Category: Vehicles

  • MIL-OSI Security: June Federal Grand Jury 2024-B Indictments Announced

    Source: United States Bureau of Alcohol Tobacco Firearms and Explosives (ATF)

    United States Attorney Clint Johnson today announced the results of the June Federal Grand Jury 2024-B Indictments.

    The following individuals have been charged with violations of United States law in indictments returned by the Grand Jury. The return of an indictment is a method of informing a defendant of alleged violations of federal law, which must be proven in a court of law beyond a reasonable doubt to overcome a defendant’s presumption of innocence.

    Alejandro Aldave. Possession of Cocaine with Intent to Distribute (Counts 1 and 2); Possession of 3,4-Dichloro-N-[2-(dimethylamino)cyclohexyl]-N-methylbenzamide (U47700”) with Intent to Distribute (Count 3); Maintaining a Drug-Involved Premises (Count 4); Possession of a Firearm in Furtherance of Drug Trafficking Crime (Count 5) (superseding). Aldave, 36, of Tulsa, is charged with two counts of possessing more than 500 grams of cocaine and one count of possessing 3,4-Dichloro-N-[2-(dimethylamino)cyclohexyl]-N-methylbenzamide (U47700”) with intent to distribute. He is additionally charged with maintaining a residence to distribute cocaine and 3,4-Dichloro-N-[2-(dimethylamino)cyclohexyl]-N-methylbenzamide (U47700”)Lastly, Aldave knowingly possessed a firearm in furtherance of drug trafficking. The Drug Enforcement Administration Tulsa Resident Office, the Oklahoma Highway Patrol, and the Tulsa Police Department are the investigative agencies. Assistant U.S. Attorney Adam D. McConney is prosecuting the case. 25-CR-173

    Roman Ramos Chacon. Unlawful Reentry of a Removed Alien. Chacon, 27, a Mexican national, is charged with unlawfully reentering the United States after having been previously removed in Oct. 2023. ICE Enforcement and Removal Operations Dallas Field Office is the investigative agency. Assistant U.S. Attorney Stephen Scaife is prosecuting the case. 25-CR-206

    Jesus Reyes Chi. Alien Unlawfully in the United States in Possession of Firearms. Reyes Chi, 36, a Mexican national, is charged with possessing firearms knowing he was an alien unlawfully living in the United States. ICE Enforcement and Removal Operations Dallas Field Office, the Bureau of Alcohol, Tobacco, Firearms and Explosives, and the Tulsa Police Department are the investigative agencies. Assistant U.S. Attorney Aaron Jolly is prosecuting the case. 25-CR-207

    Jose Guadalupe Peralez Diaz. Unlawful Reentry of a Removed Alien. Peralez Diaz, 43, a Mexican national, is charged with unlawfully reentering the United States after having been previously removed in Apr. 2022. ICE Enforcement and Removal Operations Dallas Field Office is the investigative agency. Assistant U.S. Attorney David Whipple is prosecuting the case. 
    25-CR-208

    Brandon Eugene Fanning. Felon in Possession of a Firearm and Ammunition. Fanning, 47, of Wyandotte, is charged with possessing a firearm and ammunition, knowing he was previously convicted of felonies. The Bureau of Alcohol, Tobacco, Firearms and Explosives and the Ottawa County Sheriff’s Office are the investigative agencies. Assistant U.S. Attorney Shakema Onias is prosecuting the case. 25-CR-219

    Cruz De Jesus Garcia-Dimas. Unlawful Reentry of a Removed Alien. Garcia-Dimas, 34, a Mexican national, is charged with unlawfully reentering the United States after having been previously removed in Mar. 2012. ICE Enforcement and Removal Operations Dallas Field Office is the investigative agency. Assistant U.S. Attorney Augustus Forster is prosecuting the case. 
    25-CR-209

    Jason Dewayne Glass; Justin Monrow Wilson. Aggravated Sexual Abuse by Force and Threat in Indian Country (Count 1); Assault with a Dangerous Weapon with Intent to do Bodily Harm in Indian Country (Counts 2 through 4); Carrying, Using, and Brandishing a Firearm During and in Relation to a Crime of Violence (Count 5); Possession of Methamphetamine with Intent to Distribute (Count 6); Carrying and Using a Firearm During and in Relation to a Drug Trafficking Crime (Count 7) Maintaining a Durg-Involved Premises (Count 8) Felon in Possession of Firearms and Ammunition (Counts 9 & 10). Glass, 41, of Locust Grove, is charged with engaging in a sexual act by force and threat. He is charged with intentionally assaulting a victim with a firearm, a propane torch, a knife, and brandishing a firearm during a crime of violence. Wilson, 49, of Locust Grove, and Glass are jointly charged with knowingly possessing methamphetamine with intent to distribute, possessing a firearm during and in relation to drug trafficking, and maintaining a drug house. Additionally, Glass and Willson are charged with possessing numerous firearms and ammunition, knowing they had previously been convicted of several felonies. The FBI, the Cherokee Nation Marshal Service, and the Oklahoma State Bureau of Investigation are the investigative agencies. Assistant U.S. Attorney Stacey Todd is prosecuting the case. 
    25-CR-220

    Kiaona Richelle Hill. Felon in Possession of a Firearm and Ammunition. Hill, 43, of Tulsa, is charged with possessing a firearm and ammunition, knowing she was previously convicted of felonies. The Bureau of Alcohol, Tobacco, Firearms and Explosives and the Tulsa Police Department are the investigative agencies. Assistant U.S. Attorneys Tara Heign and Eric O. Johnston are prosecuting the case. 25-CR-211

    Bradley Justin Kelley. Felon in Possession of a Firearm and Ammunition; Possession of Methamphetamine with Intent to Distribute; Maintaining a Drug-Involved Premises; Possession of a Firearm in Furtherance of a Drug Trafficking Crime; Eluding Police Officers in Indian Country. Kelley, 35, of Tulsa, is charged with possessing a firearm and ammunition, knowing he was previously convicted of felonies, and possessing a firearm while drug trafficking. Kelley is further charged with maintaining a residence for drug distribution and possessing more than 500 grams of methamphetamine with intent to distribute. Additionally, Kelley is charged with failing to bring his vehicle to a stop after being directed by a peace officer in an official vehicle with a red light and siren. The Drug Enforcement Administration Tulsa Resident Office and the Tulsa Police Department are the investigative agencies. Assistant U.S. Attorney David Nasar is prosecuting the case. 25-CR-203

    Jorge Luis Garcia-Lopez. Unlawful Reentry of a Removed Alien. Garcia-Lopez, 27, a Mexican national, is charged with unlawfully reentering the United States after having been previously removed in May 2021. ICE Enforcement and Removal Operations Dallas Field Office is the investigative agency. Assistant U.S. Attorney Stephen Flynn is prosecuting the case. 25-CR-210

    Arturo Hidalgo Luna. Unlawful Reentry of a Removed Alien. Luna, 59, a Mexican national, is charged with unlawfully reentering the United States after having been previously removed in Feb. 2003. ICE Enforcement and Removal Operations Dallas Field Office is the investigative agency. Assistant U.S. Attorney Christian Harris is prosecuting the case. 25-CR-212

    Jason Allen Lynn. Second Degree Murder in Indian Country. Lynn, 31, a transient and a member of the Choctaw Nation of Oklahoma, is charged with intending to kill Alan Underwood without premeditation and deliberation, but with intent to do serious bodily harm. The FBI and the Tulsa Police Department are the investigative agencies. Assistant U.S. Attorney Kenneth Elmore is prosecuting the case. 25-CR-204

    Cale Michael Mitchell Persinger. Assault of a Spouse by Strangling and Attempting to Strangle in Indian Country. Persinger, 25, of Tulsa and a member of the Osage Nation, is charged with assaulting his spouse by strangling her. The FBI and the Tulsa Police Department are the investigative agencies. Assistant U.S. Attorney Melissa Weems is prosecuting the case. 25-CR-221

    Austin Dewayne Nation. Use of a Communication Facility in Committing, Causing, and Facilitating the Commission of a Drug Trafficking Felony; Attempted Possession of Methamphetamine with Intent to Distribute; Felon in Possession of Firearms; Possession of Firearms in Furtherance of a Drug Trafficking Crime. Nation, 29, of Kellyville, is charged with attempting to possess and distribute methamphetamine received through the mail. He is further charged with attempting to possess methamphetamine with the intent to distribute. Additionally, Nation is charged with possessing a firearm and ammunition, knowing he was previously convicted of felonies and possessing a firearm while attempting to traffic drugs. The Drug Enforcement Administration Tulsa Resident Office and the USPS-OIG are the investigative agencies. Assistant U.S. Attorney Tyson McCoy is prosecuting the case. 25-CR-213

    Bryan Omar Orozxo-Cahuex. Unlawful Reentry of a Removed Alien. Orozxo-Cahuex, 30, a Guatemalan national, is charged with unlawfully reentering the United States after having been previously removed in Dec. 2017. ICE Enforcement and Removal Operations Dallas Field Office is the investigative agency. Assistant U.S. Attorney Aaron Jolly is prosecuting the case. 25-CR-214

    Jose Pacheco-Quezada. Unlawful Reentry of a Removed Alien. Pacheco-Quezada, 24, a Mexican national, is charged with unlawfully reentering the United States after having been previously removed in Apr. 2019. ICE Enforcement and Removal Operations Dallas Field Office is the investigative agency. Assistant U.S. Attorney Stephanie Ihler is prosecuting the case. 
    25-CR-215

    Silvia Nicole Ramos-Ramos. Unlawful Reentry of a Removed Alien. Ramos-Ramos, 23, a Honduran national, is charged with unlawfully reentering the United States after having been previously removed in Jun. 2023. ICE Enforcement and Removal Operations Dallas Field Office is the investigative agency. Assistant U.S. Attorney Adam Bailey is prosecuting the case. 25-CR-216

    Marissa Ayde Ruiz. Possession of Cocaine with Intent to Distribute; Carrying a Firearm in Relation to a Drug Trafficking Crime. Ruiz, 33, of Amarillo, Texas, is charged with knowingly possessing more than 500 grams of cocaine with intent to distribute and carrying a firearm while drug trafficking. The Homeland Security Investigations and the Oklahoma Highway Patrol are the investigative agencies. Assistant U.S. Attorney Adam Bailey is prosecuting the case. 25-CR-205

    Allan Segovia. Possession of Methamphetamine with Intent to Distribute. Segovia, 42, of Tulsa, is charged with knowingly possessing methamphetamine with intent to distribute. The Drug Enforcement Administration Tulsa Resident Office, the Tulsa Police Department, and the Bureau of Indian Affairs are the investigative agencies. Assistant U.S. Attorney Attila Bogdan is prosecuting the case. 25-CR-222

    MIL Security OSI

  • MIL-OSI Security: Indianapolis Man Sentenced After Being Caught with Three Firearms and Two Machine Gun Conversion Devices While Out on Bond

    Source: United States Bureau of Alcohol Tobacco Firearms and Explosives (ATF)

    INDIANAPOLIS— Q’Tez Laquan Ginn, 19, of Indianapolis, has been sentenced to 61 months in federal prison followed by three years of supervised release after pleading guilty to possession of a machine gun.

    Machine gun conversion devices, sometimes called “Glock switches” or “auto-sears,” are devices that convert ordinary semiautomatic firearms into fully automatic machine guns. Machine gun conversion devices are themselves considered machine guns under federal law, even when not installed, and are illegal for individuals to possess or sell.

    According to court documents, in August of 2024, Ginn was seen carrying an AR style pistol in a parking lot where suspected narcotics trafficking was taking place.  Later that day, IMPD officers found Ginn in a vehicle with marijuana and a pistol. Ginn was charged with felony dealing marijuana and taken into custody. At the time of this arrest, Ginn was out on bond for a felony Resisting Law Enforcement charge in Marion County.

    While in custody, Ginn made phone calls to family members, directing them to move and store his firearms and controlled substances at a home known to the family. Ginn continued to exert control over the items while he was incarcerated.

    In September of 2024, law enforcement officers conducted a judicially authorized search at the home and located a black duffel bag that contained a Glock handgun, two AR-style pistols, and multiple magazines, including two loaded high-capacity drum-style magazines.  The Glock handgun and one of the AR-style pistols were found with machine gun conversion devices installed on them.

    “Machine gun conversion devices only exacerbate the already dire situation of individuals using firearms for violent purposes. In a city already overwhelmed by gun violence, these devices contribute to further instability for community members and law enforcement,” said John E. Childress, Acting United States Attorney for the Southern District of Indiana. “I commend the IMPD and ATF for their steadfast dedication to addressing gun violence in our community.”

    The Bureau of Alcohol, Tobacco, Firearms and Explosives and IMPD investigated this case. The sentence was imposed by Chief U.S. District Judge Tanya Walton Pratt.

    Acting U.S. Attorney Childress thanked Assistant U.S. Attorney Pamela Domash, who prosecuted this case.

    ###

    MIL Security OSI

  • MIL-OSI Economics: Panels established to review Canadian surtaxes, Chinese duties on farm and fish products

    Source: World Trade Organization

    DS627: Canada — Measures on Certain Products of Chinese Origin

    China submitted its second request for the establishment of a dispute panel with respect to the surtax measures imposed by Canada on certain products of Chinese origin, including electric vehicles and steel and aluminium products. Canada had said it was not ready to accept China’s first request for the panel at a DSB meeting on 23 May.

    China said it considers Canada’s measures inconsistent with provisions of the General Agreement on Tariffs and Trade (GATT). It added that it was open to constructive discussions and remains committed to resolving the dispute.

    It is unfortunate that China has included in its panel request claims related to certain solar products, critical minerals, semiconductors, permanent magnets and natural graphite imported from China, Canada said, noting that there are no Canadian surtax measures on these products. China has therefore failed to identify the specific measures at issue as required under the Dispute Settlement Understanding (DSU), Canada said.

    Canada said its surtax measures on electric vehicles and steel and aluminium products are justified under the GATT and that it was fully prepared to defend these measures. Canada remains committed to maintaining constructive dialogue with China even as the dispute moves to the panel stage, it added.

    The United States said that China responded to the surtaxes by imposing countermeasures in the form of additional duties on Canadian agricultural and fishery products.

    The DSB agreed to the establishment of the panel. 

    Australia, the European Union, India, Japan, the Republic of Korea, Malaysia, Norway, the Russian Federation, Singapore, Switzerland, Türkiye, the United Kingdom, Ukraine and the United States reserved their third-party rights to participate in the proceedings.

    DS636: China — Additional Import Duties on Certain Agricultural and Fishery Products from Canada

    Canada submitted its second request for the establishment of a dispute panel with respect to the additional import duties imposed by China on certain Canadian agricultural and fisheries products. China had said it was not ready to accept Canada’s first request for the panel at a special DSB meeting on 5 June.

    Canada said the import duties imposed by China represented a unilateral determination and trade countermeasures contrary to WTO rules. Canada moreover said that as the dispute concerns perishable goods, the case should be treated as urgent as provided by the DSU. Canada remains committed to maintaining constructive dialogue with China even as the dispute moves to the panel stage, it added.

