But this case involving the CIA goes far beyond the typical public interest litigation precisely because it addresses an area of lawbreaking where normal political and legal remedies are not available. As the late Senator Frank Church concluded, after leading the congressional investigation of the CIA's improper activities in the 1950s and 1960s, that agency was "a rogue elephant" operating outside the law and protected by a shroud of secrecy. This is an account of that rogue elephant's reckless experimentation upon unwitting Canadian citizens, as well as the story of a public interest litigation against an opponent of immense power and dubious purpose.
The forty years since 1950 have been an unprecedented period of national security hysteria fueled by the likes of the Dulles brothers, Joseph McCarthy, J. Edgar Hoover and Richard Helms, and implemented through repressive measures enacted by the state and federal legislatures. In the course of this hysteria, individual liberties have too often been sacrificed in the name of national security. During this period, federal court decisions have occasionally restored liberties and protected traditional constitutional values, but these judicial successes have been few and far between. The clash between liberty and national security has never been as stark as in the inhumane and illegal sponsorship of the Canadian brainwashing experiments by our most powerful national intelligence agency -- an institution that was created to protect and to preserve the very freedoms that were so devastated in those irresponsible experiments. After years of effort, vindication was won through the payment of nearly a million dollars to the CIA's victims by the governments of the United States and Canada in response to the federal suit.
This review of the CIA's actions in the United States and Canada demonstrates how completely unprincipled was the Agency's original brainwashing program, as well as its course of legal manoeuvers years later when it was required to answer for its misconduct. The story of the brainwashing suit and the barriers that were overcome before the CIA's victims were finally compensated, illustrates both the formidable hurdles presented and the unique satisfactions gleaned in a public interest law suit.
__________
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There is a pattern to the genesis of public interest lawsuits. A great
wrong has been or is being done that involves a violation of an important
principle. A potential client comes to you with a plea, often nonsense, that
"You're the only one who can or will fight to right this wrong." Indeed, this
is the pattern that was followed in the initiation of our litigation against
the CIA on behalf of the nine victims of brainwashing experiments at a
Montreal psychiatric hospital in the late 1950s and early 1960s.
Early in 1979 Canadian Member of Parliament David Orlikow called our office
with a horror story that bordered on the incredible. It seemed that some
twenty years earlier, David's wife, Val Orlikow, had suffered a bout of
depression following the birth of their daughter and had sought help at the
leading psychiatric hospital in Canada -- the Allan Memorial Institute at
McGill University in Montreal. Under the "care" of the Director of the
Institute, Dr. D. Ewen Cameron, Val was su.jected to a number of unorthodox
procedures in lieu of generally accepted psychotherapy. In particular, she
was given injections of LSD and was exposed to what Dr. Cameron called
"psychic driving" -- a procedure used nowhere else in which tape-recorded
messages were played hundreds of thousands of times. Not surprisingly, these
bizarre procedures did not help Val, but made her condition worse.
It was only in the late seventies that David and Val learned for the first
time, from a New York Times story, that Cameron's work had been subsidized by
the United States Central Intelligence Agency as part of a secret program to
study techniques of brainwashing. The Orlikows wanted to sue the CIA for its
part in experiments performed on Val by the now deceased Cameron; they
insisted that there was no one else who would take their case and help them
right this wrong.
Getting the full story from a potential client is always important, but it
is paramount in a public interest litigation, because the suit is brought to
advance a principle as well as to vindicate an individual. Concealed
pitfalls, half-truths or distortions will inevitably sabotage both objectives.
A lesson learned time and again during the McCarthy period is that a public
interest lawyer must insist on the whole story, warts and all. McCarthy's
victims had to be induced to tell their whole story despite their fears of
confiding in anyone, even their own lawyers. We insisted on all the facts in
this case before agreeing to represent the Orlikows and other victims of the
CIA's Canadian fiasco. From the beginning and throughout the long fight for
justice our clients told us the truth. Without this confidence we would not
and could not have properly represented them.
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Having established the rough contours of the wrong done to the Orlikows and
convinced of their credibility, the next step was to determine whether there
is some legal basis for liability on the part of the CIA. Clearly Val and
David Orlikow had been victims of some specie of tort, but when the government
is involved, the courts have historically been reluctant to drain the public
treasury to compensate for the misdeeds of government employees. This
judicial reluctance is embodied in the doctrine of sovereign immunity, which
excuses governmental liability for such torts. Recognizing the unjustness of
this broad immunity imported from English common law, Congress in 1946 enacted
the Federal Tort Claims Act providing a limited waiver of sovereign immunity
for negligent acts of government employees.2
This was our legal basis for suit.
