Category Archives: labor

African & Japanese Mercenaries in Asia, 2

The following is part 2 of a condensed version (with footnotes omitted) of “African and Japanese Mercenaries in Southern China and Southeast Asia, c. 1550-1650” by Richard Bradshaw, in Kokujin Kenkyu 76 (April 2007), published by the Japan Black Studies Association.

Many Spaniards and Portuguese in Asia came to regard the Japanese – particularly members of the samurai class – as a “warlike race” from which soldiers could be recruited for new conquests. Spain’s occupation of Portugal and the uniting of the two kingdoms in 1582 “unleashed the imperialist and messianic imagination of the king’s subjects, among them some of the Portuguese clergy.” In 1584 a Portuguese Jesuit in Macao assured King Philip II of Spain that the Japanese were a warlike race and thus that only three thousand Japanese Christian soldiers would be enough to conquer. In 1586 officials in Manila signed a petition encouraging the invasion of China and suggested that 6,000 Japanese and an equal number of Filipinos should be recruited to join the invasion force. The proposed “Spanish” force of 12,000 soldiers would have included many black slaves and freemen as well since they often fought for the Spanish. By the time the petition reached Madrid in January 1588, however, Spain’s attention and resources were focused on sending the Great Armada against England and so the plan to conquer China with Japanese, Filipino and African mercenaries did not receive support.

Manila’s need for military and other labor led to a rapid increase in the numbers of Japanese and African resident in Manila. During the sixteenth century, Spaniards in Manila imported large numbers of African slaves from Arab and Chinese traders. “The country is flooded with black slaves,” one observer noted at the end of the sixteenth century. In 1603, three hundred Japanese, fifteen hundred Tagalogs, and an unknown number of African slaves or freemen joined Manila’s Spaniards in attacking Chinese residents of the city. There were massacres of Chinese in Manila by Spaniards and their Asian and African soldiers in 1639, and 1662 as well. By this time many of the Africans in Manila had become freemen. In 1638 “the number of free blacks serving in Manila as soldiers, laborers and sailors was estimated at around five hundred.” “The diversity of the peoples who are seen in Manila and its environs,” reported a friar in 1662, “is the greatest in the world, for these include men from all kingdoms and nations – Spain, France, England, Italy, Flanders, Germany, Denmark, Sweden, Poland, Muscovy; people from all the Indies, both east and west; and Turks, Greeks, Persians, Tatars, Chinese, Japanese, Africans and other Asians.”

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African & Japanese Mercenaries in Asia, 1

The following is part 1 of a condensed version (with footnotes omitted) of “African and Japanese Mercenaries in Southern China and Southeast Asia, c. 1550-1650” by Richard Bradshaw, in Kokujin Kenkyu 76 (April 2007), published by the Japan Black Studies Association.

Krieg, Handel und Piraterie, (War, trade and piracy)
Dreieinig sind sie, nicht zu trennen. (Are an inseparable trinity.)
Goethe, Faust, II, 5:3

Studies of early encounters between Africans and Japanese have focused on the presence of Africans in Japan during the late sixteenth and early seventeenth centuries. The fact that Africans came to Japan on Portuguese and Dutch ships, resided in Japanese ports, accompanied Europeans on visits to Japanese rulers, and served Japanese masters has been well-documented by scholars. Very little attention has been paid to early Afro-Japanese contacts in the lands and on the seas between Africa and Asia during either the millennium before the first appearance of Africans with Europeans in Asia or during the era of European maritime empires in the early modern period.

Such encounters undoubtedly took place from time to time during the millennium before Africans first visited Japan. African merchants and slaves are known to have visited China during the era of the Roman Empire and during the Tang dynasty African slaves were imported into China, whose capital at Chang’an was a huge metropolis which received visitors from Japan as well as Southwest Asia. Arab, Persian and other visitors from Southwest Asia brought Africans to China with them in subsequent centuries as well. Traders from the Ryūkyū Islands (including Okinawa) sent ships to ports in the straits of Malacca, where they undoubtedly encountered African merchants and slaves before the Portuguese conquered Malacca in the early 16th century. However, few if any details about Japanese-African encounters during the millennium before the sixteenth century may ever come to light due to a lack of specific evidence.

