.

In reality, the Sztójay government continued to ignore the Regent and rescheduled the date of deportation of the Jews of Budapest to Auschwitz to August 27th. What prevented the resumption was that the Romanians switched sides on 23 August 1944, causing huge problems for the German military, and it was on Heinrich Himmler’s orders that the cancellation of further deportations from Hungary was enacted on 25 August. Horthy finally dismissed Prime Minister Sztójay and his government on 29 August. By that time, the deportations from the Hungarian and sub-Carpathian villages had been completed, however.

The Jewish Council, Samuel Stern & Kasztner’s Train:

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In 2012, Zsolt Zágoni edited and published a notebook written in 1944 by Rózsi Stern, a Jewish woman who escaped from Budapest. Written in Hungarian, it was translated into English by Gábor Bánfalvi, and edited by Carolyn Bánfalvi. The notebook is of primary historical significance because it summarises, in forty-four pages of handwriting (published in facsimile), the events beginning from the German occupation of Hungary on 19 March 1944 until the author’s arrival at Bergen-Belsen. It describes the general scene in Hungary, the looting of her family home, and the deportation of the Jews from Budapest. Rózsi Stern was the daughter of Samuel Stern. In March 1944, he was the leader of the group which was obliged to negotiate with Adolf Eichmann, the SS man in charge of the final solution in Hungary, about the fate of the Jewish community. Given the controversy surrounding these events, and Stern’s life, it could be seen as a controversial document. However, as Zágoni himself points out in his ‘Foreword’,

… the importance of the notebook is that an everyday person – realizing the extraordinariness of the events – decides to tell her story, her fate, and the dramatic days of her family’s life and the black weeks and months of in Hungary … while she tries to understand the incomprehensible.

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Rózsi’s account goes on to describe what happened to close relatives and neighbours in Budapest, as well as to the Jews in the countryside and provincial towns, where the Jews were first of all forced into ghettos and then deported or sent to forced labour camps as part of the army. Ghettos were then made in Budapest as well, and designated buildings were marked with a yellow star hanging on the front gate. In the best cases, friends and relatives were able to move in together, five or six of people to one room. Rózsi’s family had to move because their house was designated as a yellow star building, and they occupied his apartment on the first floor, though all the other Jewish people staying there were soon moved on to another apartment house. Together with their father, there were nine of them living in the apartment by June 1944. Her husband, Gyuri, decided they should leave for Palestine, but her seventy-year-old father could not be persuaded to leave his responsibilities, and Rózsi could not imagine parting with him and her mother’s grave. She would also have to leave her husband’s family, including her eighty-year-old mother-in-law. In the end, she decided to leave with her husband and daughter, accepting the place reserved for her on Kasztner’s Train. They were supposed to spend eight to ten days in a German camp outside Vienna and then travel through Germany and Spain to reach Palestine. The question was whether the Germans would keep their word and allow them to reach the Spanish border. The deportees on the Kasztner train numbered 1,684. Rózsa and Gyuri, her husband, were among the ‘privileged ones’ as she described them, those who ‘had a little hope to survive’:

One day my father told us that if we wanted to leave Budapest, there would be one more chance to make ‘aliyah’ to Palestine with the Zionists. This was the particular group I already mentioned. Gyuri, without any hesitation, decided to take the trip, even though this was also very dangerous. He couldn’t take all the stress and humiliation any more, or that so many of our good acquaintances had been taken into custody at Pestvidéki… We received news every hour: in Újpest and Kispest they are already deporting people, and on July 5th it will already be Budapest’s turn… In spite of the immunity that we were entitled through my father – and the protection of the German soldier who was ordered to live with us by the Gestapo (he was protecting us from the cruelty of the Hungarian gendarmerie) – Gyuri decided that we should take this opportunity and leave. 

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Above: Samu Stern’s memoir written in 1945, before he died on 9 June 1946, with his photo on the cover.

Despite this decision, they were still hesitating on the eve of their departure, 29 June, when ‘Mr K.’, Resző Kasztner, who started this aliyah, came to see them and brought news that forced them to make a final decision. He also tried to persuade ‘Samu’ Stern to leave, because, he said, “if there are no mice, there is no need for a cat either.” He reassured them that he had a firm promise that they would reach their destination and that the best proof of this was that he and his whole family would be going with this ‘aliyah’. Unlike his family, Samu Stern decided to stay in Budapest, and somehow survived the terror of the Arrow Cross rule of the winter of 1944-45. However, when the Soviet troops arrived, he was accused of collaboration. The police started an investigation against him, but he died in 1946 before his case could go to court. His activity in 1944, manoeuvring between cooperation and collaboration, is still controversial, as is that of Kasztner and Brand, but it is not the topic under discussion here. However, when considering the question of his anti-Zionism in relation to the potential for Jewish resistance, we need also to notice the total indifference of the Hungarian authorities in Budapest towards the fate of the Jewish population.

On 30 June, her father, accompanied by the German soldier who had been billeted with them, took them by taxi to the camp with their luggage. After two hours trying to ensure their safety, he left them at the internment camp, the synagogue on Aréna Street, which was already crowded with people, mostly those saved from the brick factories in the countryside. Finally, after an anxious day standing in the pouring rain, they boarded carriages ready to depart:

After a two-hour carriage ride, we arrived at the Rákosrendező train station – on the outskirts of Budapest – totally soaking wet. It was starting to get dark by the time we occupied the wagon that was assigned to us.The suitcases were piled up against one of the walls of the wagon, and the backpacks were hanging on nails all around. In the meantime, people from other camps arrived, so by the time everyone got on there were seventy-two of us in our wagon… The wagon was only supposed to hold six horses or forty people…

We were sitting on our blankets, as tightly packed as we could be. There were twenty-six… children in our wagon, including sixteen orphans with one guardian lady… It was a miserable scene, especially seeing so many mentally worn-down people. Some people tried to stretch out, which was almost impossible, and others tried to make room for their legs while they were sitting.  Little children were crying from fear and because of the unusual environment; the bigger ones were fatigued, sleeping and leaning on one another. The adults, worn out from the stress they had gone through, were arguing or weeping in silence.

Everybody was wondering how long we would be able to take this. And we took it, and even worse… The wagon had no toilet, of course, so our human needs could only be taken care of when the train stopped for awhile and we got permission to get off, which was not too easy either as the wagon was very high, so women and children could only get off and on with help and that could take some time… People jumped off the train like animals and shamelessly took care of their needs… because there wasn’t enough time to get farther away…

On Saturday July 1st at 10 a.m., we departed (from Ferencváros Station). We all rushed to the wagon’s only small window to wave a last goodbye to Budapest and everything and everyone that meant our life until now. Tears silently dripped down our faces and our hearts were broken from the pain. Maybe this was the last time we would ever see the Danube, the bridges, and the whole beautiful city where we were born and raised. The youth began to sing the “we’re going to find a new homeland” Hebrew song. Perhaps they will find it, but the older ones cannot be replanted.

The train moved at a quick pace to the border at Mosonmagyaróvár, arriving there at 6 p.m. During the night a baby girl was born, with the help of the doctors in the carriage. They stayed there for four days, built latrines, washed fully and washed their clothes, and bought provisions from local villagers. Their German guards protected them from the cruelty of the Hungarian gendarmerie. On 6 July the train was directed to Komárom and rumours spread that they were being taken to Auschwitz. However, they arrived at the station in the Vienna suburbs in the evening of 7 July and were then moved on to Linz by the next morning, having been told that the camps around Vienna were full. Here they were disembarked and disinfected, fearing that they were to be gassed. When they departed, having been thoroughly humiliated and terrorised by the guards, they had little idea where they were going or how many more nights they would spend on the wagon:

The train sped towards Hannover. We stopped one or two times because there were airstrikes., but this didn’t even affect us anymore. We had submitted to our fate and were totally indifferent.

We arrived on the 9th, a Sunday morning, at an improvised forest station near Hannover. It was a huge prison camp. We washed ourselves in big troughs and after an hour’s break, we sped further towards our destination, Bergen-Belsen.

A whole bunch of German soldiers were waiting for the train, holding enormous bloodhounds on leashes… They yelled their orders harshly. They counted us by putting us in lines of five. This took about an hour and a half in the strong afternoon sun, and we almost collapsed from fatigue. After this, we walked nine kilometres. Sick and old people and our luggage were carried on trucks… We reached an immense camp. There were prisoners here of all types and nationalities: Russian, Polish, French, Dutch, Hungarian and Jewish. Each barrack block was separated with wire fencing. We got block 11. When we arrived, everyone was registered, and then they assigned our accommodation. Men and women were separated… 

About 160 of us were placed in one barrack, as an average. It was a dark wooden building with one small window (without lighting in the evening) and three-level wooden bunk beds above each other. Lydia and I got bottom beds so I wouldn’t have to climb ladders. Between the beds there was just enough room to turn around. It was very sad to move in here, but we were so tired that we were happy to have the possibility to finally stretch out. However, this only happened much later. Once everybody had a bed, we received an order to line up… Lining up took place in the yard, with people grouped by barracks. The first lineup took two hours in the pouring rain, with us wearing thin summer clothes without hats…

The first dinner was next. They brought soup in pots. We stood in a line individually with the mess tins we were given. Unfortunately, no matter how hungry we were, we couldn’t swallow this slop. In the backpack we still had a little bit of food left from home, but we really had to be careful with that because our prospects were not very encouraging… we had to lie down wet, without blankets. It was a divine miracle that we didn’t catch pneumonia…

It is hard to imagine sleeping in these physical and mental conditions. Sometimes a child would start crying, suppressed sobbing and deep sighs, for the old life and loved ones we left behind. You could hear other people snoring, and the different emotional and physical manifestations of 160 people. There was not a single minute of silence. Crowds of bedbugs and fleas rushed to welcome us. However, towards the morning, sleep still overcame me because I was greatly exhausted.

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That is where the notebook ends. On 1 August 1944, Lídia (pictured above) sent a postcard, which still exists, from Bergen-Belsen to her fiancée,  in a labour camp in Northern Transylvania. It told him that she and her parents were ‘doing well’ and had ‘the best prospects’ of continuing on their journey. Apparently, a ‘Collective Pass’ allowing group border crossing, stamped by the Swiss Embassy in Budapest and signed by its Consul, Carl Lutz, was what eventually secured their onward journey and border crossing. After their round-about route to Bergen-Belsen and their horrific sojourn at the death camp, the refugees were then taken in two groups to Switzerland. One of these groups, comprising 318, including Rózsa Stern and her husband and relatives, arrived in Switzerland relatively quickly, while the other could only pass the German-Swiss border in December 1944. About a dozen people died on the way. Rózsi Stern (Bamberger) died in 1953, the year after her husband György.

Rezső Kasztner’s personal courage cannot be doubted since he returned from Switzerland to Nazi Germany to rescue more people before he himself emigrated to Palestine, where he was assassinated by Zionist extremists in 1957.

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(to be continued…)

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The Conquest of Normandy & The Red Army’s Advance to Warsaw, June-July 1944.   1 comment

After D-Day – The Battle for Normandy:

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The landings of 6th June were, of course, ‘just’ the beginning of the campaign to liberate Western Europe from the occupation of the Third Reich. Having got into the fields behind the beaches, the Americans, in particular, were dismayed to find themselves among the bocage, the thick, high and wide hedgerows that provided ideal cover for defence. From the German perspective, General Blumentritt wrote to a correspondent in 1965, saying that the German soldier had bled to death through wrong politics and dilettante leadership of Hitler. In particular, Normandy had been lost, he claimed, because Hitler ordered a rigid defence of the coasts. That was not possible over two thousand kilometres, especially when considering the Allied mastery of the air, the Allied masses of ‘matérial’, and the weakened German potential after five years of war. General Rundstedt wanted to give up the whole of France south of the Loire in order to  concentrate on fighting a fast-moving tank battle around Paris instead, but he was prevented from doing this by Hitler and Rommel who intended to carry out the defence with all forces on the beach and to use all tank-corps right in front, at the coast.

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Timetables were vital to the Germans, and in reinforcing Normandy as quickly as possible they were severely hampered by the destruction of road and rail routes by the bombing campaigns and by heroic acts of resistance by the French Maquis, who attacked the Germans and destroyed bridges and railways in the path of the Panzers. This led to horrific reprisals, the best known of which were carried out by the fifteen-thousand-strong 2nd SS Das Reich Panzer Division, frustrated by losses and delays as it attempted to drive from Montauban in southern France to repel the invader in Normandy. The 450-mile journey lasted three weeks after they had set out on 8 June, as opposed to the few days it would have taken had they been left unharried. In retaliation for the killing of forty German soldiers in one incident, Das Reich exacted widespread reprisals in the town of Tulle in the Corréze. One woman recalled how…

I came home from shopping on 9 June 1944 to find my husband and son hanging from the balcony of our house. They were just two of a hundred men seized at random and killed in cold blood by the SS. The children and wives were forced to watch while they strung them up to the lamp-posts and balconies outside their own homes. What is there for me to say?

Yet worse was to come the following morning, 10 June, at the small village of Oradour-Sur-Glane, where Major Adolf Dickmann’s unit murdered 642 people, including 190 schoolchildren; the men were shot, the women and children were burnt alive in the church and the village was razed. The village can be visited today, left deserted and destroyed as a memorial and a stark reminder of man’s inhumanity to man. This was featured in a special episode of ITV’s ground-breaking documentary series, The World at War in the 1970s. Yet, as Max Hastings has pointed out…

It is important to remember that if Oradour was an exceptionally dreadful occurrence during the war in the West, it was a trifling sample of what the German Army had been doing on a national scale in the East, since 1941. 

It was, however, a stark reminder, if one were needed, of exactly what the Allied troops were fighting both for and against if one were needed. It also showed the lengths and depths the Nazis were prepared to go in resisting the Allied advance. Hardly surprising then that German resistance around Carentan on 13 June and Caen on 18 June prevented Montgomery from taking either town, although the US VII Corps under Major-General J. Lawton Collins took Cherbourg on 27 June after five days of heavy fighting and the destruction of the harbour by the Germans, which the Allies could not then use until 7 August. The Germans in Caen, which Montgomery called the ‘crucible’ of the battle, held out until 9 July, and the town was little more than rubble when it finally fell. Despite this fierce fighting continuing until more than a month after the initial landings, the London Evening News was not prevented from claiming its capture on the day after D-Day, perhaps an example of how ‘fake news’ was already part of war-time propaganda campaigns. Basil Liddell Hart was proved right in his description of Overlord as having gone according to the plan, but not according to the timetable.

The Coup Attempt Against Hitler:

Years after the war, Dönitz stated that it was the defeat of the German U-Boat which had enabled the success of the Anglo-American invasion of Normandy in July 1944. That was the point at which the German High Command knew they had no chance of winning the war. Some in that High Command, though not the ultra-loyal Dönitz, decided that they had to try to assassinate Hitler. Far from acting out of any kind of democratic conscience, the vast majority of the plotters were simply determined to remove, as they secretly saw him, an incompetent upstart corporal who had by then become the major obstacle to a negotiated peace which was the only objective alternative to accepting, sooner or later, a Soviet occupation of Germany.

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So it was that on Thursday 20 July a two-pond bomb planted by the Swabian aristocratic war hero Colonel Count Claus von Stauffenberg ripped through one of the conference huts at ‘Wolf’s Lair’ in East Prussia (now Poland), only six feet from where Hitler was studying an air-reconnaissance report through his magnifying glass. Despite extensive minor injuries, he survived. Churchill described the July Plotters as the bravest of the best, but in reality, they were extreme German nationalists, if not Nazis, and very far from the idealist democrats depicted by Hollywood.

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The hope of the Plotters that they could make peace with Britain and America was flawed since the war was now being fought by an Anglo-Russian-American coalition so that it was unthinkable that Britain could enter into negotiations with Germany and/or its axis allies behind her allies’ backs. As one of the senior officials in the German Department of the Foreign Office, Frank Roberts, put it in his autobiography:

If Stalin got the impression we were in contact with the German generals, whose main aim was to protect Germany against Russia, he might well have been tempted to see whether he could not again come to terms with Hitler.

Re-balancing the Record – The Russian Contribution:

Following the collapse of the ‘Eastern Bloc’, historians such as Laurence Rees have been able to re-balance our understanding of the final year of the Second World War. When he was taught the history of the War in the early 1970s, his teachers got round the moral and political complexities of the Soviet Union’s part in the war by the simple expedient of largely ignoring it. My teachers taught us nothing at all about the Second World War; nor even very much about the First World War. At the time, in the depths of the Cold War, that was how most people dealt with the awkward legacy of the West’s relationship with Stalin. The focus was on the heroism of the Western Allies – on Dunkirk, the Battle of Britain and D-Day. None of this, of course, is forgotten, and neither should it be. But it is not the whole story. Before the fall of Communism, the role of the Soviet Union in the Second World War was, to a large extent, denied a proper place in our culture because it was easier than facing up to a variety of unpalatable truths. The D-Day commemorations we have just been through, important as they were for both the veterans who took part and for the western leaders, reverted to a self-conscious western triumphalism, failing to involve contemporary Russian leaders and almost completely ignoring the ‘Russian’ contribution, however controversial it may remain. Neither has there (yet) been any reference to the role of Poland and other parts of Eastern Europe in resisting and ultimately defeating the Reich.

Képtalálat a következőre: „quebec conference 1943”The Western Allies had agreed to launch Operation Overlord, the long-awaited ‘second front’ in the spring of 1944, following the first Anglo-American Conference in Quebec in August 1943 (pictured right). But because of the slow progress of the Italian Campaign, Churchill had wanted to revisit the whole schedule in October 1943. He had on several previous occasions announced that despite agreeing with the second front in principle, in practice there was always one more operation that needed to take precedence; the Americans had at last run out of patience with him. It was a matter that Roosevelt and the American military leadership, including Eisenhower, did not want to reopen.

Képtalálat a következőre: „quebec conference 1943”Besides which, there were precious few landing craft in Europe that were not already committed for D-Day. At a meeting on 24 November in Cairo, Churchill had finally seized his opportunity to plead with Roosevelt and the American generals for more resources for the Mediterranean. But, predictably, the Americans would not countenance a delay to Overlord.

Towards the end of the meeting, Roosevelt had reminded Churchill of the relative troop numbers now committed to the overall conflict: very soon more Americans would be involved in the war than troops under British command. On 26 November, Roosevelt and Churchill left for Tehran. In the plane, Churchill had gloomily confided to his doctor, Charles Wilson, that the campaign in Italy had been put ‘in jeopardy’ by the US President’s desire to invade France on the schedule drawn up in Quebec. Wilson (later Lord Moran) had a revealing conversation just before the conference in which Roosevelt’s close advisor, Harry Hopkins, told him that…

The President is convinced that even if he cannot convert Stalin into a good democrat he will be able to come to a working arrangement with him. After all, he had spent his life managing men. And Stalin at bottom could not be so very different from other people. Anyway, he has come to Tehran determined… to come to terms with Stalin, and he is not going to allow anything to interfere with that purpose.

Képtalálat a következőre: „quebec conference 1943”

Above: The three Allies at the Tehran Conference.

On the Eastern Front – Operation Bagration:

As the soldiers of the Western Allies battled to establish a foothold in Normandy, the Red Army prepared to launch a massive attack on German Army Group Centre in an attempt to recapture Minsk and push the Wehrmacht back out of the Soviet Union. This operation, which had been agreed at Tehran, dwarfed D-Day in scale. The Germans had thirty divisions in the West to face the Allied onslaught following D-Day but concentrated 165 divisions against the Red Army in the East. Over two million Red Army soldiers took part in their June offensive, codenamed Operation Bagration after the Georgian military hero who had fought against Napoleon. Veniamin Fyodorov, a (then) twenty-year-old soldier with the Soviet 77th Guards infantry regiment recalled his experiences in this assault on 22 June, as he watched the initial bombardment from his own side:

For Bagration we were preparing very carefully. Whatever resources the Soviet Union had were concentrated in this direction. Big numbers of artillery, tanks and ammunition. And big numbers of infantry. … When you look ahead, you see bits of earth flying up into the air and you see explosions. As if you light a match. Flashes, flashes. One flash, another flash. And bits of land are thrown up in the air. After the bombardment, planes came, flying low. We felt more cheerful because we had a lot of military equipment. 

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For the Germans, by contrast, the Operation marked the lowest point in their military fortunes on the Eastern Front to date – lower even than Stalingrad in terms of military losses. Seventeen divisions were completely destroyed, with another fifty enduring losses of fifty per cent. And it was Hitler who was largely to blame for this defeat since he no longer trusted his generals to take the initiative on the battlefield as he had done during the invasion of the Soviet Union in 1941. He now gave direct tactical orders to the commanders of the 9th Army who faced Operation Bagration, orders which were increasingly disconnected from the realities of the modern battlefield. On the eve of Bagration, General Jordan, commander of the 9th Army, wrote these words:

… The Army believes that even under the present conditions, it would be possible to stop the enemy offensive, but not under the present directives which require an absolutely rigid defence. … The Army considers the orders establishing “Feste Platze” (Fortified Places) particularly dangerous. The army looks ahead to the coming battle with bitterness, knowing that it is bound by order to tactical measures which it cannot in good conscience accept as correct and which in our earlier victorious campaigns were the cause of enemy defeats.

This sense that the Germans were contributing to their own defeat now pervaded even the most junior ranks. A twenty-two-year-old private with the 9th Army, Heinz Fielder, recalled the demoralising effects of these nonsensical orders received from the division or the army corps:

I remember once that one position had definitely to be taken back again, and the young second lieutenant had refused to attack again because more than half his men had already died and they were all just sacrificed. They attacked again and again until the very last one died and that of course makes you wonder. But those were the men of the General Staff. They had their little flags and they put them on the map and then they say, this absolutely has to be restored, no what the sacrifices are.

Fielder was one of the Germans ordered to defend the Feste Platz of Bobruisk in the wake of the Red Army attack. He recalled:

Everywhere dead bodies are lying. Dead bodies, wounded people, people screaming, medical orderlies, and then there were those who were completely covered, who were not taken out at all, who were buried there straight away by the bunkers and trenches that collapsed. You don’t have any feeling any more for warmth or coldness or light or darkness or thirst or hunger. You don’t need to go to the loo. I can’t explain it. It’s such a tension you’re under … Everything was simply shit. Everything was shit.

Only after the Feste Platz was completely encircled and had been subjected to continuous bombardment was Fielder’s unit, at last, told it could try to escape.

And then the last command arrived. Destroy vehicles, shoot horses, take as much hand ammunition and rations with you as you can carry. Every man for himself. Well, now go on and rescue yourself.

Fielder joined a group of other German soldiers who were trying to fight their way through the Red Army troops ahead of them and reach the retreating German line. He headed West – towards the setting sun, and saw sites which continued to haunt him sixty years later:

There was a private, a young boy, who sat at a very big birch tree … from his tummy his intestines were streaming  and he was crying, “Shoot me! Shoot me!” and everybody just ran past him. I had to stop – but I could not shoot him. And then a young lieutenant from the sappers came. He took off his headgear and gave him the ‘coup de gráce with a 7.65 into the temple. And that’s when I had to cry bitterly. I thought if his mother knew how her boy ended, and instead she gets a letter from the squadron saying, “Your son fell on the field for great Germany”.

In July 1944, the German Army on the Eastern Front lost nearly two hundred thousand men killed or wounded; in August it was nearly three hundred thousand.  In total, German losses as a result of Operation Bagration would be calculated at around 1.5 million. This was an unprecedented defeat for Hitler and his generals and was unparalleled by anything occurring in the same period on the Western Front. By comparison with the Western Allies, the Red Army had made rapid progress against the Wehrmacht, retaking Minsk, capital of Belarus, on 3 July. Fyodor Bubenchikov, a twenty-eight-year-old Red Army officer, remembered that…

… gradually the Germans were losing morale and losing their belief in victory; Germans no longer cried “Heil Hitler!” On the contrary, they were surrendering. They were crying: “Hitler kaputt!”

That summer, Bubenchikov said he felt as if he were “flying”, as did all the Red Army units engaged in the action, from the ordinary soldier to the commander. Operation Bagration, still not known as well in the West as it should be, marked the end of a transformation in the fortunes of the Red Army. The Soviets had managed to increase their manufacture of military equipment and were now out-performing the Germans. In both 1943 and 1944, they produced more tanks and self-propelled guns than their enemy. Added to the increased Soviet output, of course, were the benefits of aid from the Western Allies, the bulk of which came from the USA. Although this remained only a small percentage of the total equipment of the Red Army, it was important because of the superior technology it contributed. For example, the Studebaker US6 truck was used by the Red Army for launching of Katyusha rockets.

The Polish Dimension & Dilemma:

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But elsewhere in Eastern Europe, as the Red Army moved forward at speed, some of the people whose lives had been changed for the worse by this reoccupation of ‘Soviet territory’ were just beginning their new and bitter existence under an army which, for them at least, was far from being one of liberation. In the wake of the attack on German Army Group Centre in Operation Bagration, the Red Army moved forward into eastern Poland and mounted the Lwów-Sandomierz assault. This powerful thrust involved over a million Soviet soldiers of the first Ukranian front under Michael Konev. In July 1944, the Red Army approached Lwów, a city they had first seized in September 1939 in agreement with the Nazis. Anna Levitska, then a teenager living in the city recalled:

In 1944, when the Red Army came for a second time, it was, of course, worse, because we already had an idea of what the consequences might be, because of all the arrests there had been in 1939 and 1940. … So of course it was terrifying.

Anna also recalled one old man coming up to her and her family in 1944 saying, this is the second time. It was better the first time. When they asked him why, he replied: Because the first time, they came and they went. But this time when they come, there is no way they will be leaving. Vyacheslav Yablonsky was part of the great Soviet assault on Lwów that summer. But he was in no sense an ordinary soldier: as a member of an élite NKVD squad, he had a very specific role. Together with two dozen other members of the secret police, and a squad of Red Army soldiers, he entered Lwów just before the Germans retreated from the city. Travelling in American Studebaker trucks they plotted a route via the back streets of the city to the Gestapo headquarters. The location was familiar to them since the German Secret police had simply replaced the NKVD in the building, which had been used previously by the Austro-Hungarian intelligence agency.

The task facing Yablonsky and his comrades was straightforward but considered vital. They had to capture the headquarters before the Germans left, and steal intelligence information that their superiors hoped would reveal just who had been collaborating with the Nazis. They arrived just as the Nazis were packing their files into trucks. The Soviet force scaled the wall surrounding the Gestapo HQ, shot the German guards and prevented the trucks from leaving. Hurrying into the building, they made straight for the cellars, where they knew the intelligence files were stored. While the remaining Germans, panic-stricken, sought to escape, the NKVD swiftly made the building secure and started examining the files they had found. They then immediately sought out anyone whom the German documents had named as an informer. Yablonsky also relied on pro-Soviet informers to tell him who had been collaborating with the Germans or was simply ‘anti-Soviet’. Once arrested for making comments against the Soviet occupation, like that of the old man above, the ‘normal’ sentence was fifteen years hard labour. Looking back over sixty years later, he commented:

Now I think it was cruel, but at that time, when I was young, … twenty-three years old, I didn’t. … Now I understand that it’s cruel because I’m older. I don’t think it was a very democratic time. Now you can say anything, but at that time you couldn’t. At that time most things were censored and nobody could say anything bad about the Soviet Union and I’m proud I was part of it and brave enough to go through the war and not let my country down.

Soldiers like Yablonsky believed they were reclaiming Lwów as a part of Soviet territory, which should never be surrendered again. It was members of the underground Polish Home Army who were some of the first to comprehend this dispiriting truth. These were the volunteer soldiers who had remained hidden under the Nazi occupation, waiting for the moment to strike back, and they played an important part in the battle for Lwów. Around three thousand soldiers led by Colonel Wladyslaw Filipowski had supported the Red Army during the fierce fighting that had lasted from 23 to 27 July. But once the battle was won the Soviets arrested the officers and forced the ordinary soldiers to join units of the Red Army. In parallel with the elimination of the underground Polish Home Army, the Soviet authorities immediately sought to re-establish the institutions of control that they had created during their first occupation. Anna Levitska remembered how…

They organised schools according to their own system. It was obligatory that every student belonged to the Young Communists. And, of course, there were no religious classes. Just those lectures on atheism. And studying the history of the Communist Party was obligatory. The fundamentals of Marxism-Leninism – those were the main subjects. We felt betrayed because we had hoped that the West would react differently. … We were even hoping that England and France (would help us), but that didn’t happen.

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On 26 July 1944, while the battle for Lwów still raged, at Perugia in Italy Lieutenant General Anders (above) was presented to King George VI. Wladyslaw Anders was the commander of the Polish II Corps in the British Army. He had successfully negotiated the release of thousands of his fellow Polish soldiers from the Soviet Union. The British monarch had flown to Italy under the pseudonym, ‘General Collingwood’ in order to congratulate Allied forces on their progress there. During dinner, he listened to the regimental band of the II Polish Army Corps and remarked that he found one song particularly attractive. He was told that the song was called, And if I ever have to be born again, then let it happen only in Lwów. But two days later, on 28 July, the Soviets transferred to Chem in Poland a collection of little-known Polish politicians from exile in the Soviet Union. They were to form a puppet government in western Poland, a territory that he had never claimed as belonging to the Soviet Union. This group of collaborators, officially called the Polish Committee of National Liberation, later known as the Lublin Poles after the city they moved to in early August 1945, had declared in a ‘manifesto’ issued in Moscow on 2 July that they were in favour of leftist policies such as nationalisation, as well as a ‘fair’ border with the Soviet Union, which actually meant the ‘Curzon Line’. As far as they, and their Soviet masters were concerned, they were now the ‘de facto’ government of ‘liberated’ Poland. Nikolai Bulganin, a leading member of the Soviet State Committee of Defence, was sent from Moscow to be Stalin’s representative to the puppet Polish government, which effectively reported to him.

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Of course, the imposition on Poland of a régime controlled by Stalin was not something that either the Western Allies or the official Polish government in exile could accept. The situation was further complicated by the presence of four hundred thousand members of the Polish underground, the Armia Krajowa (Home Army) who, though disarmed by the Red Army, owed their allegiance to the government in exile in London. Also that July, the Home Army units that had helped the Soviets to capture Vilnius were disbanded, the officers arrested and the men sent off to join collaborating Polish units within the Red Army. It was against this background that the focus of all the various competing parties turned to the fate of the capital, Warsaw, which rose up against the German occupiers in the summer and early autumn of 1944, exposing to the world the tensions and conflicts within the Allied ‘camp’ which Churchill, Roosevelt and their respective propaganda machines tried so hard to hide.