But the Tort Claims Act is a sharply limited basis for liability; the Act
does not provide liability for intentional torts, foreign torts, torts by
"independent contractors" and torts committed by government employees
executing discretionary functions.3
Of these, the foreign torts exception was the most immediately troublesome
legal point, because so much of what occurred happened in Montreal outside
the United States.4
When the Orlikows came to us, the law of foreign torts was rather
unsettled; there had been no definitive interpretation by the Supreme Court
and only a few federal court rulings had construed this limitation in the Tort
Claims Act. Fortunately, a case was then pending in the District of Columbia
Circuit that raised exactly this issue, Sami v. United States.5 We obtained the appellate brief filed by the
plaintiff's counsel in the Sami case and agreed with the legal view he argued --
that under the Tort Claims Act that it was the place where the governmental
negligence occurred that mattered, not the site where that negligence had its
operative impact. After reviewing the Sami brief, we were fairly confident that
the D.C. Circuit would eventually construe the Tort Claims Act as covering cases
like our's where the negligent acts occurred in the United States but had their
damaging impact abroad.6
A second potential problem was that intentional torts are excluded from the
Tort Claims Act waiver of sovereign immunity -- we had to plead and to
demonstrate negligence for a recovery. Negligence is, of course, largely a
question of fact -- what happened, who was careless, who was reckless, who was
injured. To make out a prima facie case of negligence, however, one must have
an identifiable standard of care that was violated. As a matter of general
tort law, a person is required to exercise the prudence of a reasonable person
in like circumstances. What that standard means thus depends upon the
particular circumstances present in a case.
In our case, a detailed articulation of the duties and responsibilities of
those involved in conducting human subject experiments, which was of
tremendous public relations value over the course of the suit, was handed to
us on a silver platter in the form of the Nuremburg Code. The Nazis'
notorious medical experimentation had not only led to the execution of German
experimenters after the War Crime Trials at Nuremburg, but resulted in a
comprehensive articulation of ethical standards for medical experimentation.
These standards explained in great detail the requirements that medical
researchers take appropriate measures to protect the health and well-being of
their patients who volunteer to undergo experimental procedures. Most
importantly, the Nuremburg Code required that the "informed consent" of the
patient must be obtained before any experimentation.7
This was our key legal standard for negligence in the failure to secure consent.
Val and David Orlikow were adamant that no one had ever told them of any
experiment, much less obtained their consent. This seemed to be the clearest
possible violation of the standard of care articulated in the Nuremburg Code.
The use of LSD and the brainwashing tapes that Val described were a far cry
from any accepted psychiatric therapy and their dangers were certainly
well-known to the CIA. Knowingly financing such hazardous experimentation
without requiring that Cameron take precautions to protect his patients seemed
to be another clear violation of standard of the Nuremburg Code. But the
detailed statement of these violations would require more facts than the
Orlikows could provide.
__________
3 Virtually all intentional torts are exempted from Tort
Claims Act coverage by 28 U.S.C. 2680(h), which excludes "any claim arising out of
assault, battery, false imprisonment, false arrest, malicious prosecution, abuse of process,
libel,
slander, misrepresentation, deceit, or interference with contract rights." 28 U.S.C. 2680
excludes "any claim arising in a foreign country." 28 U.S.C. 2680(a) excludes "Any claim ...
based upon the exercise or performance or the failure to exercise or perform a discretionary
function or duty on the part of a federal agency or an employee of the Government, whether or
not the discretion involved be abused."
4 During the 1950s, the CIA's offices where the
Agency's negligence had occurred were located in the District of Columbia, so jurisdiction and
venue properly lay in that district (28 U.S.C. 1346, 1402).
5 617 F.2d 755 (D.C.Cir 1979).
6 Things worked out as we had hoped. About two weeks
after we filed our Complaint in the Orlikow case, the D.C. Circuit handed down its
decision in Sami. In that decision, our Court of Appeals ruled that it was the place
where the governmental negligence occurred, not the place of the injury, that was controlling.
617
F.2d 755, 761-63 (D.C. Cir. 1979). We could now rely on the Sami decision and its
gloss on the foreign country exception as the controlling precedent in our case.
7 United States v. Brandt (The Medical Case), II Trials of War Criminals before the
Nuremberg
Military Tribunals under Control Council Law No. 10, at 181-82 (1949).
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In some respects, we were lucky in developing the facts needed to make out
a case, because much of the legwork had already been done by journalists
and Congressional investigations. In 1975 the Rockefeller Commission and the
Senate Intelligence Committee had investigated the CIA's domestic abuses and
issued detailed reports on them. Most importantly, in 1977 an enterprising
author, John Marks, had forced public disclosure under the Freedom of
Information Act of thousands of pages of CIA documents that had not been
available to the earlier investigations. These documents, which consisted
largely of financial records that had been missed in 1973 when the vast bulk
of such materials were destroyed, provided an overview of a top secret CIA
program of behavior control and brainwashing experiments code-named MKULTRA.8
With the assistance of researcher Jay Peterzell and the Center for National
Security Studies, Marks interviewed CIA-funded researchers, former CIA
officers and victims of the MKULTRA to piece together the remarkable story of
the CIA experiments in the U.S. and Canada. Marks' award-winning book 9 was the culmination of this effort. Marks agreed to give us
free access to his files and Peterzell agreed to work with us in developing the facts. Both
resources were invaluable.