    China replied that it regretted Canada’s decision to seek the establishment of a panel and opposed Canada’s claim that DSU provisions on urgency apply to this case. China said it will defend itself in the proceedings and is confident that its measures will be found consistent with WTO rules. It added that it remained open to engagement with Canada.

    The United States reiterated that the measures at issue are countermeasures imposed by China in response to Canadian measures China is challenging in DS627.

    The DSB agreed to the establishment of the panel. 

    Australia, the European Union, India, Japan, Norway, the Russian Federation, Singapore, Switzerland, Türkiye, the United Kingdom, the United States and Viet Nam reserved their third-party rights to participate in the proceedings.

    Appellate Body appointments

    Colombia, speaking on behalf of 130 members, introduced for the 88th time the group’s proposal to start the selection processes for filling vacancies on the Appellate Body. The extensive number of members submitting the proposal reflects a common interest in the functioning of the Appellate Body and, more generally, in the functioning of the WTO’s dispute settlement system, Colombia said.

    The United States said it does not support the proposed decision and noted its longstanding concerns with WTO dispute settlement that have persisted across US administrations. The United States emphasized that the dispute settlement process was meant to help members resolve specific disputes without creating new rules that alter rights and obligations under the covered WTO agreements. The US reiterated that fundamental reform of WTO dispute settlement is needed and that it will reflect on the extent to which it is possible to achieve such a reformed WTO dispute settlement system.

    More than 20 members took the floor to comment, one speaking on behalf of a group of members. Several members urged others to consider joining the Multi-party interim appeal arrangement (MPIA), a contingent measure to safeguard the right to appeal in the absence of a functioning Appellate Body. 

    Colombia, on behalf of the 130 members, said it regretted that for the 88th occasion members have not been able to launch the selection processes. Ongoing conversations about reform of the dispute settlement system should not prevent the Appellate Body from continuing to operate fully, and members shall comply with their obligation under the Dispute Settlement Understanding to fill the vacancies as they arise, Colombia said for the group.

    Dispute settlement reform

    The DSB Chair, Ambassador Clare Kelly (New Zealand), said that the General Council (GC) Chair Ambassador Saqer Abdullah Almoqbel (Kingdom of Saudi Arabia) had informed members in a 6 June communication that, regarding dispute settlement reform, his consultations have confirmed readiness to preserve and build on the progress already made, and to advance only when the time is ripe to make meaningful progress on key unresolved issues with the engagement of all delegations.

    The GC Chair also indicated that both the DSB Chair and the GC Chair will be closely monitoring the situation and will revert to members at the appropriate time. The DSB chair added that her door is open to delegations wishing to further discuss the matter.

    Surveillance of implementation

    The United States presented status reports with regard to DS184, “US — Anti-Dumping Measures on Certain Hot-Rolled Steel Products from Japan”,  DS160, “United States — Section 110(5) of US Copyright Act”, DS464, “United States — Anti-Dumping and Countervailing Measures on Large Residential Washers from Korea”, and DS471, “United States — Certain Methodologies and their Application to Anti-Dumping Proceedings Involving China.”

    The European Union presented a status report with regard to DS291, “EC — Measures Affecting the Approval and Marketing of Biotech Products.”

    Indonesia presented its status reports in DS477 and DS478, “Indonesia — Importation of Horticultural Products, Animals and Animal Products.” 

    Next meeting

    The next regular DSB meeting will take place on 25 July 2025.

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    MIL OSI Economics

  • MIL-OSI USA: In Response to L.A. Riots, Tillis Reintroduces Bill to Make Blocking Public Roads a Federal Crime

    US Senate News:

    Source: United States Senator for North Carolina Thom Tillis

    WASHINGTON, D.C. – Senators Thom Tillis (R-NC), Marsha Blackburn (R-TN), Tommy Tuberville (R-AL), Ted Budd (R-NC), and Bill Cassidy (R-LA) recently reintroduced the Safe and Open Streets Act, legislation that would make it a federal crime to purposely obstruct, delay, or affect commerce by blocking a public road or highway. 

    The Safe and Open Streets Act is in direct response to radical tactics of anti-ICE protestors who have intentionally blocked roads and highways across the country, including in Los Angeles, stranding drivers and compromising the free flow of commerce. The Safe and Open Streets Act would penalize lawbreakers through fines or up to five years of imprisonment.

    “The emerging tactic of radical protestors blocking roads and stopping commerce is not only obnoxious to innocent commuters, but it’s also dangerous and will eventually get people killed. It needs to be a crime throughout the country,” said Senator Tillis. “I’m proud to introduce the Safe and Open Streets Act so that radical activists who resort to these reckless and dangerous tactics are held accountable under the full weight of the law for endangering public safety.” 

    “Blocking major roads to stop traffic flows is nothing short of lawlessness that should not be tolerated,” said Senator Blackburn. “These activists are not only intentionally creating a dangerous situation for themselves, but perhaps for a citizen who is awaiting an ambulance or a hard worker who will lose their job for being late. The Safe and Open Streets Act is critical to stopping this reckless behavior, particularly by Hamas sympathizers, in our U.S. cities.”

    “For nearly a week, we watched as domestic terrorists assaulted ICE and law enforcement officers, set fire to cop cars, and blocked the streets of Los Angeles—all while Gavin Newsom and Karen Bass sat on their tails and did nothing,” said Senator Tuberville. “This is a prime example of what happens when lawlessness goes unpunished. The First Amendment gives us the right to freedom of assembly, but it doesn’t give the right to block our streets and put American lives at risk. I’m proud to join the Safe and Open Streets Act that penalizes and holds radical protestors accountable who put citizens in danger by purposely blocking our roadways.”

    “Protestors who willfully block traffic pose a serious threat to public safety by impacting the flow of emergency vehicles and personnel,” said Senator Budd. “They can also significantly inconvenience Americans trying to get to and from work, school, or important personal business. The First Amendment protects the right to assemble and protest peacefully, but it does not permit such behavior. I’m proud to join Sen. Tillis and our colleagues in ensuring America’s streets are kept clear for everyone.”

    “In America, people have the right to peacefully gather and make their voices heard. They do not have the right to obstruct roads, riot, and undermine people’s livelihoods,” said Dr. Cassidy. 

    Full text of the bill is available HERE.  

    MIL OSI USA News

  • MIL-OSI USA: Governor Newsom honors fallen Los Angeles Police Sergeant

    Source: US State of California 2

    Jun 23, 2025

    SACRAMENTO – Governor Gavin Newsom issued the following statement regarding the death of Los Angeles Police Department (LAPD) Sergeant Shiou Deng:

    “Jennifer and I are heartbroken by the loss of Sergeant Deng, who dedicated more than 26 years to serving the Los Angeles community with pride and purpose. We join his family, friends, and fellow officers in mourning, and in honoring his memory. May his service never be forgotten.” 

    On June 23, LAPD Sergeant Deng was fatally injured while assisting at a crash on southbound I-405 near Getty Center Drive. After stopping to help, he was struck by another vehicle that collided with the original crash. Despite lifesaving efforts by the California Highway Patrol and the Los Angeles Fire Department, Sergeant Deng succumbed to his injuries. 

    Sergeant Deng, 53, has been with the LAPD for over 26 years. During his career, he spent 17 years in the Mental Evaluation Unit, a specialized team within the LAPD that handles calls involving individuals experiencing mental health crises. Two years ago, he was promoted to sergeant and assigned to the West Los Angeles Division.

    He is survived by his wife and parents. 

    In honor of Sergeant Deng, flags at the State Capitol and Capitol Annex Swing Space will be flown at half-staff.

    Press releases, Public safety

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    MIL OSI USA News

  • MIL-OSI Security: Two-Hundred-Fifty-One New Immigration Cases Filed in Western District of Texas, Fewest Since March

    Source: US FBI

    SAN ANTONIO –United States Attorney Justin R. Simmons for the Western District of Texas announced today, that federal prosecutors in the district filed 251 new immigration and immigration-related criminal cases from June 13 through 19.

    Among the new cases, U.S. citizens Derrick Eugene Huntington, 39, and Michael Jerear Smith Jr., 39, of Arlington, along with Christina Elena Duggan-Rankin, 42, of Huffman, were arrested at an immigration checkpoint near Carrizo Springs after they were allegedly discovered conspiring to transport four illegal aliens concealed in two separate vehicles. A criminal complaint alleges that Huntington and Smith occupied a sedan carrying an illegal alien in the trunk, while Duggan-Rankin drove an SUV with one illegal alien hidden on the floorboard in the passenger compartment and two others in the rear of the vehicle. The complaint further alleges that the three Americans admitted to conspiring with a facilitator to transport the aliens to a location near San Antonio for monetary gain, and that cell phone evidence revealed photos of the smuggled aliens and communications with the facilitator, along with a pin-drop of the pick-up location. Huntington, Smith and Duggan-Rankin are each charged with bringing in and harboring aliens.

    In a separate case, U.S. citizens Raul Hilario Alvarado, 24, and Timothey Nathan Easterling, 40, were arrested during a vehicle stop on Highway 85 near Big Wells for allegedly transporting two illegal aliens. During an immigration inspection, a criminal complaint alleges, one backseat passenger was determined to be illegally present in the U.S., while a second illegal alien was found in the trunk of the vehicle. According to the criminal complaint, both defendants admitted to conspiring with a facilitator and that they were going to be paid up to $2,500 for transporting the illegal aliens.

    Mexican nationals Israel Moreno-Salgado, 38, and Jose Hector Ramirez Roman, 43, were arrested near Maverick and charged with illegal re-entry felonies. Moreno-Salgado has been previously removed from the U.S. eight times, the most recent being April 1. Ramirez Roman has been removed from the U.S. five times, the latest being Jan. 22. Honduran national Delmar Sanchez-Zuniga, 42, was also arrested near Maverick for illegal re-entry. The three-time felon, with convictions for possession of a controlled substance, possession of a firearm by a felon, and a previous illegal re-entry conviction, has been deported twice before, the last being Dec. 13, 2024.

    Mexican national Jose Rodolfo Cruz-Lopez was arrested and charged with illegal re-entry in El Paso. Court documents reveal that, in May 2023, Cruz-Lopez was convicted of three felonies related to child abduction in Elizabethtown, North Carolina. He was removed from the U.S. to Mexico in October 2023. Also a Mexican national, Edwin Enrique Carpio-Lopez was arrested for illegal re-entry, having been removed from the U.S. five times, the last being on Feb. 11. Additionally, immigration records show Carpio-Lopez has been granted four voluntary returns and has been expelled 17 times under Title 42.

    On June 14, U.S. Border Patrol agents in El Paso attempted a traffic stop after they allegedly observed multiple individuals enter a pick-up truck near the border. A criminal complaint alleges that the driver of the truck, identified as Mexican national Ruben Alfredo Carrillo-Castruita¸ fled at a high rate of speed in a reckless manner, running several red lights before exiting the vehicle at an intersection and fleeing on foot. An assisting Texas Department of Public Safety trooper was able to apprehend Carrillo-Castruita, while the two passengers who fled from the pick-up were located by Border Patrol agents. The complaint alleges that Carrillo-Castruita admitted to being hired by a smuggler and was going to be paid $300 per illegal alien. The defendant was previously convicted for transporting illegal aliens in New Mexico in May 2023.

    Heriberto Betancourt-Morales, a Mexican national, was charged in a criminal complaint for conspiracy to bring in aliens as the result of a U.S. Border Patrol investigation that identified him as a person involved in human smuggling. The complaint alleges that Betancourt-Morales was previously removed from El Paso to Ciudad Juarez on Sept. 21, 2024, and had transported multiple illegal aliens in May 2025. In one victim account, Betancourt-Morales allegedly carried a makeshift ladder for an alien to climb the border fence and pushed them over the fence causing the alien to fall and sustain injuries. Another victim cited in the complaint alleged that Betancourt-Morales and other smugglers transported her to multiple stash houses in Mexico prior to making illegal entry using a makeshift ladder to climb the fence. A third victim also identified Betancourt-Morales as an individual who conducted random checkups and gave orders at a stash house in Ciudad Juarez, where she was harbored with more than 10 other subjects.

    These cases were referred or supported by federal law enforcement partners, including Homeland Security Investigations (HSI), Immigration and Customs Enforcement’s Enforcement and Removal Operations (ICE ERO), U.S. Border Patrol, the Drug Enforcement Administration (DEA), the Federal Bureau of Investigation (FBI), the U.S. Marshals Service (USMS), and the Bureau of Alcohol, Tobacco, Firearms and Explosives (ATF), with additional assistance from state and local law enforcement partners.

    The U.S. Attorney’s Office for the Western District of Texas comprises 68 counties located in the central and western areas of Texas, encompasses nearly 93,000 square miles and an estimated population of 7.6 million people. The district includes three of the five largest cities in Texas—San Antonio, Austin and El Paso—and shares 660 miles of common border with the Republic of Mexico.

    These cases are part of Operation Take Back America, a nationwide initiative that marshals the full resources of the Department of Justice to repel the invasion of illegal immigration, achieve the total elimination of cartels and transnational criminal organizations (TCOs), and protect our communities from the perpetrators of violent crime. Operation Take Back America streamlines efforts and resources from the Department’s Organized Crime Drug Enforcement Task Forces (OCDETFs) and Project Safe Neighborhood (PSN).

    Indictments and criminal complaints are merely allegations and all defendants are presumed innocent until proven guilty beyond a reasonable doubt in a court of law.

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    MIL Security OSI

  • MIL-OSI Canada: Planning summer travels? The CBSA gives tips for a smooth trip into Canada

    Source: Government of Canada News (2)

    June 23, 2025
    Ottawa, Ontario

    The Canada Border Services Agency (CBSA) reminds travellers to plan ahead when crossing the border this summer.

    Every day, the CBSA works hard to protect Canadians, support the economy and ensure the safe and efficient movement of people and goods across the border. In 2024, we welcomed over 93.4 million travellers, stopped over 34,400 kg of illegal drugs from entering our communities and kept more than 17,200 weapons and 930 firearms off our streets.

    The CBSA plans and prepares for long weekends and summer travel. We monitor traveller volumes and prioritize efficient processing of travellers at land ports of entry and at international airports, without compromising safety and security. If you encounter wait times at the border, it is likely because we are working behind the scenes to conduct examinations, seize drugs, firearms or stolen vehicles, or prevent high-risk individuals from entering Canada.