As Andrew Roberts has written, the war had to be won by the Allies, of course, but it also needed to be lost, as it was, comprehensively and personally, by Hitler himself, both in the West and the East. It is doubtful, however, if the death of Hitler in the summer of 1944, would have shortened the war. Before June 1944, Germany had wreaked far more damage on the Allies than they had inflicted on Germany. If Himmler had taken over and not made the many strategic blunders perpetrated by Hitler in the final months, Germany might even have fought on for longer. A negotiated peace would have let the German people off the hook, although it would have saved millions of lives in Europe, including those who fell victim to the Nazis ‘Final Solution’ conducted by Hitler and Eichmann right up to the very final months of the war, drawing vital troops and resources away from the front lines. Besides, to have concluded an armistice on the demonstrable fallacy that the war was begun and carried on by one man’s will, rather than through the wholehearted support and enthusiasm of the German people, would hardly have produced the most durable and profound period of peace Europe has ever known.

The Race Against the Rockets & Operation Cobra:

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Above: The Liberation of Europe, January 1944-March 1945.

On 24 July 1944, Churchill had warned his War Cabinet that Rockets may start any minute, referring to the Germans’ wonder-weapon, the supersonic V-2 missile. Its sister-weapon, the V-1 flying bomb, had been terrorising southern England for six weeks, even though fifty-eight of the ninety-two V-1 launching sites had been damaged. After receiving an encouraging report on the Normandy campaign, Churchill also reported on his trip to Cherbourg, Arromanches and Caen during the previous three days, saying that he…

Saw great many troops – never seen such a happy army – magnificent looking army – only want good weather. Had long talks with M (Montgomery) … frightful bombing of Caen … remarkable clearing of mines in Cherbourg harbour. 

Admiral Cunningham wrote in his diary that Churchill was full of his visit to France and was more inclined to talk than to listen. But, in contrast with Hitler, the British PM was capable of listening to, and even asking for, news and advice which was unpalatable. After the Bomb Plot, Hitler became highly suspicious of the veracity of what his generals told him, suspecting that many more had actually been involved than those discovered, and than in fact had been. By 24 July, the Allies had lost 112,000 men killed, wounded or captured in France, to the Germans’ losses of 114,000, including forty-one thousand taken prisoner. The more competent and aggressive General Günther von Kluge, who had recovered from injuries sustained in Russia, took over from Rundstedt and Rommel on 17 July.

‘Overlord’ having ended, the next phase of the invasion was known as Operation Cobra and was intended to break out from the linked beach-heads and strike south and east into central France. The ‘hinge’ was to be the British Second and Canadian First Armies in the area east of Caen, which kept the main weight of the German Army occupied while bold thrusts were made cross-country by Omar Bradley’s US First Army and General Patton’s US Third Army. The Allied offensive began with the carpet bombing of Saint-Ló and areas to the west of it in which 4,200 tons of high explosive were dropped by Spaatz’s heavy bombers. Despite Hitler giving Kluge some of the Fifteenth Army’s divisions on 27 July, the Americans poured forward through gaps in the German defences created by the bombing, and by the end of the month, Collins’ VII Corps had taken Avranches. This allowed US forces to attack westwards into Brittany and eastwards towards Le Mans, proving the value of Patton’s eve-of-battle observation to his Third Army that flanks are something for the enemy to worry about, not us.

The Warsaw Conundrum:

Of all the myths that would grow up around the Warsaw Uprising, the most prevalent was that the Poles had been lured into insurrection by direct blandishments and promises of assistance from the Soviets. But although it’s certainly true that radio broadcasts were made at the end of July under Soviet auspices that encouraged the people of Warsaw to believe that liberation was near, it is not true that this was a direct attempt by the Soviet military to agree on a joint attack on the Polish capital with the Home Army. The appeals were much less specific. On 29 July, for instance, Radio Moscow announced that, for Warsaw…

… the hour of action has already arrived… those who have never bowed their heads to the Hitlerite power will again, as in 1939, join the struggle against the Germans, this time for a decisive action.

In addition, a broadcast from a Soviet-authorised radio station the following day announced that Soviet forces were approaching and were coming ‘to bring you freedom’. But this fell far short of a direct instruction to the Home Army to rise up in Warsaw in a coordinated way in order to link up with the advancing Red Army. So far, it was all just encouraging rhetoric. The Home Army in Warsaw, together with the Polish government in exile in London, faced a difficult political dilemma. They knew that if they did nothing, and the Red Army liberated Warsaw before they could rise up, then the Soviets would be in a far stronger position to dictate the terms of a post-war settlement. On the other hand, if the Home Army rose up long before the Soviets arrived, then they would be annihilated by the Germans. The timing of any rising was therefore crucial. Obviously, it was critically important to try to coordinate any rising with the imminent arrival of the Red Army. But the distrust between the two sides was so great that this was the one thing that the Polish government in exile did not feel able to do. On 26 July, the leader of the Poles in London, Prime Minister Stanislaw Mikolajczyk, authorised the Home Army in Warsaw to pronounce the Rising at a time to be determined by you. But this was an instruction which went directly against the advice of the Polish commander-in-chief in London who had argued that:

Insurrection without a fair understanding with the USSR and honest and real cooperation with the Red Army would be politically unjustified and militarily nothing more than an act of despair.

Mikolajczyk knew better than most that the Warsaw Uprising could not succeed without the practical assistance of the Allies, but he decided that it was best to approve the insurrection first and then, effectively as a ‘fait accompli’, to push for cooperation. He ought to have known beforehand that this was a strategy which was doomed to failure with Stalin. Mikolajczyk was only forty-three, though he had been active in the Polish Peasants’ Party since the 1920s. He travelled to Moscow to meet Stalin after authorising the uprising on 30 July before it had been launched. Nonetheless, the commander of the Home Army in Warsaw had already ordered ‘W’ hour, the launch of the uprising, to take place (without notifying the Soviets beforehand) at 5 p.m. on 1 August. He was aware that not only were the Red Army closing on Warsaw but that on 27 July the Germans had called for a hundred thousand Polish civilians to surrender themselves to help build the capital’s defences. The Home Army was, quite naturally, suspicious of this German order and urged people not to come forward. It thus made sense to the leaders of the Polish resistance to start the uprising at this moment. It was a huge gamble, of course. In Moscow, Mikolajczyk urgently needed to obtain an agreement from Stalin that the Red Army would help the insurgents in Warsaw. Unfortunately, both for him personally and the Home Army generally, Stalin did not see it that way. Besides the fact that he did not recognise the government-in-exile, his commanders were trying to break the power of the Home Army in the sections of Poland that the Red Army had ‘liberated’ so far.

Although the Marshal realised that it would be seen as offensive by his Allies for him to refuse to meet the London Poles, he also knew that he was under no obligation to be accommodating when he did meet them. They were treated with great rudeness from the moment of their arrival, snubbed at the airport, and then told that Stalin was ‘too busy’ to see them. Meanwhile, Churchill was giving a relatively upbeat assessment of the situation in the House of Commons. He talked of having done ‘our best’ to get Stalin to receive the Polish PM, pointing out that the Russian Armies… bring the liberation of Poland in their hands while we have several gallant Polish divisions fighting the Germans in our Armies. Now, he said, Let them come together. But a necessary precondition of this togetherness, he went on to say, was the old proviso that there should be a Poland friendly to Russia. Given the gulf between the Polish government in exile, who regarded the Lublin Poles as Stalin’s stooges, and Stalin himself, who had asserted that the London Poles were Nazi collaborators, Churchill’s Commons statement was wishful thinking to say the very least. When Molotov met the London Poles on 31 July he simply asked, Why have you come? He suggested that they should meet with the Lublin Poles instead. They didn’t manage to get an audience with the Soviet leader until the evening of 3 August, by which time, of course, the rising was already in progress and lightly armed Poles were dying on the streets of Warsaw, desperately in need of help.

(to be continued… )

Sources:

Andrew Roberts (2009), The Storm of War: A New History of the Second World War. London: Penguin Books.

Laurence Rees (2008), Behind Closed Doors: Stalin, the Nazis and the West. London: BBC Books (Ebury Publishing).

Posted June 9, 2019 by TeamBritanniaHu in Agriculture, American History & Politics, Anglo-Saxons, anti-Communist, Austria-Hungary, BBC, Belgium, Berlin, Britain, British history, Canada, Christian Faith, Christianity, Church, Churchill, Cold War, Commemoration, Communism, Conquest, Conservative Party, democracy, Ethnicity, Europe, France, George VI, Germany, History, Holocaust, Italy, Jews, liberal democracy, manufacturing, Marxism, Monarchy, Mythology, Narrative, nationalism, Nationality, Paris, Population, Remembrance, Second World War, Technology, terror, tyranny, United Kingdom, USA, USSR, World War Two

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Who was Hereward? Outlaw Legends and the Myth of the ‘Norman Yoke’.   4 comments

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Above: An illustration by Henry Courtney Selous for Charles Kingsley’s 1865 novel, depicting his attack upon Normans on discovering the loss of his family and lands.

The comic-strip, super-hero and ‘super-villain’ version of the events of the Norman Conquest is an important part of British mythology, but it does not match much of the written record, let alone the architectural and archaeological evidence spanning the early middle ages, from the reign of William I to that of Edward I. The legendary story begins with the Norman’s tireless, heroic and ultimately cataclysmic cavalry charges on the Saxon shield wall at Senlac Hill, near Hastings, followed by their terrorising, or harrying of the north with fire and sword. The Saxons and Danes had captured York, pulling down the castle and seizing all the treasure in it. According to a contemporary chronicle, they killed hundreds of Normans and took many of them to their ships. William’s vengeance was swift and merciless, as recorded in his own words:

I fell on the English of the northern shires like a ravaging lion. I ordered that all their homes, tools, goods and corn be burnt. Large herds of cattle and pack-animals were butchered wherever found. I took revenge on many of the English by making them die cruelly of hunger.

The narrative continues with the Norman’s ruthless mopping up the resistance by Hereward the Wake in the soggy Fens of East Anglia, and It ends with the conquest of Wales two hundred years later. But history is usually written by the victors, and it is all too easily to underestimate the precarious hold which William and his few thousand men held over the combined Danish and Saxon insurgents during the first five years of their rule. It was their accompanying land-grab and their tight system of feudal dues, later mythologised by the conquered Anglo-Saxons as ‘the Norman Yoke’, which enabled them to impose control, though this too was resisted by the thanes, among them Hereward in East Anglia.

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A King’s Thegn was one of the nobles who served King Edward the Confessor, carrying out his orders and seeing to it that others obeyed the King. Had it not been for the Conquest, Hereward would have become a King’s Thegn after his father Asketil’s death. One of his uncles was Abbot Brand of Peterborough, and all five uncles were all sons of a rich merchant, Toki of Lincoln. In 1063, Abbot Osketil of Crowland had begun the building of a new Abbey Church, for which he needed to raise plenty of money. One way of doing so was to rent out the Abbey lands to local lords who would pay an annual sum to the monastery, and one of those who agreed to do so was a young man of eighteen named Hereward Askeltison. As the son of a wealthy local Thegn in the service of King Edward, the Abbot thought that he would be a reliable tenant. Hereward agreed to rent a farm at Rippingale near Bourne in Lincolnshire for an annual rent to be agreed with the Abbot at the beginning of each year. At the end of the first year, Hereward and the Abbot quarrelled over the rent. The Abbot also complained to his father, who mentioned the matter to the King. Hereward had already upset many of the local people of South Lincolnshire, causing disturbances and earning himself a reputation as a trouble-maker.

Hereward the Exile:

King Edward gave the young man five days in which to leave the Kingdom or face worse penalties. Thus Hereward was already a disgraced ‘outlaw’ before the Conquest, forced into exile by his own father and king. It was said that he escaped to Northumbria, as far away from Winchester, then still Edward’s capital, as he could get. Whichever route he took, at some point he boarded a ship to Flanders and was shipwrecked on the coast of Guines, between Boulogne and Calais. In order to earn a living, he began a career as a mercenary soldier. After winning a duel with a Breton knight, he married a noble lady from St. Omer, Turfrida. At this time, an early form of Tournament was becoming popular in France and Flanders, in which groups of men, sometimes on foot and increasingly on horseback, fought each other in front of large crowds. Hereward fought at Poitiers and Bruges, winning a reputation as a tough and skilled competitor. This was how he met and fell in love with Turfrida.

Hearing that Lietberg, Bishop and Count of Cambrai needed soldiers, Hereward joined his army and became one of the twelve knights who formed his bodyguard. He took part in small wars in the area between lords such as Baldwin II of Hainault, a grandson of the Count of Flanders, and Arnulf the Viscount of Picquigny. Hereward was noticed by Baldwin II’s uncle, Robert the Frisian. Robert was planning a campaign on behalf of his father, Count Baldwin V, who had decided to capture the area then called Scaldemariland, comprising the islands at the mouth of the River Scheldt. He took forty ships with an army under his personal command, with Hereward as commander of the mercenary soldiers. Hereward also had to train the younger, newly knighted men. Fierce fighting followed the attack and at the first the islanders resisted so stubbornly that Robert had to fall back and call for reinforcements.

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The islanders boasted later that they had captured their enemy’s battle standard or ‘Colours’, which was considered a great achievement. The Count’s son then launched a stronger attack against the islands because the whole area had risen up against him. He was attacked from all sides, from the islands and from the sea. The invaders on the island of Walcheren, attacking its defences, and Hereward, in what became his trademark in war, suggested setting fire to the enemy wagons. He led a force of three hundred men ahead of the main army and they killed many hundreds of men. He then took a great the high ground with a force of a thousand knights and six hundred foot-soldiers, following this by attacking the enemy in the rear, killing the rearguard. That was too much for the islanders who sued for peace, being forced to pay double what the Count had originally demanded in tribute. Hereward and his men were allowed to keep all the plunder they had seized during the fighting. He used part of his share to buy two fine horses, calling his favourite one ‘Swallow’.

Return to England:

Just as his success was being celebrated, Count Baldwin V died and was succeeded by his elder son, also called Baldwin, much to the displeasure of the younger brother, Robert the Frisian. That brought an end to Robert’s Scaldermariland campaign, and of Hereward’s role as a mercenary commander, but his successes had made him quite rich by that time. This was when he heard that England had been conquered by the Normans and, leaving his wife in the care of his two cousins, Siward the Red and Siward the Blond, he decided to return to England to find out what had become of his family. Once there, he found out that both his father, Asketil, and his grandfather Toki had been killed in the fighting, in addition to his younger brother, Toli, so he decided to join those Saxons known by the Normans as ‘Wildmen of the Woods’ who were resisting the invasion. Although the English had at first been prepared to accept William’s rule, they had become increasingly rebellious due to the behaviour of the ‘robber’ barons and their knights. There had been widespread looting and the lands of the thanes who had been killed in the three battles of 1066 had been simply handed over to the Norman barons without any compensation to their Saxon holders. Those left in charge of the kingdom when William returned to Normandy after his coronation as King did nothing to control their men.

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The rebels had taken refuge in woods, marshes and river valleys and Hereward, who had been born in South Lincolnshire, now returned to the area he knew best, the Fens. He first visited his uncle, Brand the Monk, who had succeeded Leofric as Abbot of Peterborough. The Abbot had returned ‘sick at heart’ from the Battle of Hastings and died of his wounds. Brand had angered King William by paying homage to the boy Prince of Wessex, Edgar Aetheling (the Saxon heir latterly recognised by Edward the Confessor), who was proclaimed king by the Witenagemot following Harold’s death and before William reached London and was crowned on Christmas Day 1066. William made him pay a fine of forty marks for this, a huge sum of money in those days, perhaps equivalent to a thousand pounds in today’s money. Hereward had held some of his lands as protector of Peterborough and now renewed his promise to protect the Abbey. But he also found that all his lands, together with those of his father and grandfather, stretching across more than seven shires, had been expropriated. His own lands had been given to a Breton knight called Ogier and several great Norman lords had shared out his family lands, including Bishop Remigius of Dorchester, who had moved his ‘seat’ to Lincoln, where he was building a new Cathedral on land that had once belonged to Hereward’s grandfather, Toki. Others who had helped themselves to his family’s land included Ivo Taillebois, the Sheriff of Lincolnshire, William de Warenne, later Earl of Surrey and a Flanders knight, brother-in-law of de Warenne, Frederick Oosterzele-Scheldewineke, whom Hereward waylaid and killed in Flanders, signalling a start to his rebellion.

The Norman land-grab – Domesday evidence:

The rebellion in East Anglia and Northumbria took place against the backcloth of the Norman land-grab as evidenced in the Domesday Survey of 1086. In Suffolk, Coppinger’s 1905 book chronicling the manorial records helps us to piece together something of the history of each manor, including those that belonged to Hereward’s kinsmen before the Conquest. We find that in pre-Conquest times, the village of Aspall in the west of the county had two small manors, one held by Brictmar in the time of Edward the Confessor, a freeman under commendation to Edric. He held thirty acres, which at Domesday was held by Robert Malet as the tenant of his mother. She was the widow of William Malet, a baronial tenant-in-chief, who accompanied the Conqueror from Normandy and was one of the few Norman barons proven to be present at Hastings, taking care of Harold’s body after the battle, on William’s command. Legend has it that his William Malet’s mother was English and that he was the uncle of King Harold’s wife Edith, the claim being that he had a sister Aelgifu who married Aelfgar, Earl of Mercia, the father of Edith. Despite his obviously divided loyalties, William of Normandy rewarded Malet’s faithfulness. He was soon appointed High Sheriff of Norfolk and Suffolk, and given the great honour of Eye (Priory), with lands in Suffolk and several other shires. It was, in fact, the largest lordship in East Anglia. He built a motte and bailey at Eye and started a market there. He died in 1071, probably in trying to crush the rebellion of Hereward the Wake, and on his death was one of the twelve greatest landholders in England. His son Robert later became a close advisor to Henry I, and at the time of The Domesday Survey, held 221 manors in Suffolk alone.

William de Goulafriere, who had also accompanied the Conqueror from Normandy, also held three acres in Aspall, valued at fifteen shillings. The nearby large village of Debenham consisted of three Saxon manors, the first held by Edric, a Saxon freeman under commendation to William Malet, with sixteen bordars, twelve ploughteams in demesne and three belonging to the freemen, four acres of meadow, wood enough to support sixty hogs, a rouncy (a cart-horse), four beasts, forty hogs, thirty sheep and forty goats. At the time of Domesday, the manor was held by William de Goulafriere, as sub-tenant to Robert Malet. There were one and a half ploughteams belonging to the freemen, woodland for forty hogs, of which there were twenty, together with six ‘beasts’ (oxen), forty-five sheep and twenty-eight goats. The value of the whole estate had declined from sixty shillings to fifty shillings at the time of Domesday, which shows that the Conquest could well have had a negative effect on the wealthier Saxon manors, possibly due to the amount of woodland which was cut down for building castles. William de Goulafriere also held over the freemen on Malet’s other holding of thirty-six acres, the value of which had declined from ten shillings to six by Domesday. This suggested that he managed the Saxon freemen for Malet, perhaps as an intermediary who understood them better and who respected him as a farmer. He also held Malet’s sixth estate of ten acres, which had half a ploughteam and was valued at two shillings. Winston, an outlying manor of Debenham appears, like the other, larger neighbouring Malet estates, to have had a very independent status as a manor, because it was held in the time of the Confessor by the Abbot of Ely, in demesne.

Like Stigand, Abbot Thurstan was a Saxon, appointed by Harold but, unlike Stigand, he was also honest and hard-working, so William did not replace him, even when he (famously) gave Hereward the Wake sanctuary from William’s soldiers in 1071, helping him to establish his hideout in the Fens. From this base, Hereward began harassing the Normans, killing and robbing them, so that King William himself was forced to offer him a truce after the outlaw thane had almost captured and killed another of his tenants-in-chief, William de Warenne. Hereward then decided to return to Flanders for Turfrida, to bring her back to England with him and also to recruit some of the mercenaries who had fought with him in Scaldemariland. While there he received messages from Abbot Thurstan telling him that his uncle, Brand, was dead and that the sons of Swein Esthrison, King of Denmark, had arrived in the Fens with a raiding army and might be persuaded to support a rising against the Normans. He was also told that King William had appointed a ‘strict French Abbot’ as Abbot of Peterborough, Thurold of Malmesbury, who was on his way to the abbey with an army of Normans from Stamford in Lincolnshire. William was said to have chosen him for his warlike disposition with the clear intention of setting him on Hereward.

Hereward’s ‘Attack’ on Peterborough:

Hereward quickly mustered his men and returned to England, arranging a meeting with the Danes at which he talked them into helping him to upset the Conqueror’s plan by seizing all the treasures of Peterborough to prevent them from falling into the hands of the Normans. Assembling his combined forces of English, Danish and former mercenaries, Hereward advanced to take control of Peterborough, crossing the Fens in large, flat-bottomed boats, using the Wellstream near Outwell, and seeking to gain entry by way of the Bolhythe Gate south of the Abbey. At first, they were resisted by the townsfolk and the monks, who had heard that Hereward and his band of outlaws, including Danes, intended to rob the monastery of its treasures, rather than saving them from the Normans. The Anglo-Saxon Chronicle, written at Peterborough, records how…

… in the morning all the outlaws came with many boats and attacked the monastery. The monks fought to keep them out.

They therefore failed to gain entry, but when his men set fire to the gate and the buildings outside the walls, he and his men, including the Danes, were able to break in. Once inside, they set about collecting everything movable of value they could lay their hands on. They tried to remove the Great Crucifix, laden with gold and precious stones, hanging at the entrance to the High Altar, but they could only take the crown from the head of Christ’s figure. Elsewhere they were more successful, taking eleven decorated boxes containing the relics of saints, encrusted with gold, silver and precious stones, twelve jewelled crosses and many other objects of gold and silver, books with jewelled covers, and the huge altar hanging, also embroidered in precious metals and jewels. They stripped the abbey of most of its precious possessions, including an ancient ‘relic’, the arm of St Oswald. The Anglo-Saxon Chronicle claimed that the outlaws then burnt down the monastery:

Then the rebels set fire to it, and burnt down all the monks’ houses except one, and the whole town… they took so much gold and so many treasures – money, clothes and books – that no one could add them up. They said they did it out of support for the monastery.

They left the area around the monastery, devastated by fire, on hearing that Abbot Thurold and his men were on their way from Stamford. Several senior monks went with them, and none were harmed. Despite the fire, no serious damage was done, and Thurold was able to resume church services within a week of his arrival. However, the Danes held on to the greater portion of the ‘booty’ and refused to assist in further resistance to the Normans. King Swein ordered them to return to Denmark, leaving Hereward and his men to face King William’s wrath. On the journey home, however, they ran into a storm which wrecked most of their ships with the loss of both men and treasure. Hereward and his men returned to their refuge at Ely and held out for several months against all the efforts of the Norman barons, aided by Abbot Thurold, to dislodge them. Hereward’s forces continued to harry the Normans at every opportunity, eve, on one occasion, surrounding Thurold and a company of men, only releasing them on payment of hundreds of pounds ransom, equivalent to thousands in today’s money.

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Ely – Iconic Isle & Impregnable English Stronghold:

At Ely, Hereward became a magnet for rebel Englishmen and Danes, since he himself was of Danish descent. Following his initial disappointment with the Danes who helped him to ‘sack’ Peterborough, he made all those who joined him swear on the tomb of Etheldreda (see the picture below from the Cathedral nave) that they would stick together against the Normans. The Abbey, sixteen miles north of Cambridge, had been founded as a monastery in 673 by St Etheldreda. Destroyed by the Danes in 870, part of it was still standing in King Edward’s reign, though the present building was begun in 1083, after the events described here. Many of Hereward’s supporters who gathered there were his relatives from Lincolnshire, but he was also joined by another Dane, called Thorkell of Harringworth, who had lost his lands in Northamptonshire. Others included the rich landowner Siward of Maldon in Essex, Rahere ‘the Heron’ from Wroxham on the Bure in the Norfolk Broads, Brother Siward of the Abbey of Bury St Edmunds and Reginald, Hereward’s standard-bearer. They carried out a series of raids against the Normans, pillaging far and wide and sometimes suffering heavy losses themselves. They reassured many people that all was not yet lost. For a time, William did nothing, leaving the task of dealing with Hereward to the local barons such as William de Warenne from Castle Acre, William Malet from Eye in Suffolk and Richard fitzGilbert from Clare. But following the rising in the North in 1069 in support of Edgar Aetheling, the last Saxon heir to the thrones of Wessex and England, the Conqueror changed his mind.

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Many of the commoners followed their thanes, often in open rebellion, and even to the point of civil war. William responded by resorting to terror tactics in his well-known ‘harrying of the North’. Two of the last surviving Saxon Earls from King Edward’s time, the brothers Edwin, Earl of Mercia and Morcar, Earl of Northumbria, soon lost all faith in the new Norman king. They feared that as part of his revenge for the rising, which caused William to burn and destroy large tracts of Yorkshire and Durham, they too would be imprisoned. They escaped from their ‘house arrest’ at the King’s court and hid out for six months in the woods and fields, evading recapture. Hoping to find a ship to flee to Flanders, they arrived at Ely, accompanied by other Saxon nobles and their household troops. These included Bishop Athelwine of Durham and two of Edwin and Morcar’s relatives, Godric of Corby and Tostig of Daventry. They all met up in the Fens near Wisbech and persuaded Hereward to allow them to spend the winter at Ely. They had returned south after the rising when Prince Eadgar and Maerleswein, the English sheriff of Lincolnshire and their supporters, had sought refuge with King Malcolm Canmore of Scotland, who had married Eadgar’s sister, Margaret of Wessex, following the family’s flight from the Norman court and their shipwreck at the mouth of the Forth.

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So the remnant of the rebellion against William was now gathered in one place and William could not resist the opportunity to destroy it once and for all. But it was not going to be easy to deal with them since Ely was an island surrounded by the Fens and almost impregnable. The rivers and the deep, almost bottomless meres combined with the marshes surrounding the Isle made it a tremendous obstacle to any army, especially one like the Norman army, whose strength was in its heavy cavalry. Any attempt at the waterborne assault could be easily repelled. The available ways onto the Isle from Earith, Soham or Downham were well known, difficult and easily defended. The rebel defenders had built ramparts of peat surmounted by strong fences from which javelins and other missiles could be launched. King William also realised that a large fighting force within these defences, well stocked with food and water, could hold out almost indefinitely and, commanded by Hereward, a soldier of proven ability, a headlong ground attack was unlikely to succeed without heavy losses.

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William’s Attempts to Lay Siege to the Isle:

Hence, the King decided to mobilise both ground and naval forces on a large scale. The chronicles of the time record how he set his ships to blockade the Isle from the ‘seaward’ or northern side and set a siege on the landward side. The various accounts of the attack are confused, but what took place is clear enough. King William gathered his élite troops and commanders together at the castle in Cambridge and planned an assault which meant crossing the fen at its narrowest point by strengthening the existing causeway. This was a very old track called the Mare’s Way, running from Willingham to an Iron Age earthwork called Belsar’s Hill. There he quickly set up camp, building a palisade along the rampart of the old fort. He then forced all the local people to provide him with materials with which he continued to reinforce the causeway, building a bridge which would enable his army to cross the Old West River onto the Isle.

William also set up an advance post at ‘Devil’s Dyke’, near Reach, and some of his men attempted to cross the West River below where it was joined by the River Cam. In the meantime, Hereward carried out scouting forays, building up stocks of food and weapons, killing or wounding any parties of Normans found away from their base. He fortified the weak spots on the dykes with walls of peat and easily repulsed the Normans, counter-attacking at Reach. He led a small raiding party of seven men against the outpost and killed all the guards there, except for one Richard, son of Osbert, who was the last man standing, while none of the seven attackers was killed. Richard later reported on the action to the King’s War Council, and of how Hereward had gone on to burn down the nearby village of Burwell before retreating as reinforcements were brought up. William moved his troops to a point on the West River not far from the modern hamlet of Aldreth, some way to the east, where the fen was narrower than elsewhere. There he set about building a floating structure loosely described as a bridge supported by sheepskins filled with air, which may have been sabotaged by its local peasant builders. There was a suggestion that the bags were partly filled with sand so that they would gradually sink.

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As soon as it appeared to be ready, and before the defenders could react, a large number of knights and men-at-arms rushed onto the bridge, eager to be the first on the Isle with its promise of rich plunder. The whole construction was so unstable that it collapsed, throwing all the men on it into the river and the surrounding swamp so that they all, save one, drowned. Some hundreds, at least, perished, and William retreated in despair to the former royal manor of Brampton, near Huntingdon, while Hereward, entertaining the sole survivor of the disaster, Deda the knight. He was well looked after and invited to dine in the refectory of Ely monastery, along with Abbot Thurstan, his monks and the various noblemen supporting Hereward. They feasted at great wooden trestle tables in the hall with their arms and armour stacked against the walls, ready for use in action. Their shields hung on the walls behind their seats, marking their places. Deda was therefore allowed to believe that the defenders were well supplied with food from the abbey lands, including its famous eels, as well as fresh water from its wells, and wine from its vineyards. He was then set free so that he could report all this to King William. Deda did exactly that at a meeting of the King’s council, in which he told William all about the Isle of Ely:

Around it are great meres and fens, like a strong wall. In this isle there are many tame cattle, and huge numbers of wild animals; stags, roes, foats and hares… But what am I to say of the kinds of fishes and fowls, both those that fly and those that swim? … I have seen a hundred – no, even three hundred – taken at once – sometimes by bird-lime, sometimes in nets or snares.

Deda’s information almost persuaded William to give up his attack on Ely. But Ivo Taillebois, in a dramatic speech, persuaded the king that he would never live down such an ignominious retreat. This argument won the day, and work began on a new portable bridge guarded by two tall wooden siege towers. These were mounted on huge platforms on wheels and could be used to fire missiles at the opposite bank of the river to drive back the defenders. Hereward, however, had had Deda followed, enabling him to locate the king’s camp at Brampton. Hereward hid his horse Swallow nearby, disguised himself as a seller of pots and oil lamps and infiltrated the camp. He listened carefully to all that was said about the king’s plans, including one to employ a witch to curse the Islanders using a giant eel from the swamp to cast her spells. But then he was identified as the ‘notorious’ outlaw by one of the King’s men and was forced to make a dramatic escape into the marshes where he found his horse and rode back to Ely via Sutton and Witchford, leaving one Norman dead and several others wounded back at the camp.

Meanwhile, the king’s orders were being quickly carried out. He commandeered all the available boats from Cottingham and the surrounding areas so that more men and materials and men could be brought in over the flooded landscape. Great tree trunks were laid down and covered with sticks and stones to form a platform over the marsh on which the siege towers could be erected, and catapults for hurling stones were placed on the towers. But Hereward’s men had disguised themselves as labourers and mingled with the Saxon workmen. When they threw off their disguises to reveal their armour and weapons, their enemies were thrown into confusion and they were able to set fire reeds and willows of the fen as well as to the piles of wood around the siege towers, calling upon God, in English, to come to their aid. The whole structure and towers caught fire and the Normans fled in terror from the roaring flames and choking smoke. The fire spread across the fens for half a kilometre into the swamp of reeds, whipped up by the wind, with the peat below the water level also burning. The soldiers fled headlong into this in order to escape the raging flames, the noise of the crackling willows and the billowing smoke driving them mad with fear. The peat fires would have been almost impossible to extinguish, travelling underground and even underwater and erupting in explosions of steam clouds. Men trying to cross the swamp fell waist deep into burning peat. Hereward and his men, familiar with the perils of the marsh, pursued the fleeing Normans, killing many trapped by the flames, then retreating once more to the Isle.

