Category Archives: Britain

Japan’s Treaty with Korea, 1876

From Emperor of Japan: Meiji and His World, 1852–1912, by Donald Keene (Columbia U. Press, 2005), Kindle pp. 256-257:

The first meeting between representatives of the two countries lasted for four days. The negotiations were conducted with ritual politeness on both sides but consisted mainly of repetitions of familiar arguments. The Japanese wanted to know why their attempts to secure a treaty of peace and friendship had been consistently rebuffed; the Koreans in return wanted to know why the Japanese had used titles for their emperor that put him on an equal footing with the emperor of China, thereby placing Korea in a subordinate position. After denying any intent of asserting suzerainty over Korea, the Japanese asked why their ship had been fired on at Kanghwa. The Koreans answered that because the Japanese marines were dressed in European-style uniforms, they were mistaken for either French or Americans. They failed to apologize, saying merely that the provincial officials had not recognized that the ships were Japanese. The Japanese delegates then demanded why the Korean government had not informed its provincial officials of the flags flown by Japanese ships and insisted that this required an apology. The Korean commandant replied that he was charged only with receiving the Japanese visitors; he was not authorized to make an apology.

The negotiations dragged on, interrupted by periods of consultation between the Korean commissioners and their government in Seoul, but on February 27, 1876, a treaty of friendship was at last signed between Japan and Korea. After the signing ceremony, the Japanese offered presents to the Koreans, not only the traditional bolts of silk, but a cannon, a six-shooter, a pocket watch, a barometer, and a compass. The gifts (with the exception of the silk) were strikingly like those the Americans had given the Japanese when the first treaty between the two nations was signed, and the treaty itself had almost identical significance: Japan was “opening” Korea, the hermit nation, to diplomatic relations and to trade. One Western scholar later commented,

As the Western Powers had done with herself, so did she now, without one particle of compunction, induce Korea to sign away her sovereign rights of executive and tariff autonomy, and to confer on Japanese residents within her borders all the extraterritorial privileges which were held to violate equity and justice when exercised by Europeans in Japan.

When word of the signing of the treaty reached the diplomatic community in Tōkyō, the ministers of the various countries asked for an audience with the emperor so that they might express their congratulations. The emperor invited them to a banquet at the Shiba Detached Palace, where each minister had the opportunity to convey joy over the signing of the treaty and hopes for greater and greater friendship between Japan and Korea.

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First Foreign Enclave in Tokyo, 1869

From Emperor of Japan: Meiji and His World, 1852–1912, by Donald Keene (Columbia U. Press, 2005), Kindle pp. 164-165:

During Meiji’s stay in Tōkyō, negotiations were opened with the foreign diplomats living in Yokohama on a number of matters: the end of their policy of neutrality in the conflict between the government and the rebels; the destruction of the rebels in Hakodate; the disposition of the Japanese Christians; and the issuance of paper money. The negotiations did not go smoothly. The foreign representatives, headed by the redoubtable Sir Harry Parkes, refused to consider any request that seemed to threaten the sacred right to trade—in Hakodate and anywhere else.

On January 2 a foreign trade center was opened in Tōkyō at Tsukiji, which was also made available to foreigners for residence. Samurai were forbidden to enter the settlement without written permission. This restriction on the passage of samurai into the concessions was probably intended to allay the foreigners’ fear of sworded samurai, but it had the effect of lowering their prestige. Before long, the samurai were given the task of protecting foreign ships, something none of them could have foreseen. Ōnuma Chinzan wrote a poem on their plight:

A little Yang-chou—that’s the new Shimabara;
Our browbeaten Japanese warriors guard the barbarian ships.
“Please don’t come here wearing your swords—
Please come instead with a hundred thousand coins.”

In the winter of 1868, at the same time that daimyo mansions in Tsukiji were demolished to provide living space for the foreigners, a new licensed quarter, named after the old Shimabara in Kyōto, was opened nearby. The last two lines of the poem indicate that for the prostitutes of the new Shimabara, money counted more than a customer’s rank. This surely was no less humiliating for the samurai than the duty of protecting foreigners, despite their jōi [Expel the Barbarians] convictions of a few years earlier.