Beginning in the sixteenth and seventeenth centuries, however, both European and Asian sources provide considerable evidence of Japanese and Africans encounters in numerous southern Chinese and Southeast Asian ports where a floating population of freebooters from all over the world found frequent employment as servants, sailors and soldiers for hire. Military labor markets tend to thrive in areas where trade is expanding, particularly in regions where political fragmentation or consolidation is taking place. One reason that so many African and Japanese soldiers were available for hire during this period was the fragmentation of political power in Japan as well as West Africa in the sixteenth century. In Japan, civil wars left many soldiers without patrons and so many refugees and exiles had little choice but to sell their labor to new patrons. Many rōnin and refugees thus left Japan and served as soldiers, sailors, or pirates in other parts of Asia during the sixteenth and seventeenth centuries. In Africa, the decline and fragmentation of the empires of Mali and its successor states left many Mande soldiers without patrons. Some sold their military labor to Portuguese paymasters who employed them in Asia as well as Africa.

In the early 1600s alone an estimated 100,000 Japanese left Japan to engage in trade and about 5,000 Japanese emigrated to places such as Faifo, Turane, Ayudhya, Phnom Penh, and Luzon. Many of these appear to have served as sailors and soldiers for hire or mercenaries. Masterless samurai (rōnin) (or soldiers who had fought for foreigners in Southeast Asia) often served as the leaders of overseas Japanese communities and many Japanese mercenaries fought with, or against, African soldiers. Thus encounters between Japanese and Africans in the early modern era in Asia, particularly from about 1550 to 1650 CE, were often between African and Japanese sailors and soldiers working for a wide variety of patrons in the lands and on the seas between Japan and Africa.

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FDR and the “Jewish Problem”

From The Great Departure: Mass Migration from Eastern Europe and the Making of the Free World, by Tara Zahra (Norton, 2016), Kindle Loc. 2276-2301:

President Roosevelt was on the same page. He envisioned an ambitious transfer of populations that would solve both the immediate refugee crisis and the East European “Jewish problem” over the long term. “It must be frankly recognized that the larger Eastern European problem is basically a Jewish problem,” he maintained in January 1939.

The organized emigration from Eastern Europe over a period of years of young persons at the age which they enter actively into economic competition, and at which they may be expected to marry, is not beyond the bounds of possibility. The resultant decrease in economic pressure; the actual removal over a period years of a very substantial number of persons; the decrease in the birthrate and the natural operation of the death rate among the remaining older portion of the population should reduce the problem to negligible proportions.

Roosevelt appointed the geographer Isaiah Bowman, then president of Johns Hopkins University, to lead the search for an appropriate refuge. Bowman had previously served on the U.S. delegation to the Paris Peace Conference in 1919, and was head of the American Geographical Society from 1915 to 1935. In the years 1938–42, Bowman directed a project at Hopkins to research possibilities for refugee resettlement around the globe. The goal of the project, in Roosevelt’s words, was to locate “uninhabited or sparsely inhabited good agricultural lands to which Jewish colonies might be sent.”

Bowman and his team surveyed settlement sites on five continents, and his reports circulated widely in government and humanitarian circles. Not coincidentally, however, he did not seriously consider the United States as a potential destination (aside from a cursory examination of Alaska). Bowman firmly believed in eugenics and in natural racial hierarchies. He actually introduced a new Jewish quota at Johns Hopkins in 1942 and also banned African American undergraduates from the university. He was personally convinced that the United States had reached its “absorptive capacity” with respect to Jewish immigrants—even as he lamented declining birthrates among white, middle-class Americans.

At the international level, then, the most critical years of the Jewish refugee crisis before World War II were spent searching the globe for a new refuge, dumping ground, or homeland for European Jews. The Madagascar plan remains the most infamous resettlement scheme, since the Nazis themselves favored it. But the IGCR [Intergovernmental Committee on Refugees], in cooperation with British, American, and Jewish agencies such as the JDC and the World Jewish Congress, considered a range of territories for potential Jewish resettlement. British Guiana, Angola, the Dominican Republic, Northern Rhodesia, Alaska, and the Philippines were among the most widely discussed possibilities. At huge expense, and in a nakedly colonial tradition, intergovernmental and humanitarian organizations dispatched teams of experts in agricultural science and tropical medicine on fact-finding missions to these far-flung destinations. They wined and dined dictators; surveyed the climate, soil, and “natives” in supposedly “underpopulated” lands; and speculated about whether urban Jews could be transformed into farmers who would “civilize” colonial outposts.