    Here are some travel tips to help you plan for your trip:

    • Have your travel documents  readily available to present to an officer. This will speed up processing times at the border.
    • Be prepared to declare. Declare everything you have with you upon entry into Canada. If you arrive by land, you are responsible for everything inside your vehicle.
      • Goods purchased abroad: If you are a resident of Canada, personal exemptions allow you to bring goods, including alcohol and tobacco up to a certain value, back to Canada without paying regular duty and taxes. Make sure you know the value of goods you are bringing back in Canadian dollars and have your receipts available for the officer.
      • Surtaxes on certain U.S. goods. If you’ve purchased goods in the U.S. and are bringing them into Canada, you may have to pay a 25% surtax in addition to regular duties and taxes. For residents of Canada, this surtax applies only to goods exceeding your personal exemptions limit. Consult the lists of products surtaxed: complete lists of goods subject to the surtax. Visit the CBSA website for more details on how these surtaxes apply at the border
    • Flying into Canada? Use Advance Declaration and make your customs declaration up to 72 hours in advance of your arrival into Canada at participating airports.
    • Driving into Canada? Check border wait times to plan your route.
      • Early mornings are the best time to cross the border to avoid wait times.
      • The Monday of holiday long weekends tend to be the busiest.
      • Consider an alternative port of entry with shorter wait times or less traffic.
      • Check the port of entry’s hours of operation on the official CBSA Directory of Offices and Services.
      • If you are using a GPS application (such as Google Maps, Apple Maps or Waze) to direct you to a port of entry, consider checking different navigation options (such as fastest and shortest routes) to determine the preferred route of travel.
    • Entering Canada by boat? If you are planning to travel in or near Canadian waters, or enter Canada by boat, you should review Reporting requirements for private boat operators before making travel plans. All travellers entering Canada by boat must report to the CBSA without delay.
    • When travelling with children who are not your own or for whom you don’t have full legal custody, we recommend you have a consent letter from the parent or legal guardian authorizing you to travel with the child. We are always watching for missing children, and in the absence of the letter, officers may ask additional questions.
    • Bringing fireworks into Canada? Consult Importing, exporting and transporting fireworks to ensure that the ones you are bringing in are authorized.
    • If you are planning on camping in Canada, note that bringing in firewood from outside of Canada is not permitted as invasive insects and diseases may be present within the wood. Help protect our forests; buy local and burn local.
    • Know before you go: review the restricted and prohibited goods to avoid the possibility of penalties, including fines, seizure or prosecution. Make sure you have the information you need before attempting to bring items into Canada.
    • Leave behind: firearms, weapons, narcotics, and cannabis.

    We encourage you to read and follow all of our travel tips before arriving at the border.

    Not sure? Ask a CBSA officer. The best way to save time is to be open and honest with the border services officer. If you are not sure about what to declare, don’t hesitate to ask!

    For more information, visit the CBSA website or call us at 1-800-461-9999.

    MIL OSI Canada News

  • MIL-OSI USA: MTA to Purchase More Than 300 Modern Commuter Railcars

    Source: US State of New York

    overnor Kathy Hochul today announced that the Metropolitan Transportation Authority (MTA) Finance Committee approved the purchase of M-9A Passenger Railcars today, June 23. This order includes 316 M-9A cars — 160 cars will be allocated to the Long Island Rail Road’s (LIRR) fleet and 156 for Metro-North Railroad.

    “New Yorkers deserve a fast, reliable and comfortable transit system. We are delivering that today through the purchase of modern railcars for the LIRR and Metro-North fleets,” Governor Hochul said. “The commuter rails are a lifeline for riders in one of the world’s largest and busiest transit systems — this is how we continue to achieve record on-time performance”

    MTA Chair and CEO Janno Lieber said, “We’re looking to buy almost 2,000 rail cars as part of the new Capital Plan — $10.9 billion worth — and this 300+ order gets us off to a strong start. I want to thank Governor Hochul for her work to secure the funding that made it possible.”

    MTA Chief of Rolling Stock Program Tim Mulligan said, “The MTA is the biggest railcar purchaser in North America, and we are using innovative methods to bring down costs and delivery time. By building on the reliable design of previous cars, we were able to work with the contractor to get things done better, faster, and cheaper.”

    Long Island Rail Road President Rob Free said, “Thanks to record on-time performance and increased service with the opening of Grand Central Madison, LIRR ridership continues to explode. Our customers deserve modern railcars which will result in even more reliable service and improve the customer experience for years to come.”

    Metro-North Railroad President Justin Vonashek said, I’m excited for our customers to experience even more reliable service when the M-9A railcars join our fleet. We are committed to providing the best customer experience every day on every ride on Metro-North.”

    Pilot cars will be delivered by Alstom Transportation in 2029 and first enter LIRR passenger service in 2030. All cars will be delivered by 2032. The M-9A cars are needed to replace Metro-North’s M-3 cars that are beyond their service life, and allowing the LIRR to retire its M-3 cars whose service has been extended to support service with the opening of Grand Central Madison. These railcars will operate in LIRR electric territories and on the Metro-North Hudson and Harlem lines.

    This approval builds on the MTA’s ongoing efforts to modernize its entire fleet of rolling stock. The M-9A cars feature glass windows, USB charging ports and accessibility improvements, including automatic doors for bathrooms.

    MIL OSI USA News

  • MIL-OSI USA: Veterans Museum opens “Hoofing It” military footwear seasonal exhibit

    Source: US State of Wyoming

    Wyoming National Guard

    By Joseph Coslett

    Casper, WY – The Wyoming Veterans Memorial Museum or WVMM is excited to open a new seasonal exhibit for the summer, “Hoofing It” explores marching and military footwear from the 1890s to the present day in Casper, Wyoming, June 12, 2025.

    Museum staff drew on photographs, objects and footwear from several collections for the exhibit. “Hoofing It” is open to the public in the museum’s Kading Gallery throughout the summer.

    “Militaries around the globe have used marching for millennia. It is an effective way to move troops quickly, especially before the introduction of motorized vehicles,” said John Woodward, Wyoming Veterans Military Museum director. “It remains a common part of military life today. Military footwear is also a common part of military life. It has evolved to meet the needs of different combat environments and improvements in materials.”

    “Hoofing It” is part of the Veterans’ Museum’s seasonal exhibit series. These exhibits explore various military history and veteran topics. They enable staff to share a greater portion of the museum’s collection with the public. “Hoofing It” is open to the public for the next several months. Admission is always free to the Veterans Museum.

     About the Wyoming Veterans Memorial Museum:

    Founded in 1998, the Wyoming Veterans Memorial Museum preserves Wyoming military and veterans’ history. It shares the service and accomplishments of Wyomingites who have served in the United States Armed Forces from the Spanish-American War to the present day. It also preserves the service of the World War II-era Casper Army Air Base. The WVMM is part of the Wyoming Military Department.

    Contact:John Woodward, Director, john.woodward@wyo.govWyoming Veterans Memorial Museum, 3740 Jourgensen Ave. Casper, WY 82601 (307) 472-1857

    The Wyoming Veterans Memorial Museum opens a new seasonal exhibit for the summer. “Hoofing It” explores marching and military footwear from the 1890s to the present day. Museum staff drew on photographs, objects, and footwear from several collections for the exhibit. “Hoofing It” is open to the public in the museum’s Kading Gallery throughout the summer. (U.S. Army National Guard photos by John Woodward)
    The Wyoming Veterans Memorial Museum opens a new seasonal exhibit for the summer. “Hoofing It” explores marching and military footwear from the 1890s to the present day. Museum staff drew on photographs, objects, and footwear from several collections for the exhibit. “Hoofing It” is open to the public in the museum’s Kading Gallery throughout the summer. (U.S. Army National Guard photos by John Woodward)
    The Wyoming Veterans Memorial Museum opens a new seasonal exhibit for the summer. “Hoofing It” explores marching and military footwear from the 1890s to the present day. Museum staff drew on photographs, objects, and footwear from several collections for the exhibit. “Hoofing It” is open to the public in the museum’s Kading Gallery throughout the summer. (U.S. Army National Guard photos by John Woodward)
    The Wyoming Veterans Memorial Museum opens a new seasonal exhibit for the summer. “Hoofing It” explores marching and military footwear from the 1890s to the present day. Museum staff drew on photographs, objects, and footwear from several collections for the exhibit. “Hoofing It” is open to the public in the museum’s Kading Gallery throughout the summer. (U.S. Army National Guard photos by John Woodward)

    MIL OSI USA News

  • MIL-OSI USA: Wyoming National Guard Dedicates New Field Maintenance Shop in Sheridan

    Source: US State of Wyoming

    SHERIDAN, Wyo. – The Wyoming Army National Guard will host a building dedication ceremony for its new Field Maintenance Shop in Sheridan on Tuesday, June 24, at 11 a.m. at 3239 Coffeen Ave.

    The ceremony will be attended by senior leaders, including Maj. Gen. Gregory Porter, Wyoming’s Adjutant General; Mr. Douglas Shope, Deputy Director, State of Wyoming; Col. James Ezell, U.S. Property and Fiscal Officer; and Lt. Col. William Lindmier, Deputy Construction and Facility Management Officer.

    The new 27,185-square-foot facility, constructed on over five acres, supports both organizational and support-level maintenance for the Wyoming Army National Guard’s combat and tactical vehicle fleet. The shop includes five service bays: A warm-up and inspection bay, a heated wash bay, a welding bay, and two standard maintenance bays.

    The $17.9 million project was managed by the Wyoming Construction and Facilities Management Office. Key contributors included Mr. Brett Bautz, P.E., Design and Project Management Section Chief; Mr. Paul Newman, Project Inspector with Design Build Solutions, LLC; design-builder Hensel Phelps; Jacobs Engineering as the architect-of-record; and Design Build Solutions as the project consultant.

    The event will be emceed by Col. James Ezell and includes a ribbon-cutting ceremony at 11:30 a.m. followed by self-guided tours until 1:30 p.m. Doors open to the public at 10:30 a.m.

    Media Contact:
    Wyoming Military Department Public Affairs
    wyoguard@gmail.mil or Joseph.a.coslett.civ@army.mil
     307-772-5040

    Sheridan Mayor Rich Bridger speaks at a ground breaking ceremony in Sheridan, Wyo., on May 2, 2023. The ceremony marks the construction of a new vehicle maintenance shop that will be housed right next to the existing armory. (U.S. Army National Guard photo by Sgt. Kristina Kranz)
    Distinguished guests, military officials, and community leaders attend a ground breaking ceremony in Sheridan, Wyo. on May 2, 2023. The ceremony marks the construction of a new vehicle maintenance shop that will be housed right next to the existing armory. (U.S. Army National Guard photo by Sgt. Kristina Kranz)
    Sheridan community leaders and officials from the Wyoming Army National Guard pose for the symbolic groundbreaking of a new facility in Sheridan Wyo., on May 2, 2023. The ceremony marks the construction of a new vehicle maintenance shop that will be housed right next to the existing armory. (U.S. Army National Guard photo by Sgt. Kristina Kranz)

    MIL OSI USA News

  • MIL-OSI Banking: AI at Work: Harvard’s Karim Lakhani on how AI is shifting from tool to ‘teammate’

    Source: Microsoft

    Headline: AI at Work: Harvard’s Karim Lakhani on how AI is shifting from tool to ‘teammate’

    Harvard Business School Professor Karim Lakhani doesn’t just have theories about AI transforming work—he studies how it’s actually happening.  

    In a groundbreaking paper called “The Cybernetic Teammate,” he and his co-authors showed how individuals working with AI can be as effective as entire teams working without it. He is also rapidly evolving Harvard’s MBA program for the age of AI, which includes the launch of a new required course called Data Science and AI for Leaders. 

    When I hosted Karim for a conversation at the Microsoft 365 Community Conference last month in Las Vegas, he raised a provocative question: will AI drive the marginal cost of expertise down toward zero? As AI democratizes access to specialized knowledge across domains, it follows that expertise will shift from being rare and costly to abundant and accessible. “This will dramatically impact the nature of our organizations and strategy,” he told me, “because what are companies but bundles of expertise? And all of us invest to become deep experts in a domain.”  

    Here’s our conversation about organizations and leadership in the AI era (edited and condensed for clarity). 

    It’s a pleasure to talk with one of my friends about where AI is going and what it means for leaders. Karim, I want to start with that “Cybernetic Teammate” study, done with Procter & Gamble. Could you give us the backstory?  

    KARIM LAKHANI: The institute I run at Harvard, the Digital Data Design Institute, is looking at generative AI like a new “drug” in the economy. We don’t know its efficacy, the right doses, the side effects, or the right diet to follow while using it. We don’t know how actual work will transform with the introduction of this technology, so we run the equivalent of “clinical trials”—randomized controlled trials. 

    Victor Aguilar, head of research and development for Procter & Gamble, wanted to understand how generative AI could radically transform the innovation process at P&G. In innovation, there’s often this interaction between R&D and commercial people: R&D comes up with the technical ideas, but the commercial team asks, “is there a market for this or not?” The best practice is to have them collaborate in a team.  

    We designed this study of 758 professionals as what we call a two-by-two design: We had commercial and marketing folks work on challenges given by their business leaders—one group working without AI and one with AI. We also tested individuals under the same conditions. Then we randomized who was in which treatment and had them solve their problems with those tools.  

    Let’s talk about the results. This is the study that showed an individual equipped with AI could perform at least as well as—and sometimes outperform—entire teams of people without AI. It’s a landmark finding. Can you tell us about that? 

    LAKHANI: What does a teammate provide? They provide you with functional expertise, help you with coordination, and give you a sense of camaraderie. We measured these three elements remotely using Microsoft Teams as the platform.  

    The first finding was that when you look at pure performance, the quality of the ideas being created, individuals with AI were as good as a team without AI—and often as good as a team with AI. That was remarkable from our perspective. 

    The other interesting thing we saw was that individuals without AI tended to veer toward their functional expertise: marketing people gave marketing-based solutions, R&D people offered R&D-based solutions. But individuals with AI produced balanced solutions—comparable to the balanced solutions we saw from teams. That was a big moment for us. 

    Were there any other surprises in how people used AI, reframed their work, or wanted to use it going forward? 

    LAKHANI: We had done various studies before showing the productivity effects of AI, in terms of both quality and time. The time compression was actually quite remarkable. Teams normally experience a time penalty [because coordination takes time]. But with AI, that time penalty disappeared.  
     
    That was a big surprise. Another surprise was how people felt while using AI. They reported more positive emotions and fewer negative ones as they were doing the work. 

    The big aha for us was that AI shifted from being a tool to a teammate. This is unprecedented. We now have intelligence and expertise on tap. 

    I imagine what’s on people’s minds is, “I get it. I understand where the technology is…but what does this mean for me? What do I do as a leader?” What advice might you have for the group? 

    LAKHANI: Do you remember debates about whether we should have Wi-Fi in our offices? I’m sure some of you participated in them. The question maybe went up to your boards. Or remember the question, “Should employees have browsers? Access to global information?”  

    Those things didn’t fundamentally change the nature of work. But intelligence on demand, expertise on demand—these technologies are about work itself. You need to drive as much organizational transformation as technical transformation. We often say it’s 30% tech, 70% organization. Staple yourselves to your HR teams. Or have Copilot teach you the things about HR that you should know. It creates great tutorials, as you know. That’s the first thing. 

    Second: People are worried—really worried—about these technologies. That’s part of the conversation you need to have. How do we have an abundance mindset around this? What are the capability unlocks? Again, these are things that technology leaders have not typically been asked about. But you need to own it and engage in a conversation with your leaders and teammates about it. 