On January 5 and 6 the emperor received the ministers from foreign countries, evidence of his hope for increased and better relations between Japan and the rest of the world. In Western diplomatic practice, there was nothing remarkable about the emperor’s receiving foreign diplomats and providing refreshments for them, but it was unprecedented in Japan. It is all the more astonishing when one recalls that Kōmei, who considered that the presence of foreigners on the sacred soil of Japan was an unspeakable offense to the gods, had died less than two years earlier. The young emperor was willing not only to meet foreigners but was affable to them.

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Meiji and The Mikado

From Emperor of Japan: Meiji and His World, 1852–1912, by Donald Keene (Columbia U. Press, 2005), Kindle p. 136:

Three days after [British envoy Sir Harry] Parkes and [junior interpreter A. B.] Mitford were presented to the emperor, the first clash occurred between the imperial forces advancing on Edo and the Shinsengumi, a band of some 200 men under the command of Kondō Isami (1834–1868). The imperial forces under Itagaki Taisuke were victorious. Perhaps the most memorable thing about the march of the imperial troops to Edo was the song they sang, “Tokoton’yare,” composed by Shinagawa Yajirō (1843–1900) during the battles at Toba and Fushimi. This song spread not only throughout Japan but also to England, where the music and part of the Japanese words were incorporated into the operetta The Mikado, composed in 1885: Miyasama, miyasama, ouma no mae no, pira pira suru no wa nan jai na, tokoton’yare ton’yarena. Arya chōteki seibatsu seyo to no nishiki no mihata ja shiranka, tokoton’yare ton’yare na.

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How Multinationals Dodge Taxes

From The Looting Machine: Warlords, Oligarchs, Corporations, Smugglers, and the Theft of Africa’s Wealth, by Tom Burgis (PublicAffairs, 2016), Kindle pp. 165-167:

Two-thirds of trade happens within multinational corporations. To a large extent those companies decide where to pay taxes on which portions of their earnings. That leaves ample scope to avoid paying taxes anywhere or to pay taxes at a rate far below what purely domestic companies pay.

Imagine a multinational company making rubber chickens, called Fowl Play Incorporated. Fowl Play’s headquarters and most of its customers are in the United States. A subsidiary, Fowl Play Cameroon, runs a rubber plantation in Cameroon. The rubber is shipped to a factory in China, owned by another subsidiary, Fowl Play China, where it is made into rubber chickens and packaged. The rubber chickens are shipped to Fowl Play’s parent company in the United States, which sells them to mainly US customers.

Fowl Play could simply pay taxes in each location based on an honest assessment of the proportion of its income that accrues there. But it has a duty to its shareholders to maximize returns, and its executives want the bonuses that come from turning big profits, so its accountants are instructed to minimize the effective tax rate Fowl Play pays by booking more revenues in places with low tax rates and fewer revenues in places with high tax rates. If, for example, Fowl Play wanted to reduce its tax liability in Cameroon and the United States by shifting profits to China, where it has been granted a tax holiday to build its factory, it would undervalue the price at which the rubber is sold from the Cameroonian subsidiary to the Chinese one, then overvalue the price at which the Chinese subsidiary sells the finished rubber chickens to the parent company in the United States. All this happens within one company and bears scant relation to the actual costs involved. The result is that the group’s overall effective tax rate is much lower than it would have been had it apportioned profits fairly. Many such tax maneuvers are perfectly legal. When it is done ethically “transfer pricing,” as the technique in this example is known, uses the same prices when selling goods and services within one company as when selling between companies at market rates. But the ruses to fiddle transfer pricing are legion. A mining company might tweak the value of machinery it ships in from abroad, or an oil company might charge a subsidiary a fortune to use the parent’s corporate logo.