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Arbeit Macht Frei in Postwar Europe

From The Great Departure: Mass Migration from Eastern Europe and the Making of the Free World, by Tara Zahra (Norton, 2016), Kindle Loc. 2719-32:

Economic logic generally set the limits of humanitarian solidarity in postwar Europe. The employment contracts offered to refugees were often highly restrictive, designed to keep them in low-paid or undesirable jobs for as long as possible. Belgium’s “Operation Black Diamond” imported 32,000 DPs as miners, but required them to work a full two years in the mines before they were allowed to seek employment elsewhere. As of 1949, 8,000 had returned to refugee camps in Germany, unable to tolerate the harsh conditions. Other employment programs were similarly restrictive. Britain’s “Westward Ho!” program enabled 82,000 migrants from Eastern Europe to emigrate to the UK, but confined refugees to employment in mining, textiles, agriculture, or domestic service, rather than allowing them to move freely between jobs or professions.

The French government, with its ongoing anxieties regarding population growth, was initially among the most eager to recruit DP labor. The French military commander Pierre Koenig immediately recognized that East European DPs “represent a human and labor resource that we will have a high interest in using to the advantage of our country,” and he urged French authorities to recruit the best workers. In 1948, the French government even set up its own vocational training courses for refugees in the French zone of occupied Germany. Conditions for foreign workers in postwar France were notoriously poor, however, and that hampered recruitment efforts. Ultimately, the IRO resettled only 38,107 East European refugees in France between July 1, 1947, and December 1950. The bulk of refugees were headed to the New World. In the same period, the United States received 238,006 refugees, Israel 120,766, Australia 170,543, and Canada 94,115.

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Booker T. Washington in Austria-Hungary

From The Great Departure: Mass Migration from Eastern Europe and the Making of the Free World, by Tara Zahra (Norton, 2016), Kindle Loc. 892-922:

In 1910, Booker T. Washington and the University of Chicago sociologist Robert Park set out for Europe. Their goal was to determine what was propelling millions of Europeans to American shores. “I was curious . . . to learn why it was that so many of these European people were leaving the countries in which they were born and reared, in order to seek their fortunes in a new country and among strangers in a distant part of the world,” Washington explained. Eschewing “palaces, museums, art galleries, ancient ruins, monuments, churches, and graveyards,” he embarked on an inverted grand tour, determined to immerse himself in the “grime and dirt of everyday life.”

Washington’s self-proclaimed mission was to hunt for “the man farthest down” on the European continent. In this quest to explore “the worst” that Europe had to offer, he found rich terrain in Austria-Hungary. During their two-month scavenger hunt for misery, Washington and Park toured Cracow’s Jewish ghetto, Prague’s YMCA, Bohemian mines, Hungarian farms, Viennese slums, Adriatic ports, Galician border towns, and tiny Carpathian villages.

Booker T. Washington hoped that by locating the man farthest down in Europe, he would not only diagnose the root causes of emigration but also find new salves with which to heal American social and racial inequalities. “I believed . . . that if I went far enough and deep enough I should find even in Europe great numbers of people who, in their homes, in their labour, and in their manner of living, were little, if any, in advance of the Negroes in the Southern States,” he reflected. “I wanted to study first hand . . . the methods which European nations were using to uplift the masses of the people who were at the bottom in the scale of civilization.” As he projected the racial politics of the American South onto the terrain of the Austrian empire (which he identified as part of “Southern Europe”), he found many parallels. By the time he returned home, he had concluded that the situation of the Slavs of Austria-Hungary was “more like that of the Negroes in the Southern States than is true of any other class or race in Europe.” Not only were Slavs, like African Americans, “an agricultural people.” They were also distinct from and discriminated by what Washington called “the dominant classes” of Austria-Hungary. “Although they were not distinguished from the dominant classes, as the Negro was, by the colour of their skin, they were distinguished by the language they spoke, and this difference in language seems to have been, as far as mutual understanding and sympathy are concerned, a greater bar than the fact of colour has been in the case of the white man and the black man in the South.” Indeed, Washington concluded that the peasants, workers, and Jews of Eastern Europe actually lived in more debased conditions than African Americans in the South. “There are few plantations in our Southern States where . . . one would not find the coloured people living in more real comfort and more cleanliness than was the case here,” he observed, after touring a desolate Bohemian farm. “Even in the poorest Negro cabins in the South I have found evidences that the floor was sometimes scrubbed, and usually there was a white counterpane on the bed, or some evidence of an effort to be tidy.”