    Third: This type of change has to come from the top. I came up in the era of Wired magazine and Fast Company in the 1990s, when the internet came to workplaces. Fast Company was all about change agents. But change agents get massacred in most corporations. Why? Because if there’s no top-down buy-in, the change agents die on the vine. The key for us here is to make sure our top leaders understand this and see AI as a work and business technology, not as an information technology. Leaders in companies need to “do AI” (use Copilot as a thought partner all the time, build their own agents) as much as they “talk AI.” 

    Is there any last concept or idea that you feel has been left unsaid? 

    LAKHANI: Well, if I was good at predicting the future, I would be in the stock market, not academia. I tend to be very much an empiricist: I’ll come in with a discovery mindset, we’ll run the experiment, and then we’ll get the facts. But I’d love to offer a framing around this intelligence view.  

    I decided to become an academic in the 1990s when I discovered open-source software. We’re at the same juncture now. This stuff works in practice, but our management theories or economic theories don’t know how to handle this kind of technology. 

    Think back to the ‘90s again, when the browser became available. What did the browser and the internet really do? Essentially, they lowered the marginal cost of information transmission. If you go on a Teams call today with a global or national team, you don’t think twice about all the videos that are coming in. Thirty years ago, every one of us would have needed a camera operator, a sound operator, a satellite truck uplink, and a downlink. This would be prohibitively expensive. But today, the marginal cost of information transmission has gone down to zero, and we can seamlessly connect with anyone or any device globally. 

    In this moment, we’re predicting the same thing for expertise: the marginal cost of expertise is going to zero. 

    The clinical trials with our collaborative partners (Boston Consulting Group and P&G) are pointing in this direction, and this will dramatically impact the nature of our organizations and strategies. Because what are companies but bundles of expertise? We have finance, marketing, sales, R&D, and brand. You have all this expertise. As that cost of expertise drops, what a company does—what all of our roles are—is all up for invention and reinvention. 

    The direction of this change is up to all of us. We can’t just be the receivers of it; we have to understand what’s happening and then set the direction for ourselves and our companies. 

    Listen to Karim Lakhani’s recent appearance on the WorkLab podcast. For more insights about AI and the future of work, subscribe to this newsletter

    MIL OSI Global Banks

  • MIL-OSI USA: Cassidy, Tillis, Colleagues Introduce Bill to Maintain Law and Order Amid Riots

    US Senate News:

    Source: United States Senator for Louisiana Bill Cassidy

    WASHINGTON – U.S. Senators Bill Cassidy, M.D. (R-LA), Thom Tillis (R-NC), Marsha Blackburn (R-TN), Tommy Tuberville (R-AL), and Ted Budd (R-NC) introduced the Safe and Open Streets Act to make it a federal crime to purposely obstruct, delay, or affect commerce by blocking a public road or highway.
    “In America, people have the right to peacefully gather and make their voices heard. They do not have the right to obstruct roads, riot, and undermine people’s livelihoods,”said Dr. Cassidy.
    “The emerging tactic of radical protestors blocking roads and stopping commerce is not only obnoxious to innocent commuters, but it’s also dangerous and will eventually get people killed. It needs to be a crime throughout the country,”said Senator Tillis. “I’m proud to introduce the Safe and Open Streets Act so that radical activists who resort to these reckless and dangerous tactics are held accountable under the full weight of the law for endangering public safety.”
    “Blocking major roads to stop traffic flows is nothing short of lawlessness that should not be tolerated,” said Senator Blackburn. “These activists are not only intentionally creating a dangerous situation for themselves, but perhaps for a citizen who is awaiting an ambulance or a hard worker who will lose their job for being late. The Safe and Open Streets Act is critical to stopping this reckless behavior, particularly by Hamas sympathizers, in our U.S. cities.”“For nearly a week, we watched as domestic terrorists assaulted ICE and law enforcement officers, set fire to cop cars, and blocked the streets of Los Angeles—all while Gavin Newsom and Karen Bass sat on their tails and did nothing,” said Senator Tuberville. “This is a prime example of what happens when lawlessness goes unpunished. The First Amendment gives us the right to freedom of assembly, but it doesn’t give the right to block our streets and put American lives at risk. I’m proud to join the Safe and Open Streets Act that penalizes and holds radical protestors accountable who put citizens in danger by purposely blocking our roadways.”
    “Protestors who willfully block traffic pose a serious threat to public safety by impacting the flow of emergency vehicles and personnel,”said Senator Budd. “They can also significantly inconvenience Americans trying to get to and from work, school, or important personal business. The First Amendment protects the right to assemble and protest peacefully, but it does not permit such behavior. I’m proud to join Sen. Tillis and our colleagues in ensuring America’s streets are kept clear for everyone.”
    The Safe and Open Streets Act is in direct response to radical tactics of anti-ICE protestors who have intentionally blocked roads and highways across the country, including in Los Angeles, stranding drivers and compromising the free flow of commerce. The Safe and Open Streets Act would penalize lawbreakers through fines or up to five years of imprisonment. 

    MIL OSI USA News

  • MIL-OSI Security: Six Defendants Charged with Assaulting Federal Offices, Other Offenses During Protests Near Local ICE Office

    Source: US FBI

    PORTLAND, Ore.—Six defendants made their first appearances in federal court today after committing various offenses—including assaulting federal officers and creating a hazard on federal property—during ongoing protest gatherings near a U.S. Immigration and Customs Enforcement (ICE) office in South Portland.

    Samuel Tate Berry, 29, who has recently resided in Gearhart and Seaside, Oregon, as well as Kelso, Washington, has been charged by criminal complaint with the misdemeanor offenses of assaulting a federal officer and failure to comply with official signs and directions.

    Juniper Perry Weed, 21, of Jackson, Michigan, has been charged by criminal complaint with the misdemeanor offenses of assaulting a federal officer and failure to comply with official signs and directions.

    Eduardo Diaz Guardado, 22, of Vancouver, Washington, has been charged by criminal complaint with the misdemeanor offense of assaulting a federal officer.

    Andrew James Beason, 53, of Beaverton, Oregon, has been charged by information with the misdemeanor offense of failing to obey a lawful order.

    Nokomis Lee, 22, of Grand Ronde, Oregon, has been charged by information with the misdemeanor offense of failing to obey a lawful order.

    Liam Harry Houpis, 22, also of Vancouver, has been charged by information with the misdemeanor offense of creating a hazard on federal property.

    According to court documents and information shared in court, on June 18, 2025, several hundred people gathered near an ICE office in South Portland where, for more than week, individuals have repeatedly targeted the building and various federal law enforcement officers with mortar fireworks, rocks, bricks, glass bottles, signs, and makeshift shields. At approximately 6:38pm, federal officers on site were informed that six official vehicles were en route and needed to enter the property via a vehicle gate blocked by the crowd.

    After issuing warnings and asking the group to move, federal officers opened the vehicle gate and advanced on the crowd to clear the driveway for the arriving vehicles. Defendants Berry and Weed failed to comply with the officers’ directions and, while being placed under arrest, assaulted officers. Later the same evening, a crowd again blocked the building’s vehicle gate and, after being warned a second time, were cleared to allow law enforcement vehicles to exit the property. During this second clearing, at approximately 10:55pm, defendants Beason and Lee failed to obey lawful orders issued by law enforcement. A fifth defendant, Guardado, was observed possessing a high-powered laser pointer that he pointed at a federal officer, striking the officer in the eye and temporarily blinding him.

    The following evening, on June 19, 2025, several dozen individuals again gathered at the South Portland ICE office, when, at approximately 10:20pm, defendant Houpis was observed using a drill and screws on plywood doors affixed to the building’s exterior in an attempt to prevent federal officers from exiting the building.

    All six defendants made their first appearances in federal court today before a U.S. Magistrate Judge and were released on conditions pending future court proceedings.

    Misdemeanor assault of a federal officer is punishable by up to one year in federal prison. Failure to obey a lawful order, failure to comply with official signs and directions, and creating a hazard on federal property are all Class C misdemeanors and carry a maximum penalty of 30 days in prison.

    These cases are being investigated by the FBI and Federal Protective Service (FPS), and are being prosecuted by the U.S. Attorney’s Office for the District of Oregon.

    Criminal informations and complaints are only accusations of a crime, and defendants are presumed innocent unless and until proven guilty.

    MIL Security OSI

  • MIL-OSI Security: Central Ohio Woman Sentenced to More Than Five Years in Prison for $2.8 Million Pandemic Relief Fraud Scheme

    Source: US FBI

    COLUMBUS, Ohio – A Westerville woman who claimed affiliation with Dayton-area pizza restaurants to obtain nearly $1.9 million in COVD-19 relief funds was sentenced in U.S. District Court today to 70 months in prison.

    Lorie A. Schaefer, 63, also assisted a co-defendant in fraudulently receiving more than $980,000 pandemic relief loans in exchange for payment, causing a total of $2.8 million in fraud.

    According to court documents, Schaefer opened new bank accounts in December 2020 prior to registering a fictitious business name with the State of Ohio in March 2021.

    Schaefer fraudulently claimed affiliation with the Flying Pizza restaurants in Dayton, Centerville and Fairborn. When notified that a Paycheck Protection Plan (PPP) loan for nearly $1.9 million had been filed in the name of Flying Pizza, individuals at the family-owned business said their restaurants could not justify such a large loan.

    Schaefer claimed to have 98 employees and submitted altered bank records as part of her application. Schaefer also claimed the business was established in March 2021, even though the original Flying Pizza was established in 1984. Additionally, she claimed not to be under indictment despite having pending theft charges in Meigs County. Schaefer attached multiple fraudulent documents to her PPP application, including a bank statement, tax records, and a letter from the IRS.

    Bank records indicate Schaefer improperly used PPP funds for personal expenses, for example, nearly $26,000 on liposuction, a $10,000 check for a “newborn baby gift,” and more than $900,000 to purchase and renovate a home in Westerville. Schaefer also made purchases at Wayfair, Lamps Plus, Kroger, KFC, Burger King, Arby’s, McDonald’s and Olive Garden. Evidence also suggests Schaefer used the fraud proceeds to purchase vehicles in Ohio and property in Australia.

    After being charged in this case, Schaefer committed new offenses and violated her pre-trial release multiple times, leading to the revocation of her bond.

    She pleaded guilty in July 2024 and twice attempted to withdraw her guilty plea.

    Kelly A. Norris, Acting United States Attorney for the Southern District of Ohio; Anthony Licari, Special Agent in Charge, Department of Transportation Office of Inspector General, Midwestern Region; and Elena Iatarola, Special Agent in Charge, Federal Bureau of Investigation (FBI), Cincinnati Division; announced the sentence imposed today by U.S. District Court Judge Edmund A. Sargus, Jr. Assistant United States Attorney David J. Twombly is representing the United States in this case.

    # # #

    MIL Security OSI

  • MIL-OSI Security: Central Ohio Woman Sentenced to More Than Five Years in Prison for $2.8 Million Pandemic Relief Fraud Scheme

    Source: US FBI

    COLUMBUS, Ohio – A Westerville woman who claimed affiliation with Dayton-area pizza restaurants to obtain nearly $1.9 million in COVD-19 relief funds was sentenced in U.S. District Court today to 70 months in prison.

    Lorie A. Schaefer, 63, also assisted a co-defendant in fraudulently receiving more than $980,000 pandemic relief loans in exchange for payment, causing a total of $2.8 million in fraud.

    According to court documents, Schaefer opened new bank accounts in December 2020 prior to registering a fictitious business name with the State of Ohio in March 2021.

    Schaefer fraudulently claimed affiliation with the Flying Pizza restaurants in Dayton, Centerville and Fairborn. When notified that a Paycheck Protection Plan (PPP) loan for nearly $1.9 million had been filed in the name of Flying Pizza, individuals at the family-owned business said their restaurants could not justify such a large loan.

    Schaefer claimed to have 98 employees and submitted altered bank records as part of her application. Schaefer also claimed the business was established in March 2021, even though the original Flying Pizza was established in 1984. Additionally, she claimed not to be under indictment despite having pending theft charges in Meigs County. Schaefer attached multiple fraudulent documents to her PPP application, including a bank statement, tax records, and a letter from the IRS.

    Bank records indicate Schaefer improperly used PPP funds for personal expenses, for example, nearly $26,000 on liposuction, a $10,000 check for a “newborn baby gift,” and more than $900,000 to purchase and renovate a home in Westerville. Schaefer also made purchases at Wayfair, Lamps Plus, Kroger, KFC, Burger King, Arby’s, McDonald’s and Olive Garden. Evidence also suggests Schaefer used the fraud proceeds to purchase vehicles in Ohio and property in Australia.

    After being charged in this case, Schaefer committed new offenses and violated her pre-trial release multiple times, leading to the revocation of her bond.

    She pleaded guilty in July 2024 and twice attempted to withdraw her guilty plea.

    Kelly A. Norris, Acting United States Attorney for the Southern District of Ohio; Anthony Licari, Special Agent in Charge, Department of Transportation Office of Inspector General, Midwestern Region; and Elena Iatarola, Special Agent in Charge, Federal Bureau of Investigation (FBI), Cincinnati Division; announced the sentence imposed today by U.S. District Court Judge Edmund A. Sargus, Jr. Assistant United States Attorney David J. Twombly is representing the United States in this case.

    # # #

    MIL Security OSI

  • MIL-OSI Security: Pittsburgh Resident Sentenced to Nine Years in Prison for Sex Trafficking Crimes

    Source: US FBI

    PITTSBURGH, Pa. – A resident of Pittsburgh, Pennsylvania, has been sentenced in federal court to nine years in prison on his conviction of Conspiracy to Commit Sex Trafficking by Force, Threats of Force, Fraud, or Coercion, Acting United States Attorney Troy Rivetti announced today.

    United States District Judge Cathy B. Bissoon imposed the sentence on Philip Walker, 40, on June 11, 2025.

    According to information presented to the Court, Walker recruited and coerced multiple women to engage in commercial sex acts for his own profit. He took over the women’s finances, credit cards, and vehicles, and made the women financially and emotionally dependent on him. The conspiracy stretched from Pittsburgh, PA to Florida and Texas.

    Prior to imposing sentence, Judge Bissoon highlighted the impact Walker’s crime had on the victims.

    Assistant United States Attorney DeMarr Moulton prosecuted this case on behalf of the government.

    Acting United States Attorney Rivetti commended the FBI for the investigation leading to the successful prosecution of Walker.

    MIL Security OSI

  • MIL-OSI Russia: Russia will develop armed forces as a guarantee of sovereign and independent development – Russian President V. Putin

    Translation. Region: Russian Federal

    Source: People’s Republic of China in Russian – People’s Republic of China in Russian –

    Source: People’s Republic of China – State Council News

    Moscow, June 23 (Xinhua) — Russia will continue to develop its armed forces to ensure sovereignty and independent development, Russian President Vladimir Putin said Monday during a meeting with graduates of military universities.

    “The current international situation is changing dynamically. We see how the situation in the Middle East has sharply worsened. Non-regional powers are also being drawn into the conflict. All this is bringing the world to a very dangerous point,” V. Putin stated.

    According to him, Russia cannot help but be concerned by the fact that a number of Western politicians continue to hatch plans to inflict a strategic defeat on Russia. Therefore, increasing the combat capabilities of all types of armed forces and branches of the armed forces remains an urgent task.