King William Raises the Stakes:

King William, enraged by his defeat and horror-stricken with his losses, sought his immediate revenge by seizing all the lands of the abbey of Ely, distributed over a wide area, that he could lay his hands on and distributing them among his barons. News of this was carefully leaked to Abbot Thurstan and his monks, who began to have second thoughts about continuing to resist in case they lost everything. William also let it be known that Earl Morcar and other thanes would be treated leniently if they surrendered, but mercilessly if they continued their resistance. Earl Edwin decided to leave his brother and make his way to Scotland to join the Wessex resistance there. On the way, he was betrayed by three of his own men to a squadron of Norman knights. Caught in the open between a river and the sea, he was slaughtered. His betrayers took his head to King William, expecting a reward, but were themselves executed.

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Abbot Thurstan then contacted the King and offered to reveal how he could gain safe passage onto the Isle from another direction. William accepted his offer and made his way across Avering Mere by boat to a spot near the village of Little Thetford, a short distance from the town of Ely, where the river was placid and easily crossed. William took the Abbot’s advice, but it wasn’t an easy journey. His army had to take a winding march through the marshes to the mere, along a path revealed to the King by the monks. The men lost sight of each other in the eerie silence of the marsh and sometimes found themselves walking over the bodies of men and horses that had perished in the fire in the swamp. They also had to cross the many tributaries and streams running through the fens, wading through deep waters almost up to the level of their helmets and all the time harassed by attacks from the Fenlanders. King William commandeered all available flat-bottomed fenland boats, ancestors of the modern punt, to transport horses and catapults as well as materials to build yet another bridge. He had given up the idea of crossing near Aldreth because of the fires still raging in the marshes there.

The Final Norman Attack along Akeman Street:

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Eventually, William reached the area which Thurstan had described to him, near Little Thetford, bringing up the boats carrying the catapults and setting them up on the river bank. From there he began to bombard the defenders. At first, this caused the unstable ground to shake, threatening the attackers with drowning. But the Conqueror’s ‘engineers’ constructed a pontoon bridge over a number of the flat-bottomed boats lashed together and covered in willow branches, reeds and rushes. His bombardment had succeeded in softening up the Resistance and he was able to lead his men across the rapidly improvised pontoon bridge onto the Isle, driving back the remaining defenders with his horsemen. He then swept forward in a ‘pincer’ movement, one wing advancing directly towards Ely along the old Roman road, Akeman Street, while the other swept round through Witchford, where he accepted the surrender of Morcar and the nobles. However, they had left this too late and Morcar, Siward Barn and Bishop Aethelwine were imprisoned. The bishop died shortly afterwards, Morcar remained a prisoner for life and Siward Barn was only released after William’s death. He went int exile in Constantinople where he was said to have joined the Emperor’s Varangian Guard. The other leaders of the Resistance were severely dealt with; some were blinded, others lost hands or feet. The ordinary rank and file were released unharmed.

Hereward had been absent from Ely during the final Norman attack, leading another raiding party with his closest allies. On returning from this, he found that Morcar and the other nobles had surrendered and the King was already at Witchford. In his rage and despair, he threatened to burn down the town but was persuaded by Alwin, son of Sheriff Ordgar, that it was too late to recover the Isle and the Abbey. He and his allies then escaped through the Fens to take refuge in the Bruneswald, the great forest along the Fen edge in Northamptonshire and Huntingdonshire. There, for some months, he carried on his guerrilla campaign against the Norman King. Nothing very definite is known about his ultimate fate. There are two conflicting narratives, one of which was that he was captured by William’s forces of the seven shires in the Bruneswald, only for him to escape in the company of his gaoler, Robert of Harpole, who then persuaded the King to pardon him in exchange for him entering his king’s service. In that narrative, Hereward agreed and was given back some of his lands. He then lived out his life in retirement and was buried at Crowland next to his first wife, Turfrida, who had become a nun there. However, this narrative rests on two false clues. According to the Domesday Book, there was another thane named Hereward, the son of Earl Leofric and Lady Godiva, who held lands in Warwickshire in the service of the Bishop of Worcester and the Count of Mortain. Later chroniclers confused this Hereward with the Fenland outlaw. In addition, a later English rebel, Earl Waltheof of Northumbria, beheaded in 1075 for taking part in a revolt against King William, was also buried at Crowland. So some details of this narrative may be based on cases of mistaken identity.

The alternative narrative, written up in the twelfth century by the poet Geoffrey Gaimar also claims that Hereward was reconciled with William and went with him to the war in Maine where he made another fortune out of booty captured in the war. On his way home, he was ambushed by two dozen Norman knights seeking revenge against him, and died fighting single-handedly against overwhelming odds, killing about half of his assailants. Here, the poet is probably giving his hero a hero’s death within the literary conventions of the time. Peter Rex has argued that the most likely ‘denouement’ is that, after seeing out the winter of 1071 in the Bruneswald, Hereward decided that it was too dangerous for him to remain in England, so that he and his close allies and men slipped away by sea to the Continent. Once there, he probably became a mercenary once more, and either died in battle or lived to return to England in the reign of William Rufus, perhaps living quietly in Norfolk into old age and being buried in Crowland. The evidence for this comes from two East Anglian families, at Terrington near Kings Lynn and Great Barton near Bury St Edmunds, who both claim descent from him.

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The Primary Sources – The Abbey, the Man & the Myth:

The authentic primary evidence we have for the real Hereward comes mainly from the Anglo-Saxon Chronicle and the Liber Eliensis. His exile and his lands are also documented in the Domesday Book of 1086. His raid on Peterborough is related by Hugh Candidus in his History of Peterborough Abbey, written in the mid-twelfth century and in the Peterborough version of the Anglo-Saxon Chronicle, copied there in circa 1120. His other adventures are narrated in the Gesta Herewardi; the Book of the Exploits of Hereward, written partly by Leofric the deacon, who claimed to be Hereward’s chaplain, and partly by the monk Richard of Ely, who wrote Book Two of the Liber Eliensis. Both this latter text and the Gesta are based on earlier texts written before 1109 when the Abbacy became a Bishopric, drawing on the first-hand accounts of both the monks of Ely and the Norman soldiers. The epithet ‘the Wake’ which some linguists have claimed to be a synonym of ‘the Alert’ or ‘the Watchful’  was the result of a dubious claim of descent by a lesser Norman noble family named ‘Wake’, who were concerned to enhance their reputation after being given lands in Lincolnshire under King Henry I, whose own legitimacy as king was enhanced by his marriage into the Wessex Royal family.  But neither the Wakes nor the fitzGilberts, the family into which they married, had any connection with Hereward’s family.  In fact, Richard fitzGibbon was one of the Norman knights who fought Hereward’s men at the siege of Ely.

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Ely Cathedral today, with the Abbey’s Great Hall at the end of the North Transept (left).

Although the Abbey was fined heavily for its role in the resistance, and its lands were confiscated, it was only after Thurstan’s death that William appointed a Norman monk in his place. Perhaps William was also mindful of the powerful symbolism of Ely to the Saxons. Then, following the return of its manors in 1081, Simeon was made Abbot, an old but very wise and able churchman, who was related both to William and to Stigand’s successor as Bishop of Winchester. The Abbey’s land in Winston in Suffolk, referred to above, consisted of forty acres, six villeins, four bordars, two ploughteams in demesne and three belonging to freemen, as well as six acres of meadow and woodland for a hundred hogs. There was a church with eight acres, two rouncies, four beasts, twenty hogs and fifty sheep. It was valued at four pounds. At Domesday, the manor of Winston was still held by Abbot Simeon, but with only one ploughteam in demesne and woodland for sixty hogs. Its value had increased to four pounds, ten shillings, and was the only manor showing evidence of becoming wealthier. This prosperity, we are told, had come from additional freemen working the thirty acres of the Abbot’s land. On the elderly abbot’s reinstatement to Ely, William de Goulafriere (who had held the confiscated lands in the meantime) helped the elderly abbot, who was taken up with restoring the Abbey and its treasures, by recruiting and managing the additional freemen from other manors where he had an interest, such as Debenham. It may also be that the unbroken and consolidated tenure of these forty acres in the hands of the Abbots of Ely, together with de Goulafriere, was a major factor in their continued productivity and value, despite a reduction in woodland similar to that in other villages.

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From a ‘See Britain by train’ poster in the National Railway Museum captioned  ‘Where Hereward the Wake made his last stand, Ely Cathedral, rises in majesty.’

Hereward Asketilson, as he should properly be known, became an iconic figure for all those Anglo-Saxons and Danes who resisted the tyranny of the Conqueror, his barons and their ‘Norman Yoke’. As an ‘outlaw’, he no doubt inspired the later legends of outlaws throughout the English countryside in the twelfth and thirteenth centuries. Gradually, a powerful myth of the ‘freeborn Englishman’ took hold, to be revived at various points of conflict in national and regional history. The initial conquest of England did not end at the Battle of Hastings, but took more than five years to accomplish. The Plantagenet’s attempts to extend the conquest into the other countries and territories of the British Isles over the course of the following two centuries also met with considerable resistance, and were only partially successful. However, in England, by the end of the twelfth century, there was a mixing and melding of the Anglo-Saxon and Norman cultures in which ‘Englishness’ predominated, and not just in the continued use of Saxon tongues. The author of one of the earliest school textbooks, written in Latin in about 1180, made the observation that:

… now that the English and Normans have lived so long together, and have become so mixed together (I speak of freemen only) that we can hardly these days tell apart an Englishman and Norman. 

The monk William of Malmesbury also commented on the extent to which the powerful Norman élite was assimilated by the general Saxon population:

The English at that time (before 1066) wore short clothes reaching to the mid-knee; they had their hair cut very short, their beards shaven off, their arms laden with gold bracelets, their skins covered with punctuated designs (tattoos); they tended to eat until they were stuffed full and drink until they were sick. These last habits they gave to their conquerors; the rest they shared with them.

Secondary Sources:

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Published by the Ely Society, 2012.

The cover picture was supplied by Grantanbrycg, the Cambridge branch of

Regia Angolorum, http://www.regia.org

 

Catherine Hills (1986), Blood of the British. London: Guild Publishing.

William Anderson (1983), Holy Places of the British Isles. London: Ebury Press.

 

Posted June 3, 2019 by TeamBritanniaHu in Agriculture, Anglo-Saxons, Archaeology, Assimilation, Britain, British history, Calais, Cartoons, Christian Faith, Christianity, Church, Civilization, Compromise, Conquest, Dark Ages, East Anglia, Education, English Language, Ethnicity, Europe, Family, Flanders, Footpaths, France, guerilla warfare, History, Integration, Linguistics, Medieval, Memorial, Mercia, Midlands, Monarchy, Monuments, Mythology, Narrative, Nationality, Norfolk, Normans, Old English, Papacy, Plantagenets, Population, Reconciliation, Saxons, Scotland, Suffolk, terror, tyranny, West Midlands

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Paul of Tarsus: Jew, Roman & Christian Missionary to the Gentiles.   Leave a comment

Part One – From Tarsus to Antioch & Galatia:

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Introduction:

For Christmas 2018, my eldest son gave me a copy of Tom Wright’s Biography of the Apostle Paul, ‘hot off the press’. It reminded me of the time, as a child, when I found a picture book of Paul’s life on my Coventry grandmother’s bookstand and read it in one sitting, cover to cover. It also reminded me of watching the television film shown above (from which I have included stills throughout the text). Both as Saul of Tarsus and Paul the Apostle, his was an eventful and exciting life story, as he himself recognised in his later letter to the church at Corinth:

Let me tell you what I’ve had to face. I know it’s silly for me to talk like this, but here’s the list. I know what it is to work hard and live dangerously.

I’ve been beaten up more times than I can remember, been in more than one prison, and faced death more than once. Five times I’ve been thrashed by a Jewish court to within an inch of my life; three times I’ve been beaten with (Roman) rods by city magistrates; and once I was nearly stoned to death. 

I’ve been shipwrecked three times; and once, I was adrift, out of sight of land, for twenty-four hours.

I don’t know how many roads I’ve tramped. I’ve faced bandits; I’ve been attacked by fellow-countrymen and by foreigners. I’ve met danger in city streets and on lonely country roads and out in the open sea.

(II Cor. 11: 23-33, New World.)

The writings of Paul have had an incalculable influence on Western culture and beyond, and his words continue to guide the lives of two billion Christians throughout the world today. In his biography, Tom Wright traces Paul’s career from the Sanhedrin’s zealous persecutor of the fledgling Church, through his journeys as the world’s greatest missionary and theologian, to his likely death as a Christian martyr under Nero in the mid-sixties of the first century.

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To understand Paul, Wright insists, we must understand the Jewish world in which the young Saul grew up, a world itself firmly earthed in the soil of wider Graeco-Roman culture. This is what I want to concentrate on here, especially in the context in which Wright is writing, a twenty-first century which seems just as filled with religious and ethnic hatred and in which anti-Jewish thought, feelings and actions are once more on the rise, despite the atrocities of the previous century. The ‘Breaking News’ as I write is that incidents of anti-Semitism in Britain have risen for the third year running: 1,652 incidents were recorded by Community Security Trust (CST) in 2018, including more than 100 Assaults. Growing up in a Baptist manse in Birmingham in the 1960s and ’70s, I became conscious of anti-Semitism at the age of eleven when I asked one of the older boys I regularly walked to school with if he was a ‘Jewboy’. I had heard my father use the term, but didn’t think, at that time, that it meant anything other than a ‘Jewish’ boy and didn’t realise that it was used as a term of abuse. After they were called to the school, my parents informed me of this, I apologised to the boy and never used the term again. Later, I understood that my father’s view of the Jews was based on ‘replacement’ theology, the idea that the Christian Church had been chosen to replace the people of Judea and Israel, who had proved themselves unworthy by their rejection of Jesus and their ‘role’ in his crucifixion. One of my seventh-generation Baptist grandmother’s books, George F Jowett’s The Drama of the Lost Disciples (1961) expressed this (then) popular view:

Jesus Himself… denounces the Sadducean Jews, telling them that the glory shall be taken away from them and given to another (Matt. 21: 43). Again, when He says He came not to the Jews, but to the lost sheep of the House of Israel (Matt. 15: 24). He knew He would not convert the Sanhedrin and its following, so it had to be others – the lost sheep. Who were they? The answer lies in his answer to Paul, the converted Saul, whom he commands to go the Gentiles.

C. H. Dodd wrote (1970) that Paul was the pioneer leader in the Christian approach to the Graeco-Roman public. The fortunate preservation of a number of his letters has put us in a position to know him better than we know most individuals of the ancient world. The information they give can be supplemented from the account of his career given in the Acts of the Apostles. Whilst there are points where it is not easy to bring the two sources of our knowledge into complete harmony, there is a good reason to believe that the author of ‘Acts’, thought to be Luke (the gospel-writer and Greek doctor), was well-informed, and may have travelled with Paul himself. This made him an eye-witness, and his account may be used as a historical frame in which to set Paul’s own accounts, contained in his letters.

Saul of Tarsus:

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According to Acts 21: 39, Paul was born at Tarsus in Cilicia, an ancient Greek city, and then a strong centre of Hellenistic culture, his parents belonging to the Jewish colony there. Tarsus was ten miles inland on the river Cydnus in the south-east corner of what is Turkey today, in ‘Asia Minor’, on the major east-west routes. It was a ‘noble city’ which could trace its history back two thousand years. Generals like Alexander the Great and Julius Caesar had recognised its strategic importance; the emperor Augustus had given it extra privileges. It was a city of culture and politics, of philosophy and industry. It had a thriving textile business, producing materials from goats’ hair, used to make shelters, which may well have been the basis of the family business of tent-making, in which Saul had been apprenticed and which he continued to practice.

The cosmopolitan world of the eastern Mediterranean flowed through the city, which rivalled Athens as a centre of philosophy, not least because half the philosophers of Athens had gone there a century earlier when Athens had incurred the wrath of Rome in a struggle for power. The Jews had struck a deal with Augustus Caesar by which he accepted that they were exempted from adopting the ‘divinity’ cult of his father, Julius Caesar. In return, they agreed to pray to their One God for Rome and its emperor.

We don’t know how long his family had lived in Tarsus. Later legends suggest various options, one of which is that his father or grandfather had lived in Palestine but had moved during one of the periodic social and political upheavals which always carried ‘religious’ overtones as well. They were orthodox Jews and brought their son up in the Pharisaic tradition (23:6; 26:5). The word ‘Pharisee’ has had a bad press over the centuries since. Modern research, operating at the academic rather than the popular level, has done little to dispel that impression, partly because the research in question has made things far more complicated, as research in question in question has made things far more complicated, as research often does. Most of the sources for understanding the Pharisees of Saul’s day come from a much later period. The rabbis of the third and fourth centuries AD looked back to the Pharisees as their spiritual ancestors and so tended to project onto them their own questions and ways of seeing things. But besides Paul’s writings, the other first-century source on the Pharisees, the Jewish historian Josephus, also requires caution. Having been a general at the start of the Roman-Jewish war of AD 66-70, he had gone over to the Romans and claimed that Israel’s One God had done the same thing, an alarmingly clear case of remaking the Almighty in one’s own image.

In Tarsus, as throughout the ‘Diaspora’, there were all sorts of cultural pressures which would draw devout Jews into compromise. Families and individuals faced questions such as what to eat, whom to eat with, whom to do business with, whom to marry, what attitude to take toward local officials, taxes, customs and rituals. The decisions individuals made on all of these questions would mark them out in the eyes of some as too compromised and in the eyes of others as too strict. There was seldom if ever in the ancient world a simple divide, with Jews on one side and gentiles on the other. We should envisage, rather, a complex subculture in which Jews as a whole saw themselves as broadly different from their gentile neighbours. Within that, the entire subgroups of Jews saw themselves as different from other subgroups. The parties and sects we know from Palestinian Jewish life of the time – Sadducees, Pharisees, Essenes, and a nascent militantly ‘zealous’ faction – may not have existed exactly as we describe them, not least because the Sadducees were a small Jerusalem-based aristocracy, but intra-Jewish political and social divisions would have persisted.

We can’t be sure how many Jews lived in Tarsus in Saul’s day. There were, quite possibly, a few thousand at least in a city of roughly a hundred thousand. But we can get a clear sense of how things were for the young Saul. In the ancient world, there was no such thing as ‘private life’ for individuals and families. A tiny number of the aristocracy or the very rich were able to afford a measure of privacy but for the great majority, life was lived publicly and visibly. The streets were mostly narrow, the houses and tenements were mostly cramped, there were noises and smells everywhere, and everyone knew everybody else’s business. We can assume that this was true for the Jews of Tarsus who would have lived close to each other partly for their own safety and partly for the ease of obtaining ‘kosher’ food. The questions of where one stood on the spectrum between strict adherence to the ancestral code, the Torah, and ‘compromise’ were not theoretical. They were about what one did and what one didn’t do in full view of neighbours, and about how those neighbours might react.

The Torah loomed all the larger if one lived, as did the young Saul, outside the promised land and hence away from the Temple. The Torah, in fact, functioned as a movable Temple for the many Jews who were scattered around the wider world. Wherever they were, in Rome or in Babylon, Greece or Egypt, if they prayerfully studied it, then it might be as if they were in the Temple itself. They would be in the divine presence, not in its most dramatic form, but there nonetheless. But the Temple in Jerusalem remained central, geographically and symbolically. It was the place where heaven and earth met, thus forming the signpost to the ultimate promise, the renewal and unity of heaven and earth, the new creation in which the One God would be personally present forever. We don’t know how often Saul travelled with his parents to the homeland with his parents for the great festivals. It is quite probable that, at an early age, the young Saul acquired the sense that all roads, spiritually as well as geographically, to Jerusalem. The Temple was like a cultural and theological magnet, drawing together not only heaven and earth but also the great scriptural stories and promises. In addition, therefore, it was the focal point of Israel’s hope, The One God, so the prophets had said, abandoned his house in Jerusalem because of the people’s idolatry and sin. Tom Wright argues that we will never understand how the young Saul of Tarsus thought and prayed until we grasp…

… the strange fact that, though the Temple still held powerful memories of divine presence … there was a strong sense that the promise of ultimate divine return had not yet been fulfilled. …

… The God of Israel had said he would return, but had not yet done so.

Saul of Tarsus was brought up to believe that it would happen, perhaps very soon. Israel’s God would indeed return in glory to establish his kingdom in visible global power. He was also taught that there were things Jews could be doing to keep this promise and hope on track. It was vital for Jews to keep the Torah with rigorous attention to detail and to defend the Torah, and the Temple itself, against possible attacks and threats. … That is why Saul of Tarsus persecuted Jesus’s early followers.

The young Saul was not ‘learning religion’ in the accepted modern sense of general religious education, and the mature apostle was not a teacher of it. Today, ‘religion’ for most people in the West designates a detached area of life or even a private hobby, separated by definition from politics and public life, and especially from science and technology. In Paul’s day, ‘religion’ meant almost the exact opposite. The Latin word religio has to do with binding things together. Worship, prayer, sacrifice, and other public rituals were designed to hold the unseen inhabitants (gods and ancestors) together with the visible ones, the living humans, thus providing a vital framework for ordinary life, for business, marriage, travel, home life and work. The public nature of individual life was apparent in the workplace. We know from Paul’s later letters that he engaged in manual work, both as a young apprentice and later to support himself as a missionary. ‘Tent-making’ probably included the crafting of other goods made of leather or animal hair in addition to the core product of tents themselves. Many people migrated from place to place for work, those who worked outside needed awnings and pilgrims required ‘tabernacles’ for their sojourns.

The market for tents and similar products was widespread. We might guess those likely purchasers would include regiments of soldiers, but travel was a way of life for many others in the Roman Empire. It seems unlikely that a Jewish tent-maker would be selling only to fellow Jews. We can assume, therefore, that Saul grew up in a cheerfully and strictly observant Jewish home, on the one hand, and in a polyglot, multicultural, multi-ethnic working environment on the other. Strict adherence to the ancestral tradition did not preclude know-how of the wider world of work, and how it spoke, behaved and thought. The tent-maker was unlikely to have had a ‘sheltered’ upbringing. The place where the invisible world (‘heaven’) and the visible world (‘earth’) were joined together was the Temple in Jerusalem. If, as in his case, you couldn’t get to the Temple, you could and should study and practice the Torah, and it would have the same effect. Temple and Torah, the two great symbols of Jewish life, pointed to the story in which devout Jews like Saul and his family believed themselves to be living:

… the great story of Israel and the world, which, they hoped, was at last to set up his kingdom, to make the whole world one vast glory-filled Temple, and to enable all people – or at least his chosen people – to keep the Torah perfectly. Any who prayed or sang the Psalms regularly would find themselves thinking this, hoping this, praying this, day after day, month after month.

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As an apprentice in the bustling pagan city of Tarsus, the young Saul knew perfectly well what it meant to be a loyal Jew. It meant keeping oneself pure from idolatry and immorality. There were pagan temples and shrines on every corner, and Saul would have had a fair idea of what went on there. Loyalty meant keeping the Jewish community pure from all those things as well. Saul’s family seem to have lived with a fierce, joyful strictness in obedience to the ancient traditions and did their best to urge other Jews to do the same. At the same time, his father possessed the coveted status of a Roman citizen, which meant that the family had a superior standing in the local community and his son also had Roman citizenship as his birthright (Acts 22: 25-29). He grew up bilingual (fluent in both in Aramaic and Greek) and bi-cultural: at home, he was Saul, named after the first king of Israel; outside he was Paulus, a citizen of Tarsus and of Rome. He was also literate in Hebrew, able to read the scriptures in the original. His mind had the freedom of two worlds of thought: He had more than the average educated man’s understanding of Greek literature and philosophy. His language quite often carries echoes of ‘Stoicism’.

A Zealous Student in Jerusalem:

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On the other hand, Saul’s formal education seems to have been entirely within the native Jewish tradition, and he was sent to Jerusalem as a young man to study under Gamaliel (Acts 22: 3), the most distinguished rabbi of his time. Paul was not only, evidently, well versed in the Scriptures, but also in the Rabbinic methods of interpreting them, which sometimes present difficulties for modern readers.

He was therefore well-equipped for his later mission to take the message of a religion rooted in Judaism to a generally non-Jewish Hellenistic public.

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At every stage of Israel’s history, the people of the One God had been tempted to compromise with the wider world and forget the covenant. Resisting this pressure for Saul meant becoming zealous. In his letter to the Galatians (1: 14), Paul wrote I was extremely zealous for my ancestral traditions. Nevertheless, Saul the Pharisee and Paul the Roman, it seems, did not live in complete harmony within the same skin. There are signs of psychological tension; in early life, the Pharisee was uppermost. He recites with pride the privileges of the chosen people:

They are Israelites; they were made God’s sons; theirs is the splendour of the divine presence, theirs the covenants, the law, the temple worship, and the promises. (Rom. 9: 4, NEB)

Not only was he proud of the Hebrew people, but he was also proud beyond measure of his own standing as a Jew:

Israelite by race, of the tribe of Benjamin, a Hebrew born and bred: in my attitude to the law a Pharisee, in pious zeal a persecutor of the church, in legal rectitude faultless (Phil. 3: 5-6).

In another retrospect on his early life he added a significant claim:

In the practice of our national religion I was outstripping many of my Jewish contemporaries in my boundless devotion to the traditions of my ancestors (Gal. 1: 14).

That tells us something powerful about the man; from a young age, he had possessed an irresistible drive to excel, to be distinguished. It was necessary to his self-respect that he should himself as the perfect Pharisee: in legal rectitude faultless. This has led to some Judaistic readers to suggest that there was something extravagant or abnormal in Paul’s account of his pre-Damascene phase. The time came when he himself was forced to confess to himself that this was fantasy, not reality. He was not faultless, and his efforts in pursuit of perfection had been self-defeating:

When I want to do the right, only the wrong is within my reach. In my inmost self I delight in the law of God, but I perceive that there is in my bodily members a different law, fighting against the law that my reason approves. (Rom. 7: 21 f.).

Yet by the time Paul was studying in Jerusalem, it was clear that the Abrahamic ‘project’, Israel’s ancestral vocation, was at the point where it needed rescuing. Some Jews had returned to Palestine from Babylon, while others were scattered all over the known world. But the cry went up from one generation to the next over the four centuries to the time of the Roman occupation: We are still in exile! Exile was not just a geographical reality; it was a state of mind and heart, of politics and practicalities, of spirit and flesh. As long as pagans were ruling over Jews, and demanding taxes from them, and profaning their Holy Place, the Jews were again in exile. Since the exile was the result of Israel’s idolatry, according to the prophets, what they needed was not just a new Passover, a new rescue from slavery to pagan tyrants: they needed forgiveness. As Tom Wright has put it, …

That was the good news the prophets had spoken of, the word of comfort at every level from the spiritual to the physical. … When the One God finally puts away the idolatry and wickedness that caused his people to be exiled in the first place, then his people will be ‘free at last’, Passover people with a difference.

That was the ancient hope which Saul of Tarsus cherished along with thousands of his fellow Jews, by no means all of whom were as ‘zealous’ as he was. Few had his intellectual gifts, but they were, like him, very well aware, through scripture and liturgy, of the tensions between those promises and their present predicament. Theirs was a religious culture suffused with hope, albeit long deferred. That was the great narrative in which they lived out their daily lives in their heads and their hearts, giving shape and energy to their aspirations and motivations. Paul sought a means of working out his inner conflict in action, and it was this that made him, at first, a persecutor. His first contact with the new sect of the ‘Nazarenes’, it appears, was one of the most radical and aggressive representatives, a Hellenistic Jew (like Paul himself) named Stephen, who was reported to be…

… forever saying things against the holy place and the law … saying that Jesus of Nazareth will destroy this place (the Temple) and alter the customs handed down to us by Moses (Acts 6: 13 f.)

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This was an act which impugned the most sacred pledges of Israel’s status as God’s chosen people. And when it appeared that these sectaries hailed Jesus of Nazareth as God’s Messiah, this was sheer blasphemy. Did not the Law say, cursed is everyone who is hanged on a gibbet (Gal. 3: 13)? These people were dragging the glory of Israel into the mire: they were enemies of the Temple and the Torah, enemies of Israel, enemies of Israel’s God. Jerusalem’s Temple, like the wilderness Tabernacle before it, was designed as a small working model of the entire cosmos. This was where the One God of creation would live, dwelling in the midst of his people. When the Temple was destroyed, this vision was shattered, but the prophets had declared that God would one day return and that the people should prepare for that day. Yet the Jews of Saul’s day found themselves in the long, puzzling interval between the time when the One God had abandoned the Temple and the time when he would return in glory, bringing heaven and earth together at last. Seers, mystics and poets wrote of dreams and visions whose subject matter was the rescue of Israel and the final saving ‘revelation’ (apokalypsis in Greek) of the One God. This was the world in which Saul of Tarsus, heir to these traditions, practised his fierce and loyal devotion to Israel’s God. This was how he could keep hope alive and perhaps even to glimpse its fulfilment in advance.

Locating him within this world is not a matter of psychoanalysis, but of history. We are trying to think our way into the mind of a zealous young Jew determined to do God’s will whatever its cost, eager to purge Israel from idolatry and sin, keen to hasten the time when God would come back to rule his world with justice and righteousness. All the fear and hatred that Saul felt for that in himself which was ‘fighting against the Law’ could now be directed upon overt enemies. Stephen was stoned to death, with Saul as an accessory. This was only a beginning. With characteristic determination to outstrip everyone else in his zeal for the Law, Saul obtained from the high priest a commission to hunt the heretics down wherever they might be found (Acts 9: 1 f.).

The Followers of ‘The Way’ & The Road to Damascus:

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According to Acts, the Sanhedrin’s persecution of the first followers of ‘The Way’ (not yet calling themselves Christians) collapsed when Saul had his dramatic encounter with the risen Christ on the way to Damascus, and became Paul, on a permanent basis. The incredible happened, apparently. Paul was struck blind and heard the voice of Christ speaking to him and was suddenly converted to the faith of ‘The Way’. Going into hiding with those he had planned to persecute, he had his sight restored. Wright suggests that this ‘apocalyptic’ event needs to be set in the context of Saul’s seeking, through prayer and meditation, to inhabit for himself the strange old traditions of heaven-and-earth commerce, to become in mind, soul and body, a visionary whose inner eye, and perhaps whose outer eye, might glimpse the ultimate mystery. The practice of this kind of meditation was something one might well do on the long, hot journey from Jerusalem to Damascus.