By the time he returned to America, Washington was so disturbed by the poverty he encountered in Austria-Hungary that he began to sympathize with the American movement to restrict immigration. The arrival of millions of destitute East Europeans threatened to create a new kind of “racial problem” in America, he warned. “Whatever else one may say of the Negro, he is, in everything except his colour, more like the Southern white man, more willing and able to absorb the ideas and the culture of the white man and adapt himself to existing conditions, than is true of any race which is now coming into this country.”

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National vs. Imperial Emigration Priorities

From The Great Departure: Mass Migration from Eastern Europe and the Making of the Free World, by Tara Zahra (Norton, 2016), Kindle Loc. 388-410:

In part, the preoccupation with maintaining population in imperial Austria was linked to the explosive growth of popular nationalist movements at the end of the nineteenth century. In the nationalist battle for supremacy, numbers mattered. Beginning in 1880, when citizens were first asked about their “language of daily use,” the imperial census escalated into a high-stakes campaign for citizens’ allegiances, as the number of Czech-speakers, German-speakers, Polish-speakers, or Ruthene-speakers counted came to be seen as a measure of national strength. Increasingly, numbers determined how state resources were allocated, where schools were built, and in which languages children could be educated.

It follows logically that nationalists would mobilize to prevent the emigration of members of their own national community and encourage the exodus of national rivals. The Hungarian government, which operated somewhat like a nation-state within the Dual Monarchy (sharing only a common foreign policy and military with Austria), did just that. As of 1904, two-thirds of the emigrants leaving the Hungarian half of the monarchy were not native Hungarian-speakers. A secret memorandum from the Hungarian undersecretary of state to the Hungarian prime minister explained, “For the institution of national statehood it is absolutely necessary that the ruling race . . . become the majority of the population. . . . Providence . . . has granted another population factor which has significantly raised the proportion of the Hungarian element at the expense of the nationalities. . . . This important new factor is the mass emigration of the non-Hungarian population.”

In Russia as well, imperial authorities began to encourage Jewish emigration in the 1890s, while restricting the emigration of nationally “desirable” citizens. The Russian government allowed the Jewish Colonization Association (JCA) to set up branches across the empire beginning in 1892, effectively legalizing Jewish emigration, even though emigration remained illegal for non-Jewish Russians. The JCA had established four hundred offices throughout Russia by 1910, providing migrants with information about opportunities to emigrate and assisting with the burdensome paperwork.

In Vienna, by contrast, imperial authorities officially mourned the loss of all the kaiser’s subjects equally. In 1905, out of 111,990 emigrants from Austria to the United States, 50,785 (45 percent) were Polish-speakers, 14,473 (14 percent) spoke Ruthene (a language later known as Ukrainian), and 11,757 (10 percent) were Czech-speakers. In contrast to their proportion in the emigration from imperial Russia, where anti-Semitic persecution was much more severe, Jews were not heavily overrepresented among emigrants from the Dual Monarchy. Out of a total of 275,693 emigrants from Austria-Hungary in 1905, for example, 17,352 emigrants (6 percent) were Jewish, only slightly more than the percentage of Jews in the total population in 1900 (4.7 percent in Austria, 5 percent in Hungary).

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Quick German Surrenders in the West

From Defeat in the West, by Milton Shulman (Secker & Warburg, 1947; Dutton, 1948; Arcadia, 2017), Kindle Loc. 2649-59. 4137-57:

Contrary to the fond hopes of von Luttwitz, not all junior commanders in the West were the ‘hurrahing’ type. It was only their discipline and not their faith that kept many of them in the line. Thus it was quite common to find German officers surrendering only after they had assured themselves that their honor had not been compromised. The fact that they had sworn to fight to the last was interpreted by many officers as fighting until they found a way to stop which was not inconsistent with their oath.