Suppose Fowl Play gets even cannier. It creates another subsidiary, this time in the British Virgin Islands, one of the tax havens where the rate of corporation tax is zero. Fowl Play BVI extends a loan to the Cameroonian subsidiary at an astronomical interest rate. The Cameroonian subsidiary’s profits are canceled out by the interest payments on the loan, which accrue, untaxed, to Fowl Play BVI. And all the while Fowl Play and the rubber chicken industry’s lobbyists can loudly warn Cameroon, China, and the United States that, should they try to raise taxes or clamp down on fiddling, the company could move its business, and the attendant jobs, elsewhere. (The BVI company is only a piece of paper and doesn’t employ anyone, but then there is no need to threaten the British Virgin Islands—its tax rate could not be lower.)

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Lebanon Before Independence

From Beirut 2020: Diary of the Collapse, by Charif Majdalani (Other Press, 2021), Kindle pp. vi-viii (preface to the English-language edition, which provides very helpful context for the diary entries, which I will refrain from excerpting):

For centuries, the religious mosaic and cultural diversity thus introduced into the lands that would become Lebanon were more or less well managed by the central powers of the empires on which Lebanon and its neighbors depended. Of course, there were clashes and conflicts, but everything remained under the slightly manipulative control of the dominant powers, and notably, from the sixteenth to the beginning of the twentieth centuries, of the Ottoman Empire.

When that empire collapsed in 1918, victorious France and Great Britain divided up the Middle East. It was France that secured the mandate over Lebanon, thus fulfilling the wishes of part of its Christian population, which sought to place itself under French protection and to avoid British rule. It should be noted that the Christians had long felt closely connected to France. Many had adopted the French language and culture well before the period of the Mandate, and had dreamed of the French taking control of the country to rid them of the Ottoman occupation. This privileged relationship between the Christians of Lebanon and the French also explains why the Lebanese never felt any hostility toward France. In the Lebanese worldview, France was never seen as an occupying power, but rather as an ally. Only the highly ideological left-wing discourse of the 1970s attempted to represent France as a colonial power, which it never really was in Lebanon, despite some instances of very transient irregularities. In fact it was with the assistance of the Christians, and on their advice, that the French determined the current borders of Lebanon in 1920: they adjoined a long band of coastline and the interior plain of Beqaa to the original Lebanon Mountains, along with the northernmost part of Galilee in the south. The overriding aim was to unite as many regions as possible where the inhabitants were Christian. The Maronites, the Eastern-rite Catholics and Greek Orthodox communities actively worked toward the creation of the new nation in its present form, and considered it to have been founded for them alone, even though part of its population was Muslim or Druze. During a relatively soft Mandate that barely lasted twenty-five years, the French successfully managed the antagonisms between the various communities. But when Lebanon acquired independence in 1945, the foundations for discord were already laid, notably regarding the definition of the country’s identity. The Christians still felt closely connected to the West, the Muslims for their part felt they belonged more to the Arab world. Nevertheless, the two communities both demanded and obtained independence together, then found a way of avoiding conflict by decreeing that the new Lebanon was not a Western country, but nor did it belong to the Arab world. This was the famous affirmation of national identity by a double negative.

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German U-Boat Losses, 1943-44

From Code Girls, by Liza Mundy (Hachette, 2017), Kindle pp. 280-281:

After the carnage of 1942 and early 1943, the Allies had seen a stunning turnaround in the Atlantic. By September 1943, most U-boats had been swept from the Atlantic waters. This was thanks not only to the new high-speed bombes but also to a host of other Allied war measures: advances in radar, sonar, and high-frequency direction finding; more aircraft carriers and long-range aircraft; better convoy systems. The Allies changed their convoy cipher, and Dönitz could no longer read it. The tables turned. During the summer, American hunter-killer units used code breaking along with other intelligence to find and sink big German submarines that were sent out to refuel U-boats. These refuelers were known as milch cows, and between June and August, American carrier planes sank five. In October, they finished off all but one. The refuelers were critical to the U-boats’ ability to stay so far away from their home base, and as the milch cows went down, the U-boats began to drift homeward.