In others respects, we faced tremendous obstacles. The trail was over
twenty years old. Potential witnesses had died, memories had faded and the
surviving victims' health had deteriorated. Despite Marks' success under the
Freedom of Information Act, the vast majority of MKULTRA documents had been
destroyed. And the defendant was an agency trained in misdirection and steeped
in deception. Nonetheless from Congressional hearings and reports, the
surviving CIA documents, and the Marks files, we were able to substantiate the
following basic facts about the case.
A. Genesis of the MKULTRA Program and the CIA's Negligence in
the Death of Dr. Frank Olson.
In the early 1950s the CIA reaction to the unprecedented confessions of
U.S. POW's in Korea was one of panic that the Communists had discovered an
effective method of "brainwashing" our soldiers. The response was an
intensive research and development program code-named "MKULTRA." It was in
April of 1953 that Richard Helms, then the head of the CIA's Operations
Directorate, recommended that the Agency explore covert brainwashing
techniques for offensive and defensive use, to counter the suspected Soviet
and Chinese efforts in that area. CIA Director Allen Dulles promptly approved
the MKULTRA Program which was to operate outside the usual CIA administrative
channels without "the usual contractual arrangements," and to be highly
"compartmented." Dulles also ordered that "exacting control will be
maintained over the Project by TSS."10
Proving negligence was essential to our Tort Claims Act case, and our
starting point was the story of the CIA's role in the death of Dr. Frank Olson
in an early MKULTRA drug experiment. The Olson tragedy is relevant because it
occurred three years prior to the CIA funding of the experiments in Montreal
and involved the two key Agency officers who approved that funding -- Sidney
Gottlieb and Robert Lashbrook.
In November of 1953, Gottlieb and Lashbrook were directly responsible for
an LSD test that preceded the death of Dr. Olson, an Army chemical and
biological warfare expert, who had no forewarning that he was to be made an
experimental subject. After receiving LSD surreptitiously administered in a
glass of cointreau, Dr. Olson suffered a severe depression, was taken by
Lashbrook to New York City for consultations with an allergist named Harold
Abramson, who had been testing LSD for the CIA as an MKULTRA researcher.
Without ever being taken to see a psychiatrist or, indeed, any physician who
was independent of the CIA, Dr. Olson fell to his death from the window of a
tenth story room he shared with Lashbrook at the New York Statler Hotel.
Although the CIA was able to cover up its responsibility for the Olson
death, Dulles ordered an investigation by his General Counsel, Lawrence
Houston, who concluded that there had been "culpable negligence" by the CIA
officials in charge of MKULTRA and "a death occurred which might have been
prevented."11 CIA Inspector General
Lyman Kirkpatrick, who also reviewed the
Olson tragedy at Dulles' request, recommended that there "should immediately
be established a high-level intra-Agency board which should review all TSS
experiments and give approval in advance to any in which human beings are
involved." Kirkpatrick also recommended that the CIA employees involved in
the Olson death should be reprimanded.
Despite these conclusions and recommendations, Gottlieb and Lashbrook
continued their activities unreprimanded and unsupervised. Indeed, we had
further evidence of the CIA's negligence in the subsequent findings of its CIA
Inspector General in 1957 that some of the MKULTRA activities "are considered
to be professionally unethical and in some instances border on the illegal"
and "are not only unorthodox but unethical and sometimes illegal."12 The CIA's failure to take appropriate measures to curb Gottlieb and Lashbrook
despite these repeated findings is precisely the kind of negligent omission
contemplated by the Tort Claims Act, and seemed to be one sound ground for
liability.
B. CIA Negligence in the Funding of the Montreal Experiments
Early in 1957, Dr. D. Ewen Cameron, Director of the Allan Memorial
Institute in Montreal, submitted a formal grant application to the "Society
for the Investigation of Human Ecology" a CIA front operating at the Cornell
University Medical School in New York City. That application proposed to
extend brainwashing experimentation which Cameron described as follows:
Cameron's application for funds was dated January 21, 1957 and on February
26, 1957 Gottlieb and other CIA officials approved the application in a
Memorandum that simply repeats, without reasoning or explanation, the
application virtually in haec verba. Shortly thereafter, Gottlieb's deputy,
Lashbrook, approved the first payment to Cameron. Despite the CIA General
Counsel's explicit criticism of the "culpable negligence" in the Olson death
on the part of Gottlieb and Lashbrook, they called the shots at the Agency on
the Cameron application, which was not even reviewed by the CIA own Medical
Staff.13
In all, the CIA provided some $60,000 over four years for the experiments
described in the Cameron application. At no point in any of the surviving CIA
documents is the slightest concern expressed for the rights or well-being of
the subjects of these CIA-funded experiments. The casual indifference to
Cameron's patients exhibited throughout the CIA's documentary record,
particularly after the disastrous Olson LSD experiment, simply reeked of
negligence.
C. CIA Negligent Funding of Experiments on Unwitting Subjects
The unambiguous standards for medical experimentation formalized at
Nuremburg nearly a decade before the CIA subsidies to Cameron specifically
required that "informed consent" be obtained from subjects in medical
experimentation. Val and David Orlikow swore that they had never consented to
any experimentation at the Allan Memorial Institute and, indeed, the
Institute's medical records contained only a telegram from David authorizing
Val's admission "for treatment."