On one occasion an infantry commander refused to surrender unless Allied troops had first thrown some phosphorus grenades into his position, as he had no answer to phosphorus. Six grenades were therefore produced and thrown, and, after inspecting the results of the subsequent explosion, the German officer, his honor apparently having been saved, quietly surrendered himself and his whole unit. Another instance of this kind of behavior was provided by the commander of the Cherbourg Arsenal who declined to give himself up until a tank was produced. A Sherman tank was accordingly driven up to the walls of the Arsenal and the general then considered he had been subjected to a tank attack. Not possessing adequate anti-tank defense, he now felt that he could surrender honorably and without having broken his pledge to defend to the end.

On 14 August, hardly two weeks before the city was invested, Wildermuth took over the defense of the bastion of Le Havre.

If the Supreme Command was looking for a fanatical, zealous, feverish young Nazi to inspire German troops to fight to the end, it could have chosen no one less likely to fit the role than Colonel Eberhard Wildermuth. He was not young, he was not inspired, he was not a soldier, and what was most important, he was not a Nazi. Nevertheless, the polite, tired, efficient bank director was suddenly shunted from Italy to this fortress in France, and ordered to perform a fight-to-the-death task for the glory of the Fatherland. Small wonder the martyr’s crown rested uneasily on his head, and so readily slipped off when events hemmed him in.

A two-divisional British assault, following the dropping of some 11,000 tons of bombs in Le Havre, was launched on 10 September.

By noon on 12 September, forty-eight hours later, the port had capitulated and 11,300 German troops had laid down their arms. This, despite the fact that the defenses available were amongst the strongest in Europe, that ammunition was plentiful for the 115 guns in Le Havre, and that sufficient food was on hand to keep 14,000 soldiers for eighty-nine more days. The explanation for this speedy collapse lies in the commandant’s personal conception of what ‘the end’ really meant. “In my opinion it was futile to fight tanks with bare hands,” said Colonel Wildermuth. “As early as 9 September I had given orders to all my officers that Allied infantry attacks were to be opposed everywhere, even with the side arms only. But in the event of an attack by tanks, resistance nests which no longer had any anti-tank weapons were then at liberty to surrender.”

Thus the Colonel had transformed the Supreme Command’s precept of fight to the last man to his own concept of fight to the last anti-tank gun. The difference was fundamental. It marked the civilian from the soldier. For Wildermuth, with his banker’s mind, was a soldier only so long as it was reasonable to remain one. Once the cost in blood and pain was too much, he felt it was time to become a civilian again. He was an efficient, able man who carried efficiency and ability into battle with him in much the same way as he would have used them to draw up a balance-sheet. He was not mentally prepared to sacrifice the lives of his men for a philosophy in which he only half-heartedly believed. It is in the personality of the leader of the garrison of Le Havre that lies much of the explanation for the fall of this formidable fortress in less than forty-eight hours.

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Germany’s Foreign Infantry in France

From Defeat in the West, by Milton Shulman (Secker & Warburg, 1947; Dutton, 1948; Arcadia, 2017), Kindle Loc. 2095-2110, 4630-42:

France had been turned into a vast training-center, where divisions destroyed on other sectors could come for rest, refitting and reorganization. Thus, many of these divisions were more real on paper than they were on the ground. “Often I would be informed that a new division was to arrive in France,” said von Rundstedt, “direct from Russia or Norway or Central Germany. When it finally made its appearance in the West it would consist, in all, of a divisional commander, a medical officer and five bakers.”

To reform these shattered divisions which had left the bulk of their German personnel in Russian graves or Russian prisoner-of-war camps, the Supreme Command drafted so-called volunteers from amongst the peoples of the countries they occupied. There not being enough able-bodied Germans still capable of keeping a war machine and an industrial machine going at the same time, the infantry divisions in France were largely rebuilt by utilizing the huge reserve of non-Germanic manpower in Europe. Using this foreign element chiefly for supply and administrative duties, the infantry divisions in the West were liberally sprinkled with Poles, Hungarians, Yugoslavs, Roumanians, Czechs, Dutchmen, Alsatians, to mention but a few. These non-Germans usually made up at least ten per cent of a division’s strength and in some divisions comprised about twenty-five per cent of the formation’s personnel.