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When this news got back to Jerusalem, it stunned the Sanhedrin, infuriating them beyond measure. They ordered an all-out drive to seize him and kill him on sight. In a complete reversal of circumstances, the hunter became the hunted. Paul went into hiding himself, appealing for aid from Christ’s disciples. Not unnaturally, they feared this might be a ploy by a man they knew to be clever, cruel and unscrupulous to uncover their secret network of survivors of his own terror, but they finally complied, lowering him over the wall of the city with a rope (Acts 9: 25). The effects of his conversion experience on both his career and the passage of history in which he played his part are open to observation. It is evident that it brought a resolution to his personal predicament. His attempt to resolve it by externalising his inner conflict had proved to be no solution at all. He now found real reconciliation of the contending forces in his soul through his reconciliation with the ‘enemies’ he had been pursuing with such pious hatred. He threw in his lot with them and with ‘Jesus whom he was persecuting’. But to do so meant standing with one who was under the curse of the ‘Law’: it was to become an ‘outlaw’. He wrote that he had been crucified with Christ (Gal. 2: 20).

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It was the most complete break possible with his past self. It took all meaning out of the desperate struggle to see himself in legal rectitude faultless. He could now accept himself as he was, aware of his weaknesses yet willing to stand at the disposal of his new Master. He wrote of how we make it our ambition to be acceptable to him (II Cor. 5: 9). This was a different type of ‘ambition’ from that which had spurred him on to outstrip his Jewish contemporaries. It was the displacement of self from the centre, which proved to be the removal of a heavy burden. But above all it was a liberating experience: ‘Christ set us free, to be free men’ (Gal. 5: 1). It shows itself in an expansion of the range of his interests and energies, no longer restricted by Jewish nationalism and orthodoxy. For an Orthodox Jew who lived the life of a great Greek city, relations with Gentiles were always problematic. Paul was repressing his natural instincts in maintaining the degree of separation from his Gentile fellow-citizens which ‘legal rectitude’ seemed to require. Now he could give those instincts free rein. From the moment of his encounter with Jesus on the road to Damascus, he knew that the ‘dividing wall’ was broken down and that he must ‘go to the Gentiles’. Thus the main direction of his new mission was decided from the outset, though it may have been some years before the required strategy was worked out. The rest of what happened to him after this escape with the disciples, as St. Paul, the Apostle to the Gentiles, is well-known, not just from the narratives in Acts, but also from his own letters. But we are scantily informed about his early years as a Christian, and the skeleton outline of the Acts tells us little. All that we have from the man himself are his recollections and reflections on the situations into which his missionary career had brought him.

Similarly, the drama of Saul’s Damascene conversion fits too neatly with the need for an early Christian account of a new departure, schism or breakaway in what, in reality, was a gradual evolution of Christianity from Judaism. At first, Christians were regarded as a Jewish sect by both Jews and Gentiles. This led to opposition and persecution of the church by the Jewish authorities, who objected to its doctrines and the admission of Gentiles without their accepting the Law. Yet since Jews were also already scattered in communities throughout the Empire and beyond, they provided Christian missionaries with an entry into the Gentile world. It was not until three years after his conversion that Paul returned to Jerusalem (Gal. 1: 17-19). At that time he stayed for a fortnight with Peter (or ‘Cephas’, as he calls him, using the Aramaic name given to him by Jesus) and also met James, ‘the Lord’s brother’. These would be able to tell him much at first-hand about Jesus. His stay in Jerusalem seems to have been cut short. however, and he then spent a period of about a dozen years in ‘the regions of Cilicia and Syria’ (Gal. 1: 21). Perhaps some of the adventures he recalls later in life belong to that period, but Acts records only his return to Tarsus, in Cilicia (9: 30) and his removal to Antioch, in Syria (Acts 11: 25 f.). It was with his arrival in the Syrian capital, where Jesus’ followers were first given the nickname ‘Christian’, that the story of his missionary journeys really begins.

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The Synagogues; The Judaeo-Palestinian Converts & The Antiochene Church:

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Above: Paul regularly used the local synagogue as his starting-point when bringing the gospel to a new place. Later, the bridges between Jews and Christians were broken. This reconstructed second-century synagogue is at Sardis, in modern-day Turkey.

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Since these first missionaries, such as Paul and other apostles were Jews, they used the synagogues, both inside and outside Judea and Palestine as ready-made centres for evangelism. Paul regularly used the local synagogue as the starting point for bringing the gospel to a new place. Recent archaeological evidence at Capernaum and elsewhere in Palestine supports the view that early Christians were allowed to use the synagogues for their own meetings for worship. Although most of their fellow Jews remained unconverted, many God-fearing Gentiles, who were attracted to Judaism but had not gone through the ritual of total integration into the Jewish community, became Christian converts. In fact, in spite of the growing divergence between the church and the synagogue, the Christian communities worshipped and operated essentially as Jewish synagogues for more than a generation. Apart from the period of the Jewish wars, the Roman Empire enjoyed three hundred years of peace and general prosperity. This was known as the Pax Romana, the Roman peace. It allowed both Christians and Jews great freedom to travel throughout the Mediterranean world along superbly engineered roads and under the protection of the Roman government. Paul was able to do this until the final years of his life, but he was only the first of many missionaries. Equally, pilgrims to Jerusalem were able to travel in the opposite direction. This was part of the reason why Paul emphasised the importance of good government.

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The ‘Christian’ community at Antioch included a substantial proportion of non-Jewish converts from paganism. The division between Jew and Gentile, from the Jewish point of view, was greater than any other social or cultural division, more important even than the other two distinctions that run through the whole ancient world, those between slave and free, on the one hand, and male and female on the other. Different Jewish community leaders would draw the lines between Jew and non-Jew at different places. Business dealings might be fine, but business partnerships might be frowned upon. Friendships were tolerated, but not intermarriage. The lines might be blurred, broken or redrawn, but they were still there. Underneath it all, there was still a sense of difference, of “them and us.” Social and cultural indicators would provide visible markers. What you ate, and who you ate with were the most obvious of these, but there were others too. From a Gentile perspective, non-Jewish writers of the day sneered at the Jews for their ‘Sabbath’, claiming that they just wanted a “lazy day” once a week. The fact that Jews didn’t eat pork, the meat most ordinarily available, looked like a ploy to appear socially superior. Jewish males were circumcised, so if they participated in the gymnasium, which normally meant going naked, they might expect taunts.

Beneath these social indicators was the more deeply seated non-Jewish suspicion that the Jews were, in reality, atheists. They didn’t worship the gods, didn’t turn out for the great festivals, didn’t go to parties at the pagan temples and didn’t offer animal sacrifices at local shrines. They claimed that there was only one true Temple, the one in Jerusalem, but rumours abounded, going back to the time when the Roman general Pompey had marched into the Holy of Holies, that the Jews had no image, no statue of their god. Hence the charge of atheism, which was not so much one of theological belief (since the authorities tolerated a whole range of beliefs) but a practical one. The gods mattered for the life and health of the community as a whole. If bad things happened, it was because the gods were angry, probably because people hadn’t been taking them seriously and offering the required worship. People who didn’t believe in the gods were, therefore, placing the entire city, the whole culture or the whole known world at risk. The Jews had their answers for all this, and Saul would have grown up knowing these debates well. After his move to Antioch, he must have heard them repeated with wearying familiarity. “Our God,” the Jews would have said, …

“… is the One God who made the whole world. He cannot be represented by a human-made image. We will demonstrate who he is by the way we live. If we join the world around in worshipping the local divinities – let alone in worshipping the Roman emperor (as people were starting to do when Saul was growing up) – we will be making the mistake our ancestors made.”

In fact, a significant minority of Gentiles admired the Jews for their integrity in this respect, preferring their clear lines of belief and behaviour to the dark muddles of paganism. Many of them attached themselves to the synagogue communities as “God-fearers.” Some went all the way to full conversion as “proselytes.” But the Jews were clear about the fact that, if they compromised with the pagan world around them, however ‘compromise’ might have been defined in any particular city or household, they would be giving up their heritage, and with it their hope for a new world, for the One God to become king at last. So what would the diaspora Jewish communities in Tarsus or Antioch think of the suggestion that the One God had already done what he had promised by sending a Messiah to be crucified? What would this mean for Jewish identity? Was this ‘good news’ simply for the Jewish people, or might it be for everyone?

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Syrian Antioch, even more than Tarsus, was exactly the kind of place where these questions would rise quickly to the surface. It boasted a busy, bustling mixture of cultures, ethnic groups and religious traditions, including a substantial Jewish population. The Roman General Pompey had made it the capital of the new province of Syria, and Julius Caesar had raised it to the level of an autonomous city. With a population of around a quarter of a million, it was widely regarded in antiquity as the third or fourth city of the East, after Alexandria, Seleucia and later Constantinople. It was a classic ‘melting-pot’ in which every kind of social and cultural group was represented.

It isn’t difficult to imagine the crowded streets, the markets selling exotic fruit as well as local produce, the traders and travellers, foreigners in strange costumes and the temples on every street corner. It wasn’t surprising that some of the early followers of Jesus had found their way there, considering that everyone else had. Nor was it surprising that they were eager to share the ‘good news’ of Jesus with non-Jews as well as Jews. If the Jewish scriptures had seen the coming king as Lord of the whole world, how could membership in this kingdom be for Jews only?

Some of the believers who had come to Antioch from Cyprus and Cyrene saw no reason for any such limitation. They went about telling the non-Jews about Jesus as well. A large number of such people believed the message, abandoned their pagan ways and switched their allegiance to the Christ as Lord. Many Jews would have naturally supposed that these Gentiles would then have to become full Jews. If they were sharing in the ancient promises, ought they not to share in its ancient customs as well? What sort of common life ought this new community to develop? The introduction of this Gentile element in Antioch had no doubt acted as a stimulant, and it is not surprising that they soon found themselves impelled to reach out to a still wider public in the Graeco-Roman world. For this task, they selected a Cypriot Jew of the tribe of Levi, Joseph, known as Barnabas (Acts 4:36 f.; 11: 22-24; 13: 2.), a nickname given to him by the church in Jerusalem which means “son of encouragement.” He was one of those early followers of Jesus who had the gift of enabling others to flourish. The Jerusalem church had sent him to Antioch to see what was going on there.

002 (4)Good-hearted Barnabas (pictured in a recent film portrayal by Franco Nero, right) was not the sort to jump instinctively to a negative response, to reach for familiar prejudices just because something was new. He could see the transformed lives and transparent faith of the Gentile believers which were the work of divine grace, reaching out in generous love to people of every background and origin.

Barnabas shared Paul’s belief that the death and resurrection of Jesus Christ had broken down the barriers to Gentile inclusion in God’s kingdom. The evidence of a new dynamic in worship and of the love which meant shared obligations of mutual support told its own story to Barnabas. Others from Jerusalem, faced with the same evidence, might have reached a different conclusion. They would have urged the believers in Antioch to restrict themselves to their own ethnic groups, at least for mealtimes and perhaps even for the Lord’s meal, the “breaking of bread.” Many Jews would have assumed that Gentiles still carried contagious pollution from their culture of idolatry and immorality. But as far as Barnabas was concerned, what mattered was the depth of their belief and allegiance to the Lord. This new community was not defined by genealogy, but by the Lord himself, and what counted as a sure sign of their belonging to Him was loyalty and ‘faithfulness’.

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Paul was an obvious choice to join him as a companion since Barnabas had first introduced him to the Antiochene church (Acts 11: 25 f.). They were therefore at the centre of the controversies there and became firm friends. The vibrant and excited group of Jesus-followers in Antioch was doing something radically counter-cultural, experimenting with a whole new way of being human, and Barnabas and Paul would have to help them think through what that really meant. In this way, the friendship between the two ‘brothers in Christ’ helped to shape Paul’s mind and teaching, leading to what, with long hindsight, we might call Christian theology. It had been a decade since Saul had gone to Tarsus, after his brief time in Damascus and Jerusalem. We don’t know whether anyone in either Jerusalem had seen or heard of him during that time, but Barnabas had a strong sense that he was the right man for the job. This was the beginning of a partnership that would launch the first recorded official ‘mission’ of the new movement. He worked with Barnabas and the local leaders in Antioch for a whole year, teaching and guiding the growing community.

002 (6)The pair was then sent to Jerusalem with a gift of money for the Jerusalem believers, who were suffering from their decade-long persecution by the authorities and struggling to stay alive at a time of widespread famine in AD 46-47. Paul’s own retrospective account of the visit (Gal. 2: 1-10) ends with the Jerusalem leaders admonishing him to go on “remembering the poor.”

While there, Paul argued his case for inclusion of the Gentiles in the koinonia (international fellowship). The three central ‘pillars’ of the Jerusalem church; James (brother of Jesus), Peter and John, all agreed that they would continue to restrict their mission to the Jewish people in ancient Israel, while Paul, Barnabas and their friends in Antioch could continue their work among the Gentiles of the Mediterranean world.

Into Asia Minor – The First Missionary Journey:

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The junior colleague soon slipped into the leading role for which his vigour and discernment marked him out. Thus began what is commonly referred to as his ‘First Missionary Journey’ which first took the two to Cyprus (Acts 13: 4-12) and then on as far as the interior of Asia Minor, and in particular to a group of towns in the southern corner of the province of Galatia (Acts 13: 14,51; 14: 6 f.). We can date this journey roughly to AD 47-48.

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Above: It was through country such as this (in modern Turkey) that Paul and his companions, Barnabas and John Mark, travelled into central Asia Minor on their first arduous mission. They founded a number of churches in Galatia.

In the first of these towns, Antioch-towards-Pisidia (Acts 13: 15-50) the apostles began with an address in the synagogue to a congregation which included both Jews and ‘Gentile worshippers’. The latter was a group of people, now fairly numerous in many Hellenistic cities, as in Antioch, who were attracted to by Judaism to attend the synagogue services, without becoming regular ‘proselytes’ and members of the ‘commonwealth of Israel’. They showed a lively interest which spread to circles without previous association with the synagogue. From his letters, we can gather that Paul suggested that these people could become full members of the people of God without submitting to the Jewish Law, by joining the Christian church. This provoked a violent reaction from stricter Jews, however, who could only see this new preaching as a threat to their way of life. They denounced Paul and Barnabas as false teachers leading Israel astray.

002 (5)Paul’s response was to quote Isaiah 49: I have set you for a light to the nations so that you can be salvation-bringers to the end of the earth. This delighted the non-Jews who had heard his message: they were free to belong to God’s ancient people. But this, in turn, strengthened Jewish reaction, producing an altogether more serious turn of events.

Both the leading Jews and the leading citizens of the town saw the threat of real civic disorder. When opposition turned to violence, this was sufficient to cause the missionaries to leave the town in a hurry, symbolically shaking the dust off their feet as they did so, but also leaving behind them the beginnings of a new community filled with joy and with the Holy Spirit. After that experience, however, the missionaries put out a statement of policy, making it clear to the Jewish communities in the cities they were to visit that:

It was necessary that the word of God should be declared to you first, but since you reject it … we now turn to the Gentiles (Acts 13: 46).

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002 (2)This principle, to the Jew first, and also to the Greek (Rom. 1: 16; 2: 9 f.) was the principle that guided Paul’s ministry and expressed many times in his letters. In his letter to the Romans, he provided a theological justification for it (Rom. 11: 1-27). The outcome of this tour was the foundation of several communities, largely Gentile in membership, and the unleashing of Jewish hostility to Paul’s mission which was to follow him wherever he went, and to finally bring his active career to an end. When Paul and Barnabas found themselves facing people in remote highlands of ancient Anatolia with a strange language and religion, they became overnight heroes when Paul healed a man who had been crippled since birth (depicted above). As the pagan crowd began to worship them, they remonstrated with it that this was not the purpose of their mission. At that point, Jews from the towns where they had already been who had followed them there, told the pagan crowd in the town of Lystra what they thought about the missionaries:

That turned the crowd against them, and they started to throw stones at Paul. They thought they had killed him, and dragged him outside the town. Paul’s friends stood round him; they, too, thought he was dead. But he got up and went back into the town. (Acts 14: 8-20)

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Illustration by Trevor Stubley of the stoning of Paul at Lystra,

for Alan T Dale’s Portrait of Jesus (OUP, 1979).

Paul explained to his friends that this kind of suffering was precisely the sign of the two world’s colliding; they are on the cusp of a new world, and if this is what it costs, so be it. Despite these trials and tribulations, what they had witnessed before in Syrian Antioch – the creation of a new community in which Jews and Gentiles were able to live together because all that previously separated them had been dealt with on the cross – had come true in city after city. At the heart of Paul’s message was radical messianic eschatology. ‘Eschatology’ because God’s long-awaited new day had dawned; ‘Messianic’, since Jesus was the true son of David, announced as such in his resurrection and bringing to completion the purposes announced to Abraham and extended by the psalmists and the prophets to embrace the whole world; ‘Radical’ in the sense that nothing in the backgrounds of either Paul or Barnabas had prepared them for the new state of affairs they were facing. The fact that they believed it was what the One God had always planned did not reduce their own sense of awe and astonishment.

What they could not have foreseen, as they travelled back through the southern part of the province of Galatia and then sailed home to Syria, was that the new reality they had witnessed would become the focus of sharp controversy even among Jesus’s followers and that the two of them would find themselves on opposite sides of that controversy as it boiled over. The missionaries returned to the church which had commissioned them at Antioch-on-the-Orontes (Acts 14: 25-28). Barnabas chose to return to Cyprus (Acts 15: 39). Paul took on Silas as his new travelling companion and colleague. He was a member of the church at Jerusalem (Acts 15: 22 f.), but a Hellenistic Jew and possibly, like Paul himself, a Roman citizen.

(to be continued…)

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You Only Live Twice – Cool Britannia to Cold Brexit: The United Kingdom, 1999-2019. Part Two: Identity, Immigration & Islam.   Leave a comment

 

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British Identity at the Beginning of the New Millennium:

As Simon Schama pointed out in 2002, it was a fact that even though only half of the British-Caribbean population and a third of the British-Asian population were born in Britain, they continued to constitute only a small proportion of the total population. It was also true that any honest reckoning of the post-imperial account needed to take account of the appeal of separatist fundamentalism in Muslim communities. At the end of the last century, an opinion poll found that fifty per cent of British-born Caribbean men and twenty per cent of British-born Asian men had, or once had, white partners. In 2000, Yasmin Alibhai-Brown found that, when polled, eighty-eight per cent of white Britons between the ages of eighteen and thirty had no objection to inter-racial marriage; eighty-four per cent of West Indians and East Asians and fifty per cent of those from Indian, Pakistani or Bangladeshi backgrounds felt the same way. Schama commented:

The colouring of Britain exposes the disintegrationalist argument for the pallid, defensive thing that it is. British history has not just been some sort of brutal mistake or conspiracy that has meant the steamrollering of Englishness over subject nations. It has been the shaking loose of peoples from their roots. A Jewish intellectual expressing impatience with the harping on ‘roots’ once told me that “trees have roots; Jews have legs”. The same could be said of Britons who have shared the fate of empire, whether in Bombay or Bolton, who have encountered each other in streets, front rooms, kitchens and bedrooms.

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Britain, the European Union, NATO & the Commonwealth, 2000

Until the Summer of 2001, this ‘integrationist’ view of British history and contemporary society was the broadly accepted orthodoxy among intellectuals and politicians, if not more popularly. At that point, however, partly as a result of riots in the north of England involving ethnic minorities, including young Muslim men, and partly because of events in New York and Washington, the existence of parallel communities began to be discussed more widely and the concept of ‘multiculturalism’ began to become subject to fundamental criticism on both the right and left of the political spectrum. In the ‘noughties’, the dissenters from the multicultural consensus began to be found everywhere along the continuum. In the eighties and nineties, there were critics who warned that the emphasis on mutual tolerance and equality between cultures ran the risk of encouraging separate development, rather than fostering a deeper sense of mutual understanding through interaction and integration between cultures. The ‘live and let live’ outlook which dominated ‘race relations’ quangos in the 1960s and ’70s had already begun to be replaced by a more active interculturalism, particularly in communities where that outlook had proven to be ineffective in countering the internecine conflicts of the 1980s. Good examples of this development can be found in the ‘Education for Mutual Understanding’ and ‘Inter-Cultural’ Educational projects in Northern Ireland and the North and West Midlands of England in which this author was involved and has written about elsewhere on this site.

Politicians also began to break with the multicultural consensus, and their views began to have an impact because while commentators on the right were expected to have ‘nativist’ if not ‘racist’ tendencies in the ‘Powellite’ tradition, those from the left could generally be seen as having less easily assailable motives.

Flickr - boellstiftung - Trevor Phillips.jpgTrevor Phillips (pictured left), whom I had known as the first black President of the National Union of Students in 1979 before, in 2003, he became the Chair of the Commission for Racial Equality, opened up territory in discussion and debate that others had not dared to ‘trespass’ into. His realisation that the race-relations ‘industry’ was part of the problem, and that partly as a result of talking up diversity the country was ‘sleepwalking to segregation’ was an insight that others began to share.

Simon Schama also argued that Britain should not have to choose between its own multi-cultural, global identity and its place in Europe. Interestingly, he put the blame for this pressure at least partly on the EU bureaucracy in Brussels, suggesting that…

 … the increasing compulsion to make the choice that General de Gaulle imposed on us between our European and our extra-European identity seems to order an impoverishment of our culture. It is precisely the the roving, unstable, complicated, migratory character of our history that ought to be seen as a gift for Europe. It is a past, after all, that uniquely in European history combines a passion for social justice with a tenacious attachment to bloody-minded liberty, a past designed to subvert, not reinforce, the streamlined authority of global bureaucracies and corporations. Our place at the European table ought to make room for that peculiarity or we should not bother showing up for dinner. What, after all, is the alternative? To surrender that ungainly, eccentric thing, British history, with all its warts and disfigurements, to the economic beauty parlour that is Brussels will mean a loss. But properly smartened up, we will of course be fully entitled to the gold-card benefits of the inward-looking club… Nor should Britain rush towards a re-branded future that presupposes the shame-faced repudiation of the past. For our history is not the captivity of our future; it is, in fact, the condition of our maturity.  

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‘Globalisation’

Fourteen years later, this was exactly the choice facing the British people, though now it was not De Gaulle or even the Brussels ‘Eurocrats’ who were asking the question, but the British Prime Minister, David Cameron, and his ‘Brexiteer’ Conservatives in his cabinet and on the back benches. The people themselves had not asked to be asked, but when they answered at the 2016 Referendum, they decided, by a very narrow majority, that they preferred the vision (some would say ‘unicorn’) of a ‘global’ Britain to the ‘gold-card benefits’ available at the European table it was already sitting at. Their ‘tenacious attachment’ to ‘bloody-minded liberty’ led to them expressing their desire to detach themselves from the European Union, though it is still not clear whether they want to remain semi-detached or move to a detached property at the very end of the street which as yet has not yet been planned, let alone built. All we have is a glossy prospectus which may or may not be delivered or even deliverable.

An internet poster from the 2016 Referendum Campaign

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Looking back to 2002, the same year in which Simon Schama published his BBC series book, The Fate of Empire, the latest census for England and Wales was published. Enumerated and compiled the previous year, it showed the extent to which the countries had changed in the decade since the last census was taken. Douglas Murray, in the first chapter of his recent book, The Strange Death of Europe, first published in 2017, challenges us to imagine ourselves back in 2002 speculating about what England and Wales might look like in the 2011 Census. Imagine, he asks us, that someone in our company had projected:

“White Britons will become a minority in their own capital city by the end of this decade and the Muslim population will double in the next ten years.”

How would we have reacted in 2002? Would we have used words like ‘alarmist’, ‘scaremongering’, ‘racist’, ‘Islamophobic’? In 2002, a Times journalist made far less startling statements about likely future immigration, which were denounced by David Blunkett, then Home Secretary (using parliamentary privilege) as bordering on fascism. Yet, however much abuse they received for saying or writing it, anyone offering this analysis would have been proved absolutely right at the end of 2012, when the 2011 Census was published. It proved that only 44.9 per cent of London residents identified themselves as ‘white British’. It also revealed far more significant changes, showing that the number of people living in England and Wales who had been born ‘overseas’ had risen by nearly three million since 2001. In addition, nearly three million people in England and Wales were living in households where not one adult spoke English or Welsh as their main language.

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These were very major ethnic and linguistic changes, but there were equally striking findings of changing religious beliefs. The Census statistics showed that adherence to every faith except Christianity was on the rise. Since the previous census, the number of people identifying themselves as Christian had declined from seventy-two per cent to fifty-nine. The number of Christians in England and Wales dropped by more than four million, from thirty-seven million to thirty-three. While the Churches witnessed this collapse in their members and attendees, mass migration assisted a near doubling of worshippers of Islam. Between 2001 and 2011 the number of Muslims in England and Wales rose from 1.5 million to 2.7 million. While these were the official figures, it is possible that they are an underestimate, because many newly-arrived immigrants might not have filled in the forms at the beginning of April 2011 when the Census was taken, not yet having a registered permanent residence. The two local authorities whose populations were growing fastest in England, by twenty per cent in the previous ten years, were Tower Hamlets and Newham in London, and these were also among the areas with the largest non-response to the census, with around one in five households failing to return the forms.

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Yet the results of the census clearly revealed that mass migration was in the process of altering England completely. In twenty-three of London’s thirty-three boroughs (see map above) ‘white Britons’ were now in a minority. A spokesman for the Office of National Statistics regarded this demonstrating ‘diversity’, which it certainly did, but by no means all commentators regarded this as something positive or even neutral. When politicians of all the main parties addressed the census results they greeted them in positive terms. This had been the ‘orthodox’ political view since in 2007 the then Mayor of London, Ken Livingstone, had spoken with pride about the fact that thirty-five per cent of the people working in London had been born in a foreign country. For years a sense of excitement and optimism about these changes in London and the wider country seemed the only appropriate tone to strike. This was bolstered by the sense that what had happened in the first decade of the twenty-first century was simply a continuation of what had worked well for Britain in the previous three decades. This soon turned out to be a politically-correct pretence, though what was new in this decade was not so much growth in immigration from Commonwealth countries and the Middle East, or from wartorn former Yugoslavia, but the impact of white European migrants from the new EU countries, under the terms of the accession treaties and the ‘freedom of movement’ regulations of the single market. As I noted in the previous article, the British government could have delayed the implementation of these provisions but chose not to.

Questions about the Quality & Quantity of Migration:

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Besides the linguistic and cultural factors already dealt with, there were important economic differences between the earlier and the more recent migrations of Eastern Europeans. After 2004, young, educated Polish, Czech and Hungarian people had moved to Britain to earn money to earn money to send home or to take home with them in order to acquire good homes, marry and have children in their rapidly developing countries. And for Britain, as the host country, the economic growth of the 2000s was fuelled by the influx of energetic and talented people who, in the process, were also denying their own country their skills for a period. But the UK government had seriously underestimated the number of these workers who wanted to come to Britain. Ministers suggested that the number arriving would be around 26,000 over the first two years. This turned out to be wildly wrong, and in 2006 a Home Office minister was forced to admit that since EU expansion in 2004, 427,000 people from Poland and seven other new EU nations had applied to work in Britain. If the self-employed were included, he added, then the number might be as high as 600,000. There were also at least an additional 36,000 spouses and children who had arrived, and 27,000 child benefit applications had been received. These were very large numbers indeed, even if most of these turned out to be temporary migrants.

It has to be remembered, of course, that inward migration was partially offset by the outflow of around sixty thousand British people each year, mainly permanent emigrants to Australia, the United States, France and Spain. By the winter of 2006-07, one policy institute reckoned that there were 5.5 million British people living permanently overseas, nearly ten per cent of Britons, or more than the population of Scotland. In addition, another half a million were living abroad for a significant part of the year. Aside from Europe, the Middle East and Asia were seeing rising ‘colonies’ of expatriate British. A worrying proportion of them were graduates; Britain was believed to be losing one in six of its graduates to emigration. Many others were retired or better-off people looking for a life in the sun, just as many of the newcomers to Britain were young, ambitious and keen to work. Government ministers tended to emphasise these benign effects of immigration, but their critics looked around and asked where all the extra people would go, where they would live, and where their children would go to school, not to mention where the extra hospital beds, road space and local services would come from, and how these would be paid for.

Members of the campaign group Citizens UK hold a ‘refugees welcome’ event outside Lunar House in Croydon. Photograph: John Stillwell/PA

A secondary issue to that of ‘numbers’ was the system for asylum seekers. In 2000, there were thirty thousand failed asylum seekers in the United Kingdom, a third of those who had applied in 1999, when only 7,645 had been removed from the country. It was decided that it was impossible to remove more, and that to try to do so would prove divisive politically and financially costly. Added to this was the extent of illegal immigration, which had caught the ‘eye’ of the British public. There were already criminal gangs of Albanians, Kosovars and Albanians, operating from outside the EU, who were undermining the legal migration streams from Central-Eastern Europe in the eyes of many. The social service bill for these ‘illegal’ migrants became a serious burden for the Department of Social Security. Towns like Slough protested to the national government about the extra cost in housing, education and other services.

In addition, there was the sheer scale of the migration and the inability of the Home Office’s immigration and nationality department to regulate what was happening, to prevent illegal migrants from entering Britain, to spot those abusing the asylum system in order to settle in Britain and the failure to apprehend and deport people. Large articulated lorries filled with migrants, who had paid over their life savings to be taken to Britain, rumbled through the Channel Tunnel and the ferry ports. A Red Cross camp at Sangatte, near the French entrance to the ‘Chunnel’ (the photo below shows the Folkestone entrance), was blamed by Britain for exacerbating the problem. By the end of 2002, an estimated 67,000 had passed through the camp to Britain. The then Home Secretary, David Blunkett finally agreed on a deal with the French to close the camp down, but by then many African, Asian and Balkan migrants, believing the British immigration and benefits systems to be easier than those of other EU countries, had simply moved across the continent and waited patiently for their chance to board a lorry to Britain.

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Successive Home Secretaries from Blunkett to Reid tried to deal with the trade, the latter confessing that his department was “not fit for purpose”. He promised to clear a backlog of 280,000 failed asylum claims, whose seekers were still in the country after five years. The historic Home Office was split up, creating a separate immigration and nationality service. Meanwhile, many illegal immigrants had succeeded in bypassing the asylum system entirely. In July 2005, the Home Office produced its own estimate of the number of these had been four years earlier. It reckoned that this was between 310,000 and 570,000, or up to one per cent of the total population. A year later, unofficial estimates pushed this number up to 800,000. The truth was that no-one really knew, but official figures showed the number applying for asylum were now falling, with the former Yugoslavia returning to relative peace.  Thousands of refugees were also being returned to Iraq, though the signs were already apparent that further wars in the Middle East and the impact of global warming on sub-Saharan Africa would soon send more disparate groups across the continents.