The documentary evidence from the CIA contained no mention whatsoever of
using volunteers, and it was clear from the application Cameron had submitted
that experimental subjects would be drawn from the patient population of the
Allan Memorial Institute. Finally, the use of non-volunteers was the modus
operandi of the MKULTRA program and its two chief operatives, Gottlieb and
Lashbrook; this practice was strongly criticized by two CIA Inspectors General
during the late 1950s and early 1960s.14
This strong circumstantial evidencecorroborated the Orlikows' story, strengthened this third
aspect of the CIA's negligence in funding the experiments in Montreal.
From each of these three perspectives -- leaving those responsible for Dr.
Olson's death in charge of MKULTRA, financing extraordinarily dangerous
experiments without taking any precautions, and experimenting upon unwitting,
non-volunteer subjects -- it appeared to be a sound prima facie case. But
there was one question that we could not answer: Did Cameron know he was
working for the CIA? On the one hand there was an express notation in an
MKULTRA file that Cameron and his staff were to remain unwitting of their CIA
sponsorship.15 On the other hand there
was Cameron's history as a trusted consultant to the U.S. Government who had
evaluated Rudolf Hess' competence tostand trial at the end of World War II, and
Cameron's peculiar application for funding to the CIA front, which seemed to have
less to do with psychiatric therapy than with brainwashing experimentation.
We asked our first expert, Dr. Leon Salzman, an eminent psychiatrist who
had practiced and taught in Washington and New York since the 1940s, to review
the Cameron application and Val Orlikow's medical records and to discuss them
with us. Dr. Salzman was direct and emphatic, in his expert opinion the
application proposed experiments clearly tailored to explore techniques of
"brainwashing," and the bizarre combination of procedures offered little if
any hope of helping Cameron's patients. Indeed Dr. Salzman's insight was
confirmed by the public admission of Cameron's technical assistant, Leonard
Rubenstein, in an August 2, 1977 New York Times interview that the work
Cameron did with CIA funds "was directly related to brainwashing." Rubenstein explained:
But did it matter whether Cameron knew that the CIA was paying him?
Focusing on Cameron's knowledge was looking through the wrong end of the
telescope. For purposes of suing the CIA, what mattered was what the CIA
knew. On that score, the record couldn't be clearer. Cameron's application
set out the experiments in detail and the CIA authorized subsidies for that
experimentation. Finally, as Val Orlikow's hospital records made clear, the
CIA got what it paid for. Whether Cameron was a witting accomplice or a
unknowing dupe was beside the point.
<
P> __________
9 J. Marks, The Search for the "Manchurian Candidate":
The CIA and Mind Control (1977).
10 TSS is the abbreviation for Technical Services
Section,
the CIA component responsible for MKULTRA, which a few years later became the
Technical
Services Division or TSD. The "MK" in "MKULTRA" denotes that the program was
conducted by the Technical Services Division.
11 Houston's detailed conclusions were particularly
damning:
12 Final Report of the Senate Select Committee to Study
Governmental Operations with respect to Intelligence Activities, S. Rep. No. 94-755, 94th Cong.,
2d Sess. Book I, at 394, 410 (1976).
13 The former Chief of the CIA's Medical Staff, Dr.
Edward Gunn, testified in 1975 Senate Hearings:
14 Similar concerns were voiced during the mid-1970s,
with key CIA officials, such as the Deputy Director for Science and Technology Carl E. Duckett
admitting at U.S. Senate hearings that the CIA unwitting drug tests were "wrong" and with the
Senate Intelligence Committee concluding that compartmentation was used in the MKULTRA
Program to conceal the "unethical and illicit activities" by the CIA. As the Senate Intelligence
Committee stated:
15 In view of the CIA's overwhelming desire to protect
MKULTRA researchers from embarrassment when the Agency's role became public --indeed the
CIA successfully fought a Freedom of Information Act all the way to the Supreme Court to
prevent even the names of some MKULTRA researchers from being made public, Central
Intelligence Agency v. Sims, 471 U.S. 181 (1985) -- we did not view this notation as particularly
credible. Such a covering of the trail would be entirely consistent with protecting Cameron
rather than reflecting what actually happened and who knew what.
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Deciding whether to proceed with a public interest case requires a lawyer
to answer four questions. Will the suit advance a public interest? Is that
interest an important one? Can you afford to take the case? And, can you
win? Our answer to each of these questions in the CIA brainwashing case was,
rather obviously, "yes," but again the considerations that led to that
conclusion illustrate the unique nature of a public interest litigation.
A. Defining a "Public Interest"
There are probably as many different definitions of the "public interest"
as there are people who think about the concept. We certainly make no claim
of being able to define any single position that is the public interest, and
do not believe that there is any objective standard for doing so. But the
absence of an objective standard does not relieve the ethical lawyer from a
professional responsibility to advance the public interest -- as he or she
sees it. For example, there are those who honestly believe abortion is
murder, while others are adamant that a woman has an absolute right to control
her own body and to end an unwanted pregnancy. According to their own view,
each side is fighting for the public interest. Just because other people may
argue with your conclusion about where the public interest lies does not mean
that you are excused from thinking and acting to promote the public interest.