    In connection with the increased role of unmanned aerial vehicles in modern conflicts, a new branch of the armed forces is being formed in Russia — troops of unmanned systems, V. Putin reported. A set of organizational measures for the formation of the Moscow and Leningrad military districts is being completed. Marine brigades will be deployed in divisions, as a result of which their striking power and combat capabilities will qualitatively increase.

    “We will pay special attention to our nuclear triad. Thus, modern Yars systems will be delivered to the Strategic Missile Forces, and the aviation component of the strategic nuclear forces will be replenished with modernized Tu-160M missile carriers this year,” the Russian president noted.

    “Serial production of the latest medium-range missile system, Oreshnik, which has proven itself very well in combat conditions, is underway,” the Russian leader added. –0–

    MIL OSI Russia News

  • MIL-OSI USA: The Quiet Professionals: Building the mission, one base at a time

    Source: US State of Wyoming

    Wyoming Air National Guard

    By Airman 1st Class Michael Swingen

    The Quiet Power Behind the Mission

    CHEYENNE, Wyo. — Every day, people flip on a light switch, run hot water, and turn up the air conditioning without giving it a second thought. Phones charge. Toilets flush. Stormwater drains away. Every day, people drive on smooth, paved roads and work in buildings that stay upright with silent beams and pillars.

    Although often invisible in the hustle and bustle of everyday life, even the smallest part of the built environment is a testament to the civil engineers who make the world a hospitable place. Although they work in plain sight, they are quiet professionals who do not seek recognition or praise.

    They just want the lights to come on.

    The Wyoming Air National Guard’s 153rd Civil Engineer Squadron recently returned from a weeklong trip to the North Carolina Air National Guard Regional Training Site, where they received hands-on training in their respective trades and crafts. The trip also included 15 Airmen from the 90th Civil Engineering Squadron at F.E. Warren Air Force Base.

    Specialists in heavy construction operation, structural, water and fuel systems maintenance, heating, ventilation, air conditioning and refrigeration, or HVAC/R, electrical power production, electrical systems, and engineer assistants all do their part in the world of civil engineering.

    And while working in the Wyoming Air National Guard, they do their part in a unique context, too.

    “We build bases,” said U.S. Air Force Chief Master Sgt. Christian Lowe, who helps lead the 153rd Civil Engineer Squadron. “You take a patch of dirt somewhere in the world and the Air Force says, ‘Dibs,’ and it’s flattened. Then there’s tents, air traffic control towers, and a runway. All these things are built up. It’s tangible, it’s palpable, it’s touchable. And for the right-minded person, it’s hugely gratifying.”

    In the Air National Guard, civil engineering is divided into two specialized units with distinct but overlapping missions. One unit is the Rapid Engineer Deployable Heavy Operational Repair Squadron Engineer, also known as RED HORSE. They are a highly mobile, rapidly deployable response force that builds bases in combat zones. The other specialized unit is Prime Base Engineer Emergency Force, or Prime BEEF, which focuses on maintaining bases and their utility systems, whether at home or abroad.

    The Wyoming Air National Guard’s 153rd Civil Engineer Squadron is a Prime BEEF squadron.

    Surveyors, Specialists and the Science of Repair

    During the weeklong training exercise, U.S. Air Force Senior Airman Vinny Wagoner, an engineer assistant, peered through a surveying instrument while measuring the 3,500-foot-long airstrip at the North Carolina Air National Guard Regional Training Site.

    Resting at a cross-section of theory and application, an engineer assistant uses a lot of math, maps and rulers.

    “The thing I enjoy about the job is you get a lot of updated toys, like state-of-the-art surveying equipment,” Wagoner said. “You have to keep up with the times.”

    An engineer assistant resembles a superhero with a day job, like Clark Kent, with two distinct wardrobes. Indoors, Wagoner sports business casual while plotting an airstrip from scratch on the geospatial software program GeoExPT. Outdoors, he dons a hard hat while making onsite inspections, muddying his steel-toe boots in a construction zone.

    They also help if an airstrip gets bombed.

    The system the U.S. Air Force uses to repair a cratered airstrip is called Rapid Airfield Damage Recovery, or RADR.

    After an attack, damage assessment teams glass the airstrip with binoculars, collecting information. Drones sweep overhead. Towers detect. Together, they identify debris, unexploded ordnance, craters and camouflets, and spall damage from an attack. The information is fed into GeoExPT, which creates a real-time map of the pockmarked airstrip.

    Members of Explosive Ordnance Disposal, or EOD, are the first personnel on the airstrip, combing it for munitions that failed to detonate on impact. They neutralize them through a variety of means. For example, they carry out blow-and-go operations, placing premade charges near the munitions and detonating them. They conduct standoff munitions disruptions, employing small arms from a distance. Sometimes they unwire unexploded munitions.

    Once bulldozers broom off all the shells and debris, the craters must be filled. Each step in the process has a dedicated crew that performs their tasks with assembly-line execution.

    Muscle Memory, Machines and Motivation

    First, the engineer assistant measures the lip of the crater’s edge, homing in on the entire patch of airstrip that has bulged, even to the slightest degree. For safety and functionality purposes, it is imperative the runway remain level.

    Another crew attaches a wheel saw to a compact track loader, or CTL, to cut out the cratered patch of airstrip. The wheel saw looks like a giant steel pizza cutter that is 45 or 60 inches in diameter, respectively. The six-person crew divides into two sub-crews, each with two CTL operators and a spotter. Two CTLs face each other on parallel sides of a crater, cutting through concrete at approximately one foot per minute. The whirl of the wheel saw is shrill.

    The next step removes the crater and the surrounding upheaval. An excavator with an impactor pounds the cut-out block of concrete, pulverizing it. An excavator with a bucket scoops out the rubble, leaving behind a precise square hole in the ground. It is two feet deep.

    The slash-and-splash technique is a method used to backfill the excavated area. A 3,000-pound sack of flowable-fill material is suspended over the square hole on the fork of an excavator. A spotter slashes the bag, pouring out the material until it reaches 10 inches to the top. The remaining inches are capped with rapid-setting concrete or asphalt poured from a volumetric mixer. Finally, the new patch of airstrip is rolled and raked smooth.

    After an attack, one team can repair up to 18 craters in less than seven hours.

    “Muscle memory gets built into all these pieces of equipment,” Lowe said. “That’s why we have our guys practice going out there, finding a crater, and getting it back to where we are launching planes off that runway again.”

    In addition to ensuring operational readiness after an attack, the 153rd Civil Engineer Squadron put their skills to work in a variety of other contexts and scenarios during their weeklong training exercise.

    All week long, the Dirt Boys reared in their heavy machinery, kicking up dust all around them. Before the dust settled, the black silhouette of the bulldozer resembled an apex predator on the savannah. U.S. Air Force Airman 1st Class Nicholas Cardillo and U.S. Air Force Airman 1st Class Levi Phillips, specialists in heavy construction operation, often wore mirrored sunglasses that reflected the glare of day as they worked late into the afternoon.

    Building Futures and Flying Home

    Before enlisting, Phillips worked construction in the private sector before realizing he wanted to do it in a more challenging context. Navedo came from a military family and knew he wanted to serve but wasn’t sure how. They both landed in the 90th Civil Engineering Squadron at F.E. Warren Air Force Base and haven’t looked back.

    “Ever since I was a little kid, I wanted to get behind a piece of equipment or drive a truck,” Phillips said. “For my job, we grade roads. Then we drive on it two weeks later, and you’re like, ‘Oh, I did that.’ I just think it’s cool.”

    Cardillo agreed. “It’s fun,” he said. “You always have something different going on. And then you get to see the work you’ve put in. You get to see it pay off. There’s so many things we drive by right now that we had a hand in building. That part of it is really cool.”

    Neither of them had operated a crane until North Carolina. They took turns in the cab with the joystick, feeling the flow of the boom as it swung across the sky. The test weight they used was a 900-pound drum. Cardillo dropped anchor and hooked the drum.

    “It seemed easy at first when you were dropping the claw,” Cardillo said. “But when you put weight on it and you start moving back and forth, it really starts swinging. It took me some time to get used to that and figure out how to catch the load swing.”

    Once he began to operate the joystick with just the tips of his fingers, the movements became smoother.

    “That crane really put something in me,” Phillips said. “With the crane, you boom out, stick up, pick the boom up, and lower your winch all at the same time. There’s always something going on. It’s just very cool.”

    Thanks to their training in the military, Cardillo and Phillips are certified in dozers, excavators, jackhammers, rollers, loaders, graders, sweepers, water truck, dump truck, asphalt, concrete and more. Phillips wants to get certified in crane operation now. All this training is provided by the U.S. Air Force.

    The training in civil engineering is always cutting-edge. Back home, the 153rd Civil Engineer Squadron partners with Laramie County Community College, sending shops to get trained with staff and instructors at the school.

    “All our training is in line with the industry standard in the private sector,” Lowe said. “If you’re going through an electrician’s course, for example, you’re training to the National Electrical Code. You’re getting exposed to everything you would see on the civilian side and getting qualified for it.”

    U.S. Air Force Airman 1st Class Luis Navedo did his research before signing on to be a specialist in HVAC/R.

    “I have my universal license through my Air Force training, and that’s for life,” he said. “Once I get out after four years, I can buy and sell refrigerant anywhere.”

    Also, Navedo is proud to be a specialist in HVAC/R for the military.

    “Think of a base like Nellis Air Force Base in Nevada,” he said. “It’s like 115 degrees there every day. Let’s say there’s no HVAC, all the servers would melt. Then the mission is impacted, and everyone starts losing their head. Cooling and heating is essential.”

    During the weeklong training exercise, instructors at the North Carolina Air National Guard Regional Training Site marveled at the work ethic on display by the 153rd Civil Engineer Squadron.

    “They were phenomenal,” U.S. Air Force Master Sgt. Tyler Nadeau, an electrical cadre, said. “They were proactive. They asked questions.”

    Other equipment the 153rd Civil Engineer Squadron trained on during the week included the Mobile Aircraft Arresting System, the Reverse Osmosis Water Purification Unit, the BEAR Distribution System and the Expeditionary Airfield Lighting System.

    “On Monday, they had no clue about a new piece of equipment,” Nadeau said. “On Friday, they could teach it.”

    Soon it was time to go back home.

    The 153rd Civil Engineer Squadron packed up and headed to the airstrip, waiting for a lift.

    After a while, a shimmering trace appeared in the sky, magnifying into a C-130 Hercules in its final descent. It thundered down at around 100 knots, roaring by the cheering 153rd Civil Engineer Squadron. The buzzing propellers still whirled ferociously as the aircraft turned around and taxied back to the passengers before coming to a full stop.

    The rear cargo door lowered, settling into the baked airstrip. A loadmaster in a flight suit approached the 153rd Civil Engineer Squadron. An officer broke from the group and met him at the edge of the airstrip, shaking hands.

    With cargo bags hoisted over their shoulders, the 153rd Civil Engineer Squadron filed onto the rear ramp of the C-130 Hercules, locating their seats. They buckled in and grabbed a fistful of red netting. The loadmasters worked in a whirl of straps, winches and staticky headset communication. Soon the rear cargo door raised again, pinching off the North Carolina daylight.

    A few remaining Airmen watched as the aircraft peeled off the runway and shrank soundlessly into the sky, bringing everyone back home. The takeoff and landing of a C-130 Hercules would not be possible without the 153rd Civil Engineer Squadron at the Wyoming Air National Guard and people like them. But they do not seek glory or praise.

    They are the quiet professionals.

    The Wyoming Air National Guard’s 153rd Civil Engineer Squadron recently returned from a weeklong trip to the North Carolina Air National Guard Regional Training Site, where they all received hands-on training in their respective trades and crafts from April 27-May 3, 2025. (U.S. Air National Guard photo by Airman 1st Class Michael Swingen)
    The Wyoming Air National Guard’s 153rd Civil Engineer Squadron recently returned from a weeklong trip to the North Carolina Air National Guard Regional Training Site, where they all received hands-on training in their respective trades and crafts from April 27-May 3, 2025. (U.S. Air National Guard photo by Airman 1st Class Michael Swingen)
    The Wyoming Air National Guard’s 153rd Civil Engineer Squadron recently returned from a weeklong trip to the North Carolina Air National Guard Regional Training Site, where they all received hands-on training in their respective trades and crafts from April 27-May 3, 2025. (U.S. Air National Guard photo by Airman 1st Class Michael Swingen)
    The Wyoming Air National Guard’s 153rd Civil Engineer Squadron recently returned from a weeklong trip to the North Carolina Air National Guard Regional Training Site, where they all received hands-on training in their respective trades and crafts from April 27-May 3, 2025. (U.S. Air National Guard photo by Airman 1st Class Michael Swingen)
    The Wyoming Air National Guard’s 153rd Civil Engineer Squadron recently returned from a weeklong trip to the North Carolina Air National Guard Regional Training Site, where they all received hands-on training in their respective trades and crafts from April 27-May 3, 2025. (U.S. Air National Guard photo by Airman 1st Class Michael Swingen)

    MIL OSI USA News

  • MIL-OSI USA: Republicans are Providing Tax Relief to Working Families and Main Street

    US Senate News:

    Source: United States Senator for Idaho Mike Crapo

    Washington, D.C.—In addition to making the 2017 Trump tax rates permanent, Republicans are working to deliver additional tax relief for American families, communities and small businesses. 
    Investments in workers and small businesses:
    No tax on tips for millions of tipped workers.
    No tax on overtime for millions of America’s hourly workers.
    No tax on auto loan interest for new cars made in the U.S.
    Repeals the Democrats’ onerous IRS reporting requirements on gig workers.
    Increases the 1099-MISC threshold, reducing the paperwork burden for small businesses and workers.
    Investments in families, seniors and children:
    Strengthens employer-provided childcare credit and boosts childcare assistance.
    Creates school choice tax credits to expand education freedom and opportunity for students.
    Provides a $6,000 bonus exemption to millions of low- and middle-income seniors, slashing their tax burden.
    Enhances 529 savings accounts to make education more affordable for families.
    Establishes savings accounts for newborns, building financial security for the next generation.  
    Click HERE for a bill overview.
    Click HERE to view text of the Finance reconciliation bill.
    Click HERE for a section-by-section.

    MIL OSI USA News

  • MIL-OSI Security: Passaic County Man Pleads Guilty to Being a Felon in Possession of Ammunition

    Source: US FBI

    NEWARK, N.J. – A Passaic County, New Jersey, man pled guilty to being a convicted felon in possession of ammunition, U.S. Attorney Alina Habba announced.

    Justin Pope, 38, of Clifton, New Jersey, pled guilty before U.S. District Judge Brian R. Martinotti in Newark federal court to an indictment charging him with two counts of being a convicted felon in possession of ammunition.

    According to documents filed in these cases and statements made in Court:

    On July 12, 2023, law enforcement officers responded to a report of shots fired in a public parking lot in Clifton, New Jersey. A review of the surveillance footage from the area showed Pope and a female individual engaged in an altercation while inside of a vehicle. As the female individual exited the vehicle, Pope pointed a handgun and fired multiple shots at the victim at close range.  Law enforcement subsequently recovered ammunition from the scene.