Britain’s Toxic Politics of Immigration:

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To begin with, the arrival of workers from the ten countries who joined the EU in 2004 was a different issue, though it involved an influx of roughly the same size. By the government’s own figures, annual net inward migration had reached 185,000 and had averaged 166,000 over the previous seven years. This was significantly more than the average net inflow of fifty thousand New Commonwealth immigrants which Enoch Powell (pictured above) had referred to as ‘literally mad’ in his 1968 Rivers of Blood speech, though he had been criticising the immigration of East African Asians, of course. But although Powell’s speech was partly about race, colour and identity, it was also about numbers of immigrants and the practical concerns of his Wolverhampton constituents in finding hospital and school places in an overstretched public sector. It seems not unreasonable, and not at all racist, to suggest that it is a duty of central government to predict and provide for the number of newcomers it permits to settle in the country. In 2006, the Projections based on many different assumptions suggested that the UK population would grow by more than seven million by 2031. Of that, eighty per cent would be due to immigration. The organisation, Migration Watch UK, set up to campaign for tighter immigration controls, said this was equivalent to requiring the building of a new town the size of Cambridge each year, or five new cities the size of Birmingham over the predicted quarter century.

But such characterisations were surely caricatures of the situation since many of these new Eastern European migrants did not intend to settle permanently in the UK and could be expected to return to their countries of origin in due course. However, the massive underestimations of the scale of the inward migration were, of course, predictable to anybody with any knowledge of the history of post-war migration, replete with vast underestimates of the numbers expected. But it did also demonstrate that immigration control was simply not a priority for New Labour, especially in its early manifestations. It gave the impression that it regarded all immigration control, and even discussion of it, as inherently ‘racist’ (even the restriction of white European migration), which made any internal or external opposition hard to voice. The public response to the massive upsurge in immigration and to the swift transformation of parts of Britain it had not really reached before, was exceptionally tolerant. There were no significant or sustained outbreaks of racist abuse or violence before 2016, and the only racist political party, the British National Party (BNP) was subsequently destroyed, especially in London.

Official portrait of Dame Margaret Hodge crop 2.jpgIn April 2006, Margaret Hodge, the Labour MP for Barking since 1996 (pictured right), commented in an interview with The Sunday Telegraph that eight out of ten white working-class voters in her constituency might be tempted to vote for the British National Party (BNP) in the local elections on 4 May 2006 because “no one else is listening to them” about their concerns over unemployment, high house prices and the housing of asylum seekers in the area. She said the Labour Party must promote…

“… very, very strongly the benefits of the new, rich multi-racial society which is part of this part of London for me”.

There was widespread media coverage of her remarks, and Hodge was strongly criticised for giving the BNP publicity. The BNP went on to gain 11 seats in the local election out of a total of 51, making them the second largest party on the local council. It was reported that Labour activists accused Hodge of generating hundreds of extra votes for the BNP and that local members began to privately discuss the possibility of a move to deselect her. The GMB wrote to Hodge in May 2006, demanding her resignation. The Mayor of London, Ken Livingstone, later accused Hodge of “magnifying the propaganda of the BNP” after she said that British residents should get priority in council house allocations. In November 2009, the Leader of the BNP, Nick Griffin, announced that he intended to contest Barking at the 2010 general election. In spite of the unions’ position, Hodge was returned as Member for Barking in 2010, doubling her majority to over 16,000, whilst Griffin came third behind the Conservatives. The BNP lost all of its seats on Barking and Dagenham Council. Following the same general election in 2010, which saw New Labour defeated under Gordon Brown’s leadership.

Opinion polls and the simple, anecdotal evidence of living in the country showed that most people continued to feel zero personal animosity towards immigrants or people of different ethnic backgrounds. But poll after poll did show that a majority were deeply worried about what ‘all this’ migration meant for the country and its future. But even the mildest attempts to put these issues on the political agenda, such as the concerns raised by Margaret Hodge (and the 2005 Conservative election campaign poster suggesting ‘limits’ on immigration) were often met with condemnation by the ruling political class, with the result that there was still no serious public discussion of them. Perhaps successive governments of all hues had spent decades putting off any real debate on immigration because they suspected that the public disagreed with them and that it was a matter they had lost control over anyway.

Perhaps it was because of this lack of control that the principal reaction to the developing reality began to be to turn on those who expressed any concern about it, even when they reflected the views of the general public. This was done through charges of ‘racism’ and ‘bigotry’, such as the accidental ‘caught-on-mike’ remark made by Gordon Brown while getting into his car in the 2010 election campaign, when confronted by one of his own Labour councillors in a northern English town about the sheer numbers of migrants. It is said to have represented a major turning point in the campaign. A series of deflecting tactics became a replacement for action in the wake of the 2011 census, including the demand that the public should ‘just get over it’, which came back to haunt David Cameron’s ministers in the wake of the 2016 Referendum. In his Daily Telegraph column of December 2012, titled Let’s not dwell on immigration but sow the seeds of integration, Boris Johnson, then Mayor of London, responded to the census results by writing…

We need to stop moaning about the dam-burst. It’s happened. There is nothing we can now do except make the process of absorption as eupeptic as possible … 

The Mayor, who as an MP and member of David Cameron’s front-bench team later became a key leader of the ‘Leave’ campaign and an ardent Brexiteer, may well have been right in making this statement, saying what any practical politician in charge of a multi-cultural metropolis would have to say. But there is something cold about the tone of his remark, not least the absence of any sense that there were other people out there in the capital city not willing simply to ‘get over it’, who disliked the alteration of their society and never asked for it. It did not seem to have occurred to Johnson that there were those who might be nursing a sense of righteous indignation that about the fact that for years all the main parties had taken decisions that were so at variance with the opinions of their electors, or that there was something profoundly disenfranchising about such decisions, especially when addressed to a majority of the voting public.

In the same month as Johnson’s admonition, a poll by YouGov found two-thirds of the British public believed that immigration over the previous decade had been ‘a bad thing for Britain’. Only eleven per cent thought it had been ‘a good thing’. This included majorities among voters for every one of the three main parties. Poll after poll conducted over the next five years showed the same result. As well as routinely prioritising immigration as their top concern, a majority of voters in Britain regularly described immigration as having a negative impact on their public services and housing through overcrowding, as well as harming the nation’s identity. By 2012 the leaders of every one of the major parties in Britain had conceded that immigration was too high, but even whilst doing so all had also insisted that the public should ‘get over it’. None had any clear or successful policy on how to change course. Public opinion surveys suggest that a failure to do anything about immigration even while talking about it is one of the key areas of the breakdown in trust between the electorate and their political representatives.

At the same time, the coalition government of 2010-15 was fearful of the attribution of base motives if it got ‘tough on immigrants’. The Conservative leadership was trying to reposition itself as more socially ‘liberal’ under David Cameron. Nevertheless, at the election, they had promised to cut immigration from hundreds of thousands to tens of thousands per year, but they never succeeded in getting near that target. To show that she meant ‘business’, however, in 2013, Theresa May’s Home Office organised a number of vans with advertising hoardings to drive around six London boroughs where many illegal immigrants and asylum seekers lived. The posters on the hoardings read, In the UK illegally? Go home or face arrest, followed by a government helpline number. The posters became politically toxic immediately. The Labour Shadow Home Secretary, Yvette Cooper, described them as “divisive and disgraceful” and the campaign group Liberty branded them “racist and illegal”.

After some months it was revealed that the pilot scheme had successfully persuaded only eleven illegal immigrants to leave the country voluntarily. Theresa May admitted that the scheme had been a mistake and too “blunt”. Indeed, it was a ‘stunt’ designed to reassure the ‘native’ population that their government was getting tough, and it was not repeated, but the overall ‘hostile environment’ policy it was part of continued into the next majority Conservative government, leading to the illegal deportation of hundreds of ‘Windrush generation’ migrants from the Caribbean who had settled in Britain before 1968 and therefore lacked passports and papers identifying them as British subjects. The Tories repeated their promise on immigration more recently, in both David Cameron’s majority government of 2015 and Theresa May’s minority one of 2017, but are still failing to get levels down to tens of thousands. In fact, under Cameron, net immigration reached a record level of 330,000 per year, numbers which would fill a city the size of Coventry.

The movement of people, even before the European migration crisis of 2015, was of an entirely different quantity, quality and consistency from anything that the British Isles had experienced before, even in the postwar period. Yet the ‘nation of immigrants’ myth continued to be used to cover over the vast changes in recent years to pretend that history can be used to provide precedents for what has happened since the turn of the millennium. The 2011 Census could have provided an opportunity to address the recent transformation of British society but like other opportunities in the second half of the twentieth century to discuss immigration, it was missed. If the fact that ‘white Britons’ now comprised a minority of the London population was seen as a demonstration of ‘diversity’ then the census had shown that some London boroughs were already lacking in ‘diversity’, not because there weren’t enough people of immigrant origin but because there weren’t enough ‘white Britons’ still around to make those boroughs diverse.

Brexit – The Death of Diversity:

Since the 2011 Census, net migration into Britain has continued to be far in excess of three hundred thousand per year. The rising population of the United Kingdom is now almost entirely due to inward migration, and to higher birthrates among the predominantly young migrant population. In 2014 women who were born overseas accounted for twenty-seven per cent of all live births in England and Wales, and a third of all newborn babies had at least one overseas-born parent, a figure that had doubled since the 1990s. However, since the 2016 Brexit vote, statistics have shown that many recent migrants to Britain from the EU have been returning to their home countries so that it is difficult to know, as yet, how many of these children will grow up in Britain, or for how long. On the basis of current population trends, and without any further rise in net inward migration, the most modest estimate by the ONS of the future British population is that it will rise from its current level of sixty-five million to seventy million within a decade, seventy-seven million by 2050 and to more than eighty million by 2060. But if the post-2011 levels were to continue, the UK population would go above eighty million as early as 2040 and to ninety million by 2060. In this context, Douglas Murray asks the following rhetoric questions of the leaders of the mainstream political parties:

All these years on, despite the name-calling and the insults and the ignoring of their concerns, were your derided average white voters not correct when they said that they were losing their country? Irrespective of whether you think that they should have thought this, let alone whether they should have said this, said it differently or accepted the change more readily, it should at some stage cause people to pause and reflect that the voices almost everybody wanted to demonise and dismiss were in the final analysis the voices whose predictions were nearest to being right.

An Ipsos poll published in July 2016 surveyed public attitudes towards immigration across Europe. It revealed just how few people thought that immigration has had a beneficial impact on their societies. To the question, Would you say that immigration has generally had a positive or negative impact on your country? very low percentages of people in each country thought that it had had a positive effect. Britain had a comparatively positive attitude, with thirty-six per cent of people saying that they thought it had had a very or fairly positive impact. Meanwhile, on twenty-four per cent of Swedes felt the same way and just eighteen per cent of Germans. In Italy, France and Belgium only ten to eleven per cent of the population thought that it had made even a fairly positive impact on their countries. Despite the Referendum result, the British result may well have been higher because Britain had not experienced the same level of immigration from outside the EU as had happened in the inter-continental migration crisis of the previous summer.

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Indeed, the issue of immigration as it affected the 2016 Referendum in Britain was largely about the numbers of Eastern European migrants arriving in the country, rather than about illegal immigrants from outside the EU, or asylum seekers. Inevitably, all three issues became confused in the public mind, something that UKIP (United Kingdom Independence Party) used to good effect in its campaigning posters. The original version of the poster above, featuring UKIP leader Nigel Farage, caused considerable controversy by using pictures from the 2015 Crisis in Central-Eastern Europe to suggest that Europe was at ‘Breaking Point’ and that once in the EU, refugees and migrants would be able to enter Britain and settle there. This was untrue, as the UK is not in the ‘Schengen’ area. Campaigners against ‘Brexit’ pointed out the facts of the situation in the adapted internet poster. In addition, during the campaign, Eastern European leaders, including the Poles and the Hungarians, complained about the misrepresentation of their citizens as ‘immigrants’ like many of those who had recently crossed the EU’s Balkan borders in order to get to Germany or Sweden. As far as they were concerned, they were temporary internal migrants within the EU’s arrangements for ‘freedom of movement’ between member states. Naturally, because this was largely a one-way movement in numeric terms, this distinction was lost on many voters, however, as ‘immigration’ became the dominant factor in their backing of Brexit by a margin of 52% to 48%.

In Britain, the issue of Calais remained the foremost one in discussion in the autumn of 2016. The British government announced that it was going to have to build a further security wall near to the large migrant camp there. The one-kilometre wall was designed to further protect the entry point to Britain, and specifically to prevent migrants from trying to climb onto passing lorries on their way to the UK. Given that there were fewer than 6,500 people in the camp most of the time, a solution to Calais always seemed straightforward. All that was needed, argued activists and politicians, was a one-time generous offer and the camp could be cleared. But the reality was that once the camp was cleared it would simply be filled again. For 6,500 was an average day’s migration to Italy alone.

Blue: Schengen Area Green: Countries with open borders Ochre: Legally obliged to join

In the meantime, while the British and French governments argued over who was responsible for the situation at Calais, both day and night migrants threw missiles at cars, trucks and lorries heading to Britain in the hope that the vehicles would stop and they could climb aboard as stowaways for the journey across the Channel. The migrants who ended up in Calais had already broken all the EU’s rules on asylum in order to get there. They had not applied for asylum in their first country of entry, Greece, nor even in Hungary. Instead, they had pushed on through the national borders of the ‘Schengen’ free passage area (see map above right) until they reached the north of France. If they were cold, poor or just worse off, they were seen as having the right to come into a Europe which could no longer be bothered to turn anyone away.

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Migrants/ Asylum Seekers arriving on the shores of the Greek island of Lesbos.

The Disintegration of Multiculturalism, ‘Parallel Development’ & the Populist Reaction in Britain:

After the 9/11 attacks on the USA, the wars in Iraq and Afghanistan and the 7/7 London bombings, there was no bigger cultural challenge to the British sense of proportion and fairness than the threat of ‘militant Islam’. There were plenty of angry young Muslim men prepared to listen to fanatical ‘imams’ and to act on their narrow-minded and bloodthirsty interpretations of ‘Jihad’. Their views, at odds with those of the well-established South Asian Muslim communities referred to above, were those of the ultra-conservative ‘Wahhabi’ Arabs and Iranian mullahs who insisted, for example, on women being fully veiled. But some English politicians, like Norman Tebbit, felt justified in asking whether Muslim communities throughout Britain really wanted to fully integrate. Would they, in Tebbit’s notorious ‘test’, support the English Cricket team when it played against Pakistan?

Britain did not have as high a proportion of Muslims as France, and not many, outside London and parts of the South East, of Arab and North African origin. But the large urban centres of the Home Counties, the English Midlands and the North of England had third generation Muslim communities of hundreds of thousands. They felt like they were being watched in a new way and were perhaps right to feel more than a little uneasy. In the old industrial towns on either side of the Pennines and in areas of West London there were such strong concentrations of Muslims that the word ‘ghetto’ was being used by ministers and civil servants, not just, as in the seventies and eighties, by rightwing organisations and politicians. White working-class people had long been moving, quietly, to more semi-rural commuter towns in the Home Counties and on the South Coast.

But those involved in this ‘white flight’, as it became known, were a minority if polling was an accurate guide. Only a quarter of Britons said that they would prefer to live in white-only areas. Yet even this measure of ‘multiculturalism’, defined as ‘live and let live’, was being questioned. How much should the new Britons ‘integrate’ or ‘assimilate’, and how much was the retention of traditions a matter of their rights to a distinctive cultural identity? After all, Britain had a long heritage of allowing newcomers to integrate on their own terms, retaining and contributing elements of their own culture. Speaking in December 2006, Blair cited forced marriages, the importation of ‘sharia’ law and the ban on women entering certain mosques as being on the wrong side of this line. In the same speech he used new, harder language. He claimed that, after the London bombings, …

“… for the first time in a generation there is an unease, an anxiety, even at points a resentment that outr very openness, our willingness to welcome difference, our pride in being home to many cultures, is being used against us … Our tolerance is what makes is part of what makes Britain, Britain. So conform to it; or don’t come here. We don’t want the hate-mongers … If you come here lawfully, we welcome you. If you are permitted to stay here permanently, you become an equal member of our community and become one of us.”

His speech was not just about security and the struggle against terrorism. He was defining the duty to integrate. Britain’s strong economic growth over the previous two decades, despite its weaker manufacturing base, was partly the product of its long tradition of hospitality. The question now was whether the country was becoming so overcrowded that this tradition of tolerance was finally eroding. England, in particular, had the highest population density of any major country in the Western world. It would require wisdom and frankness from politicians together with watchfulness and efficiency from Whitehall to keep the ship on an even keel. Without these qualities and trust from the people, how can we hope for meaningful reconciliation between Muslim, Christian, Jew and Humanist?; between newcomers, sojourners, old-timers and exiles?; between white Europeans, black Africans, South Asians and West Indians?

Map showing the location of Rotherham in South Yorkshire

In January 2011, a gang of nine Muslim men, seven of Pakistani heritage and two from North Africa, were convicted and sentenced at the Old Bailey in London for the sex trafficking of children between the ages of eleven and fifteen. One of the victims sold into a form of modern-day slavery was a girl of eleven who was branded with the initial of her ‘owner’ and abuser: ‘M’ for Mohammed. The court heard that he had branded her to make her his property and to ensure others knew about it. This did not happen in a Saudi or Pakistani backwater, nor even in one of the northern English towns that so much of the country had forgotten about until similar crimes involving Pakistani heritage men were brought to light. This happened in Oxfordshire between 2004 and 2012. Nobody could argue that gang rape and child abuse are the preserve of immigrants, but these court cases and the official investigations into particular types of child-rape gangs, especially in the case of Rotherham, have identified specific cultural attitudes towards women, especially non-Muslim women, that are similar to those held by men in parts of Pakistan. These have sometimes been extended into intolerant attitudes toward other religions, ethnic groups and sexual minorities. They are cultural attitudes which are anathema to the teachings of the Qu’ran and mainstream Imams, but fears of being accused of ‘racism’ for pointing out such factual connections had been at least partly responsible for these cases taking years to come to light.

British Muslims and members of the British-Pakistani community condemned both the abuse and that it had been covered up. Nazir Afzal (pictured right), Chief Crown Prosecutor of the Crown Prosecution Service (CPS) for North West England from 2011–2015, himself a Muslim, made the decision in 2011 to prosecute the Rochdale child sex abuse ring after the CPS had turned the case down. Responding to the Jay report, he argued that the abuse had no basis in Islam:

“Islam says that alcohol, drugs, rape and abuse are all forbidden, yet these men were surrounded by all of these things. … It is not the abusers’ race that defines them. It is their attitude toward women that defines them.” 

Below left: The front page of The Times, 24 September 2012.

Even then, however, in the Oxfordshire case, the gangs were described as ‘Asian’ by the media, rather than as men of Pakistani and Arabic origin. In addition, the fact that their victims were chosen because they were not Muslim was rarely mentioned in court or dwelt upon by the press. But despite sections of the media beginning focus on Pakistani men preying on young white girls, a 2013 report by the UK Muslim Women’s Network found that British Asian girls were also being abused across the country in situations that mirrored the abuse in Rotherham. The unfunded small-scale report found 35 cases of young Muslim girls of Pakistani-heritage being raped and passed around for sex by multiple men. In the report, one local Pakistani women’s group described how Pakistani-heritage girls were targeted by taxi drivers and on occasion by older men lying in wait outside school gates at dinner times and after school. They also cited cases in Rotherham where Pakistani landlords had befriended Pakistani women and girls on their own for purposes of sex, then passed on their name to other men who had then contacted them for sex. The Jay Report, published in 2014, acknowledged that the 2013 report of abuse of Asian girls was ‘virtually identical’ to the abuse that occurred in Rotherham, and also acknowledged that British Asian girls were unlikely to report their abuse due to the repercussions on their family. Asian girls were ‘too afraid to go to the law’ and were being blackmailed into having sex with different men while others were forced at knife-point to perform sexual acts on men. Support workers described how one teenage girl had been gang-raped at a party:

“When she got there, there was no party, there were no other female members present. What she found was that there were five adults, their ages ranging between their mid-twenties going on to the late-forties and the five men systematically, routinely, raped her. And the young man who was supposed to be her boyfriend stood back and watched”.

Groups would photograph the abuse and threaten to publish it to their fathers, brothers, and in the mosques, if their victims went to the police.

In June 2013, the polling company ComRes carried out a poll for BBC Radio 1 asking a thousand young British people about their attitudes towards the world’s major religions. The results were released three months later and showed that of those polled, twenty-seven per cent said that they did not trust Muslims (compared with 15% saying the same of Jews, 13% of Buddhists, and 12% of Christians). More significantly, perhaps, forty-four per cent said that they thought Muslims did not share the same views or values as the rest of the population. The BBC and other media in Britain then set to work to try to discover how Britain could address the fact that so many young people thought this way. Part of the answer may have had something to do with the timing of the poll, the fieldwork being carried out between 7-17 June. It had only been a few weeks before this that Drummer Lee Rigby, a young soldier on leave from Afghanistan, had been hit by a car in broad daylight outside an army barracks in South London, dragged into the middle of the road and hacked to death with machetes. The two murderers, Michael Adebolajo and Michael Adebowale, were Muslims of African origin who were carrying letters claiming justification for killing “Allah’s enemies”. It’s therefore reasonable to suppose that, rather than making assumptions about a religious minority without any evidence, those who were asked their opinions connected Muslims with a difference in basic values because they had been very recently associated with an act of extreme violence on the streets of London.

Unfortunately, attempts to provide a more balanced view and to separate these acts of terrorism from Islam have been dwarfed by the growing public perception of a problem which will not simply go away through the repetition of ‘mantras’. The internet has provided multiple and diverse sources of information, but the simple passage of the various events related above, and the many others available examples, have meant that the public have been able to make their own judgements about Islam, and they are certainly not as favourable as they were at the start of the current century. By 2015, one poll showed that only thirty per cent of the general public in Britain think that the values of Islam are ‘compatible’ with the values of British society. The passage of terrorist events on the streets of Europe continued through 2016 and 2017. On 22 March 2017, a 52-year-old British born convert to Islam, Khalid Masood, ploughed his car across Westminster Bridge, killing two tourists, one American and the other Romanian, and two British nationals. Dozens more were injured as they scattered, some falling into the River Thames below. Crashing into the railings at the side of Parliament, Masood then ran out of the hired vehicle and through the gates of the palace, where he stabbed the duty policeman, PC Keith Palmer, who died a few minutes later. Masood was then shot dead by armed police, his last phone messages revealing that he believed he was “waging jihad.” Two weeks later, at an inter-faith ‘Service of Hope’ at Westminster Abbey, its Dean, the Very Reverend John Hall, spoke for a nation he described as ‘bewildered’:

What could possibly motivate a man to hire a car and take it from Birmingham to Brighton to London, and then drive it fast at people he had never met, couldn’t possibly know, against whom he had no personal grudge, no reason to hate them and then run at the gates of the Palace of Westminster to cause another death? It seems that we shall never know.

Then on 22 May thousands of young women and girls were leaving a concert by the US pop singer Ariana Grande at Manchester Arena. Waiting for them as they streamed out was Salman Abedi, a twenty-two-year-old British-born man, whose Libyan parents had arrived in the UK in the early nineties after fleeing from the Gadaffi régime. In the underground foyer, Abedi detonated a bomb he was carrying which was packed with nuts, bolts and other shrapnel. Twenty-two people, children and parents who had arrived to pick them up, were killed instantly. Hundreds more were injured, many of them suffering life-changing wounds. Then, in what began to seem like a remorseless series of events, on 3 June three men drove a van into pedestrians crossing London Bridge. They leapt out of it and began slashing at the throats of pedestrians, appearing to be targeting women in particular. They then ran through Borough Market area shouting “this is for Allah”. Eight people were murdered and many more seriously injured before armed police shot the three men dead. Two of the three, all of whom were aged twenty to thirty, were born in Morocco. The oldest of them, Rachid Redouane, had entered Britain using a false name, claiming to be a Libyan and was actually five years older than he had pretended. He had been refused asylum and absconded. Khurram Butt had been born in Pakistan and had arrived in the UK as a ‘child refugee’ in 1998, his family having moved to the UK to claim asylum from ‘political oppression’, although Pakistan was not on the UNHCR list.

On the evening of 19 June, at end of the Muslim sabbath, in what appeared to be a ‘reprisal’, a forty-seven-year-old father or four from Cardiff drove a van into crowds of worshippers outside Finsbury Park mosque who were crossing the road to go to the nearby Muslim Welfare House. One man, who had collapsed on the road and was being given emergency aid, was run over and died at the scene. Almost a dozen more were injured. Up to this point, all the Islamist terror attacks, from 7/7/2005 onwards, had been planned and carried out by ‘home-grown’ terrorists. Even the asylum seekers involved in the June attack in London had been in the country since well before the 2015 migration crisis. But in mid-September, an eighteen-year-old Iraqi who arrived in the UK illegally in 2015, and had been living with British foster parents ever since, left a crudely-manufactured bomb on the London Underground District line during the rush hour when the carriages were also crowded with schoolchildren. The detonator exploded but failed to ignite the home-made device itself, leading to flash burns to the dozens of people in the carriage. A more serious blast would have led to those dozens being taken away in body bags, and many more injured in the stampede which would have followed at the station exit with its steep steps. As it was, the passengers remained calm during their evacuation, but the subsequent emphasis on the ubiquitous Blitz slogan ‘Keep Calm and Carry On!’

Conclusion: Brexit at its ‘Best’.

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Of course, it would have been difficult to predict and prevent these attacks, either by erecting physical barriers or by identifying individuals who might be at risk from ‘radicalisation’, much of which takes place online. Most of the attackers had been born and radicalised in the UK, so no reinforcements at the borders, either in Calais or Kent would have kept them from enacting their atrocities. But the need for secure borders is not simple a symbolic or psychological reinforcement for the British people if it is combined with a workable and efficient asylum policy. We are repeatedly told that one of the two main reasons for the 2016 referendum decision for Britain to leave the EU was in order to take back control of its borders and immigration policy, though it was never demonstrated how exactly it had lost control of these, or at least how its EU membership had made it lose control over them.

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There are already signs that, as much due to the fall in the value of the pound since Brexit as to Brexit itself, many Eastern European migrants are returning to their home countries, but the vast majority of them had already declared that they did not intend to settle permanently in the UK. The fact that so many came from 2004 onwards was entirely down to the decision of the British government not to delay or derogate the operation of the accession treaties. But the reality remains that, even if they were to be replaced by other European ‘immigrants’ in future, the UK would still need to control, as ever, the immigration of people from outside the EU, including asylum seekers, and that returning failed or bogus applicants would become more difficult. So, too, would the sharing of intelligence information about the potential threats of terrorists attempting to enter Britain as bogus refugees. Other than these considerations, the home-grown threat from Islamist terrorists is likely to be unaffected by Brexit one way or another, and can only be dealt with by anti-radicalisation strategies, especially through education and more active inter-cultural community relations aimed at full integration, not ‘parallel’ development.

‘Populism’

Since the Brexit referendum in 2016 and the election of Donald Trump, it seems that journalists just cannot get enough of Populism. In 1998, the Guardian published about three hundred articles that contained the term. In 2015, it was used in about a thousand articles, and one year later this number had doubled to almost two thousand. Populist parties across Europe have tripled their vote in Europe over the past twenty years and more than a quarter of Europeans voted populist in their last elections. So, in deciding to leave the EU, the British are, ironically, becoming more like their continental cousins in supporting populist causes and parties. In a recent article in The Guardian Weekly, (30 November 2018), Fintan O’Toole, a columnist for The Irish Times, points out that for many pro-Brexit journalists and politicians Brexit takes the form of a populist ‘Britain alone’ crusade (see the picture and text below) which has been endemic in Britain’s political discourse about Europe since it joined ‘the common market’ in 1973:

Europe’s role in this weird psychodrama is entirely pre-scripted. It doesn’t greatly matter what the European Union is or what it is doing – its function in the plot is to be a more insiduous form of nazism. This is important to grasp, because one of the key arguments in mainstream pro-Brexit political and journalistic discourse would be that Britain had to leave because the Europe it had joined was not the Europe it found itself part of in 2016…

… The idea of Europe as a soft-Nazi superstate was vividly present in 1975, even when the still-emerging EU had a much weaker, less evolved and less intrusive form…

Yet what brings these disparate modes together is the lure of self-pity, the weird need to dream England into a state of awful oppression… Hostility to the EU thus opens the way to a bizarre logic in which a Nazi invasion would have been, relatively speaking, welcome…

It was a masochistic rhetoric that would return in full force as the Brexit negotiations failed to produce the promised miracles.

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Certainly, the rejection of Mrs May’s deal in the House of Commons by large numbers of ‘Brexiteer’ MPs from her own Conservative Party was largely, by their own admission, because they felt they could not trust the assurances given by the Presidents of the Council and Commission of the European Union who were, some MPs stated, trying to trick them into accepting provisions which would tie the UK indefinitely to EU regulations. It is undoubtedly true that the British people mostly don’t want to spend any more time arguing about Brexit. But when ‘leavers’ and ‘remainers’ are united only in disliking Mrs May’s solution, that offers no way forward. The Brexiteers can only offer a “managed no deal” as an alternative, which means just strapping on seat belts as your car heads for the cliff edge. Brexit has turned out to be an economic and political disaster already, fuelling, not healing the divisions in British society which have opened up over the last twenty years, and have widened into a chasm in the last six years since the triumph of the London Olympics and the Diamond Jubilee Celebrations. The extent of this folly has grown clearer with each turn of the page. But the ending is not fully written.

Sources (for both parts):

The Guardian Weekly,  30 November 2018. London.

Douglas Murray (2018), The Strange Death of Europe: Immigration, Identity, Islam. London: Bloomsbury.

Simon Schama (2002), A History of Britain III: 1776-2000, The Fate of Empire. London: BBC Worldwide.

Andrew Marr (2009), A History of Modern Britain. London: Pan Macmillan.

John Morrill (ed.), (2001), The Penguin Atlas of British and Irish History. Harmondsworth: Penguin Books.

 

Posted January 16, 2019 by TeamBritanniaHu in Affluence, Africa, Arabs, Assimilation, asylum seekers, Australia, Balkan Crises, BBC, Brexit, Britain, British history, Britons, Brussels, Caribbean, Cartoons, Christian Faith, Christianity, Church, Colonisation, Commonwealth, Compromise, decolonisation, democracy, Demography, devolution, Discourse Analysis, Education, Empire, English Language, Europe, European Economic Community, European Union, Factories, Germany, History, Home Counties, Humanitarianism, Hungary, Immigration, India, Integration, Iraq, Ireland, Jews, Journalism, Labour Party, liberalism, Midlands, Migration, multiculturalism, multilingualism, Mythology, New Labour, Population, populism, Reconciliation, Refugees, Respectability, Satire, Second World War, terror, terrorism, United Kingdom, United Nations, West Midlands, World War Two, xenophobia

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You Only Live Twice – Cool Britannia to Cold Brexit: The United Kingdom, 1999-2019. Part One: Economics, Culture & Society.   Leave a comment

Europe-map-without-UK-012

Cold Shoulder or Warm Handshake?