Here, at least employing our own subjective standard, the public interest
seemed clear: "the CIA is not above the law." The rule of law is a
cornerstone to our democratic system of government; holding the executive
branch legally accountable in the courts is a key means of protecting our
civil freedom. Vindicating this principle and extending it to the most secret
and deceptive part of the federal government would be a significant stride in
advancing the public interest. We concluded that the Orlikow case presented
an ideal vehicle for reasserting this important principle.16
B. Assessing the Importance of a Public Interest
The importance of securing judicial accountability for the CIA was
demonstrated time and again, both before and during the litigation. In the
words of the late Senator Frank Church, who led the congressional
investigation of the CIA's improper and unlawful actions, that agency was "a
rogue elephant" in the 1950s and 1960s operating above the law and out of
control as it plotted assassinations, illegally spied on thousands of
Americans, and even drugged our own citizens in its effort to develop new
weapons for its covert arsenal. When those actions were exposed by the
congressional committees in the 1970s, the CIA showed some disposition for
reform, but those reforms were embodied in internal CIA regulations and
Executive Orders, and were thus subject to change whenever a new
administration entered office or a new CIA Director took over. We believed
that using the Tort Claims Act to secure compensation in a court of law for
the CIA's victims would not only complete the public repudiation of these
abuses, but would also extend the rule of law to the CIA and serve as a
concrete deterrent to future abuses.
Moreover, in the Canadians' case, instead of admitting its wrongdoing and
accepting responsibility, the CIA chose simply to ignore the plight of its
victims. The importance to all Americans of curbing this continued arrogance
by a secret agency of our government could hardly be overstated. We felt that
judicial accountability for these past abuses could help to do so.
Finally while the suit was underway, there was a return to business as
usual at the CIA. The reforms of the 1970s became dead letters in the 1980s
as new Executive Orders and attitudes allowed the CIA to veil more of its
activities in a cloak of secrecy, and then CIA Director William Casey adopted
an "anything goes" attitude. This had a predictable impact on the Agency,
which no longer felt the restraints of the 1970s and returned to the days of
the rogue elephant, advising Central American guerrillas that assassinations
are appropriate, sponsoring covert wars throughout the world, and hiding
illegal activities behind claims of national security. In short, the CIA was
again operating outside the law. Throughout the court fight, these continuing
examples of CIA lawlessness reinforced our conclusion that judicial redress
was an important means of forcing some restraint upon this Agency's threat to
the rights of human beings at home and abroad.
C. "Winability"
The question of whether a public interest case can be won is particularly
important because a loss is not only a defeat for the plaintiff but also for
the principle. With the documents obtained by John Marks as support, there
seemed little question that factually we were on firm ground. As to the law,
one should not be faint-hearted. We thought that the pending Sami case offered
a way around the foreign country exception, and indeed as the suit unfolded,
that most difficult potential legal problem evaporated. More important
legally was the Nuremburg Code which provided a codified ethical standard that
the CIA could scarcely shrug off. All together it looked like a winner.
In addition, David Orlikow's stature as a respected Member of the Canadian
Parliament gave us reason to expect the support of the Canadian Government in
the fight. This was an important consideration. We expected that the
Canadians would resent an ally who used their citizens as unwitting guinea
pigs in brainwashing experiments, and that Canada's support for its citizens
would strengthen our hand in seeking prompt recompense by the CIA. These
expectations, sadly, were never realized.
D. Affordability
The decision to take a public interest case brings with it a commitment to
see the matter through to its conclusion. Neither the Orlikows nor any of the
other Canadian victims were in a position to pay us to bring the suit, so a
contingency fee under the limitations of the Tort Claims Act was the only
option. Although this would mean a long wait for legal fees, if any, we were
sufficiently convinced of the importance of this case and its winability to
take the case on this basis. In addition, discovery costs would be large, but
we were prepared to advance some of those costs from our firm's funds and to
seek support from foundations to pay the remainder.17
For better or worse, we decided to go forward.
__________
17 In addition to our own funds, litigation costs, which
eventually exceeded $60,000, were defrayed by two grants of $20,000 awarded by the J.
Roderick MacArthur Foundation through the American Civil Liberties Union, funds raised by
David Orlikow and other concerned Canadians, and support provided by the Mental
Health Law Project.
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Before any lawsuit can be filed under the Tort Claims Act, an
administrative claim must be presented to the federal agency that was
negligent, which gives the government a chance to settle the case. During
1979, we submitted administrative claims on behalf of Val Orlikow and two
other Canadian victims -- Jean Charles Pagé and Robert Logie -- and were
somewhat encouraged by the response of CIA General Counsel Daniel B. Silver.
On October 11, 1979, Silver wrote us that "the policy of CIA is not to shirk
responsibility for the unfortunate acts that occurred in the course of the
MKULTRA program," and that he found the experimental research conducted by Dr.
Cameron "repugnant."