There was always the chance, however, that the U-boats could come back. And they did try. In October 1943, the U-boats reappeared. But now the costs were punishingly high. For every Allied merchant vessel sunk, seven U-boats were lost. Now Dönitz was the one who could not build boats fast enough to replace those he was losing. In November, thirty U-boats ventured into the North Atlantic and sank nothing. The U-boats began lurking elsewhere, clustering around the coast of Britain, hoping to intercept materiel brought in for an anticipated invasion of France. Dönitz was always trying to innovate the U-boats, adding a Schnorchel that enabled them to remain submerged longer. He was willing to sacrifice his boats, and his men, and kept the U-boats in the water even as a way to tie up Allied resources.

But it was a losing battle. In May 1944, the Allies sank half the U-boats in operation—more than the Germans could replace. More than three-quarters of the U-boat crews were killed, suffering terrible watery deaths. The women in the tracking room were privy to the full immensity and horror.

By now the British had indeed handed over the four-rotor bombe operations to the Americans. After the war, a U.S. Navy file was made of messages from grateful—and gracious—British colleagues. “Congratulations from Hut six on colossal… week,” said one missive from Bletchley. An internal British memo acknowledged that “by half way through 1944” the Americans “had taken complete control of Shark and undoubtedly knew far more about the key than we did.”

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Occupied Germany as Ethnic Wastebasket

From Orderly and Humane: The Expulsion of the Germans after the Second World War, by R. M. Douglas (Yale U. Press, 2012), Kindle pp. 192-193:

As 1946, the year of “organized expulsions,” began drawing to a close, each of the Big Three was feeling the strain. “At present,” Colonel Thicknesse warned, “we tend to regard occupied Germany as a waste-paper basket with a limitless capacity for the unwanted waste of the world. We are not convinced that this attitude is correct, either economically or politically.” According to figures reported to CRX [= Combined Repatriation Executive], by November the Soviet zone had admitted more than 1.8 million expellees from Poland and Czechoslovakia; the U.S. zone approximately 1.7 million from Czechoslovakia and Hungary (including 160,000 who had arrived via Austria); and the British zone more than 1.3 million from the Recovered Territories: a cumulative total of almost five million people. To this figure could be added a number which could not be precisely calculated—but certainly one in the hundreds of thousands for each occupation zone—of Volksdeutsche who had made their way under duress out of their countries of origin, but entered Germany as unregistered “infiltrees.” All were arriving in a country whose urban centers the Western Allies had gone to immense trouble and expense during the previous five years to level to the ground, an endeavor in which they had enjoyed considerable success and which had left Germany with “a worse housing problem than has ever before existed in any area of comparable size and population.” Even after every available camp, military base, school, church, barn, air raid shelter, and, in some cases, cave had been filled with expellees, the onrushing human tide continued to overwhelm the best efforts of the rudimentary German administration upon whose shoulders the occupying forces thrust the responsibility. As a rule, according to reception officers in all three occupation zones, the expellees were arriving in possession of little more than the—usually insufficient—clothing in which they stood. The overwhelming majority were women and children. Few could make any meaningful contribution in the short term to their own support. Hundreds of thousands needed immediate care, in hospitals, old-age homes, orphanages, or residential centers for the disabled, though the shortage of resources meant that a great many would not receive it.

This was not at all how the Allies had envisaged the population transfers when they had been sold on the idea during the war. Then the stated rationale had been to remove a cohort of “dangerous” Germans—above all, fit men of military age—who might threaten the security of the countries in which they lived. Instead, it had been the least dangerous Germans who had been deported, while the fit men were being held back for forced labor, and in many cases pressured to take out Polish or Czechoslovak nationality against their will. The occupying powers thus found themselves presented with a first-class social, economic, and humanitarian crisis that threatened to undo whatever plans they had made for German reconstruction, as well as to disrupt the economies of the expelling states for years to come. Predictably, each of the Big Three with the benefit of experience discovered its enthusiasm for this novel method of “stabilizing” the European continent shrinking to the vanishing point. After coping—or failing to cope—with the “wild expulsions” of 1945, and finding the “organized expulsions” of 1946 from their perspective to be less satisfactory yet, each of the Allied powers entered 1947 with the same overriding objective: to put an end to what was proving an intolerable burden to it as quickly as possible.