    The following day, on July 13, 2023, law enforcement reviewed a video on a social media account depicting Pope firing a gun in the air in which he stated, “Can’t find me . . . Police. Y’all never gonna find me.”  Law enforcement also recovered ammunition from the scene.

    Pope was arrested a few hours later after he attempted to board a bus in New York City and brandished a firearm to bus employees. At the time of his arrest, law enforcement recovered a firearm from Pope, which was later identified as a privately made 9mm firearm with a large capacity magazine attached, which was loaded with one round of 9mm ammunition.

    Pope had previously been convicted of aggravated assault in New Jersey in connection with the shooting of a child.

    U.S. Attorney Habba credited special agents of the FBI, under the direction of Special Agent in Charge Stefanie Roddy in Newark; officers of the Clifton Police Department, under the direction of Chief Thomas Rinaldi; officers of the Paterson Police Department, under Officer in Charge Patrick Murray; officers of the Passaic County Sheriff’s Department under Sheriff Thomas Adamo; officers of the Passaic Police Department, under Chief Luis Guzman; and officers of New York City Police Department, under the direction of Commissioner Edward Caban, with the investigation leading to the charges.

    The charges of being a felon in possession of ammunition each carry a maximum penalty of 15 years in prison and a fine of up to $250,000.

    Pope’s sentencing is scheduled for October 21, 2025.

    The government is represented by Assistant United States Attorney Rachelle M. Navarro of the Bank Integrity, Money Laundering, and Recovery Unit in Newark.

                                                                                                   ###

    Defense counsel for Pope: Georgina Pallitto, Esq.

    MIL Security OSI

  • MIL-OSI Security: Convicted Sex Offender Illegally Present in the Country Assaults Federal Officer During Immigration Arrest

    Source: US FBI

    St. Paul, Minn. – Roberto Carlos Munoz-Guatemala, 39, a citizen of Mexico, has been charged federally with assault on a federal officer with a dangerous or deadly weapon and resulting in bodily injury, announced Acting U.S. Attorney Joseph H. Thompson.

    According to court documents, in December 2022, Munoz was charged with repeatedly sexually abusing a minor victim. He was ultimately convicted of Fourth-Degree Criminal Sexual Conduct, a felony offense.

    On June 17, 2025, multiple federal agencies attempted to effectuate an administrative warrant for Munoz’s arrest due to lack of legal status in the United States. Officers and agents—clearly identified as “POLICE”—pulled Munoz over for a traffic stop. Munoz repeatedly refused to comply with commands from law enforcement officers to lower the windows and open the door. Officers told Munoz they would break a window if Munoz continued to refuse. When Munoz refused to comply, the victim in this case, an ERO Officer, used a spring-loaded window punch to break the rear window of the car and then reached into Munoz’s car to attempt to unlock the door.

    While the ERO Officer’s arm was inside the car, Munoz put the vehicle in drive. Munoz drove up onto the curb and accelerated at a high rate of speed. The ERO Officer’s arm was caught in the car. As Munoz drove, the ERO Officer was dragged in the moving vehicle. The ERO Officer twice fired his taser at Munoz to get him to stop. Munoz was undeterred. He continued driving away as the ERO Officer screamed.

    With the ERO Officer’s arm caught in the broken window and the ERO Officer being dragged along the road, Munoz began weaving back and forth, in an apparent attempt to shake the ERO Officer from the car. Munoz drove back and forth, driving up on the curb and weaving past a vehicle, all while dragging the ERO Officer. When Munoz got off the curb and reentered the street, the force knocked the ERO Officer free from the car. Munoz continued his flight. In total, Munoz dragged the ERO Officer approximately 100 yards down the street.

    The ERO Officer was transported to the hospital, where he received treatment for injuries sustained from being dragged by Munoz. The ERO Officer suffered a significant cut to his right arm that required 20 stitches to close. He suffered a significant cut to his left hand that required 13 stitches. The ERO Officer also suffered abrasions to his left knee, elbows, and face.

    “Law enforcement officers deserve our respect, our gratitude, and our protection,” said Acting

    U.S. Attorney Joseph H. Thompson. “Defendant Munoz—a convicted sex offender illegally present in the country—violently assaulted a federal officer who was just trying to do his job. The injuries the officer sustained were severe but could have been so much worse. The U.S. Attorney’s Office has no tolerance for violence against law enforcement officers.”

    “Munoz had no legal right to be in this country—and certainly not free in the community after a conviction for sexually abusing a minor,” said Special Agent in Charge Alvin M. Winston Sr. of FBI Minneapolis. “Instead of complying with a lawful immigration arrest, he chose to violently resist — dragging a deportation officer with his vehicle and putting that officer’s life at risk. The FBI takes any assault on a federal officer with the utmost seriousness, and we are committed to working alongside our law enforcement partners to ensure this individual is held fully accountable. There is no tolerance for this kind of violence—not against federal agents, not against local officers, not against anyone who wears a badge.”

    “This was a brazen and cowardly act by a criminal illegal alien who has complete disregard for the laws of our country and clearly places himself above the lives of others,” said Peter Berg, ICE ERO Field Office Director for St. Paul. “The deportation officer involved in this incident— someone who has dedicated his life to upholding the law and protecting this nation—was severely wounded by a fleeing suspect who should have never been in the United States in the first place.”

    These cases are a result of an investigation conducted by the FBI, ERO, and HSI. Assistant U.S. Attorney Raphael B. Coburn is prosecuting the case.

    An earlier version of this press release noted that defendant Munoz-Guatemala is a citizen of Guatemala. He is in fact a citizen of Mexico.

    A complaint is merely an allegation, and the defendant is presumed innocent until proven guilty beyond a reasonable doubt in a court of law.

    MIL Security OSI

  • MIL-OSI Security: Hickman Man Pleads Guilty to Bank Fraud Conspiracy

    Source: US FBI

    United States Attorney Lesley A. Woods announced that Jesse T. Hill, 35, of Hickman, Nebraska, entered a plea of guilty to an Information alleging that he committed conspiracy to commit bank fraud in front of United States Magistrate Judge Jacqueline M. DeLuca. Judge DeLuca scheduled Hill’s sentencing for September 11, 2025, at 3 p.m. before United States District Court Judge Susan M. Bazis. Hill faces a maximum possible penalty of 30 years’ imprisonment, a fine of up to $ 1 million, and a mandatory special assessment of $100. Hill additionally has agreed to pay restitution and forfeit his interest, if any, in a property in Puerto Rico, a PC-12/47E Pilatus Aircraft, and funds in a Charles Schwab account.

    Individual 1 operated a real estate business in Nebraska. Individual 1 died on November 2, 2022.

    Hill was an investment advisor operating in Nebraska. In 2013, Hill organized JT Equity Trading, LLC which operated as a hedge fund until 2018. Hill then organized First SOJO Capital Group, LLC (“First SOJO”) in 2019. First SOJO was a Registered Investment Advisor in Nebraska that managed two pooled investment vehicles: Outlier Fund I, LP and Outlier Fund II, LP. First SOJO used the services of Piedmont Fund Services from late 2021 until April 2022, when Piedmont Fund Services terminated their relationship with Hill due to significant investment losses. At no point in time did Piedmont Fund Services provide services to Individual 1 or any of Individual 1’s controlled entities.

    Beginning in November 2020, Hill and Individual 1 began attempting to obtain loans from financial institutions throughout Nebraska and western Iowa. The loans were sought in the name of Individual 1 and/or Individual 1’s entities. It was represented that these loans were to be used for real estate investments and the alleged collateral for the loans was an investment account of Individual 1 and/or Individual 1’s entity that was managed by Hill. Hill and Individual 1 would grant a surety with the financial institution, typically in the form of a control agreement, a commercial security agreement, or an assignment of account. Hill would falsely claim that Individual 1 and/or Individual 1’s entities were clients of his through his own investment entities JT Equity or First SOJO. Hill would prepare and present fraudulent invoices from JT Equity or Piedmont Fund Services to the financial institutions. Hill would falsely represent values of alleged funds that Individual 1 and/or an entity of Individual 1 had in an account that Hill managed. Hill would falsely represent that no other financial institution had a security interest in these fictitious accounts. Throughout the process of obtaining or attempting to obtain the loans, Hill and Individual 1 would engage with each financial institution to facilitate the loan process to include meeting with the financial institution in person, communicating by telephone, communicating by text message, or communicating by email. Hill knew that the representations being made to the financial institutions in order to obtain loans by Individual 1 and/or Individual 1’s entity were false and were being done with the intent to defraud.

    As a result of this scheme, Hill and Individual 1 attempted to obtain at least $45,650,000.00 in loans from at least 19 different financial institutions.

    The majority of the funds that were fraudulently obtained went into a failed investment scheme. A portion of the proceeds from fraudulent loans obtained later in the scheme were used to pay off or pay down fraudulent loans obtained earlier in the scheme. Proceeds were deposited in a Charles Schwab account, were used to purchase a property in Puerto Rico, and were used to purchase an ownership interest in a PC-12/47E Pilatus Aircraft.

    This case was investigated by the Federal Bureau of Investigation, the Federal Deposit Insurance Corporation – Office of the Inspector General, Federal Housing Finance Agency – Office of the Inspector General, and the Board of Governors of the Federal Reserve System – Office of the Inspector General with assistance from the Nebraska State Patrol, Lincoln Police Department, and the Lancaster County Sheriff’s Office.

    MIL Security OSI

  • MIL-OSI Security: St. Louis County Man Admits Shooting at Police

    Source: US FBI

    ST. LOUIS – A man on Wednesday admitted shooting at multiple St. Louis County police officers in 2024.

    Dylan Farmer, 21, of Breckenridge Hills, Missouri, pleaded guilty in U.S. District Court in St. Louis to four counts of assaulting a law enforcement officer and two counts of discharging a firearm in furtherance of a crime of violence.

    Farmer admitted that on Feb. 13, 2024, officers of the St. Louis County Police Department Special Response Unit (SRU) were trying to find someone who was wanted in connection with a double homicide. A vehicle associated with that wanted person was parked in the 4500 block of Virginia Avenue in St. Louis. When Farmer unlocked the vehicle and got in, officers converged to detain him. All wore vests marked “Police,” and three of the vehicles were equipped with blue flashing emergency lights. The officers were also designated as task force officers with the U.S. Marshals Service and the FBI.

    As three task force officers pulled up in their SUV, Farmer immediately opened fire with a .45-caliber semiautomatic handgun equipped with a 50-round drum magazine, damaging the SUV. Officers returned fire. Farmer then ran across the street and between some buildings, where he fired one shot at an officer. He then ran down an alley and fired multiple times at a different officer, who ducked behind a dumpster.

    Farmer then hid on the front porch of a house in the 4500 block of Alaska Avenue. When officers drove down the street and spotted Farmer, he opened fire again, damaging their vehicle, and officers again returned fire. Farmer eventually surrendered after suffering multiple gunshot wounds. Officers treated his wounds and summoned an ambulance to take him to the hospital.

    One officer’ was injured when a bullet ricocheted off a vehicle’s window, causing glass to fly into his eye. Another’s ankle was injured when he jumped out of his car and sought cover.

    Farmer admitted firing first at police.

    As part of the plea agreement, both sides have agreed to recommend 22 years in prison at Farmer’s sentencing, which is set for September 23. The firearm charges each carry mandatory minimum 10-year sentences.

    The St. Louis County Police Department, the FBI, the St. Louis Metropolitan Police Department and the U.S. Marshals Service investigated the case. Assistant U.S. Attorney Paul D’Agrosa is prosecuting the case.

    MIL Security OSI

  • MIL-OSI Security: NATO Secretary General outlines expectations ahead of historic Summit

    Source: NATO

    On Monday 23 June [2025] NATO Secretary General, Mark Rutte, outlined his expectations for the NATO Summit in The Hague. This year’s Summit takes place on Tuesday 24 and Wednesday 25 June and will bring together heads of state and government from across the Alliance; it will be hosted by the Netherlands for the first time.

    “We meet at a truly historic moment, with significant and growing challenges to our security” Mr Rutte stated. “As the world becomes more dangerous, Allied leaders will take bold decisions to strengthen our collective defence, making NATO a stronger, a fairer and a more lethal Alliance.”

    This week, Allies will approve a major new defence investment plan, raising the benchmark for defence investment to 5% of GDP. This will be agreed together with a concerted effort to ramp up defence industry across NATO, increasing security and creating jobs. There will also be a continued focus on support for Ukraine alongside the pursuit of a just and lasting end to Russia’s war of aggression.

    Mr Rutte made clear that the new defence investment plan will be “decisive” to ensuring effective deterrence. While the details of national capability targets are classified, the Secretary General called for a five-fold increase in air defence capabilities, thousands more tanks and armoured vehicles and millions of rounds of artillery ammunition to help keep NATO’s one billion citizens safe.

    Speaking ahead of the NATO Summit Defence Industry Forum on Tuesday 24, Mr Rutte urged Allies to work with industry to expand their defence industrial base warning that “there is not nearly enough supply to meet our increased demand on either side of the Atlantic”. “By investing more and producing more, we build a stronger NATO” he stressed.

    Strengthening partnerships will remain a key focus for the Alliance, with the Summit providing the opportunity to engage with Ukraine, NATO partners in the Indo-Pacific, and the leadership of the European Union.

    Finally, on Ukraine Mr Rutte was unambiguous, “we must continue to make sure Ukraine has what it needs to defend today and deter in the future. Our support for Ukraine is unwavering and will persist” he affirmed.

    MIL Security OSI

  • MIL-OSI NGOs: IAEA and Romania to Launch Global Nuclear Emergency Response Exercise

    Source: International Atomic Energy Agency (IAEA) –

    Fire trucks and an emergency response helicopter are positioned to provide support during a national nuclear emergency exercise in Romania in October 2023. (Photo: C. Torres Vidal/IAEA)

    The International Atomic Energy Agency (IAEA) and Romania will launch tomorrow, 24 June, the world’s largest and most complex international nuclear emergency exercise, simulating a severe accident at Romania’s Cernavodă Nuclear Power Plant.

    Such exercises are held every three to five years and are based on simulated events hosted by IAEA Member States.

    Over two days, more than 75 countries and 10 international organizations will take part in the ConvEx-3 (2025)—a full-scale exercise designed to test global readiness for a nuclear or radiological emergency with cross-border consequences. Participation will occur both on-site in Romania and remotely from other countries.

    As nuclear use expands globally, its success hinges on strong safety standards and constant vigilance, said IAEA Director General Rafael Mariano Grossi. “This exercise is a clear demonstration of the international community’s commitment to protect people and the environment by working together, across borders and systems, when every minute counts.”

    “Hosting ConvEx-3 is both a responsibility and an opportunity for Romania,” said Cantemir Ciurea-Ercău, President, National Commission for Nuclear Activities Control (CNCAN). “Two decades after we hosted the first ConvEx-3, we are proud to again contribute to strengthening global nuclear emergency preparedness. In today’s interconnected world, effective preparedness must transcend borders—this exercise reflects our shared commitment to safety, cooperation and transparency.”