But the largest group of foreigners found in the Wehrmacht in the West were Russians. So many prisoners had been taken in the early victories in Russia, that it was decided in 1942 to make use of these troops rather than continue to feed them or exterminate them. Realizing that it might be dangerous to inject so large a foreign element into normal German divisions, the Supreme Command decided to form these Russian troops into separate units of their own which would be officered by Germans. With the aid of a Russian general, Vlassov, this huge recruiting drive was begun.

The causes that will lead a man to desert are many. But at the basis of them all is loss of faith in what one has been fighting for. It sometimes takes more courage to desert than it does to remain in the line. For a deserter voluntarily accepts the risk of death if he should fail, and the hatred and opprobrium of his countrymen if he should succeed. And when he has succeeded his only reward is the soul-destroying existence of a prisoner-of-war camp. Yet in World War II Germans frequently walked through unfamiliar minefields, swam wide rivers, traveled hundreds of miles on forged passes, and even killed their own sentries to enable them to desert.

The non-German element in the Wehrmacht provided the largest category of deserters. These Poles, Czechs, Russians, Alsatians and others were constantly on the look-out for an opportunity to cross over to Allied lines. But since they had little, or no, faith in the German cause their actions were understandable. With the Germans themselves, however, the circumstances leading to desertion were far more complex. They varied with the individual and his experiences. Inability to put up with conditions in the field, recognition of the fact that Germany had lost the war, dissatisfaction with their officers, ‘horror’ at finding their unit under S.S. command, long periods of unbroken fighting without rest, inadequate equipment, lack of news from home, personal resentment at some unfair treatment, were some of the long list of explanations advanced for the defection of Germans in the fall of 1944. Few deserters claimed that an ideological disagreement with Nazism had brought about their state of mind, and hardly any blamed Hitler personally, although, the S.S., the party and the Wehrmacht came in for their share of condemnation.

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Germany’s ‘White Bread Division’, 1944

From Defeat in the West, by Milton Shulman (Secker & Warburg, 1947; Dutton, 1948; Arcadia, 2017), Kindle Loc. 4344-67:

After five years of nervous tension, bad food, and hard living conditions, the Wehrmacht found itself swamped with soldiers complaining of internal gastric trouble. Some of these were real, others were feigned. It was difficult to check.

As defeat became more and more imminent and life at the front more dangerous and more uncomfortable, the rise in the number of men reporting themselves as chronic stomach sufferers became alarming. With the staggering losses in Russia and France, it was no longer possible to discharge this huge flood of groaning manpower from military service. On the other hand their presence in a unit of healthy men was a constant source of dissatisfaction and unrest, for they required special food, constantly asked to be sent on leave, continually reported themselves to the doctor, and grumbled unceasingly about their plight. It was thus decided by the Supreme Command to concentrate all these unfortunates into special Stomach (Magen) battalions where their food could be supervised and their tasks made lighter. It was originally intended to use these troops for rear-area duties only, but as the need for additional men became increasingly critical these units were sent forward for front-line duty as well.

On Walcheren Island, following the Allied invasion, it was decided to replace the previous normal infantry division with a complete division formed from these Stomach battalions. By the beginning of August 1944, the transformation was complete. Occupying the bunkers of the polderland of Walcheren Island and pledged to carry on to the very end were stomachs with chronic ulcers, stomachs with acute ulcers, wounded stomachs, nervous stomachs, sensitive stomachs, dyspeptic stomachs, inflamed stomachs — in fact the whole gamut of gastric ailments. Here in the rich garden country of Holland, where white bread, fresh vegetables, eggs and milk abounded, these men of 70 Infantry Division, soon nicknamed the ‘White Bread Division,’ awaited the impending Allied attack with their attention nervously divided between the threat of enemy action and the reality of their own internal disorders.

The man chosen to lead this formation of convalescents through their travail was the mild-looking, elderly Lieutenant General Wilhelm Daser. His small, peaked nose, his horn-rimmed glasses and his pink, bald head effectively hid his military identity. Only a firm, loud voice accustomed to giving orders betrayed it. Like the other fortress commanders he was chosen for his final military role because he could easily be spared, not because he had any particular qualifications for the task. The tremendous wastage of senior officers incurred by the Wehrmacht in Russia and North Africa was the prime reason for Daser’s being called out of semi-retirement in February 1944, to take over a static coastal division in Holland. His last active field command had been in 1941 when he had been sent back to Germany because of heart trouble. The years between had been spent as a military administrator of civilians in occupied territory. Now, at sixty years of age, he had neither the enthusiasm, the zeal nor the ability to make of Walcheren a memorable epic of German arms — but neither had most generals of the Wehrmacht in the declining months of 1944.