On 29 March 2019, the United Kingdom of Great Britain and Northern Ireland will leave the European Union after forty-six years of membership, since it joined the European Economic Community on 1 January 1973 on the same day and hour as the Republic of Ireland. Yet in 1999, it looked as if the long-standing debate over Britain’s membership had been resolved. The Maastricht Treaty establishing the European Union had been signed by all the member states of the preceding European Community in February 1992 and was succeeded by a further treaty, signed in Amsterdam in 1999. What, then, has happened in the space of twenty years to so fundamentally change the ‘settled’ view of the British Parliament and people, bearing in mind that both Scotland and Northern Ireland voted to remain in the EU, while England and Wales both voted to leave? At the time of writing, the manner of our going has not yet been determined, but the invocation of ‘article fifty’ by the Westminster Parliament and the UK government means that the date has been set. So either we will have to leave without a deal, turning a cold shoulder to our erstwhile friends and allies on the continent, or we will finally ratify the deal agreed between the EU Commission, on behalf of the twenty-seven remaining member states, and leave with a warm handshake and most of our trading and cultural relations intact.

As yet, the possibility of a second referendum – or third, if we take into account the 1975 referendum, called by Harold Wilson (above) which was also a binary leave/ remain decision – seems remote. In any event, it is quite likely that the result would be the same and would kill off any opportunity of the UK returning to EU membership for at least another generation. As Ian Fleming’s James Bond tells us, ‘you only live twice’. That certainly seems to be the mood in Brussels too. I was too young to vote in 1975 by just five days, and another membership referendum would be unlikely to occur in my lifetime. So much has been said about following ‘the will of the people’, or at least 52% of them, that it would be a foolish government, in an age of rampant populism, that chose to revoke article fifty, even if Westminster voted for this. At the same time, and in that same populist age, we know from recent experience that in politics and international relations, nothing is inevitable…

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One of the major factors in the 2016 Referendum Campaign was the country’s public spending priorities, compared with those of the European Union. The ‘Leave’ campaign sent a double-decker bus around England stating that by ending the UK’s payments into the EU, more than 350 million pounds per week could be redirected to the National Health Service (NHS).

A British Icon Revived – The NHS under New Labour:

To understand the power of this statement, it is important to recognise that the NHS is unique in Europe in that it is wholly funded from direct taxation, and not via National Insurance, as in many other European countries. As a service created in 1948 to be ‘free at the point of delivery’, it is seen as a ‘British icon’ and funding has been a central issue in national election campaigns since 2001, when Tony Blair was confronted by an irate voter, Sharon Storer, outside a hospital. In its first election manifesto of 1997, ‘New Labour’ promised to safeguard the basic principles of the NHS, which we founded. The ‘we’ here was the post-war Labour government, whose socialist Health Minister, Aneurin Bevan, had established the service in the teeth of considerable opposition from within both parliament and the medical profession. ‘New Labour’ protested that under the Tories there had been fifty thousand fewer nurses but a rise of no fewer than twenty thousand managers – red tape which Labour would pull away and burn. Though critical of the internal markets the Tories had introduced, Blair promised to keep a split between those who commissioned health services and those who provided them.

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Under Frank Dobson, Labour’s new Health Secretary, there was little reform of the NHS but there was, year by year, just enough extra money to stave off the winter crises. But then a series of tragic individual cases hit the headlines, and one of them came from a Labour peer and well-known medical scientist and fertility expert, Professor Robert Winston, who was greatly admired by Tony Blair. He launched a furious denunciation of the government over the treatment of his elderly mother. Far from upholding the NHS’s iconic status, Winston said that Britain’s health service was the worst in Europe and was getting worse under the New Labour government, which was being deceitful about the true picture. Labour’s polling on the issue showed that Winston was, in general terms, correct in his assessment in the view of the country as a whole. In January 2000, therefore, Blair announced directly to it that he would bring Britain’s health spending up to the European average within five years. That was a huge promise because it meant spending a third as much again in real terms, and his ‘prudent’ Chancellor of the Exchequer, Gordon Brown, was unhappy that Blair had not spoken enough on television about the need for health service reform to accompany the money, and had also ‘stolen’ his budget announcements. On Budget day itself, Brown announced that until 2004 health spending would rise at above six per cent beyond inflation every year, …

… by far the largest sustained increase in NHS funding in any period in its fifty-year history … half as much again for health care for every family in this country.       

The tilt away from Brown’s sharp spending controls during the first three years of the New Labour government had begun by the first spring of the new millennium, and there was more to come. With a general election looming in 2001, Brown also announced a review of the NHS and its future by a former banker. As soon as the election was over, broad hints about necessary tax rises were dropped. When the Wanless Report was finally published, it confirmed much that the winter crisis of 1999-2000 had exposed. The NHS was not, whatever Britons fondly believed, better than health systems in other developed countries, and it needed a lot more money. ‘Wanless’ also rejected a radical change in funding, such as a switch to insurance-based or semi-private health care. Brown immediately used this as objective proof that taxes had to rise in order to save the NHS. In his next budget of 2002, Brown broke with a political convention that which had reigned since the mid-eighties, that direct taxes would not be raised again. He raised a special one per cent national insurance levy, equivalent to a penny on income tax, to fund the huge reinvestment in Britain’s health.

Public spending shot up with this commitment and, in some ways, it paid off, since by 2006 there were around 300,000 extra NHS staff compared to 1997. That included more than ten thousand extra senior hospital doctors (about a quarter more) and 85,000 more nurses. But there were also nearly forty thousand managers, twice as many as Blair and Brown had ridiculed the Tory government for hiring. An ambitious computer project for the whole NHS became an expensive catastrophe. Meanwhile, the health service budget rose from thirty-seven billion to more than ninety-two billion a year. But the investment produced results, with waiting lists, a source of great public anger from the mid-nineties, falling by 200,000. By 2005, Blair was able to talk of the best waiting list figures since 1988. Hardly anyone was left waiting for an inpatient appointment for more than six months. Death rates from cancer for people under the age of seventy-five fell by 15.7 per cent between 1996 and 2006 and death rates from heart disease fell by just under thirty-six per cent. Meanwhile, the public finance initiative meant that new hospitals were being built around the country. But, unfortunately for New Labour, that was not the whole story of the Health Service under their stewardship. As Andrew Marr has attested,

…’Czars’, quangos, agencies, commissions, access teams and planners hunched over the NHS as Whitehall, having promised to devolve power, now imposed a new round of mind-dazing control.

By the autumn of 2004 hospitals were subject to more than a hundred inspections. War broke out between Brown and the Treasury and the ‘Blairite’ Health Secretary, Alan Milburn, about the basic principles of running the hospitals. Milburn wanted more competition between them, but Brown didn’t see how this was possible when most people had only one major local hospital. Polling suggested that he was making a popular point. Most people simply wanted better hospitals, not more choice. A truce was eventually declared with the establishment of a small number of independent, ‘foundation’ hospitals. By the 2005 general election, Michael Howard’s Conservatives were attacking Labour for wasting money and allowing people’s lives to be put at risk in dirty, badly run hospitals. Just like Labour once had, they were promising to cut bureaucracy and the number of organisations within the NHS. By the summer of 2006, despite the huge injection of funds, the Service was facing a cash crisis. Although the shortfall was not huge as a percentage of the total budget, trusts in some of the most vulnerable parts of the country were on the edge of bankruptcy, from Hartlepool to Cornwall and across to London. Throughout Britain, seven thousand jobs had gone and the Royal College of Nursing, the professional association to which most nurses belonged, was predicting thirteen thousand more would go soon. Many newly and expensively qualified doctors and even specialist consultants could not find work. It seemed that wage costs, expensive new drugs, poor management and the money poured into endless bureaucratic reforms had resulted in a still inadequate service. Bupa, the leading private operator, had been covering some 2.3 million people in 1999. Six years later, the figure was more than eight million. This partly reflected greater affluence, but it was also hardly a resounding vote of confidence in Labour’s management of the NHS.

Public Spending, Declining Regions & Economic Development:

As public spending had begun to flow during the second Blair administration, vast amounts of money had gone in pay rises, new bureaucracies and on bills for outside consultants. Ministries had been unused to spending again, after the initial period of ‘prudence’, and did not always do it well. Brown and his Treasury team resorted to double and triple counting of early spending increases in order to give the impression they were doing more for hospitals, schools and transport than they actually could. As Marr has pointed out, …

… In trying to achieve better policing, more effective planning, healthier school food, prettier town centres and a hundred other hopes, the centre of government ordered and cajoled, hassled and harangued, always high-minded, always speaking for ‘the people’.  

The railways, after yet another disaster, were shaken up again. In very controversial circumstances Railtrack, the once-profitable monopoly company operating the lines, was driven to bankruptcy and a new system of Whitehall control was imposed. At one point, Tony Blair boasted of having five hundred targets for the public sector. Parish councils, small businesses and charities found that they were loaded with directives. Schools and hospitals had many more. Marr has commented, …

The interference was always well-meant but it clogged up the arteries of free decision-taking and frustrated responsible public life. 

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Throughout the New Labour years, with steady growth and low inflation, most of the country grew richer. Growth since 1997, at 2.8 per cent per year, was above the post-war average, GDP per head was above that of France and Germany and the country had the second lowest jobless figures in the EU. The number of people in work increased by 2.4 million. Incomes grew, in real terms, by about a fifth. Pensions were in trouble, but house price inflation soured, so the owners found their properties more than doubling in value and came to think of themselves as prosperous. By 2006 analysts were assessing the disposable wealth of the British at forty thousand pounds per household. However, the wealth was not spread geographically, averaging sixty-eight thousand in the south-east of England, but a little over thirty thousand in Wales and north-east England (see map above). But even in the historically poorer parts of the UK house prices had risen fast, so much so that government plans to bulldoze worthless northern terraces had to be abandoned when they started to regain value. Cheap mortgages, easy borrowing and high property prices meant that millions of people felt far better off, despite the overall rise in the tax burden. Cheap air travel gave the British opportunities for easy travel both to traditional resorts and also to every part of the European continent. British expatriates were able to buy properties across the French countryside and in southern Spain. Some even began to commute weekly to jobs in London or Manchester from Mediterranean villas, and regional airports boomed as a result.

Sir Tim Berners Lee arriving at the Guildhall to receive the Honorary Freedom of the City of LondonThe internet, also known as the ‘World-Wide Web’, which was ‘invented’ by the British computer scientist Tim Berners-Lee at the end of 1989 (pictured right in 2014), was advancing from the colleges and institutions into everyday life by the mid- ‘noughties’. It first began to attract popular interest in the mid-nineties: Britain’s first internet café and magazine, reviewing a few hundred early websites, were both launched in 1994. The following year saw the beginning of internet shopping as a major pastime, with both ‘eBay’ and ‘Amazon’ arriving, though to begin with they only attracted tiny numbers of people.

But the introduction of new forms of mail-order and ‘click and collect’ shopping quickly attracted significant adherents from different ‘demographics’.  The growth of the internet led to a feeling of optimism, despite warnings that the whole digital world would collapse because of the inability of computers to cope with the last two digits in the year ‘2000’, which were taken seriously at the time. In fact, the ‘dot-com’ bubble was burst by its own excessive expansion, as with any bubble, and following a pause and a lot of ruined dreams, the ‘new economy’ roared on again. By 2000, according to the Office of National Statistics (ONS), around forty per cent of Britons had accessed the internet at some time. Three years later, nearly half of British homes were ‘online’. By 2004, the spread of ‘broadband’ connections had brought a new mass market in ‘downloading’ music and video. By 2006, three-quarters of British children had internet access at home.

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Simultaneously, the rich of America, Europe and Russia began buying up parts of London, and then other ‘attractive’ parts of the country, including Edinburgh, the Scottish Highlands, Yorkshire and Cornwall. ‘Executive housing’ with pebbled driveways, brick facing and dormer windows, was growing across farmland and by rivers with no thought of flood-plain constraints. Parts of the country far from London, such as the English south-west and Yorkshire, enjoyed a ripple of wealth that pushed their house prices to unheard-of levels. From Leith to Gateshead, Belfast to Cardiff Bay, once-derelict shorefront areas were transformed. The nineteenth-century buildings in the Albert Dock in Liverpool (above) now house a maritime museum, an art gallery, shopping centre and television studio. It has also become a tourist attraction. For all the problems and disappointments, and the longer-term problems with their financing, new schools and public buildings sprang up – new museums, galleries, vast shopping complexes (see below), corporate headquarters in a biomorphic architecture of glass and steel, more imaginative and better-looking than their predecessors from the dreary age of concrete.

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Supermarket chains exercised huge market power, offering cheap meat and dairy products into almost everyone’s budgets. Factory-made ready-meals were transported and imported by the new global air freight market and refrigerated trucks and lorries moving freely across a Europe shorn of internal barriers. Out-of-season fruit and vegetables, fish from the Pacific, exotic foods of all kinds and freshly cut flowers appeared in superstores everywhere. Hardly anyone was out of reach of a ‘Tesco’, a ‘Morrison’s’, a ‘Sainsbury’s’ or an ‘Asda’. By the mid-noughties, the four supermarket giants owned more than 1,500 superstores throughout the UK. They spread the consumption of goods that in the eighties and nineties had seemed like luxuries. Students had to take out loans in order to go to university but were far more likely to do so than previous generations, as well as to travel more widely on a ‘gap’ year, not just to study or work abroad.

Those ‘Left Behind’ – Poverty, Pensions & Public Order:

Materially, for the majority of people, this was, to use Marr’s term, a ‘golden age’, which perhaps helps to explain both why earlier real anger about earlier pension decisions and stealth taxes did not translate into anti-Labour voting in successive general elections. The irony is that in pleasing ‘Middle Englanders’, the Blair-Brown government lost contact with traditional Labour voters, especially in the North of Britain, who did not benefit from these ‘golden years’ to the same extent. Gordon Brown, from the first, made much of New Labour’s anti-poverty agenda, and especially child poverty. Since the launch of the Child Poverty Action Group, this latter problem had become particularly emotive. Labour policies took a million children out of relative poverty between 1997 and 2004, though the numbers rose again later. Brown’s emphasis was on the working poor and the virtue of work. So his major innovations were the national minimum wage, the ‘New Deal’ for the young unemployed, and the working families’ tax credit, as well as tax credits aimed at children. There was also a minimum income guarantee and a later pension credit, for poorer pensioners.

The minimum wage was first set at three pounds sixty an hour, rising year by year. In 2006 it was 5.35 an hour. Because the figures were low, it did not destroy the two million jobs as the Tories claimed it would. Neither did it produce higher inflation; employment continued to grow while inflation remained low. It even seemed to have cut red tape. By the mid-noughties, the minimum wage covered two million people, the majority of them women. Because it was updated ahead of rises in inflation rates, the wages of the poor also rose faster. It was so successful that even the Tories were forced to embrace it ahead of the 2005 election. The New Deal was funded by a windfall tax on privatised utility companies, and by 2000 Blair said it had helped a quarter of a million young people back into work, and it was being claimed as a major factor in lower rates of unemployment as late as 2005. But the National Audit Office, looking back on its effect in the first parliament, reckoned the number of under twenty-five-year-olds helped into real jobs was as low as 25,000, at a cost per person of eight thousand pounds. A second initiative was targeted at the babies and toddlers of the most deprived families. ‘Sure Start’ was meant to bring mothers together in family centres across Britain – 3,500 were planned for 2010, ten years after the scheme had been launched – and to help them to become more effective parents. However, some of the most deprived families failed to show up. As Andrew Marr wrote, back in 2007:

Poverty is hard to define, easy to smell. In a country like Britain, it is mostly relative. Though there are a few thousand people living rough or who genuinely do not have enough to keep them decently alive, and many more pensioners frightened of how they will pay for heating, the greater number of poor are those left behind the general material improvement in life. This is measured by income compared to the average and by this yardstick in 1997 there were three to four million children living in households of relative poverty, triple the number in 1979. This does not mean they were physically worse off than the children of the late seventies, since the country generally became much richer. But human happiness relates to how we see ourselves relative to those around us, so it was certainly real. 

The Tories, now under new management in the shape of a media-marketing executive and old Etonian, David Cameron, also declared that they believed in this concept of relative poverty. After all, it was on their watch, during the Thatcher and Major governments, that it had tripled, which is why it was only towards the end of the New Labour governments that they could accept the definition of the left-of-centre Guardian columnist, Polly Toynbee. A world of ‘black economy’ work also remained below the minimum wage, in private care homes, where migrant servants were exploited, and in other nooks and crannies. Some 336,000 jobs remained on ‘poverty pay’ rates. Yet ‘redistribution of wealth’, a socialist phrase which had become unfashionable under New Labour lest it should scare away middle Englanders, was stronger in Brown’s Britain than in other major industrialised nations. Despite the growth of the super-rich, many of whom were immigrants anyway, overall equality increased in these years. One factor in this was the return to the means-testing of benefits, particularly for pensioners and through the working families’ tax credit, subsequently divided into a child tax credit and a working tax credit. This was a U-turn by Gordon Brown, who had opposed means-testing when in Opposition. As Chancellor, he concluded that if he was to direct scarce resources at those in real poverty, he had little choice.

Apart from the demoralising effect it had on pensioners, the other drawback to means-testing was that a huge bureaucracy was needed to track people’s earnings and to try to establish exactly what they should be getting in benefits. Billions were overpaid and as people did better and earned more from more stable employment, they then found themselves facing huge demands to hand back the money they had already spent. Thousands of extra civil servants were needed to deal with the subsequent complaints and the scheme became extremely expensive to administer. There were also controversial drives to oblige more disabled people back to work, and the ‘socially excluded’ were confronted by a range of initiatives designed to make them more middle class. Compared with Mrs Thatcher’s Victorian Values and Mr Major’s Back to Basics campaigns, Labour was supposed to be non-judgemental about individual behaviour. But a form of moralism did begin to reassert itself. Parenting classes were sometimes mandated through the courts and for the minority who made life hell for their neighbours on housing estates, Labour introduced the Anti-Social Behaviour Order (‘Asbo’). These were first given out in 1998, granted by magistrates to either the police or the local council. It became a criminal offence to break the curfew or other sanction, which could be highly specific. Asbos could be given out for swearing at others in the street, harassing passers-by, vandalism, making too much noise, graffiti, organising ‘raves’, flyposting, taking drugs, sniffing glue, joyriding, prostitution, hitting people and drinking in public.

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Although they served a useful purpose in many cases, there were fears that for the really rough elements in society and their tough children they became a badge of honour. Since breaking an Asbo could result in an automatic prison sentence, people were sent to jail for crimes that had not warranted this before. But as they were refined in use and strengthened, they became more effective and routine. By 2007, seven and a half thousand had been given out in England and Wales alone and Scotland had introduced its own version in 2004. Some civil liberties campaigners saw this development as part of a wider authoritarian and surveillance agenda which also led to the widespread use of CCTV (Closed Circuit Television) cameras by the police and private security guards, especially in town centres (see above). Also in 2007, it was estimated that the British were being observed and recorded by 4.2 million such cameras. That amounted to one camera for every fourteen people, a higher ratio than for any other country in the world, with the possible exception of China. In addition, the number of mobile phones was already equivalent to the number of people in Britain. With global satellite positioning chips (GPS) these could show exactly where their users were and the use of such systems in cars and even out on the moors meant that Britons were losing their age-old prowess for map-reading.

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The ‘Seven Seven’ Bombings – The Home-grown ‘Jihadis’:

Despite these increasing means of mass surveillance, Britain’s cities have remained vulnerable to terrorist attacks, more recently by so-called ‘Islamic terrorists’ rather than by the Provisional IRA, who abandoned their bombing campaign in 1998. On 7 July 2005, at rush-hour, four young Muslim men from West Yorkshire and Buckinghamshire, murdered fifty-two people and injured 770 others by blowing themselves up on London Underground trains and on a London bus. The report into this worst such attack in Britain later concluded that they were not part of an al Qaeda cell, though two of them had visited camps in Pakistan, and that the rucksack bombs had been constructed at the cost of a few hundred pounds. Despite the government’s insistence that the war in Iraq had not made Britain more of a target for terrorism, the Home Office investigation asserted that the four had been motivated, in part at least, by ‘British foreign policy’.

They had picked up the information they needed for the attack from the internet. It was a particularly grotesque attack, because of the terrifying and bloody conditions in the underground tunnels and it vividly reminded the country that it was as much a target as the United States or Spain. Indeed, the long-standing and intimate relationship between Great Britain and Pakistan, with constant and heavy air traffic between them, provoked fears that the British would prove uniquely vulnerable. Tony Blair heard of the attack at the most poignant time, just following London’s great success in winning the bid to host the 2012 Olympic Games (see above). The ‘Seven Seven’ bombings are unlikely to have been stopped by CCTV surveillance, of which there was plenty at the tube stations, nor by ID cards (which had recently been under discussion), since the killers were British subjects, nor by financial surveillance, since little money was involved and the materials were paid for in cash. Even better intelligence might have helped, but the Security Services, both ‘MI5’ and ‘MI6’ as they are known, were already in receipt of huge increases in their budgets, as they were in the process of tracking down other murderous cells. In 2005, police arrested suspects in Birmingham, High Wycombe and Walthamstow, in east London, believing there was a plot to blow up as many as ten passenger aircraft over the Atlantic.

After many years of allowing dissident clerics and activists from the Middle East asylum in London, Britain had more than its share of inflammatory and dangerous extremists, who admired al Qaeda and preached violent jihad. Once 11 September 2001 had changed the climate, new laws were introduced to allow the detention without trial of foreigners suspected of being involved in supporting or fomenting terrorism. They could not be deported because human rights legislation forbade sending back anyone to countries where they might face torture. Seventeen were picked up and held at Belmarsh high-security prison. But in December 2004, the House of Lords ruled that these detentions were discriminatory and disproportionate, and therefore illegal. Five weeks later, the Home Secretary Charles Clarke hit back with ‘control orders’ to limit the movement of men he could not prosecute or deport. These orders would also be used against home-grown terror suspects. A month later, in February 2005, sixty Labour MPs rebelled against these powers too, and the government only narrowly survived the vote. In April 2006 a judge ruled that the control orders were an affront to justice because they gave the Home Secretary, a politician, too much power. Two months later, the same judge ruled that curfew orders of eighteen hours per day on six Iraqis were a deprivation of liberty and also illegal. The new Home Secretary, John Reid, lost his appeal and had to loosen the orders.

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Britain found itself in a struggle between its old laws and liberties and a new, borderless world in which the hallowed principles of ‘habeas corpus’, free speech, a presumption of innocence, asylum, the right of British subjects to travel freely in their own country without identifying papers, and the sanctity of homes in which the law-abiding lived were all coming under increasing jeopardy. The new political powers seemed to government ministers the least that they needed to deal with a threat that might last for another thirty years in order, paradoxically, to secure Britain’s liberties for the long-term beyond that. They were sure that most British people agreed, and that the judiciary, media, civil rights campaigners and elected politicians who protested were an ultra-liberal minority. Tony Blair, John Reid and Jack Straw were emphatic about this, and it was left to liberal Conservatives and the Liberal Democrats to mount the barricades in defence of civil liberties. Andrew Marr conceded at the time that the New Labour ministers were ‘probably right’. With the benefit of hindsight, others will probably agree. As Gordon Brown eyed the premiership, his rhetoric was similarly tough, but as Blair was forced to turn to the ‘war on terror’ and Iraq, he failed to concentrate enough on domestic policy. By 2005, neither of them could be bothered to disguise their mutual enmity, as pictured above. A gap seemed to open up between Blair’s enthusiasm for market ideas in the reform of health and schools, and Brown’s determination to deliver better lives for the working poor. Brown was also keen on bringing private capital into public services, but there was a difference in emphasis which both men played up. Blair claimed that the New Labour government was best when we are at our boldest. But Brown retorted that it was best when we are Labour. 

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Tony Blair’s legacy continued to be paraded on the streets of Britain,

here blaming him and George Bush for the rise of ‘Islamic State’ in Iraq.

Asylum Seekers, EU ‘Guest’ Workers & Immigrants:

One result of the long Iraqi conflict, which President Bush finally declared to be over on 1 May 2003, was the arrival of many Iraqi asylum-seekers in Britain; Kurds, as well as Shiites and Sunnis. This attracted little comment at the time because there had been both Iraqi and Iranian refugees in Britain since the 1970s, especially as students and the fresh influx were only a small part of a much larger migration into the country which changed it fundamentally during the Blair years. This was a multi-lingual migration, including many Poles, some Hungarians and other Eastern Europeans whose countries had joined the EU and its single market in 2004. When the EU expanded Britain decided that, unlike France or Germany, it would not try to delay opening the country to migrant workers. The accession treaties gave nationals from these countries the right to freedom of movement and settlement, and with average earnings three times higher in the UK, this was a benefit which the Eastern Europeans were keen to take advantage of. Some member states, however, exercised their right to ‘derogation’ from the treaties, whereby they would only permit migrant workers to be employed if employers were unable to find a local candidate. In terms of European Union legislation, a derogation or that a member state has opted not to enforce a specific provision in a treaty due to internal circumstances (typically a state of emergency), and to delay full implementation of the treaty for five years. The UK decided not to exercise this option.

There were also sizeable inflows of western Europeans, though these were mostly students, who (somewhat controversially) were also counted in the immigration statistics, and young professionals with multi-national companies. At the same time, there was continued immigration from Africa, the Middle East and Afghanistan, as well as from Russia, Australia, South Africa and North America. In 2005, according to the Office for National Statistics, ‘immigrants’ were arriving to live in Britain at the rate of 1,500 a day. Since Tony Blair had been in power, more than 1.3 million had arrived. By the mid-2000s, English was no longer the first language of half the primary school children in London, and the capital had more than 350 different first languages. Five years later, the same could be said of many towns in Kent and other Eastern counties of England.

The poorer of the new migrant groups were almost entirely unrepresented in politics, but radically changed the sights, sounds and scents of urban Britain, and even some of its market towns. The veiled women of the Muslim world or its more traditionalist Arab, Afghan and Pakistani quarters became common sights on the streets, from Kent to Scotland and across to South Wales. Polish tradesmen, fruit-pickers and factory workers were soon followed by shops owned by Poles or stocking Polish and East European delicacies and selling Polish newspapers and magazines. Even road signs appeared in Polish, though in Kent these were mainly put in place along trucking routes used by Polish drivers, where for many years signs had been in French and German, a recognition of the employment changes in the long-distance haulage industry. Even as far north as Cheshire (see below), these were put in place to help monolingual truckers using trunk roads, rather than local Polish residents, most of whom had enough English to understand such signs either upon arrival or shortly afterwards. Although specialist classes in English had to be laid on in schools and community centres, there was little evidence that the impact of multi-lingual migrants had a long-term impact on local children and wider communities. In fact, schools were soon reporting a positive impact in terms of their attitudes toward learning and in improving general educational standards.

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Problems were posed, however, by the operations of people smugglers and criminal gangs. Chinese villagers were involved in a particular tragedy when nineteen of them were caught while cockle-picking in Morecambe Bay by the notorious tides and drowned. Many more were working for ‘gang-masters’ as virtual, in some cases actual ‘slaves’. Russian voices became common on the London Underground, and among prostitutes on the streets. The British Isles found themselves to be ‘islands in the stream’ of international migration, the chosen ‘sceptred isle’ destinations of millions of newcomers. Unlike Germany, Britain was no longer a dominant manufacturing country but had rather become, by the late twentieth century, a popular place to develop digital and financial products and services. Together with the United States and against the Soviet Union, it was determined to preserve a system of representative democracy and the free market. Within the EU, Britain maintained its earlier determination to resist the Franco-German federalist model, with its ‘social chapter’ involving ever tighter controls over international corporations and ever closer political union. Britain had always gone out into the world. Now, increasingly, the world came to Britain, whether poor immigrants, rich corporations or Chinese manufacturers.

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Multilingual & Multicultural Britain:

Immigration had always been a constant factor in British life, now it was also a fact of life which Europe and the whole world had to come to terms with. Earlier post-war migrations to Britain had provoked a racialist backlash, riots, the rise of extreme right-wing organisations and a series of new laws aimed at controlling it. New laws had been passed to control both immigration from the Commonwealth and the backlash to it. The later migrations were controversial in different ways. The ‘Windrush’ arrivals from the Caribbean and those from the Indian subcontinent were people who looked different but who spoke the same language and in many ways had had a similar education to that of the ‘native’ British. Many of the later migrants from Eastern Europe looked similar to the white British but shared little by way of a common linguistic and cultural background. However, it’s not entirely true to suggest, as Andrew Marr seems to, that they did not have a shared history. Certainly, through no fault of their own, the Eastern Europeans had been cut off from their western counterparts by their absorption into the Soviet Russian Empire after the Second World War, but in the first half of the century, Poland had helped the British Empire to subdue its greatest rival, Germany, as had most of the peoples of the former Yugoslavia. Even during the Soviet ‘occupation’ of these countries, many of their citizens had found refuge in Britain.

Moreover, by the early 1990s, Britain had already become both a multilingual nation. In 1991, Safder Alladina and Viv Edwards published a book for the Longman Linguistics Library which detailed the Hungarian, Lithuanian, Polish, Ukrainian and Yiddish speech communities of previous generations. Growing up in Birmingham, I certainly heard many Polish, Yiddish, Yugoslav and Greek accents among my neighbours and parents of school friends, at least as often as I heard Welsh, Irish, Caribbean, Indian and Pakistani accents. The Longman book begins with a foreword by Debi Prasanna Pattanayak in which she stated that the Language Census of 1987 had shown that there were 172 different languages spoken by children in the schools of the Inner London Education Authority. In an interesting precursor of the controversy to come, she related how the reaction in many quarters was stunned disbelief, and how one British educationalist had told her that England had become a third world country. She commented:

After believing in the supremacy of English as the universal language, it was difficult to acknowledge that the UK was now one of the greatest immigrant nations of the modern world. It was also hard to see that the current plurality is based on a continuity of heritage. … Britain is on the crossroads. It can take an isolationist stance in relation to its internal cultural environment. It can create a resilient society by trusting its citizens to be British not only in political but in cultural terms. The first road will mean severing dialogue with the many heritages which have made the country fertile. The second road would be working together with cultural harmony for the betterment of the country. Sharing and participation would ensure not only political but cultural democracy. The choice is between mediocrity and creativity.

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Language and dialect in the British Isles, showing the linguistic diversity in many English cities by 1991 as a result of Commonwealth immigration as well as the survival and revival of many of the older Celtic languages and dialects of English.