    Romania, bordering five countries, last hosted such an exercise in 2005. Cernavodă is the country’s only nuclear power plant, situated roughly 160 kilometres east of Bucharest, close to the Black Sea. During the 36-hour exercise, participants will simulate real-time decisions, emergency communications and international coordination under the Convention on Early Notification of a Nuclear Accident (Early Notification Convention) and the Convention on Assistance in the Case of a Nuclear Accident or Radiological Emergency (Assistance Convention). These will include protective actions such as simulated evacuation and iodine distribution, public outreach and communication, medical response coordination, and the management of food and trade restrictions based on radiological assessments.

    The IAEA will activate its Incident and Emergency Centre (IEC) and test critical tools like the Unified System for Information Exchange (USIE), a secure platform for designated contact points from IAEA Member States, and the International Radiation Monitoring System (IRMIS) platform. Member States will also activate their national emergency centres, request or offer assistance, share monitoring data, and coordinate cross-border protective actions and messaging to their populations.

    The ConvEx-3 (2025) was developed by SNN Nuclearelectrica and CNCAN, with international coordination by the Inter-Agency Committee on Radiological and Nuclear Emergencies (IACRNE), which includes the World Health Organization, World Meteorological Organization, European Commission, Food and Agriculture Organization of the United Nations, INTERPOL and others.

    About Convention Exercises

    Convention Exercises, or ConvEx, are held to test the operational arrangements of the Early Notification Convention and the Assistance Convention.  The goal is to evaluate and further improve the international framework for emergency preparedness and response. ConvEx are prepared at three levels of complexity:

    • ConvEx-1 is designed to test emergency communication links with contact points in Member States that need to be available 24 hours a day, seven days a week, and to test the response times of these contact points.
    • ConvEx-2 is designed to test specific parts of the international framework for emergency preparedness and response, for example to rehearse the appropriate use of communication procedures; to practice procedures for international assistance; and to test the arrangements and tools used for assessment and prognosis in a nuclear or radiological emergency.
    • ConvEx-3 is a full-scale exercise designed to evaluate international emergency response arrangements and capabilities for a severe nuclear or radiological emergency over several days, regardless of its cause.

    Photos from the ConvEx-3 will be made available here.

    MIL OSI NGO

  • MIL-OSI Security: Ruther Glen Man Pleads Guilty to Federal Hate Crime and Firearms Violation

    Source: US FBI

    RICHMOND, Va. – A Ruther Glen man pled guilty today to two federal hate crimes involving attempts to kill and to discharging a firearm during a federal crime of violence.

    According to court documents, on the evening of Feb. 28, 2024, Douglas Wayne Cornett, 58, followed a box truck driven by a victim with the initials O.G., an adult Latino male, into the Sheetz gas station along Interstate 95 in Spotsylvania County. Cornett then asked a victim with the initials J.M., also an adult Latino male and a friend of O.G., how long O.G. had been present in the United States. Upon learning that O.G. had arrived within the last two years, Cornett drew a handgun and fired six rounds, striking O.G. three times and J.M. once.

    “Crimes like Douglas Cornett’s, acts of hate motivated violence, victimize not just the individual, but harm families, communities, and groups by robbing them of their sense of security,” said Erik S. Siebert, U.S. Attorney for the Eastern District of Virginia. “Every person has a right to live free of the fear of violence and the menace of hate, and my office is committed to eliminating both.”

    “Hate crimes driven by bias against national origin or any other protected characteristic are a direct assault on the principles of equality and justice that define our nation,” said Harmeet K. Dhillon, Assistant Attorney General for the Civil Rights Division. “The Civil Rights Division is committed to vigorously prosecuting such acts of violence to secure a just outcome.”

    “Hate crimes not only harm individuals but undermine the fabric of our communities,” said Stephen Farina, Acting Special Agent in Charge of the FBI’s Richmond Field Office. “FBI Richmond is steadfast in its dedication to investigating these violations thoroughly and swiftly to ensure justice for the victims and to protect the American people.”

    Cornett later confessed to a Spotsylvania County Sheriff’s Deputy to shooting the victims because of his perception of the victims’ national origin.

    Assistant U.S. Attorney Thomas A. Garnett and Trial Attorney Kyle Boynton of the Civil Rights Division’s Criminal Section are prosecuting the case.

    The Richmond Field Office of the FBI investigated the case, with substantial assistance from the Spotsylvania County Sheriff’s Office.

    A copy of this press release is located on the website of the U.S. Attorney’s Office for the Eastern District of Virginia. Related court documents and information are located on the website of the District Court for the Eastern District of Virginia or on PACER by searching for Case No. 3:25-CR-91.

    This release was edited on June 18, 2025, to correct the defendant’s city of residence.

    MIL Security OSI

  • MIL-OSI: Introducing Canada’s first national portfolio lending to community bond issuers

    Source: GlobeNewswire (MIL-OSI)

    TRADITIONAL TERRITORIES OF THE ANISHINAABEG PEOPLE, TORONTO (T’KARONTO), June 23, 2025 (GLOBE NEWSWIRE) — A new private credit fund has been established with a $30 million target size and an investment focus on lending to issuers of community bonds across Canada. The fund is expected to formally launch with an anchor investment by Realize Capital Partners.

    Weave Community Capital Fund LP (the Fund or Weave) is the first of its kind in Canada. It’s designed to provide accredited investors exposure to loans provided to charities, nonprofits and cooperatives that are also issuing community bonds — as a way to both finance meaningful projects and inspire retail investment in issuers’ community bond campaigns. Organizations issue community bonds to finance socially beneficial projects like affordable housing development, community-owned renewable energy infrastructure, the acquisition of arts and culture spaces, and more.

    Community bonds are primarily targeted toward retail investors, or everyday members of communities who come together to finance meaningful projects. But increasingly, values-aligned institutional investors are interested in supporting this growing market — aligning their investments with their values, supporting the growth of a socially-conscious investment market, and crowding in retail investors in the process.

    In particular, institutional and other accredited investors are interested in larger ticket sizes and diversified investments. That’s where the Weave Community Capital Fund comes in, offering a fund that centralizes due diligence, allowing investors to support charities, nonprofits, and cooperatives across Canada with one investment in Weave.

    Weave Community Capital Inc., the fund’s general partner, was established by the team at Tapestry Community Capital, a non-profit supporting organizations through the process of issuing community bonds.

    “Over our six years of working in community finance, we’ve heard from investors of all kinds looking for ways to move their money into alignment with their values — and not just to do less harm, but to do more real, tangible good in their communities. Community investment is the answer, and Weave will accelerate the growth of the market.” – Ryan Collins-Swartz, co-executive director of Tapestry Community Capital

    Weave expects Realize Capital Partners to be its first and lead investor. Realize Capital Partners works to grow Canada’s social finance sector and is one of three organizations chosen by the Government of Canada to distribute funds from the $755 million Social Finance Fund.

    “Through Realize Fund I, we are excited to play a role as an anchor investor in the Weave Community Capital Fund. The Fund has the potential to accelerate the development of community-based investments across the country and in a variety of sectors ranging from affordable housing to the arts. Having seen many individual community bond offerings, we were excited by the innovative opportunity for a diversified vehicle to invest in this market while complementing individual, retail impact investors.” – Lars Boggild, Portfolio Manager, Realize Fund I

    “To build Canada strong, we must invest in what matters most: Canadians. Investments in the Social Finance Fund are making a real difference by providing Canadians with equitable opportunities to launch and scale their mission-driven businesses, like Weave Community Capital Fund. In only two years, the Social Finance Fund has supported over 80 businesses, with investments totalling more than $250 million, and this is just the beginning.” – The Honourable Patty Hajdu, Minister of Jobs and Families and Minister responsible for the Federal Economic Development Agency for Northern Ontario

    Weave plans to close its first round of funding in July, with a second round to close out the $30 million target in fall 2025.

    About Tapestry Community Capital
    Tapestry supports nonprofits and cooperatives through the process of raising community bonds, financing affordable housing, community arts venues, community-owned renewable energy infrastructure, and more. Launched six years ago, to date Tapestry has helped issuers raise over $110 million from more than 4,000 community investors. Learn more at tapestrycapital.ca.

    About Weave Community Capital
    Weave Community Capital Inc., founded by the team behind Tapestry Community Capital, is the general partner of Weave Community Capital Fund LP. Learn more at weavefund.ca.

    About Realize Capital Partners
    Realize Capital Partners is a fund-of-funds manager for the Government of Canada’s Social Finance Fund, an initiative to strengthen social purpose organizations and accelerate the growth of Canada’s social finance market. Realize Capital Partners is powered by impact investment management firm Rally Assets. Learn more at realizecapitalpartners.ca.

    This press release is not, and under no circumstance is to be construed as an offering memorandum, an advertisement or a public offering of any securities described herein. Under no circumstances is this press release is to be construed as an offer to sell securities or the provision of advice in relation to any securities. Any offer or sale of any securities described in this press release will be made pursuant to through definitive legal documentation, which may differ from the information provided in this press release. No Canadian securities regulatory authority has reviewed or in any way passed upon the information contained in this press release or the merits of any securities described in this press release, and any representation to the contrary is an offence. The Fund is not subject to the same or similar regulatory requirements as mutual funds or other more regulated collective investment vehicles.

    This press release contains forward-looking information within the meaning of Canadian securities laws. Forward-looking Information in this press release include, without limitation, the size of the Fund, the investment from Realize Capital Partners, statements regarding the launch of the Fund, including the date of the first or any subsequent closings and the Fund’s ability to identify opportunities for investment by the Fund. With respect to the forward-looking information contained in this press release, the Fund has made numerous assumptions regarding, among other things, the availability of community bond and community loan opportunities for investment. While the Fund considers these assumptions to be reasonable, these assumptions are inherently subject to significant business, economic, competitive, market and social uncertainties and contingencies. All forward-looking information herein are qualified in their entirety by this cautionary statement, and the Fund disclaims any obligation to revise or update any such forward-looking information or to publicly announce the result of any revisions to any of the forward-looking information contained herein to reflect future results, events or developments, except as required by law.

    The information herein is subject to change without notice, and while it is believed to be accurate as of the date presented, no representations or warranties are made regarding its completeness or accuracy.

    The MIL Network

  • MIL-OSI United Nations: IAEA and Romania to Launch Global Nuclear Emergency Response Exercise

    Source: International Atomic Energy Agency (IAEA)

    Fire trucks and an emergency response helicopter are positioned to provide support during a national nuclear emergency exercise in Romania in October 2023. (Photo: C. Torres Vidal/IAEA)

    The International Atomic Energy Agency (IAEA) and Romania will launch tomorrow, 24 June, the world’s largest and most complex international nuclear emergency exercise, simulating a severe accident at Romania’s Cernavodă Nuclear Power Plant.

    Such exercises are held every three to five years and are based on simulated events hosted by IAEA Member States.

    Over two days, more than 75 countries and 10 international organizations will take part in the ConvEx-3 (2025)—a full-scale exercise designed to test global readiness for a nuclear or radiological emergency with cross-border consequences. Participation will occur both on-site in Romania and remotely from other countries.

    As nuclear use expands globally, its success hinges on strong safety standards and constant vigilance, said IAEA Director General Rafael Mariano Grossi. “This exercise is a clear demonstration of the international community’s commitment to protect people and the environment by working together, across borders and systems, when every minute counts.”

    “Hosting ConvEx-3 is both a responsibility and an opportunity for Romania,” said Cantemir Ciurea-Ercău, President, National Commission for Nuclear Activities Control (CNCAN). “Two decades after we hosted the first ConvEx-3, we are proud to again contribute to strengthening global nuclear emergency preparedness. In today’s interconnected world, effective preparedness must transcend borders—this exercise reflects our shared commitment to safety, cooperation and transparency.”

    Romania, bordering five countries, last hosted such an exercise in 2005. Cernavodă is the country’s only nuclear power plant, situated roughly 160 kilometres east of Bucharest, close to the Black Sea. During the 36-hour exercise, participants will simulate real-time decisions, emergency communications and international coordination under the Convention on Early Notification of a Nuclear Accident (Early Notification Convention) and the Convention on Assistance in the Case of a Nuclear Accident or Radiological Emergency (Assistance Convention). These will include protective actions such as simulated evacuation and iodine distribution, public outreach and communication, medical response coordination, and the management of food and trade restrictions based on radiological assessments.

    The IAEA will activate its Incident and Emergency Centre (IEC) and test critical tools like the Unified System for Information Exchange (USIE), a secure platform for designated contact points from IAEA Member States, and the International Radiation Monitoring System (IRMIS) platform. Member States will also activate their national emergency centres, request or offer assistance, share monitoring data, and coordinate cross-border protective actions and messaging to their populations.

    The ConvEx-3 (2025) was developed by SNN Nuclearelectrica and CNCAN, with international coordination by the Inter-Agency Committee on Radiological and Nuclear Emergencies (IACRNE), which includes the World Health Organization, World Meteorological Organization, European Commission, Food and Agriculture Organization of the United Nations, INTERPOL and others.

    About Convention Exercises

    Convention Exercises, or ConvEx, are held to test the operational arrangements of the Early Notification Convention and the Assistance Convention.  The goal is to evaluate and further improve the international framework for emergency preparedness and response. ConvEx are prepared at three levels of complexity:

    • ConvEx-1 is designed to test emergency communication links with contact points in Member States that need to be available 24 hours a day, seven days a week, and to test the response times of these contact points.
    • ConvEx-2 is designed to test specific parts of the international framework for emergency preparedness and response, for example to rehearse the appropriate use of communication procedures; to practice procedures for international assistance; and to test the arrangements and tools used for assessment and prognosis in a nuclear or radiological emergency.
    • ConvEx-3 is a full-scale exercise designed to evaluate international emergency response arrangements and capabilities for a severe nuclear or radiological emergency over several days, regardless of its cause.

    Photos from the ConvEx-3 will be made available here.

    MIL OSI United Nations News

  • MIL-OSI Security: Mexican National Admits to Possessing with the Intent to Distribute Heroin, Among Other Charges in the District of Utah

    Source: US FBI

    SALT LAKE CITY, Utah – A Mexican National, living in the United States illegally, pleaded guilty in court today to drug, firearm, and immigration crimes in the District of Utah.

    Kevin Enrique Sanchez-Carrillo, 25, a Mexican native and citizen, living illegally in Draper, Utah, was initially indicted on April 8, 2025. On May 20, 2025, a felony information was filed charging Sanchez-Carrillo with possession of heroin with intent to distribute, alien in possession of a firearm, eluding examination or inspection by immigration officers, and failure to register.

    According to court documents and admissions made at Sanchez-Carrillo’s change of plea hearing, on April 3, 2025, law enforcement executed search warrants on Sanchez-Carrillo’s apartment in Draper, Utah and his vehicle. During the search of his apartment, law enforcement located, among other things, 100 grams or more of field-tested heroin, a Smith and Wesson 9MM handgun, ammunition, and $7,750 in United States currency. Sanchez-Carrillo admitted that he knowingly possessed and intended to distribute the heroin for profit and that he knew he was restricted from possessing the firearm, which affected interstate commerce, as an alien illegally and unlawfully in the United States.  