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Sources of Lenin’s Red Terror, 1918

From Red Famine: Stalin’s War on Ukraine, by Anne Applebaum (Doubleday, 2017), Kindle Loc. 904-43:

Lenin’s turn towards political violence in 1918—a set of policies known as the Red Terror—to his struggle against his political opponents. But even before the Red Terror was formally declared in September, and even before he ordered mass arrests and executions, Lenin was already discarding law and precedent in response to economic disaster: the workers of Moscow and Petrograd were down to one ounce of bread per day. Morgan Philips Price observed that Soviet authorities were barely able to feed the delegates during the Congress of Soviets in the winter of 1918: “Only a very few wagons of flour had arrived during the week at the Petrograd railway stations.” Worse, “complaints in the working-class quarters of Moscow began to be loud. The Bolshevik regime must get food or go, one used to hear.”

In the spring of 1918 these conditions inspired Lenin’s first chrezvychaishchina—a phrase translated by one scholar as “a special condition in public life when any feeling of legality is lost and arbitrariness in power prevails.” Extraordinary measures, or cherzvychainye mery, were needed to fight the peasantry whom Lenin accused of holding back surplus grain for their own purposes. To force the peasants to give up their grain and to fight the counter-revolution, Lenin also eventually created the chrezvychainaia komissiia—the “extraordinary commission,” also known as the Che-Ka, or Cheka. This was the first name given to the Soviet secret police, later known as the GPU, the OGPU, the NKVD and finally the KGB.

The emergency subsumed everything else. Lenin ordered anyone not directly involved in the military conflict in the spring and summer of 1918 to bring food back to the capital. Stalin was put in charge of “provisions matters in southern Russia,” a task that suddenly mattered a lot more than his tasks as Nationalities Commissar. He set out for Tsaritsyn, a city on the Volga, accompanied by two armoured trains and 450 Red Army soldiers. His assignment: to collect grain for Moscow. His first telegram to Lenin, sent on 7 July, reported that he had discovered a “bacchanalia of profiteering.” He set out his strategy: “we won’t show mercy to anyone, not to ourselves, not to others—but we will bring you bread.”

In subsequent years Stalin’s Tsaritsyn escapade was mostly remembered for the fact that it inspired his first public quarrel with the man who would become his great rival, Leon Trotsky. But in the context of Stalin’s later policy in Ukraine, it had another kind of significance: the brutal tactics he used to procure grain in Tsaritsyn presaged those he would employ to procure grain in Ukraine more than a decade later. Within days of arriving in the city Stalin created a revolutionary military council, established a Cheka division, and began to “cleanse” Tsaritsyn of counter-revolutionaries. Denouncing the local generals as “bourgeois specialists” and “lifeless pen-pushers, completely ill-suited to civil war,” he took them and others into custody and placed them on a barge in the centre of the Volga. In conjunction with several units of Bolshevik troops from Donetsk, and with the help of Klement Voroshilov and Sergo Ordzhonikidze, two men who would remain close associates, Stalin authorized arrests and beatings on a broad scale, followed by mass executions. Red Army thugs robbed local merchants and peasants of their grain; the Cheka then fabricated criminal cases against them—another harbinger of what was to come—and caught up random people in the sweep as well.

But the grain was put on trains for the north—which meant that, from Stalin’s point of view, this particularly brutal form of War Communism was successful. The populace of Tsaritsyn paid a huge price and, at least in Trotsky’s view, so did the army. After Trotsky protested against Stalin’s behaviour in Tsaritsyn, Lenin eventually removed Stalin from the city. But his time there remained important to Stalin, so much so that in 1925 he renamed Tsaritsyn “Stalingrad.” During their second occupation of Ukraine in 1919, the Bolsheviks never had the same degree of control as Stalin had over Tsaritsyn. But over the six months when they were at least nominally in charge of the republic, they went as far as they could. All of their obsessions—their hatred of trade, private property, nationalism, the peasantry—were on full display in Ukraine. But their particular obsession with food, and with food collection in Ukraine, overshadowed almost every other decision they made.

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