Such ‘liberal’, ‘multi-cultural’ views may be unfashionable now, more than a quarter of a century later, but it is perhaps worth stopping to look back on that cultural crossroads, and on whether we are now back at that same crossroads, or have arrived at another one. By the 1990s, the multilingual setting in which new Englishes evolved had become far more diverse than it had been in the 1940s, due to immigration from the Indian subcontinent, the Caribbean, the Far East, and West and East Africa. The largest of the ‘community languages’ was Punjabi, with over half a million speakers, but there were also substantial communities of Gujurati speakers (perhaps a third of a million) and a hundred thousand Bengali speakers. In some areas, such as East London, public signs and notices recognise this (see below). Bengali-speaking children formed the most recent and largest linguistic minority within the ILEA and because the majority of them had been born in Bangladesh, they were inevitably in the greatest need of language support within the schools. A new level of linguistic and cultural diversity was introduced through Commonwealth immigration.

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Birmingham’s booming postwar economy attracted West Indian settlers from Jamaica, Barbados and St Kitts in the 1950s. By 1971, the South Asian and West Indian populations were equal in size and concentrated in the inner city wards of North and Central Birmingham (see the map above).  After the hostility towards New Commonwealth immigrants in some sections of the local White populations in the 1960s and ’70s, they had become more established in cities like Birmingham, where places of worship, ethnic groceries, butchers and, perhaps most significantly, ‘balti’ restaurants, began to proliferate in the 1980s and ’90s. The settlers materially changed the cultural and social life of the city, most of the ‘white’ population believing that these changes were for the better. By 1991, Pakistanis had overtaken West Indians and Indians to become the largest single ethnic minority in Birmingham. The concentration of West Indian and South Asian British people in the inner city areas changed little by the end of the century, though there was an evident flight to the suburbs by Indians. As well as being poorly-paid, the factory work available to South Asian immigrants like the man in a Bradford textile factory below, was unskilled. By the early nineties, the decline of the textile industry over the previous two decades had let to high long-term unemployment in the immigrant communities in the Northern towns, leading to serious social problems.

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Nor is it entirely true to suggest that, as referred to above, Caribbean arrivals in Britain faced few linguistic obstacles integrating themselves into British life from the late 1940s to the late 1980s. By the end of these forty years, the British West Indian community had developed its own “patois”, which had a special place as a token of identity. One Jamaican schoolgirl living in London in the late eighties explained the social pressures that frowned on Jamaican English in Jamaica, but which made it almost obligatory in London. She wasn’t allowed to speak Jamaican Creole in front of her parents in Jamaica. When she arrived in Britain and went to school, she naturally tried to fit in by speaking the same patois, but some of her British Caribbean classmates told her that, as a “foreigner”, she should not try to be like them, and should speak only English. But she persevered with the patois and lost her British accent after a year and was accepted by her classmates. But for many Caribbean visitors to Britain, the patois of Brixton and Notting Hill was a stylized form that was not truly Jamaican, not least because British West Indians had come from all parts of the Caribbean. When another British West Indian girl, born in Britain, was taken to visit Jamaica, she found herself being teased about her London patois and told to speak English.

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The predicament that still faced the ‘Black British’ in the late eighties and into the nineties was that, for all the rhetoric, they were still not fully accepted by the established ‘White community’. Racism was still an everyday reality for large numbers of British people. There was plenty of evidence of the ways in which Black people were systematically denied access to employment in all sections of the job market.  The fact that a racist calamity like the murder in London of the black teenager Stephen Lawrence could happen in 1993 was a testimony to how little had changed in British society’s inability to face up to racism since the 1950s. As a result, the British-Caribbean population could still not feel itself to be neither fully British. This was the poignant outcome of what the British Black writer Caryl Phillips has called “The Final Passage”, the title of his novel which is narrated in Standard English with the direct speech by the characters rendered in Creole. Phillips migrated to Britain as a baby with his parents in the 1950s, and sums up his linguistic and cultural experience as follows:

“The paradox of my situation is that where most immigrants have to learn a new language, Caribbean immigrants have to learn a new form of the same language. It induces linguistic shizophrenia – you have an identity that mirrors the larger cultural confusion.”

One of his older characters in The Final Passage characterises “England” as a “college for the West Indian”, and, as Philipps himself put it, that is “symptomatic of the colonial situation; the language is divided as well”.  As the “Windrush Scandal”, involving the deportation of British West Indians from the UK has recently shown, this post-colonial “cultural confusion” still ‘colours’ political and institutional attitudes twenty-five years after the death of Stephen Lawrence, leading to discriminatory judgements by officials. This example shows how difficult it is to arrive at some kind of chronological classification of migrations to Britain into the period of economic expansion of the 1950s and 1960s; the asylum-seekers of the 1970s and 1980s; and the EU expansion and integration in the 1990s and the first decades of the 2000s. This approach assumed stereotypical patterns of settlement for the different groups, whereas the reality was much more diverse. Most South Asians, for example, arrived in Britain in the post-war period but they were joining a migration ‘chain’ which had been established at the beginning of the twentieth century. Similarly, most Eastern European migrants arrived in Britain in several quite distinct waves of population movement. This led the authors of the Longman Linguistics book to organise it into geolinguistic areas, as shown in the figure below:

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The Poles and Ukrainians of the immediate post-war period, the Hungarians in the 1950s, the Vietnamese refugees in the 1970s and the Tamils in the 1980s, sought asylum in Britain as refugees. In contrast, settlers from India, Pakistan, Bangladesh and the Caribbean, had, in the main come from areas of high unemployment and/or low wages, for economic reasons. It was not possible, even then, to make a simple split between political and economic migrants since, even within the same group, motivations differed through time. The Eastern Europeans who had arrived in Britain since the Second World War had come for a variety of reasons; in many cases, they were joining earlier settlers trying either to escape poverty in the home country or to better their lot. A further important factor in the discussion about the various minority communities in Britain was the pattern of settlement. Some groups were concentrated into a relatively small geographical area which made it possible to develop and maintain strong social networks; others were more dispersed and so found it more difficult to maintain a sense of community. Most Spaniards, Turks and Greeks were found in London, whereas Ukrainians and Poles were scattered throughout the country. In the case of the Poles, the communities outside London were sufficiently large to be able to sustain an active community life; in the case of Ukrainians, however, the small numbers and the dispersed nature of the community made the task of forging a separate linguistic and cultural identity a great deal more difficult.

Groups who had little contact with the home country also faced very real difficulties in retaining their distinct identities. Until 1992, Lithuanians, Latvians, Ukrainians and Estonians were unable to travel freely to their country of origin; neither could they receive visits from family members left behind; until the mid-noughties, there was no possibility of new immigration which would have the effect of revitalizing these communities in Britain. Nonetheless, they showed great resilience in maintaining their ethnic minority, not only through community involvement in the UK but by building links with similar groups in Europe and even in North America. The inevitable consequence of settlement in Britain was a shift from the mother tongue to English. The extent of this shift varied according to individual factors such as the degree of identification with the mother tongue culture; it also depended on group factors such as the size of the community, its degree of self-organisation and the length of time it had been established in Britain. For more recently arrived communities such as the Bangladeshis, the acquisition of English was clearly a more urgent priority than the maintenance of the mother tongue, whereas, for the settled Eastern Europeans, the shift to English was so complete that mother tongue teaching was often a more urgent community priority. There were reports of British-born Ukrainians and Yiddish-speaking Jews who were brought up in predominantly English-speaking homes who were striving to produce an environment in which their children could acquire their ‘heritage’ language.

Blair’s Open Door Policy & EU Freedom of Movement:

During the 1980s and ’90s, under the ‘rubric’ of multiculturalism, a steady stream of immigration into Britain continued, especially from the Indian subcontinent. But an unspoken consensus existed whereby immigration, while always gradually increasing, was controlled. What happened after the Labour Party’s landslide victory in 1997 was a breaking of that consensus, according to Douglas Murray, the author of the recent (2017) book, The Strange Death of Europe. He argues that once in power, Tony Blair’s government oversaw an opening of the borders on a scale unparalleled even in the post-war decades. His government abolished the ‘primary purpose rule’, which had been used as a filter out bogus marriage applications. The borders were opened to anyone deemed essential to the British economy, a definition so broad that it included restaurant workers as ‘skilled labourers’. And as well as opening the door to the rest of the world, they opened the door to the new EU member states after 2004. It was the effects of all of this, and more, that created the picture of the country which was eventually revealed in the 2011 Census, published at the end of 2012.

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The numbers of non-EU nationals moving to settle in Britain were expected only to increase from 100,000 a year in 1997 to 170,000 in 2004. In fact, the government’s predictions for the number of new arrivals over the five years 1999-2004 were out by almost a million people. It also failed to anticipate that the UK might also be an attractive destination for people with significantly lower average income levels or without a minimum wage. For these reasons, the number of Eastern European migrants living in Britain rose from 170,000 in 2004 to 1.24 million in 2013. Whether the surge in migration went unnoticed or was officially approved, successive governments did not attempt to restrict it until after the 2015 election, by which time it was too late.

(to be continued)

Posted January 15, 2019 by TeamBritanniaHu in Affluence, Africa, Arabs, Assimilation, asylum seekers, Belfast, Birmingham, Black Market, Britain, British history, Britons, Bulgaria, Calais, Caribbean, Celtic, Celts, Child Welfare, Cold War, Colonisation, Commonwealth, Communism, Compromise, Conservative Party, decolonisation, democracy, Demography, Discourse Analysis, Domesticity, Economics, Education, Empire, English Language, Europe, European Economic Community, European Union, Factories, History, Home Counties, Humanism, Humanitarianism, Hungary, Immigration, Imperialism, India, Integration, Iraq, Ireland, Journalism, Labour Party, liberal democracy, liberalism, Linguistics, manufacturing, Margaret Thatcher, Midlands, Migration, Militancy, multiculturalism, multilingualism, Music, Mythology, Narrative, National Health Service (NHS), New Labour, Old English, Population, Poverty, privatization, Racism, Refugees, Respectability, Scotland, Socialist, south Wales, terror, terrorism, Thatcherism, Unemployment, United Kingdom, United Nations, Victorian, Wales, Welsh language, xenophobia, Yugoslavia

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Roots of Liberal Democracy, Part Five: The Rise of “Populism” in Hungary & Europe, 2002-18.   1 comment

Hungary at the beginning of its Second Millennium:

The good old days: George W. Bush in Budapest, June 22, 2006

The Republican George W Bush became US President in January 2001, replacing Bill Clinton, the Democrat and ‘liberal’, whose eight years in the White House had come to an end during the first Orbán government, which lost the general election of 2002. Its Socialist successor was led first by Péter Medgyessy and then, from 2004-09, by Ferenc Gyurcsány (pictured below, on the left).

Ferenc Gyurcsány and M. André Goodfriend at the Conference on Hungary in Isolation and the Global World

In this first decade of the new millennium, relations between the ‘West’ and Hungary continued to progress as the latter moved ahead with its national commitment to democracy, the rule of law and a market economy under both centre-right and centre-left governments. They also worked in NATO (from 1999) and the EU (from 2004) to combat terrorism, international crime and health threats. In January 2003, Hungary was one of the eight central and eastern European countries whose leaders signed a letter endorsing US policy during the Iraq Crisis. Besides inviting the US Army to train Free Iraqi Forces as guides, translators and security personnel at the Taszár air base, Hungary also contributed a transportation company of three hundred soldiers to a multinational division stationed in central Iraq. Following Hurricane Katrina, which devastated the Gulf Coast of the United States in the fall of 2005, members of a team of volunteer rescue professionals from Hungarian Baptist Aid were among the first international volunteers to travel to the region, arriving in Mississippi on 3 September. The following April, in response to the severe floods throughout much of Hungary, US-AID provided $50,000 in emergency relief funds to assist affected communities.

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During his visit to Budapest in June 2006, in anticipation the fiftieth anniversary of the 1956 Uprising, President George W Bush gave a speech on Gellért Hill in the capital in which he remarked:

“The desire for liberty is universal because it is written into the hearts of every man, woman and child on this Earth. And as people across the world step forward to claim their own freedom, they will take inspiration from Hungary’s example, and draw hope from your success. … Hungary represents the triumph of liberty over tyranny, and America is proud to call Hungary a friend.” 

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The Origins and Growth of Populism in Europe:

Not without ambivalence, by the end of the first decade of the new millennium, Hungary had stepped out on the Occidental route it had anticipated for more than a century. This is why, from 1998 onwards, Hungarian political developments in general and the rise of FIDESZ-MPP as a formidable populist political force need to be viewed in the context of broader developments within the integrated European liberal democratic system shared by the member states of the European Union. Back in 1998, only two small European countries – Switzerland and Slovakia – had populists in government. Postwar populists found an early toehold in Europe in Alpine countries with long histories of nationalist and/or far-right tendencies. The exclusionist, small-government Swiss People’s Party (SVP) was rooted in ‘authentic’ rural resistance to urban and foreign influence, leading a successful referendum campaign to keep Switzerland out of the European Economic Area (EEA) in 1992, and it has swayed national policy ever since. The Swiss party practically invented right-wing populism’s ‘winning formula’; nationalist demands on immigration, hostility towards ‘neo-liberalism’ and a fierce focus on preserving national traditions and sovereignty. In Austria, neighbour to both Switzerland and Hungary, the Freedom Party, a more straightforward right-wing party founded by a former Nazi in 1956, won more than twenty per cent of the vote in 1994 and is now in government, albeit as a junior partner, for the fourth time.

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The immediate effect of the neo-liberal shock in countries like Hungary, Slovakia and Poland was a return to power of the very people who the imposition of a free market was designed to protect their people against, namely the old Communist ‘apparatchiks’, now redefining themselves as “Socialist” parties. They were able to scoop up many of the ‘losers’ under the new system, the majority of voters, the not inconsiderable number who reckoned, probably rightly, that they had been better off under the socialist system, together with the ‘surfers’ who were still in their former jobs, though now professing a different ideology, at least on the surface. In administration and business, the latter were well-placed to exploit a somewhat undiscriminating capitalist capitalism and the potential for corruption in what was euphemistically called “spontaneous” privatisation. Overall, for many people in these transition-challenged countries, the famously witty quip of the ‘losers’ in post-Risorgimento liberal Italy seemed to apply: “we were better off when we were worse off”.  The realisation of what was happening nevertheless took some time to seep through into the consciousness of voters. The role of the press and media was crucial in this, despite the claim of Philipp Ther (2014) claim that many…

… journalists, newspapers and radio broadcasters remained loyal to their régimes for many years, but swiftly changed sides in 1989. More than by sheer opportunism, they were motivated by a sense of professional ethics, which they retained despite all Communist governments’ demand, since Lenin’s time, for ‘partynost’ (partisanship).

In reality, journalists were relatively privileged under the old régime, provided they toed the party line, and were determined to be equally so in the new dispensation. Some may have become independent-minded and analytical, but very many more exhibited an event greater partisanship after what the writer Péter Eszterházy called rush hour on the road to Damascus. The initial behaviour of the press after 1989 was a key factor in supporting the claim of the Right, both in Poland and Hungary, that the revolution was only ‘half-completed’. ‘Liberal’ analysis does not accept this and is keen to stress only the manipulation of the media by today’s right-wing governments. But even Paul Lendvai has admitted that, in Hungary, in the first years after the change, the media was mostly sympathetic to the Liberals and former Communists.

This was a long time ago: Viktor Orbán and Zoltán Pokorni in 2004

On the other hand, he has also noted that both the Antall and the first Orbán government (1998-2002) introduced strong measures to remedy this state of affairs. Apparently, when Orbán complained to a Socialist politician of press bias, the latter suggested that he should “buy a newspaper”, advice which he subsequently followed, helping to fuel ongoing ‘liberal’ complaints about the origins of the one-sided nature of today’s media in Hungary. Either way, Damascene conversions among journalists could be detected under both socialist and conservative nationalist governments.

The Great Financial Meltdown of 2007-2009 & All That!:

The financial meltdown that originated in the US economy in 2007-08 had one common factor on both sides of the Atlantic, namely the excess of recklessly issued credit resulting in massive default, chiefly in the property sector. EU countries from Ireland to Spain to Greece were in virtual meltdown as a result. Former Communist countries adopted various remedies, some taking the same IMF-prescribed medicine as Ireland. It was in 2008, as the financial crisis and recession caused living standards across Europe to shrink, that the established ruling centrist parties began to lose control over their volatile electorates. The Eurocrats in Brussels also became obvious targets, with their ‘clipboard austerity’, especially in their dealings with the Mediterranean countries and with Greece in particular. The Visegrád Four Countries had more foreign direct investment into industrial enterprises than in many other members of the EU, where the money went into ‘financials’ and real estate, making them extremely vulnerable when the crisis hit. Philipp Ther, the German historian of Europe Since 1989, has argued that significant actors, including Václav Klaus in the Czech Republic, preached the ‘gospel of neo-liberalism’ but were pragmatic in its application.

Jean-Claude Juncker, President of the EC, delivered his first State of the Union Address 2015 "Time for Honesty, Unity and Solidarity" at the plenary session of the EP in Strasbourg, chaired by Martin Schulz, President of the EP. (EC Audiovisual Services, 09/09/2015)

The Man the ‘Populists’ love to hate:  Jean-Claude Juncker, President of the European Commission since November 2014, when he succeeded Jóse Manuel Barroso. Although seen by many as the archetypal ‘Eurocrat’, by the time he left office as the Prime Minister of Luxembourg, Juncker was the longest-serving head of any national government in the EU, and one of the longest-serving democratically elected leaders in the world, his tenure encompassing the height of the European financial and sovereign debt crisis. From 2005 to 2013, Juncker served as the first permanent President of the Eurogroup.

Dealing with the case of Hungary, László Csaba has expressed his Thoughts on Péter Ákos Bod’s Book, published recently, in the current issue of Hungarian Review (November 2018). In the sixth chapter of his book, Bod admits that the great financial meltdown of 2007-09 did not come out of the blue, and could have been prepared for more effectively in Hungary. Csaba finds this approach interesting, considering that the recurrent motif in the international literature of the crisis has tended to stress the general conviction among ‘experts’ that nothing like what happened in these years could ever happen again. Bod points out that Hungary had begun to lag behind years before the onslaught of the crisis, earlier than any of its neighbours and the core members of the EU. The application of solutions apparently progressive by international standards often proved to be superficial in their effects, however. In reality, the efficiency of governance deteriorated faster than could have been gleaned from macroeconomic factors. This resulted in excessive national debt and the IMF had to be called in by the Socialist-Liberal coalition. The country’s peripheral position and marked exposure were a given factor in this, but the ill-advised decisions in economic policy certainly added to its vulnerability. Bod emphasises that the stop-and-go politics of 2002-2010 were heterodox: no policy advisor or economic textbook ever recommended a way forward, and the detrimental consequences were accumulating fast.

As a further consequence of the impact of the ongoing recession on the ‘Visegrád’ economies, recent statistical analyses by Thomas Piketty have shown that between 2010 and 2016 the annual net outflow of profits and incomes from property represented on average 4.7 per cent of GDP in Poland, 7.2 per cent in Hungary, 7.6 per cent in the Czech Republic and 4.2 per cent in Slovakia, reducing commensurately the national income of these countries. By comparison, over the same period, the annual net transfers from the EU, i.e. the difference between the totality of expenditure received and the contributions paid to the EU budget were appreciably lower: 2.7 per cent of GDP in Poland, 4.0 per cent in Hungary, 1.9 per cent in the Czech Republic and 2.2 per cent in Slovakia. Piketty added that:

East European leaders never miss an opportunity to recall that investors take advantage of their position of strength to keep wages low and maintain excessive margins.

He cites a recent interview with the Czech PM in support of this assertion. The recent trend of the ‘Visegrád countries’ to more nationalist and ‘populist’ governments suggests a good deal of disillusionment with global capitalism. At the very least, the theory of “trickle down” economics, whereby wealth created by entrepreneurs in the free market, assisted by indulgent attitudes to business on the part of the government, will assuredly filter down to the lowest levels of society, does not strike the man on the Budapest tram as particularly plausible. Gross corruption in the privatisation process, Freunderlwirtschaft, abuse of their privileged positions by foreign investors, extraction of profits abroad and the volatility of “hot money” are some of the factors that have contributed to the disillusionment among ‘ordinary’ voters. Matters would have been far worse were it not for a great deal of infrastructural investment through EU funding. Although Poland has been arguably the most “successful” of the Visegrád countries in economic terms, greatly assisted by its writing off of most of its Communist-era debts, which did not occur in Hungary, it has also moved furthest to the right, and is facing the prospect of sanctions from the EU (withdrawal of voting rights) which are also, now, threatened in Hungary’s case.

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Bod’s then moves on to discuss the economic ‘recovery’ from 2010 to 2015. The former attitude of seeking compromise was replaced by sovereignty-based politics, coupled with increasingly radical government decisions. What gradually emerged was an ‘unorthodox’ trend in economic management measures, marking a break with the practices of the previous decade and a half, stemming from a case-by-case deliberation of government and specific single decisions made at the top of government. As such, they could hardly be seen as revolutionary, given Hungary’s historical antecedents, but represented a return to a more authoritarian form of central government. The direct peril of insolvency had passed by the middle of 2012, employment had reached a historic high and the country’s external accounts began to show a reliable surplus.

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Elsewhere in Europe, in 2015, Greece elected the radical left-wing populists of Syriza, originally founded in 2004 as a coalition of left-wing and radical left parties, into power. Party chairman Alexis Tsipras served as Prime Minister of Greece from January 2015 to August 2015 and, following subsequent elections, from September 2015 to the present. In Spain, meanwhile, the anti-austerity Podemos took twenty-one per cent of the vote in 2015 just a year after the party was founded. Even in famously liberal Scandinavia, nation-first, anti-immigration populists have found their voice over the last decade. By 2018, eleven countries have populists in power and the number of Europeans ruled by them has increased from fourteen million to 170 million. This has been accounted for by everything from the international economic recession to inter-regional migration, the rise of social media and the spread of globalisation. Recently, western Europe’s ‘solid inner circle’ has started to succumb. Across Europe as a whole, right-wing populist parties, like Geert Wilder’s (pictured above) anti-Islam Freedom Party (PVV) in the Netherlands, have also succeeded in influencing policy even when not in government, dragging the discourse of their countries’ dominant centre-right parties further to the Right, especially on the issues of immigration and migration.

The Migration Factor & the Crisis of 2015:

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Just four momentous years ago, in her New Year message on 31 December 2014, Chancellor Merkel (pictured right) singled out these movements and parties for criticism, including Alternative für Deutschland (AfD), founded in direct response to her assertion at the height of the financial crisis that there was “no alternative” to the EU bailing out Greece. The German people, she insisted, must not have “prejudice, coldness or hatred” in their hearts, as these groups did. Instead, she urged the German people to a new surge of openness to refugees.

Apart from the humanitarian imperative, she argued, Germany’s ‘ageing population’ meant that immigration would prove to be a benefit for all of us. The following May, the Federal Interior Minister announced in Berlin that the German government was expecting 450,000 refugees to arrive in the country that coming year. Then in July 1915, the human tragedy of the migration story burst into the global news networks. In August, the German Interior Ministry had already revised the country’s expected arrivals for 2015 up to 800,000, more than four times the number of arrivals in 2014. The Federal Office for Migration and Refugees pondered the question of what they would do with the people coming up through Greece via ‘the Balkan route’ to Hungary and on to Germany. Would they be sent back to Hungary as they ought to have been under international protocols? An agreement was reached that this would not happen, and this was announced on Twitter on 25 August which said that we are no longer enforcing the Dublin procedures for Syrian citizens. Then, on 31 August, Angela Merkel told an audience of foreign journalists in Berlin that German flexibility was what was needed. She then went on to argue that Europe as a whole…

“… must move and states must share the responsibility for refugees seeking asylum. Universal civil rights were so far tied together with Europe and its history. If Europe fails on the question of refugees, its close connection with universal civil rights will be destroyed. It won’t be the Europe we imagine. … ‘Wir schaffen das’ (‘We can do this’).

Much of the international media backed her stance, The Economist claiming that Merkel the bold … is brave, decisive and right. But across the continent ‘as a whole’ Merkel’s unilateral decision was to create huge problems in the coming months. In a Europe whose borders had come down and in which free movement had become a core principle of the EU, the mass movement through Europe of people from outside those borders had not been anticipated. Suddenly, hundreds of thousands were walking through central Europe on their way north and west to Germany, Denmark and Sweden. During 2015 around 400,000 migrants moved through Hungary’s territory alone. Fewer than twenty of them stopped to claim asylum within Hungary, but their passage through the country to the railway stations in Budapest had a huge impact on its infrastructure and national psychology.

Is this the truth?

By early September the Hungarian authorities announced that they were overwhelmed by the numbers coming through the country and declared the situation to be out of control. The government tried to stop the influx by stopping trains from leaving the country for Austria and Germany. Around fourteen thousand people were arriving in Munich each day. Over the course of a single weekend, forty thousand new arrivals were expected. Merkel had her spokesman announce that Germany would not turn refugees away in order to help clear the bottleneck in Budapest, where thousands were sleeping at the Eastern Station, waiting for trains. Some were tricked into boarding a train supposedly bound for Austria which was then held near a detention camp just outside Budapest. Many of the ‘migrants’ refused to leave the train and eventually decided to follow the tracks on foot back to the motorway and on to the border in huge columns comprising mainly single men, but also many families with children.

These actions led to severe criticism of Hungary in the international media and from the heads of other EU member states, both on humanitarian grounds but also because Hungary appeared to be reverting to national boundaries. But the country had been under a huge strain not of its own making. In 2013 it had registered around twenty thousand asylum seekers. That number had doubled in 2014, but during the first three winter months of 2015, it had more people arriving on its southern borders than in the whole of the previous year. By the end of the year, the police had registered around 400,000 people, entering the country at the rate of ten thousand a day. Most of them had come through Greece and should, therefore, have been registered there, but only about one in ten of them had been. As the Hungarians saw it, the Greeks had simply failed to comply with their obligations under the Schengen Agreement and EU law. To be fair to them, however, the migrants had crossed the Aegean sea by thousands of small boats, making use of hundreds of small, poorly policed islands. This meant that the Hungarian border was the first EU land border they encountered on the mainland.

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Above: Refugees are helped by volunteers as they arrive on the Greek island of Lesbos.

In July the Hungarian government began constructing a new, taller fence along the border with Serbia. This increased the flow into Croatia, which was not a member of the EU at that time, so the fence was then extended along the border between Croatia and Hungary. The Hungarian government claimed that these fences were the only way they could control the numbers who needed to be registered before transit, but they were roundly condemned by the Slovenians and Austrians, who now also had to deal with huge numbers on arriving on foot. But soon both Austria and Slovenia were erecting their own fences, though the Austrians claimed that their fence was ‘a door with sides’ to control the flow rather than to stop it altogether. The western European governments, together with the EU institutions’ leaders tried to persuade central-European countries to sign up to a quota system for relocating the refugees across the continent, Viktor Orbán led a ‘revolt’ against this among the ‘Visegrád’ countries.

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Douglas Murray has recently written in his best-selling book (pictured right, 2017/18) that the Hungarian government were also reflecting the will of their people in that a solid two-thirds of Hungarians polled during this period felt that their government was doing the right thing in refusing to agree to the quota number. In reality, there were two polls held in the autumn of 2015 and the spring of 2016, both of which had returns of less than a third, of whom two-thirds did indeed agree to a loaded question, written by the government, asking if they wanted to “say ‘No’ to Brussels”. In any case, both polls were ‘consultations’ rather than mandatory referenda, and on both occasions, all the opposition parties called for a boycott. Retrospectively, Parliament agreed to pass the second result into law, changing the threshold to two-thirds of the returns and making it mandatory.

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Murray has also claimed that the financier George Soros, spent considerable sums of money during 2015 on pressure groups and institutions making the case for open borders and free movement of migrants into and around Europe. The ideas of Karl Popper, the respected philosopher who wrote The Open Society and its Enemies have been well-known since the 1970s, and George Soros had first opened the legally-registered Open Society office in Budapest in 1987.

Soros certainly helped to found and finance the Central European University as an international institution teaching ‘liberal arts’ some twenty-five years ago, which the Orbán government has recently been trying to close by introducing tighter controls on higher education in general. Yet in 1989 Orbán himself received a scholarship from the Soros Foundation to attend Pembroke College, Oxford but returned after a few months to become a politician and leader of FIDESZ.

George Soros, the bogiey man

However, there is no evidence to support the claim that Soros’ foundation published millions of leaflets encouraging illegal immigration into Hungary, or that the numerous groups he was funding were going out of their way to undermine the Hungarian government or any other of the EU’s nation states.

Soros’ statement to Bloomberg that his foundation was upholding European values that Orbán, through his opposition to refugee quotas was undermining would therefore appear to be, far from evidence a ‘plot’, a fairly accurate reiteration of the position taken by the majority of EU member states as well as the ‘Brussels’ institutions. Soros’ plan, as quoted by Murray himself, treats the protection of refugees as the objective and national borders as the obstacle. Here, the ‘national borders’ of Hungary he is referring to are those with other surrounding EU states, not Hungary’s border with Serbia. So Soros is referring to ‘free movement’ within the EU, not immigration from outside the EU across its external border with Serbia. During the 2015 Crisis, a number of churches and charitable organisations gave humanitarian assistance to the asylum seekers at this border. There is no evidence that any of these groups received external funding, advocated resistance against the European border régime or handed out leaflets in Serbia informing the recipients of how to get into Europe.

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Viktor Orbán & The Strange Case of ‘Illiberal Democracy’:

On 15 March 2016, the Prime Minister of Hungary used the ceremonial speech for the National Holiday commemorating the 1848 Revolution to explain his wholly different approach to migration, borders, culture and identity. Viktor Orbán told those assembled by the steps of the National Museum that, in Douglas Murray’s summation, the new enemies of freedom were different from the imperial and Soviet systems of the past, that today they did not get bombarded or imprisoned, but merely threatened and blackmailed. In his own words, the PM set himself up as the Christian champion of Europe:

At last, the peoples of Europe, who have been slumbering in abundance and prosperity, have understood that the principles of life that Europe has been built on are in mortal danger. Europe is the community of Christian, free and independent nations…

Mass migration is a slow stream of water persistently eroding the shores. It is masquerading as a humanitarian cause, but its true nature is the occupation of territory. And what is gaining territory for them is losing territory for us. Flocks of obsessed human rights defenders feel the overwhelming urge to reprimand us and to make allegations against us. Allegedly we are hostile xenophobes, but the truth is that the history of our nation is also one of inclusion, and the history of intertwining of cultures. Those who have sought to come here as new family members, as allies, or as displaced persons fearing for their lives, have been let in to make new homes for themselves.