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The 1941 Boom in U.S. Codebreaking Jobs

From Code Girls, by Liza Mundy (Hachette, 2017), Kindle pp. 22-25:

During World War II, code breaking would come into its own as one of the most fruitful forms of intelligence that exists. Listening in on enemy conversations provides a verbatim, real-time way to know what that enemy is thinking and doing and arguing about and worrying over and planning. It provides information on strategy, troop movements, shipping itineraries, political alliances, battlefield casualties, pending attacks, and supply needs. The code breakers of World War II advanced what is known as signals intelligence—reading the coded transmissions of enemies, as well as (sometimes) of allies. They laid the groundwork for the now burgeoning field of cybersecurity, which entails protecting one’s data, networks, and communications against enemy attack. They pioneered work that would lead to the modern computing industry. After the war, the U.S. Army and Navy code-breaking operations merged to become what is now the National Security Agency. It was women who helped found the field of clandestine eavesdropping—much bigger and more controversial now than it was then—and it was women in many cases who shaped the early culture of the NSA.

The women also played a central role in shortening the war. Code breaking was crucial to Allied success in defeating Japan, both at sea and during the bloody amphibious assaults on Pacific islands against a foe that was dug in, literally—the cave fighting toward the end of the war was terrible, as were kamikaze attacks and other suicide missions—and willing to fight to the death. And in the all-important Atlantic theater, U.S. and British penetration of the Nazi Enigma cipher that German admiral Karl Dönitz used to direct his U-boat commanders helped bring about the total elimination of the Nazi submarine threat.

The chain of events that led to the women’s recruitment was a long one, but a signal moment occurred in September 1941, when U.S. Navy rear admiral Leigh Noyes wrote a letter to Ada Comstock, the president of Radcliffe College, the women’s counterpart to Harvard. For more than a year the Navy had been quietly recruiting male intelligence officers from elite colleges and universities, and now it was embarking on the same experiment with women. Noyes wanted to know whether Comstock would identify a group of Radcliffe students to be trained in cryptanalysis. He confided that the Navy was looking for “bright, close-mouthed native students”—that is, high-achieving women who had the sense and ability to keep a secret and who had been born in the United States and were free of close ties with other nations.

“Evidence of a flair for languages or for mathematics could be advantageous,” Noyes said, adding that “any intense sociological quirks would, of course, be undesirable.” Without stating what such “quirks” might be, the admiral suggested that a handful of promising seniors could enroll in a training course the Navy had developed.

“In the event of total war,” Noyes told her, “women will be needed for this work, and they can do it probably better than men.”

Ada Comstock was happy to comply. “It interests me very much and I should like to take whatever steps would be thought serviceable,” she promptly wrote to her friend Donald Menzel, an astronomy professor at Harvard who was serving as a point person for the broader naval recruiting effort. Astronomy is a mathematical science and a naval one—for centuries, navigation was done using the position of the sun and the stars—and many of the instructors who taught the secret course would come from the field.

At the Navy’s request, Comstock also approached leaders of other women’s schools. These deans and presidents were devoted to the cause of educating women and eager to defend liberty and freedom of thought against fascism and totalitarian belief systems. They also were keen to develop career opportunities for their students. The leaders savvily perceived that war might open up fields—and spots in graduate schools—that up to now had been closed to women. Even before Comstock received the Navy’s letter, many of the leaders had been strategizing over how they could provide what Virginia Gildersleeve, dean of Barnard College, called “trained brains” to a war effort that would depend on advances in science and math.