Nonetheless, when we sought to settle our clients' claims prior to suit,
the CIA refused to negotiate on the ground that Cameron's application for
funds was "unsolicited." This claim, even if true, seemed legally irrelevant
to us. After all, the CIA knew what the experiments would involve and
voluntarily provided funds for them. Whether the CIA or Cameron initiated the
contacts did not seem to us to have any bearing on the CIA's liability.
But as it turned out, the CIA General Counsel's version of what had
happened was untrue -- CIA representatives had gone to Cameron and solicited
the application. As we detail below this falsehood, which was even repeated
in defendant's formal Answer to our Complaint, was exploded in discovery when
retired CIA officer John W. Gittinger told the truth at his deposition -- that
he and the CIA had initiated the contacts with Cameron. Despite the fact that
Gittinger was well-known within the CIA as having been involved in MKULTRA and
was identified in Agency documents as the "Project Monitor" for the McGill
experiments, the CIA lawyers didn't even bother to check their facts with him
before asserting this groundless defense.
In any event the CIA refused to negotiate settlement, which raised a new
legal problem. Our correspondence with the General Counsel contained valuable
admissions by the CIA. Could we use these settlement documents in our case?
Although Federal Rule of Evidence 408 precludes the admission in court of
"[e]vidence of conduct or statements made in compromise negotiations," there
is no legal bar upon using such admissions in public debate. Moreover, where
the government has relied upon patently spurious grounds for refusing to
settle a claim, it is entirely proper to disclose its erroneous position when
presenting the evidence that disproves it.
In addition, the Tort Claims Act requires claimants to exhaust
administrative remedies by presenting their claims to the Agency involved.
Because of this requirement, we were able to include in court documents both
the General Counsel's admissions and the false basis for refusing to discuss
settlement. In this way, normally excluded evidence played a role in the
factual development of the Orlikow case.
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At the same time we were engaged in our pre-litigation effort to settle
with the CIA, we were also working hard on the eventual complaint in the case.
These two jobs were complementary, since information obtained in the
negotiations, such as they were, contributed to the factual development of our
case, and the disciplined articulation of legal theories in a formal document
aided in our presentation of our clients' claims to the CIA. By the time that
we had received the final denial of our clients' claims -- a prerequisite for
suit under the Tort Claims Act -- we had nearly completed a detailed
complaint.
A. Pleading Facts Consistent with Coverage of the Tort Claims
Act
As we have noted, the Tort Claims Act only waives sovereign immunity for
torts sounding in negligence. Intentional torts such as assault and battery
are not bases for liability under that statute. This limitation posed a
potentially significant problem for us, because torts based on medical
malpractice, particularly those involving a failure to secure consent, had
originally evolved from assault. There was an important distinction in our
case, however -- we were seeking recovery from the CIA, not an incompetent
physician. Throughout our development of the case we continually tried to
keep the focus of debate on the Agency and its recklessness, a strategy that
was happily consistent both with our clients' private interests in financial
recompense and the public interest in forcing judicial accountability upon the
CIA.
Our investigation of the facts already on the public record had provided a
wealth of evidence of the CIA's negligence. Now, aided immeasurably by the
unique conceptual insights of our partner, John Silard, we formulated our
clients' claims in three categories:
i. Negligent failure to supervise -- the Olson count;
ii. Negligent funding of extra-hazardous experimentation -- the
brainwashing count; and
iii. Negligent funding of experimentation on patients who had not
volunteered to be experimental subjects -- the Nuremberg count.
The final complaint set out these three negligence counts and, with John's
brilliant drafting, skillfully avoided the intentional tort exception. Indeed
by articulating the wrong in this fashion, an intentional tort defense was
practically untenable -- the CIA was in no political position to insist that
its torts against our clients were intentional, not negligent.
B. Developing Factual Evidence Corroborating Plaintiffs' Claims
Because the case was so unusual and the underlying facts were so complex,
our complaint contained a wealth of detailed allegations concerning the
MKULTRA program and the CIA.18
In addition to the facts concerning the MKULTRA program that we have
summarized above, we provided details concerning the three Canadian victims
who we then represented. Using facts gleaned from
their Allan Memorial Institute medical records we were able to confirm that
our clients had indeed been subjected to experimentation as described in the
Cameron application to the CIA "front."
These records showed that Val Orlikow, who sought treatment for depression,
instead had been subjected to many months of "psychic driving" and 16 LSD
trips. Jean-Charles Pagé, who entered the Allan Memorial Institute for
treatment of alcoholism, was "depatterned" with and became addicted to
powerful barbiturates, and was placed in "continuous sleep" for thirty-six
days. Robert Logie, who came to the hospital for treatment of leg pains that
were incorrectly diagnosed as psycho-somatic, was depatterned with intensive
electroshocks and LSD, and subjected to drug-induced sleep for a period of
twenty-three days.19
Other victims came forward and joined the suit over the next two years
until there were nine in all. The Allan medical records confirmed that the
six additional patients we came to represent had also been victims of the
brainwashing experimentation during the period of CIA funding. Jeanine Huard,
who also sought treatment for depression, was depatterned with intensive
electroshocks and drugs, and subjected to psychic driving. Lyvia Stadler,
another patient suffering from depression, was subjected to depatterning,
psychic driving and prolonged drug-induced sleep. Dr. Mary Morrow, an intern
who was admitted to the Allan Memorial after being told by Cameron that she
needed "rest," was depatterned with intensive electroshocks and barbiturates.