But those who have come here with the intention of changing our country, shaping our nation in their own image, those who have come with violence and against our will have always been met with resistance.

Népszava's headline: "He already speaks as a dictator / Getty Images

Yet behind these belligerent words, and in other comments and speeches, Viktor Orbán has made clear that his government is opposed taking in its quota of Syrian refugees on religious and cultural grounds. Robert Fico, the Slovakian leader, made this explicit when he stated just a month before taking over the Presidency of the European Union, that…

… Islam has no place in Slovakia: Migrants change the character of our country. We do not want the character of this country to change. 

It is in the context of this tide of unashamed Islamaphobia in central and eastern Europe that right-wing populism’s biggest advances have been made.  All four of the Visegrád countries (the Czech Republic, Slovakia, Poland and Hungary) are governed by populist parties. None of these countries has had any recent experience of immigration from Muslim populations in Africa or the Indian subcontinent, unlike many of the former imperial powers of western Europe. Having had no mass immigration during the post-war period, they had retained, in the face of Soviet occupation and dominance, a sense of national cohesion and a mono-cultural character which supported their needs as small nations with distinct languages. They also distrusted the West, since they had suffered frequent disappointments in their attempts to assert their independence from Soviet control and had all experienced, within living memory, the tragic dimensions of life that the Western allies had forgotten. So, too, we might add, did the Baltic States, a fact which is sometimes conveniently ignored. The events of 1956, 1968, 1989 and 1991 had revealed how easily their countries could be swept in one direction and then swept back again. At inter-governmental levels, some self-defined ‘Islamic’ countries have not helped the cause of the Syrian Muslim refugees. Iran, which has continued to back the Hezbollah militia in its fighting for Iranian interests in Syria since 2011, has periodically berated European countries for not doing more to aid the refugees. In September 2015, President Rouhani lectured the Hungarian Ambassador to Iran over Hungary’s alleged ‘shortcomings’ in the refugee crisis.

Or that?

For their part, the central-eastern European states continued in their stand-off with ‘Berlin and Brussels’. The ‘Visegrád’ group of four nations have found some strength in numbers. Since they continued to refuse migrant quotas, in December 2017 the European Commission announced that it was suing Poland, Hungary and the Czech Republic at the European Court of Justice over this refusal. Sanctions and heavy fines were threatened down the line, but these countries have continued to hold out against these ‘threats’. But Viktor Orbán’s Hungary has benefited substantially from German investment, particularly in the auto industry. German business enjoys access to cheap, skilled and semi-skilled labour in Hungary, while Hungary benefits from the jobs and the tax revenue flowing from the investment. German business is pragmatic and generally ignores political issues as long as the investment climate is right. However, the German political class, and especially the German media, have been forcibly critical of Viktor Orbán, especially over the refugee and migrant issues. As Jon Henley reports, there are few signs of these issues being resolved:

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Philipp Ther’s treatment of Hungary in his History (2016) follows this line of criticism. He describes Orbán as being a ‘bad loser’ in the 2002 election and a ‘bad winner’ in 2010. Certainly, FIDESZ only started showing their true populist colours after their second victory in 2006, determined not to lose power after just another four years. They have now won four elections in succession.

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Viktor Orbán speaking during the 2018 Election campaign: “Only Fidesz!”

John Henley, European Affairs Correspondent of The Guardian, identifies the core values of FIDESZ as those of nationalism, cultural conservatism and authoritarianism. For the past decade, he claims, they have been attacking the core institutions of any liberal democracy, including an independent judiciary and a free press/ media. He argues that they have increasingly defined national identity and citizenship in terms of ethnicity and religion, demonising opponents, such as George Soros, in propaganda which is reminiscent of the anti-Semitism of the 1930s. This was particularly the case in the 2018 election campaign, in which ubiquitous posters showed him as the ‘puppet-master’ pulling the strings of the opposition leaders. In the disputed count, the FIDESZ-KDNP (Christian Democrat) Alliance in secured sixty-three per cent of the vote. The OSCE observers commented on the allusions to anti-Semitic tropes in the FIDESZ-KDNP campaign. In addition, since the last election, Jon Henley points out how, as he sees it, FIDESZ’s leaders have ramped up their efforts to turn the country’s courts into extensions of their executive power, public radio and television stations into government propaganda outlets, and universities into transmitters of their own narrowly nationalistic and culturally conservative values. Philipp Ther likewise accuses Orbán’s government of infringing the freedom of the press, and of ‘currying favour’ by pledging to put the international banks in their place (the miss-selling of mortgages in Swiss Francs was egregious in Hungary).

Defenders of Viktor Orbán’s government and its FIDESZ-KDNP supporters will dismiss this characterisation as stereotypical of ‘western liberal’ attacks on Orbán, pointing to the fact that he won forty-nine per cent of the popular vote in the spring elections and a near two-thirds parliamentary majority because the voters thought that overall it had governed the country well and in particular favoured its policy on migration, quotas and relocation. Nicholas T Parsons agrees that Orbán has reacted opportunistically to the unattractive aspects of inward “investment”, but says that it is wishful thinking to interpret his third landslide victory as in April 2018 as purely the result of manipulation of the media or the abuse of power. However, in reacting more positively to Ther’s treatment of economic ‘neo-liberalism’, Parsons mistakenly conflates this with his own attacks on ‘liberals’, ‘the liberal establishment’ and ‘the liberal élite’. He then undermines his own case by hankering after a “Habsburg solution” to the democratic and nationalist crisis in the “eastern EU”.  To suggest that a democratic model for the region can be based on the autocratic Austro-Hungarian Empire which finally collapsed in abject failure over a century ago is to stand the history of the region case on its head. However, he makes a valid point in arguing that the “western EU” could do more to recognise the legitimate voice of the ‘Visegrád Group’.

Nevertheless, Parsons overall claim that Orbán successfully articulates what many Hungarians feel is shared by many close observers. He argues that…

… commentary on the rightward turn in Central Europe has concentrated on individual examples of varying degrees of illiberalism, but has been too little concerned with why people are often keen to vote for governments ritualistically denounced by the liberal establishment  as ‘nationalist’ and ‘populist’. 

Gerald Frost, a staff member of the Danube Institute, recently wrote to The Times that while he did not care for the policies of the Orbán government, Hungary can be forgiven for wishing to preserve its sovereignty. But even his supporters recognise that his ‘innocent’ coining of the term “illiberal democracy” in a speech to young ethnic Hungarians in Transylvania in 2016. John O’Sullivan interpreted this at the time as referring to the way in which under the rules of ‘liberal democracy’, elected bodies have increasingly ceded power to undemocratic institutions like courts and unelected international agencies which have imposed ‘liberal policies’ on sovereign nation states. But the negative connotations of the phrase have tended to obscure the validity of the criticism it contains. Yet the Prime Minister has continued to use it in his discourse, for example in his firm response to the European Parliament’s debate on the Sargentini Report (see the section below):

Illiberal democracy is when someone else other than the liberals have won.

At least this clarifies that he is referring to the noun rather than to the generic adjective, but it gets us no further in the quest for a mutual understanding of ‘European values’. As John O’Sullivan points out, until recently, European politics has been a left-right battle between the socialists and the conservatives which the liberals always won. That is now changing because increasing numbers of voters, often in the majority, disliked, felt disadvantaged by, and eventually opposed policies which were more or less agreed between the major parties. New parties have emerged, often from old ones, but equally often as completely new creations of the alienated groups of citizens. In the case of FIDESZ, new wine was added to the old wine-skin of liberalism, and the bag eventually burst. A new basis for political discourse is gradually being established throughout Europe. The new populist parties which are arising in Europe are expressing resistance to progressive liberal policies. The political centre, or consensus parties, are part of an élite which have greater access to the levers of power and which views “populism” as dangerous to liberal democracy. This prevents the centrist ‘establishment’ from making compromises with parties it defines as extreme. Yet voter discontent stems, in part, from the “mainstream” strategy of keeping certain issues “out of politics” and demonizing those who insist on raising them.

“It’s the Economy, stupid!” – but is it?:

In the broader context of central European electorates, it also needs to be noted that, besides the return of Jaroslaw Kaczynski’s Law and Justice Party in Poland, and the continued dominance of populist-nationalists in Slovakia, nearly a third of Czech voters recently backed the six-year-old Ano party led by a Trump-like businessman and outsider, who claims to be able to get things done in a way that careerist politicians cannot. But, writes Henley, the Czech Republic is still a long way from becoming another Hungary or Poland. Just 2.3% of the country’s workforce is out of a job, the lowest rate anywhere in the EU. Last year its economy grew by 4.3%, well above the average in central-Eastern Europe, and the country was untouched by the 2015 migration crisis. But in the 2017 general election, the populists won just over forty per cent of votes, a tenfold increase since 1998. Martin Mejstrik, from Charles University in Prague, commented to Henley:

“Here, there has been no harsh economic crisis, no big shifts in society. This is one of the most developed and successful post-communist states. There are, literally, almost no migrants. And nonetheless, people are dissatisfied.” 

Henley also quotes Jan Kavan, a participant in the Prague Spring of 1968, and one of the leaders of today’s Czech Social Democrats, who like the centre-left across Europe, have suffered most from the populist surge, but who nevertheless remains optimistic:

“It’s true that a measure of populism wins elections, but if these pure populists don’t combine it with something else, something real… Look, it’s simply not enough to offer people a feeling that you are on their side. In the long-term, you know, you have to offer real solutions.”

By contrast with the data on the Czech Republic, Péter Ákos Bod’s book concludes that the data published in 2016-17 failed to corroborate the highly vocal opinions about the exceptional performance of the Hungarian economy. Bod has found that the lack of predictability, substandard government practices, and the string of non-transparent, often downright suspect transactions are hardly conducive to long-term quality investments and an enduring path of growth they enable. He finds that Hungary does not possess the same attributes of a developed state as are evident in the Czech Republic, although the ‘deeper involvement and activism’ on the part of the government than is customary in western Europe ‘is not all that alien’ to Hungary given the broader context of economic history. László Csaba concludes that if Bod is correct in his analysis that the Hungarian economy has been stagnating since 2016, we must regard the Hungarian victory over the recent crisis as a Pyrrhic one. He suggests that the Orbán government cannot afford to hide complacently behind anti-globalisation rhetoric and that, …

… in view of the past quarter-century, we cannot afford to regard democratic, market-oriented developments as being somehow pre-ordained or inevitable. 

Delete Viktor

Above: Recent demonstrations against the Orbán government’s policies in Budapest.

By November 2018, it was clear that Steve Bannon (pictured below with the leader of the far-right group, Brothers of Italy, Giorgi Meloni and the Guardian‘s Paul Lewis in Venice), the ex-Trump adviser’s attempt to foment European populism ahead of the EU parliamentary elections in 2019, was failing to attract support from any of the right-wing parties he was courting outside of Italy. Viktor Orbán has signalled ambivalence about receiving a boost from an American outsider, which would undermine the basis of his campaign against George Soros. The Polish populists also said they would not join his movement, and after meeting Bannon in Prague, the populist president of the Czech Republic, Milos Zeman, remained far from convinced, as he himself reported:

“He asked for an audience, got thirty minutes, and after thirty minutes I told him I absolutely disagree with his views and I ended the audience.”

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The ‘Furore’ over the Sargentini Report:

Judith-Sargentini-portret.jpg

In Hungary, the European Parliament’s overwhelming acceptance of the Sargentini Report has been greeted with ‘outrage’ by many Hungarian commentators and FIDESZ supporters. Judith Sargentini (pictured right) is a Dutch politician and Member of the European Parliament (MEP), a member of the Green Left. Her EP report alleges, like the Guardian article quoted above, that democracy, the rule of law, and fundamental human rights are under systematic threat in Hungary.

The subsequent vote in the European Parliament called for possible sanctions to be put in place, including removal of the country’s voting rights within the EU institutions. FIDESZ supporters argue that the European Parliament has just denounced a government and a set of policies endorsed by the Hungarian electorate in a landslide. The problem with this interpretation is that the policies which were most criticised in the EU Report were not put to the electorate, which was fought by FIDESZ-KDNP on the migration issue to the exclusion of all others, including the government’s performance on the economy. Certainly, the weakness and division among the opposition helped its cause, as voters were not offered a clear, unified, alternative programme.

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But does the EU’s criticism of Hungary really fit into this “pattern” as O’Sullivan describes it, or an international left-liberal “plot”? Surely the Sargentini Report is legitimately concerned with the Orbán government’s blurring of the separation of powers within the state, and potential abuses of civil rights and fundamental freedoms, and not with its policies on immigration and asylum. Orbán may indeed be heartily disliked in Brussels and Strasbourg for his ‘Eurosceptic nationalism’, but neither the adjective nor the noun in this collocation is alien to political discourse across Europe; east, west or centre. Neither is the concept of ‘national sovereignty’ peripheral to the EU’s being; on the contrary, many would regard it as a core value, alongside ‘shared sovereignty’.

What appears to be fuelling the conflict between Budapest, Berlin and Brussels is the failure to find common ground on migration and relocation quotas. But in this respect, it seems, there is little point in continually re-running the battle over the 2015 migration crisis. Certainly, O’Sullivan is right to suggest that the European Parliament should refrain from slapping Orbán down to discourage other “populists” from resisting its politics of historical inevitability and ever-closer union. Greater flexibility is required on both sides if Hungary is to remain within the EU, and the action of the EP should not be confused with the Commission’s case in the ECJ, conflated as ‘Brussels’ mania. Hungary will need to accept its responsibilities and commitments as a member state if it wishes to remain as such. One of the salient lessons of the ‘Brexit’ debates and negotiations is that no country, big or small, can expect to keep all the benefits of membership without accepting all its obligations.

In the latest issue of Hungarian Review (November 2018), there are a series of articles which come to the defence of the Orbán government in the wake of the Strasbourg vote in favour of adopting the Sargentini Report and threatening sanctions against Hungary. These articles follow many of the lines taken by O’Sullivan and other contributors to earlier editions but are now so indignant that we might well wonder how their authors can persist in supporting Hungary’s continued membership of an association of ‘liberal democratic’ countries whose values they so obviously despise. They are outraged by the EP resolution’s criticism of what it calls the Hungarian government’s “outdated and conservative moral beliefs” such as conventional marriage and policies to strengthen the traditional family. He is, of course, correct in asserting that these are matters for national parliaments by the founding European treaties and that they are the profound moral beliefs of a majority or large plurality of Europeans. 

But the fact remains that, while that ‘majority’ or ‘plurality’ may still hold to these biblically based beliefs, many countries have also decided to recognise same-sex marriage as a secular civil right. This has been because, alongside the ‘majoritarian’ principle, they also accept that the role of liberal democracies is to protect and advance the equal rights of minorities, whether defined by language, ethnicity, nationality or sexual preference. In other words, the measure of democratic assets or deficits of any given country is therefore determined by how well the majority respects the right of minorities. In countries where religious organisations are allowed to register marriages, such as the UK, religious institutions are nevertheless either excluded or exempted from solemnising same-sex marriages. In many other countries, including Hungary and France, the legal registration of marriages can only take place in civic offices in any case. Yet, in 2010, the Hungarian government decided to prescribe such rights by including the ‘Christian’ definition of marriage as a major tenet of its new constitution. Those who have observed Hungary both from within and outside questioned at the time what its motivation was for doing this and why it believed that such a step was necessary. There is also the question as to whether Hungary will accept same-sex marriages legally registered in other EU countries on an equal basis for those seeking a settled status within the country.

O’Sullivan, as editor of Hungarian Review, supports Ryszard Legutko’s article on ‘The European Union’s Democratic Deficit’ as being coolly-reasoned. It has to be said that many observers across Europe would indeed agree that the EU has its own ‘democratic deficit’, which they are determined to address. On finer points, while Legutko is right to point out that violence against Jewish persons and property has been occurring across Europe. But it cannot be denied, as he seeks to do, that racist incident happen here in Hungary too. In the last few years, it has been reported in the mainstream media that rabbis have been spat on in the streets and it certainly the case that armed guards have had to be stationed at the main ‘Reformed’ synagogue in Budapest, not simply to guard against ‘Islamic’ terrorism, we are told, but also against attacks from right-wing extremists.

Legutko also labels the Central European University as a ‘foreign’ university, although it has been operating in the capital for more than twenty-five years. It is now, tragically in the view of many Hungarian academics, being forced to leave for no other reason than that it was originally sponsored by George Soros’ Open Society Foundation. The ‘common rules’ which Legutko accepts have been ‘imposed’ on all universities and colleges relate to the curriculum, limiting academic freedom, and bear no relation to the kinds of administrative regulation which apply in other member states, where there is respect for the freedom of the institutions to offer the courses they themselves determine. Legutko’s other arguments, using terms like ‘outrageous’, ‘ideological crusade’, and ‘leftist crusaders’ are neither, in O’Sullivan’s terms, ‘cool’ nor ‘reasoned’.

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György Schöpflin’s curiously titled article, What If?  is actually a series of rather extreme statements, but there are some valid points for discussion among these. Again, the article is a straightforward attack on “the left” both in Hungary and within the European Parliament. The ‘opposition’ in Hungary is certainly ‘hapless’ and ‘fragmented’, but this does not absolve the Hungarian government from addressing the concerns of the 448 MEPs who voted to adopt the Sargentini report, including many from the European People’s Party to which the FIDESZ-MPP-KDNP alliance still belongs, for the time being at least. Yet Schöpflin simply casts these concerns aside as based on a Manichean view in which the left attributes all virtue to itself and all vice to Fidesz, or to any other political movement that questions the light to the left. Presumably, then, his definition of the ‘left’ includes Conservatives, Centrists and Christian Democrats from across the EU member states, in addition to the Liberal and Social Democratic parties. Apparently, this complete mainstream spectrum has been duped by the Sargentini Report, which he characterises as a dystopic fabrication:

Dystopic because it looked only for the worst (and found it) and fabrication because it ignored all the contrary evidence.

Yet, on the main criticisms of the Report, Schöpflin produces no evidence of his own to refute the ‘allegations’. He simply refers to the findings of the Venice Commission and the EU’s Fundamental Rights Agency which have been less critical and more supportive in relation to Hungary’s system of Justice. Fair enough, one might say, but doesn’t this simply give the lie to his view of the EU as a monolithic organisation? Yet his polemic is unrelenting:

The liberal hegemony has increasingly acquired many of the qualities of a secular belief system – unconsciously mimicking Christian antecedents – with a hierarchy of public and private evils. Accusations substitute for evidence, but one can scourge one’s opponents (enemies increasingly) by calling them racist or nativist or xenophobic. … Absolute evil is attributed to the Holocaust, hence Holocaust denial and Holocaust banalisation are treated as irremediably sinful, even criminal in some countries. Clearly, the entire area is so strongly sacralised or tabooised that it is untouchable.

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001The questions surrounding the events of 1944-45 in Europe are not ‘untouchable’. On the contrary, they are unavoidable, as the well-known picture above continues to show. Here, Schöpflin seems to be supporting the current trend in Hungary for redefining the Holocaust, if not denying it. This is part of a government-sponsored project to absolve the Horthy régime of its responsibility for the deportation of some 440,000 Hungarian Jews in 1944, under the direction of Adolf Eichmann and his henchmen, but at the hands of the Hungarian gendarmerie. Thankfully, Botond Gaál’s article on Colonel Koszorús later in this edition of Hungarian Review provides further evidence of this culpability at the time of the Báky Coup in July 1944.

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But there are ‘official’ historians currently engaged in creating a false narrative that the Holocaust in Hungary should be placed in the context of the later Rákósi terror as something which was directed from outside Hungary by foreign powers, and done to Hungarians, rather than something which Hungarians did to each other and in which Admiral Horthy’s Regency régime was directly complicit. This is part of a deliberate attempt at the rehabilitation and restoration of the reputation of the mainly authoritarian governments of the previous quarter century,  a process which is visible in the recent removal and replacement public memorials and monuments.

I have dealt with these issues in preceding articles on this site. Schöpflin then goes on to challenge other ‘taboos’ in ‘the catalogue of evils’ such as colonialism and slavery in order to conclude that:

The pursuit of post-colonial guilt is arguably tied up with the presence of former colonial subjects in the metropole, as an instrument for silencing any voices that might be audacious enough to criticise Third World immigration.

We can only assume here that by using the rather out-dated term ‘Third World’ he is referring to recent inter-regional migration from the Middle East, Africa and the Asian sub-continent. Here, again, is the denial of migration as a fact of life, not something to be criticised, in the way in which much of the propaganda on the subject, especially in Hungary, has tended to demonise migrants and among them, refugees from once prosperous states destroyed by wars sponsored by Europeans and Americans. These issues are not post-colonial, they are post-Cold War, and Hungary played its own (small) part in them, as we have seen. But perhaps what should concern us most here is the rejection, or undermining of universal values and human rights, whether referring to the past or the present. Of course, if Hungary truly wants to continue to head down this path, then it would indeed be logical for it to disassociate itself from all international organisations, including NATO and the UN agencies and organisations. All of these are based on concepts of absolute, regional and global values.

So, what are Schöpflin’s what ifs?? His article refers to two:

  • What if the liberal wave, no more than two-three decades old, has peaked? What if the Third Way of the 1990s is coming to its end and Europe is entering a new era in which left-liberalism will be just one way of doing politics among many? 

‘Liberalism’ in its generic sense, defined by Raymond Williams (1983) among others, is not, as this series of articles have attempted to show,  a ‘wave’ on the pan-European ‘shoreline’. ‘Liberal Democracy’ has been the dominant political system among the nation-states of Europe for the past century and a half. Hungary’s subjugation under a series of authoritarian Empires – Autocratic Austrian, Nazi German and Soviet Russian, as well as under its own twenty-five-year-long Horthy régime (1919-44), has meant that it has only experienced brief ‘tides’ of ‘liberal’ government in those 150 years, all of a conservative-nationalist kind. Most recently, this was defined as ‘civil democracy’ in the 1989 Constitution. What has happened in the last three decades is that the ‘liberal democratic’ hegemony in Europe, whether expressed in its dominant Christian Democrat/ Conservative or Social Democratic parties has been threatened, for good or ill, by more radical populist movements on both the Right and Left. In Hungary, these have been almost exclusively on the Right, because the radical Left has failed to recover from the downfall of state socialism. With the centre-Left parties also in disarray and divided, FIDESZ-MPP has been able to control the political narrative and, having effectively subsumed the KDNP, has been able to dismiss all those to its left as ‘left-liberal’. The term is purely pejorative and propagandist. What if, we might ask, the Populist ‘wave’ of the last thirty years is now past its peak? What is Hungary’s democratic alternative, or are we to expect an indefinite continuance of one-party rule?

Issues of Identity: Nationhood or Nation-Statehood?:

  • What if the accession process has not really delivered on its promises, that of unifying Europe, bringing the West and the East together on fully equal terms? If so, then the resurgence of trust in one’s national identity is more readily understood. … There is nothing in the treaties banning nationhood.

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The Brexit Divisions in Britain are clear: they are generational, national and regional.

We could empathise more easily with this view were it not for Schöpflin’s assumption that ‘Brexit’ was unquestionably fuelled by a certain sense of injured Englishness. His remark is typical of the stereotypical view of Britain which many Hungarians of a certain generation persist in recreating, quite erroneously. Questions of national identity are far more pluralistic and complex in western Europe in general, and especially in the United Kingdom, where two of the nations voted to ‘remain’ and two voted to ‘leave’. Equally, though, the Referendum vote in England was divided between North and South, and within the South between metropolitan and university towns on the one hand and ‘market’ towns on the other. The ‘third England’ of the North, like South Wales, contains many working-class people who feel themselves to be ‘injured’ not so much by a Brussels élite, but by a London one. The Scots, the Welsh, the Northern Irish and the Northern English are all finding their own voice, and deserve to be listened to, whether they voted ‘Remain’ or ‘Leave’. And Britain is not the only multi-national, multi-cultural and multi-ethnic nation-state in the western EU, as recent events in Spain have shown. Western Europeans are entirely sensitive to national identities; no more so than the Belgians. But these are not always as synonymous with ‘nation-statehood’ as they are among many of the East-Central nations.

Source:Reuters/László Balogh

Above: The Hungarian Opposition demonstrates on one of the main Danube bridges.

Hungarians with an understanding of their own history will have a clearer understanding of the complexities of multi-ethnic countries, but they frequently display more mono-cultural prejudices towards these issues, based on their more recent experiences as a smaller, land-locked, homogeneous population. They did not create this problem, of course, but the solution to it lies largely in their own hands. A more open attitude towards migrants, whether from Western Europe or from outside the EU might assist in this. Certainly, the younger, less ‘political’ citizens who have lived and work in the ‘West’ often return to Hungary with a more modern understanding and progressive attitude. The irony is, of course, due partly to this outward migration, Hungary is running short of workers, and the government is now, perhaps ironically, making itself unpopular by insisting that the ever-decreasing pool of workers must be prepared to work longer hours in order to satisfy the needs of German multi-nationals.  In this  regard, Schöpflin claims that:

The liberal hegemony was always weaker in Central Europe, supported by maybe ten per cent of voters (on a good day), so that is where the challenge to the hegemony emerged and the alternative was formulated, not least by FIDESZ. … In insisting that liberal free markets generate inequality, FIDESZ issued a warning that the free movement of capital and people had negative consequences for states on the semi-periphery. Equally, by blocking the migratory pressure on Europe in 2015, FIDESZ demonstrated that a small country could exercise agency even in the face of Europe-wide disapproval. 

Source: Népszabadság / Photo Simon Móricz-Sabján

Above: Pro-EU Hungarians show their colours in Budapest.

Such may well be the case, but O’Sullivan tells us that even the ‘insurgent parties’ want to reform the EU rather than to leave or destroy it. Neither does Schöpflin, nor any of the other writers, tell us what we are to replace the ‘liberal hegemony’ in Europe with. Populist political parties seem, at present, to be little more than diverse protest movements and to lack any real ideological cohesion or coherence. They may certainly continue ‘pep up’ our political discourse and make it more accessible within nation-states and across frontiers, but history teaches us (Williams, 1983) that hegemonies can only be overthrown by creating an alternative predominant practice and consciousness. Until that happens, ‘liberal democracy’, with its diversity and versatility, is the only proven way we have of governing ourselves. In a recent article for The Guardian Weekly (30 November 2018), Natalie Nougayréde has observed that Viktor Orbán may not be as secure as he thinks, at least as far as FIDESZ’s relations with the EU. She accepts that he was comfortably re-elected earlier last year, the man who has dubbed himself as the “Christian” champion of “illiberal democracy”. Having come under strong criticism from the European People’s Party, the conservative alliance in the EU that his party belongs to. There is evidence, she claims, that FIDESZ will get kicked out of the mainstream group after the May 2019 European elections. Whether this happens or not, he was very publicly lambasted for his illiberalism at the EPP’s congress in Helsinki in November. Orbán’s image has been further tarnished by the so-called Gruevski Scandal, caused by the decision to grant political asylum to Macedonia’s disgraced former prime minister, criminally convicted for fraud and corruption in his own country. This led to a joke among Hungarian pro-democracy activists that “Orbán no longer seems to have a problem with criminal migrants”.

Some other signs of change across central Europe are worth paying careful attention to. Civil society activists are pushing are pushing back hard, and we should beware of caving into a simplistic narrative about the east of Europe being a homogeneous hotbed of authoritarianism with little effort of put into holding it in check. If this resistance leads to a turn in the political tide in central Europe in 2019, an entirely different picture could emerge on the continent. Nevertheless, the European elections in May 2019 may catch European electorates in a rebellious mood, even in the West. To adopt and adapt Mark Twain’s famous epithet, the rumours of the ‘strange’ death of liberal democracy in central Europe in general, and in Hungary in particular, may well have been greatly exaggerated. If anything, the last two hundred years of Hungarian history have demonstrated its resilience and the fact that, in progressive politics as in history, nothing is inevitable. The children of those who successfully fought for democracy in 1988-89 will have demonstrated that ‘truth’ and ‘decency’ can yet again be victorious. The oft-mentioned east-west gap within the EU would then need to be revisited. Looking at Hungary today, to paraphrase another bard, there appears to be too much protest and not enough practical politics, but Hungary is by no means alone in this. But Central European democrats know that they are in a fight for values, and what failure might cost them. As a consequence, they adapt their methods by reaching out to socially conservative parts of the population. Dissent is alive and well and, as in 1989, in working out its own salvation, the east may also help the west to save itself from the populist tide also currently engulfing it.

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Sources (Parts Four & Five):

Jon Henley, Matthius Rooduijn, Paul Lewis & Natalie Nougayréde (30/11/2018), ‘The New Populism’ in The Guardian Weekly. London: Guardian News & Media Ltd.

John O’Sullivan (ed.) (2018), Hungarian Review, Vol. IX, No. 5 (September) & No. 6 (November). Budapest: János Martonyi/ The Danube Institute.

Jeremy Isaacs & Taylor Downing (1998), Cold War. London: Bantam Press.

László Kontler (2009), A History of Hungary. Budapest: Atlantisz Publishing House.

Lobenwein Norbert (2009), a rendszerváltás pillanatai, ’89-09. Budapest: VOLT Produkció

Douglas Murray (2018), The Strange Death of Europe: Immigration, Identity, Islam. London: Bloomsbury Publishing.

Raymond Williams (1988), Keywords: A Vocabulary of Culture & Society. London: Fontana

John Simpson (1990), Despatches from the Barricades. London: Hutchinson.

Marc J Susser (ed.) (2007), The United States & Hungary: Paths of Diplomacy, 1848-2006. Washington: Department of State Publication (Bureau of Public Affairs).

Posted January 5, 2019 by TeamBritanniaHu in Affluence, Africa, American History & Politics, anti-Communist, Anti-racism, anti-Semitism, Assimilation, Austria-Hungary, Balkan Crises, Baltic States, Baptists, BBC, Belgium, Berlin, Bible, Britain, British history, Britons, Brussels, Christian Faith, Christianity, Civil Rights, Civilization, Cold War, Colonisation, Commemoration, Communism, Compromise, democracy, devolution, Discourse Analysis, Economics, Egalitarianism, Egypt, Empire, Europe, European Union, Family, Fertility, France, Genocide, German Reunification, Germany, Holocaust, homosexuality, Humanism, Humanitarianism, Humanities, Hungarian History, Hungary, Immigration, Imperialism, Integration, Iraq, Ireland, Italy, Jews, Journalism, liberal democracy, liberalism, Marriage, marriage 'bar', Marxism, Maternity, Mediterranean, Memorial, Middle East, Migration, Monuments, morality, Mythology, Narrative, nationalism, Nationality, NATO, Population, populism, Poverty, Racism, Reconciliation, Refugees, Remembrance, Revolution, Scotland, Second World War, Serbia, Socialist, south Wales, Statehood, Switzerland, Syria, Technology, terror, terrorism, tyranny, Unemployment, United Nations, USA, World War Two, xenophobia, Yugoslavia

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