The women’s college leaders met at Mount Holyoke on October 31 and November 1, 1941, with representatives from Barnard, Bryn Mawr, Vassar, Wellesley, Radcliffe, Smith, and Mount Holyoke attending. Comstock told them about the Navy’s request and said Radcliffe would participate. She distributed some materials the Navy had developed: a “Guide for Instructors” and an “Introduction to Students.” The idea was that selected students would take the course during the remainder of their senior year, then go to work for the Navy, in Washington, as civilians. The “Guide for Instructors” assured them that no prior experience was necessary and that they would receive a “gouge,” or answers to the problems. The instructors would be given a few texts to jump-start their own education, including a work called Treatise on Cryptography, another titled Notes on Communications Security, and a pamphlet called The Contributions of the Cryptographic Bureaus in the World War—meaning World War I, the so-called war to end all wars.

The result was the wave of secret letters that appeared in college mailboxes in the fall of 1941, summoning surprised young women to secret meetings. Most were in the top 10 percent of their class, selected based on academic performance as well as character and loyalty and grit.

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Long History of People Exiled

From Orderly and Humane: The Expulsion of the Germans after the Second World War, by R. M. Douglas (Yale U. Press, 2012), Kindle p. 67:

The driving out of unwanted peoples, to be sure, is a practice almost as old as recorded history. The Old Testament tells the story of numerous forced migrations carried out by the Israelites and their neighbors against each other, the Babylonian Captivity being the most celebrated. Philip II of Macedonia was renowned for the scale of his population transfers in the fourth century B.C., a precedent that his son, Alexander the Great, appears to have intended to follow on a far more massive scale. The colonial era witnessed many more forced displacements, often accompanied or initiated by massacre. Some of these bore a distinctly “modern” tinge. The Act of Resettlement that followed Oliver Cromwell’s conquest of Ireland, for example, ordered Irish property owners in three-quarters of the island to remove themselves to the impoverished western province of Connacht by May 1, 1654, to make room for incoming English and Scottish colonists; those remaining east of the River Shannon after that date were to be killed wherever found. “The human misery involved,” in the judgment of Marcus Tanner, “probably equaled anything inflicted on Russia or Poland in the 1940s by Nazi Germany.” On a smaller scale, but proportionately just as lethal, was the United States’ forced relocation of part of the Cherokee nation from Tennessee, Georgia, and Alabama to eastern Oklahoma along the so-called “Trail of Tears” in 1838; perhaps a quarter of the fifteen thousand men, women, and children who were driven out perished, most of them while detained in assembly camps. Extensive forced migrations occurred in Africa and Asia also. In what is today Nigeria the Sokoto Caliphate, the largest independent state in nineteenth-century Africa, practiced slavery on a massive scale—by 1860 it possessed at least as many slaves as the United States—as an instrument of forced migration, the purpose being to increase the security of disputed border areas. “Enforced population displacement … was supposed to strengthen the Islamic state, which was achieved through demographic concentration.” On the western borderlands of China, the Qing Empire in the seventeenth and eighteenth centuries “used deportations and mass kidnappings to build a human resource base.”

Contemporary scholars agree, though, that the twentieth century has been the heyday of forcible population transfers. The rise of the nation-state, in place of the dynastic multinational empires of the earlier period, was both cause and effect of the ideological claim that political and ethnographic boundaries ought to be identical.

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Missing Migration History in Europe

From Orderly and Humane: The Expulsion of the Germans after the Second World War, by R. M. Douglas (Yale U. Press, 2012), Kindle pp. 1-3:

Immediately after the Second World War, the victorious Allies carried out the largest forced population transfer—and perhaps the greatest single movement of peoples—in human history. With the assistance of the British, Soviet, and U.S. governments, millions of German-speaking civilians living in Czechoslovakia, Hungary, and the parts of eastern Germany assigned to Poland were driven out of their homes and deposited amid the ruins of the Reich, to fend for themselves as best they could. Millions more, who had fled the advancing Red Army in the final months of the war, were prevented from returning to their places of origin, and became lifelong exiles. Others again were forcibly removed from Yugoslavia and Romania, although the Allies had never sanctioned deportations from those countries. Altogether, the expulsion operation permanently displaced at least 12 million people, and perhaps as many as 14 million. Most of these were women and children under the age of sixteen; the smallest cohort of those affected were adult males. These expulsions were accomplished with and accompanied by great violence. Tens and possibly hundreds of thousands lost their lives through ill-treatment, starvation, and disease while detained in camps before their departure—often, like Auschwitz I, the same concentration camps used by the Germans during the Second World War. Many more perished on expulsion trains, locked in freight wagons without food, water, or heating during journeys to Germany that sometimes took weeks; or died by the roadside while being driven on foot to the borders. The death rate continued to mount in Germany itself, as homeless expellees succumbed to hypothermia, malnutrition, and other effects of their ordeal. Calculating the scale of the mortality remains a source of great controversy today, but estimates of 500,000 deaths at the lower end of the spectrum, and as many as 1.5 million at the higher, are consistent with the evidence as it exists at present. Much more research will have to be carried out before this range can be narrowed to a figure that can be cited with reasonable confidence.

On the most optimistic interpretation, nonetheless, the expulsions were an immense manmade catastrophe, on a scale to put the suffering that occurred as a result of the “ethnic cleansings” in the former Yugoslavia in the 1990s in the shade. They took place without any attempt at concealment, under the eyes of tens of thousands of journalists, diplomats, relief workers, and other observers with access to modern communications, in the middle of the world’s most crowded continent. Yet they aroused little attention at the time. Today, outside Germany, they are almost completely unknown. In most English-language histories of the period they are at best a footnote, and usually not even that. The most recent (2009) edition of Mary Fulbrook’s excellent History of Germany 1918–2008 disposes of the episode in a single uninformative paragraph; the antics of the tiny ultraleftist Red Army Faction in the 1970s and 1980s, in comparison, rate four. The Cambridge Illustrated History of Germany is typical in not according the expulsions even a single mention. What is true of German history textbooks is also the case with those dealing with the history of Europe as a whole, and even of the central European states most directly concerned. Joseph Rothschild and Nancy Wingfield’s fine survey of the region in the postwar era, Return to Diversity—by far the most accessible and reliable one-volume treatment of the subject—takes a cumulative total of less than a page to explain the means by which Poland and Czechoslovakia, until 1939 among the most heterogeneous and multicultural countries in Europe, had just ten years later become ethnic monoliths. It is, then, entirely understandable why so many of my splendid and learned colleagues on the Colgate faculty should have expressed their confusion to me after reading in the newspapers in October 2009 that the president of the Czech Republic, Václav Klaus, had demanded that the other members of the European Union legally indemnify his country against compensation claims by ethnic German expellees, as the price of his country’s ratification of the Lisbon Treaty. None had been aware that anything had occurred after the war in respect of which the Czech Republic might require to be indemnified.

It would be incorrect, however, to attribute this pervasive ignorance of the expulsions, their context, and their consequences to any conspiracy of silence. What has occurred in the postwar era is something less calculated in nature, but more insidious in effect: the phenomenon of a historical episode of great significance that is hidden in plain sight. Certainly information, albeit of highly variable quality, on the expulsions is available—for those who possess the requisite language competence and are prepared to go looking for it. A 1989 bibliography lists almost five thousand works dealing with them to some degree in the German language alone. Even today, some sixty-five years later, living expellees are not hard to find; it has been calculated that a quarter of the current German population are expellees or their immediate descendants. What is denied, then, is not the fact of the expulsions but their significance. Relegated in textbooks to a single passing mention in a vaguely phrased sentence referring to the “chaos” existing in Germany in the immediate postwar era, or simply passed over in silence, the impression is effectively conveyed that they occupy a less important place in modern European history than the cultural meanings of football hooliganism or the relevance of the Trabant automobile as a metaphor for East German society.

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