Rita Zimmerman, who sought treatment for alcoholism, was depatterned with 30
electroshock sessions until in Cameron's words she was "incontinent of
stool on occasion." Mrs. Zimmerman was also subjected to over a month of
psychic driving and some 56 days of drug-induced sleep. Florence Langleben,
who sought treatment for anxiety attacks, was depatterned with LSD and
intensive electroshocks, and subjected to over a month of psychic driving and
some 43 days of drug-induced sleep.
The story of the last of the nine plaintiffs, Louis Weinstein, is perhaps
the most stark example of the devastating impact these brainwashing
experiments had upon the innocent Canadian victims. At the hospital he was
subjected to depatterning with intensive electroshock and LSD, months of
psychic driving (sometimes in "sensory isolation" where all he could perceive
was the taped messages), and prolonged drug-induced sleep. A successful and
prosperous Montreal businessman when he entered the Allan Memorial Institute
for treatment of anxiety, Mr. Weinstein lost his business and was unable ever
again to support his family.20
In addition, the nine victims, most of whom were by then elderly and frail,
never consented to participate in any form of experimentation. David Orlikow
sent a telegram authorizing his wife's admission "for treatment." Janine
Huard, Mary Morrow, Rita Zimmerman, and Louis Weinstein signed standard
hospital admission forms entitled "consent for examinations and treatments."
The medical records of the other victims did not contain even such a consent
for treatment. The nine and their families could not remember ever being told
that they were the subjects of experiments for research or any other purpose,
and they were sure that none of them had ever volunteered to be subjects in
any experiments or research.
On December 11, 1980 we filed our Complaint against the CIA under the Tort
Claims Act.
__________
19 The intensive electroshocks used in these experiments are not the same form of ECT used routinely in the treatment of patients suffering from depression. Both the voltage and the number of shocks administered were greatly increased. Instead of stopping after the procedure had induced one grand mal seizure, subjectswere shocked again and again until no further seizures could be elicited. There is no question that this was a profoundly intrusive and destructive form of electroshock, which was far different in kind from that which was conventionally used for therapeutic purposes.
20 The story of the tragic disruption of a family's life is movingly recounted by Louis Weinstein's psychiatrist son, Harvey, in H. Weinstein, A Father, a Son and the CIA (1988).
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VII. DILEMMA WITH A JUDGE WHO WON'T DECIDE
The CIA's first response to the suit by the Canadians was a harbinger of
the Agency's entire litigation strategy: use delay and attrition to wear down
the elderly plaintiffs and their 70 year old lead attorney, Joseph Rauh.
Unfortunately this strategy was aided by the Judge assigned to the Orlikow
case who took months to rule on routine motions, and the litigation ground to
a halt time after time.
Thus, instead of investigating and answering the detailed factual
allegations of our Complaint, the government filed a motion seeking dismissal
of the suit on the basis of a group of "boilerplate" defenses -- most
prominently, the foreign torts and discretionary function exceptions to the
Tort Claims Act, discussed above, and the statute of limitations.
Simultaneously, the Agency sought a protective order precluding written
interrogatories, oral depositions, document requests and other discovery by
the plaintiffs until the Court had ruled on the motion to dismiss the suit.
At this early stage in the litigation -- consideration of a motion to
dismiss -- the Court must assume that all factual allegations of the Complaint
are true and can only dismiss a suit on legal grounds. After our research in
preparing the Complaint, we were confident that none of the boilerplate
defenses asserted by the CIA presented a serious threat. Nonetheless, month
after month went by and the Judge failed to rule on the CIA's dilatory request
for dismissal. During this protracted delay, our initial written
interrogatories remained unanswered and oral depositions could not be
scheduled. In short, the case was frozen.
How do you get a dilatory Judge to rule? There is no safe way. Among the
alternatives are a letter to the Judge (copy, of course, to opposing counsel);
a letter to the Judge's superiors (again with a copy to opposing counsel); a
letter to the Administrative Office of the Federal Courts (again with the
requisite copy), where it will be forwarded to the Chief Judge of the District
Court; or seeking a writ of mandamus from the Court of Appeals to compel a
ruling. All of these alternatives carry terrible risks of alienating the
person who will ultimately decide the case.
After waiting nearly a year for what should have been a simple and obvious
ruling in our favor, it was clear that some action had to be taken despite the risks.
We decided that the best course was a letter to the Administrator of the Federal
Courts pointing out the advanced age of the plaintiffs and the likelihood that this continuing
delay would deny them their day in Court. The Administrator forwarded our
letter to the Chief Judge of the District Court, and the CIA's Motion to
Dismiss was denied within a week. Now we could finally begin discovery.
But in important ways the damage had already been done. Our clients had
lived another year uncompensated and during that time we were unable to
advance their case. Most significantly, a key witness, who was to be our
first deponent, had died during the delay in ruling on the motion to dismiss.
During the late 1950s, James Monroe, a retired Air Force Colonel who had
studied brainwashed U.S. POW's in Korea, was the Executive Director of the
Society for the Investigation of Human Ecology, the CIA front in New York
which served as the conduit for Agency funding of the Montreal brainwashing
experiments. Now we would never know what Monroe could tell us as the
middleman in the CIA's dealings with McGill University and Dr. Cameron.
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1 682 F. Supp. 77 (D.D.C. 1988) (Civ. No. 80-3163)
I. HOW A PUBLIC INTEREST CASE BEGINS
II. INVESTIGATION OF THE LAW
2 28 U.S.C. 1346(b) grants U.S. District Courts
"exclusive jurisdiction of civil actions on claims against the United States, for money damages ...
for injury or loss of property, or personal injury or death caused by the negligent act or wrongful
act or omission of any employee of the Government."
The voluntary consent of the human subject is
essential. This means that the person involved should have the legal capacity to give consent;
should be so situated as to be able to exercise free power of choice, without the intervention of
any element of force, fraud, deceit, duress, over-reaching, or other ulterior form of constraint or
coercion; and should have sufficient knowledge and comprehension of the subject matter
involved as to enable him to make an understanding and enlightened decision.... The duty and
responsibility for ascertaining the quality of the consent rests upon each individual who initiates,
directs, or engages in the experiment. It is a personal duty and responsibility which may not be
delegated to another with impunity.
III. INVESTIGATION OF THE FACTS
i. The breaking down of ongoing patterns of the patient's
behavior by means of particularly intensive electroshocks
(depatterning).
Cameron also proposed to test drugs such as "LSD 25 and other similar agents"
in "depatterning" his patients and to experiment with new methods of
"inactivating" the patient during the repetition of verbal signals with other
drugs including curare, a drug used in surgery to temporarily paralyze a patient's
involuntary muscles.
ii. The intensive repetition (16 hours a day for 6 or
7 days) of the prearranged verbal signal.
iii. During this period of intensive repetition
the patient is kept in partial sensory isolation.
iv. Repression of the driving period is carried out by
putting the patient, after the conclusion of the
period, into continuous sleep for 7-10 days.
They hadinvestigated brainwashing among soldiers who had been in Korea. We in
Montreal started ... brainwashing patients instead of using drugs.
Unfortunately all of this was circumstantial. Because Cameron was dead, a
definitive answer to the question "what he knew and when he knew it" vis-à-vis
his CIA subsidies was likely impossible.
8 We later learned when deposing former CIA officer
Robert Lashbrook that each of these financial documents were "deliberately written so it would
reveal a minimum." Only 56 pages of even these highly sanitized financial records concerning
the Montreal project were provided to us by the CIA in discovery.
I am not happy with what seems to me a very casual attitude on the part of TSS
representatives to the way this experiment was conducted and to their remarks that this is just one
of the risks running with scientific experimentation. I do not eliminate the need for taking
risks, but I do believe, especially when human health or life is at stake, that at least the prudent
reasonable measures which can be taken to minimize risk must be taken and failure to do so is
culpable negligence. The actions of the various individuals concerned when the effects of
the
experiment on Dr. Olson became manifest also revealed the failure to observe normal and
reasonable precautions.... As a result a death occurred which might have been evented....
Dr. Gunn. From 1955 to approximately 1959 or 1960, there was at least once a year a
meeting that was held with the head of that office. But we never saw more than some very
general outline that there was such a research program. We never saw the direct material for a
program. We had offered to assist TSD by providing medical support and guidance,
but it was always "thank you very much."
Biomedical and Behavioral Research: Joint Hearings before the Subcomm. on Health of
the
Senate Comm. on Labor and Public Welfare and Subcomm. on Administation, Practice and
Procedure of the Senate Comm. on the Judiciary, 94th Cong., 1st Sess. 259 (1975).
Senator Kennedy. Were you satisfied that Dr. Gottlieb's group was adequately
protecting its subjects?
Dr. Gunn. From the standpoint of the Office of Medical Services, we could
not, no, because we did not know what they were doing.
Few people, even within the agencies, knew of the programs and there is no evidence
that either the executive branch or Congress were ever informed of them. The highly
compartmented nature of these programs may be explained in part by an observation
made by the CIA Inspector General that, "the knowledge that the Agency is engaging in
unethical and illicit activities would have serious repercussions...."
Final Report of the Senate Select Committee to Study Governmental Operations with respect to
Intelligence Activities, S. Rep. No. 94-755, 94th Cong., 2d Sess. Book I, at 385-86 (1976).
IV. DECIDING TO TAKE A PUBLIC INTEREST CASE
16 The recent spectacle of Col. Oliver North's covert
actions and the Reagan Administration's widespread disdain for this critical principle
underscores the need to bring some measure of accountability to those engaged in clandestine
activities.
V. EFFORT TO SETTLE BEFORE SUIT
VI. PREPARATION OF COMPLAINT
18 Of these hundreds of detailed allegations, only one was not
confirmed in subsequent discovery and that allegation had been made on "information and
belief"; we had guessed wrong about a name excised from a CIA document released to Marks.