    Additionally, court documents reveal that Sanchez-Carrillo admitted that he entered the United States on or after December 14, 2023, and eluded examination and inspection by immigration officers until his apprehension on April 3, 2025. Sanchez-Carrillo also admitted that after being in the United States illegally for 30 days or longer, he deliberately failed to apply for registration. Court documents reveal that Sanchez-Carrillo had not applied for registration at the time he was found by immigration officers in Salt Lake County, Utah, and remains unregistered.

    Sanchez-Carrillo is scheduled to be sentenced September 4, 2025, at 10:30 a.m. in courtroom 3.4 before a U.S. District Court Judge at the Orrin G. Hatch United States District Courthouse in downtown Salt Lake City.

    Acting United States Attorney Felice John Viti of the District of Utah made the announcement.

    The case is being investigated jointly by the FBI Salt Lake City Field Office and Immigration and Customs Enforcement and Removal Operations (ICE-ERO).

    The U.S. Attorney’s Office for the District of Utah is prosecuting the case.

    This case is part of Operation Take Back America, a nationwide initiative that marshals the full resources of the Department of Justice to repel the invasion of illegal immigration, achieve the total elimination of cartels and transnational criminal organizations (TCOs), and protect our communities from the perpetrators of violent crime. Operation Take Back America streamlines efforts and resources from the Department’s Organized Crime Drug Enforcement Task Forces (OCDETF) and Project Safe Neighborhoods (PSN).

    MIL Security OSI

  • MIL-OSI USA: Bowman, Unintended Policy Shifts and Unexpected Consequences

    Source: US State of New York Federal Reserve

    Thank you for the invitation to join you today.1 As the Federal Reserve’s Vice Chair for Supervision, I am responsible for, among other things, leading the Board’s Division of Supervision and Regulation in its work to promote the safe and sound operation of the U.S. banking system. While this includes the specific activities of bank supervision and regulation, the financial system reaches far beyond the banking system. Regulators must also monitor the effects of activities that extend outside this perimeter, for example activities that have migrated from banks to non-banks, or when there are broader market implications of regulatory actions and their potential effects on financial stability. Regulations should not be created in a static world of “set it and forget it.”
    Today, my remarks will focus specifically on how the passage of time—with underlying changes in the composition of the economy and the financial system, interest rate shifts, and patterns and preferences of banking and financial activity—can lead to unintended policy application and unexpected consequences. Regulators should consider these broader evolving dynamics as they craft regulations to endure beyond today’s circumstances.
    Typically, these effects are not contemplated in the scope of the usual cost-benefit analysis, as shifts occur over time after a new rule or regulation is implemented or enacted. But shifts can, in effect, become new policy choices with consequences that can pose significant issues.
    One shift in particular is that of the supplementary leverage ratio increasingly becoming the binding capital constraint for the largest banks in the United States. The U.S. banking system includes two basic types of capital requirements: risk-based requirements that impose a capital “charge” based on the underlying risk of a particular activity, and leverage-based requirements that do not differentiate based on the risk characteristics of underlying assets. And while leverage-based capital requirements are generally intended to operate as a backstop to risk-based requirements, changes in the financial system and the broader economy can alter this relationship between capital requirements. This shift in the nature of leverage-based capital requirements, from backstop to binding constraint, was not driven by a deliberate policymaking process, but rather by the maintenance of a high level of reserves in the banking system, as well as the introduction of liquidity requirements that compelled banks to replace loans with high-quality liquid assets.2
    Monetary Policy and Economic OutlookBefore turning to the main theme of my remarks, I would like to give a brief update on my outlook for the economy and monetary policy.
    At the Federal Open Market Committee (FOMC) meeting last week, the Committee voted to maintain the target range for the federal funds rate at 4-1/4 to 4‑1/2 percent and to continue to reduce the Federal Reserve’s securities holdings. I supported this decision because the data shows a solid labor market and I would like to see further confirmation that inflation is close to our 2 percent target on a sustained basis.
    If inflation remains near its current level or continues to move closer to our target, or if the data show signs of weakening in labor market conditions, it would be appropriate to consider lowering the policy rate, moving it closer to a neutral setting.
    At this point, we have not seen significant economic impacts from trade developments or other factors, and the U.S. economy has continued to be resilient despite some slowing in economic growth. Private domestic final purchases (PDFP) growth slowed to a moderate pace in the first quarter, even as activity was partly boosted by a pull-forward of spending on motor vehicles and high-tech equipment ahead of the implementation of tariffs. Although the pull-forward of spending appears to be unwinding, retail and motor vehicle sales through May provide further evidence that PDFP has softened so far this year.
    The labor market appears to remain solid, with payroll employment rising about 140,000 per month, on average, in April and May, only slightly below the average monthly gains over the past two quarters. This pace of job gains appears consistent with the unemployment rate remaining at a low 4.2 percent through May, which is roughly unchanged since the middle of last year.
    The labor market appears to be stable near estimates of full employment, with layoffs remaining low. The number of job openings relative to job seekers has moved roughly sideways since the middle of last year at, or a touch below, the pre-pandemic level. And the labor market no longer appears to be especially tight or a significant source of inflation pressures, as most wage growth measures have slowed closer to a pace consistent with 2 percent inflation.
    Turning to inflation, we have seen a welcome return to further moderation of personal consumption expenditures (PCE) inflation over the past three months. The May consumer and producer price reports suggest that 12-month core PCE inflation stood at 2.6 percent in May, down meaningfully from its elevated reading of 2.9 percent at the end of last year. Similar to the past two years, elevated monthly inflation readings in January and February have been followed by low readings as we move into the spring.
    On a 12-month basis, core PCE goods inflation has picked up somewhat since last December, but this has been more than offset by a considerable slowing in core PCE services inflation. It appears that any upward pressure from higher tariffs on goods prices is being offset by other factors and that the underlying trend in core PCE inflation is moving much closer to our 2 percent target than is currently apparent in the data. With housing services inflation on a sustained downward trajectory, and other core services inflation already consistent with 2 percent inflation, only core goods inflation remains somewhat elevated likely reflecting limited passthrough from tariffs.
    With economic growth slowing, it is possible that recent softness in aggregate demand could be starting to translate into weaker labor market conditions. While still strong, the labor market appears to be less dynamic, with modest hiring rates, layoffs edging up from low levels, and job gains concentrated in just a few industries. With inflation on a sustained trajectory toward 2 percent, softness in aggregate demand, and signs of fragility in the labor market, I think that we should put more weight on downside risks to our employment mandate going forward.
    Despite progress on lowering inflation, there are potential upside risks if negotiations result in higher tariffs or if firms raise goods prices independent of any tariff pass-through. Although we have not seen evidence of disruptive impacts on supply chains, changes in global trade patterns could lead to an increase in prices for goods and services. The current conflict in the Middle East or other geopolitical tensions could also lead to higher commodity prices.
    I am certainly attentive to these inflation risks, but I am not yet seeing a major concern, as some retailers seem unwilling to raise prices for essentials due to high price sensitivity among low-income consumers and as supply chains appear to be largely unaffected so far.
    Measures of policy and economic uncertainty have receded from recent highs, and measures of consumer and business sentiment have also improved in recent weeks after having dropped considerably. These developments reinforce my view that concerns will subside as more clarity emerges on trade policy. Businesses appear to be resuming investment and hiring decisions, as they feel increasingly confident that less favorable trade outcomes are unlikely to occur.
    I remain focused on how new policies evolve and whether future data releases will provide perspective about their economic impacts. On trade policy, I expect that negotiations will ultimately result in lower tariff rates than are currently in place, consistent with the resumption of financial market optimism. Further, should we see effects on inflation this year, I expect that increased slack in the economy will limit this to a small, one-off impact.
    Small and one-off price increases this year should translate only into a small drag on real activity. I also expect that less restrictive regulations, lower business taxes, and a more friendly business environment will likely boost supply and largely offset any negative effects on economic activity and prices.
    In considering the risks to achieving our dual mandate, I fully supported the revised characterization of uncertainty and the balance of risks in our most recent monetary policy statement, pointing to the diminished uncertainty and removing the emphasis on risks to both sides of our mandate. In my view, it was appropriate to recognize that the balance of risks has shifted. In fact, the data have not shown clear signs of material impacts from tariffs and other policies. I think it is likely that the impact of tariffs on inflation may take longer, be more delayed, and have a smaller effect than initially expected, especially because many firms front-loaded their stocks of inventories. And, all considered, ongoing progress on trade and tariff negotiations has led to an economic environment that is now demonstrably less risky. The change in our monetary policy statement appropriately incorporates this shift in the balance of risks as well as the rapid improvement in many measures of uncertainty.
    As we think about the path forward, it is time to consider adjusting the policy rate. As inflation has declined or come in below expectations over the past few months, we should recognize that inflation appears to be on a sustained path toward 2 percent and that there will likely be only minimal impacts on overall core PCE inflation from changes to trade policy. We should also recognize that downside risks to our employment mandate could soon become more salient, given recent softness in spending and signs of fragility in the labor market.
    Before our next meeting in July, we will have received one additional month of employment and inflation data. If upcoming data show inflation continuing to evolve favorably, with upward pressures remaining limited to goods prices, or if we see signs that softer spending is spilling over into weaker labor market conditions, such developments should be addressed in our policy discussions and reflected in our deliberations. Should inflation pressures remain contained, I would support lowering the policy rate as soon as our next meeting in order to bring it closer to its neutral setting and to sustain a healthy labor market. In the meantime, I will continue to carefully monitor economic conditions as the Administration’s policies, the economy, and financial markets continue to evolve.
    It is important to note that monetary policy is not on a preset course. At each FOMC meeting, my colleagues and I will make our decisions based on the incoming data and the implications for and risks to the outlook, guided by the Fed’s dual-mandate goals of maximum employment and stable prices. I will also continue to meet with a broad range of contacts as I assess the appropriateness of our monetary policy stance.
    Bringing inflation in line with our price-stability goal is essential for sustaining a healthy labor market and fostering an economy that works for everyone in the longer run.
    Policy Shifts and Unintended ConsequencesIn my responsibilities over bank regulation and supervision at the Federal Reserve, I intend to apply a pragmatic approach. We will review data and evidence, identify problems that need to be resolved, and develop efficient solutions to address those identified issues.3 While the regulatory authority of the Federal Reserve is primarily related to the banking system, the consequences of banking regulation and supervisory efforts are not limited to the banking system. Bank regulation and supervision affect how financial activities are conducted, the cost and availability of credit and financial services, and even what types of entities provide those services. While it is important to consider the consequences of regulatory actions as they evolve over time, in cases where regulation may create or exacerbate financial stability risks, we must examine whether those risks are justified by the safety and soundness benefits of the regulation.
    Bank-affiliated broker-dealers play a critical role in U.S. capital markets, including in Treasury market intermediation activities. Today I will discuss the lessons we have learned about how bank regulatory requirements, specifically leverage ratios in the United States, can have unintended consequences. Leverage ratio impacts on bank-affiliated broker-dealers can have broader impacts, including market impacts like those observed in Treasury market intermediation activities. Once we’ve identified “emerging” unintended consequences—issues that were not contemplated during the development of a regulatory approach—we must consider how to revisit earlier regulatory and policy decisions.
    As I will discuss in greater detail shortly, regulators must act quickly to address the growing problems with increasingly binding leverage ratios. In 2021, in connection with the expiration of temporary, emergency changes to the supplementary leverage ratio (SLR), the Federal Reserve committed to “soon” inviting public comment on potential modifications.4 Over four years later, a proposal has not been issued, and problems with Treasury market intermediation continue to emerge. The time has come for the federal banking agencies to revisit leverage ratios and their impacts on the Treasury markets.
    Looking at the Data: Treasury Market FunctioningAs a first step in this pragmatic approach, it is important to look at what the data says about Treasury market functioning. This is a necessary first step before we determine whether there are issues or problems that can be addressed through adjustments to bank regulatory requirements.
    A review of Treasury market data provides a history of growing issues with Treasury market functioning. In recent years, U.S. policy debates have highlighted the need to take preventative measures to ensure smooth market functioning. One issue that continues to persist is low levels of Treasury market liquidity as the Board’s semiannual Financial Stability Report noted.5 In addition, some dealers experienced balance sheet pressure in intermediating record volumes of Treasury market transactions in the spring, at a time when reports from market participants also indicated reduced demand from other Treasury investors.6
    A survey of market participants from the Fed’s most recent Financial Stability Report noted that more than a quarter of respondents cited Treasury market functioning as a risk to the U.S. financial system and the broader global economy. This was an increase from the same survey conducted last fall when 17 percent of those surveyed cited Treasury market functioning as a risk.7
    Recent changes to Treasury market clearing activities from the Securities and Exchange Commission’s central clearing requirement for U.S. Treasuries were implemented to improve Treasury market functioning. Once fully implemented, these changes may improve market functioning. The Federal Reserve’s Standing Repo Facility may also help to promote smooth functioning in the Treasury market. But it is unclear how the ongoing increases in the volume of Treasury issuance, the volume of Treasury securities outstanding, and changes to the Fed’s balance sheet over time, may also affect market liquidity.
    Treasury markets have experienced stress events as recently as the September 2019 repo market stress, and the so-called “dash for cash” in March of 2020. In early April, we also saw strains in Treasury cash markets. Although markets continued to function, there were unexpected moves in Treasury yields, with an initial drop in yields followed by a sharp increase that seems to have been driven in part by the unwinding of the swap spread trade by leveraged investors in response to declining swap spreads.
    We do not know exactly what circumstances may lead to a future stress event or how it will manifest, and continuing to impose unwarranted limits on dealers’ intermediation capacity could exacerbate a future stress event in this critical market. But we do know that these events have raised concerns about the resilience of U.S. Treasury markets. Therefore, we should continue to actively monitor indicators of market functioning. Recent trends in both market liquidity indicators and survey responses suggest that this problem has persisted and may be becoming more severe. Low liquidity can create more volatility in prices, exacerbate the effects of market shocks, and threaten market functioning.
    Identifying the Problem: Looking Beyond Treasury Market IntermediationLarge bank-affiliated primary dealers play a vital role in the intermediation of U.S. Treasury markets. These dealers are subject to, not insulated from, the effect of banking regulation. While many factors can affect market liquidity, including the growing volume of Treasury issuance, Treasury market saturation, and interest rate volatility, we must consider whether some of the pressure is a byproduct of bank regulation. Due to the role of large banks in the intermediation of Treasury markets, there is a direct link between banking regulation and Treasury market liquidity, particularly when it comes to the growth of “safe” assets in the banking system and the increase in leverage-based capital requirements becoming the binding capital constraint on some large banks. In 2018, the Federal Reserve along with the Office of the Comptroller of the Currency (OCC) proposed significant changes to the enhanced supplementary leverage ratio (eSLR) that applies to the largest banks.8 These revisions were never finalized, but the intent behind them was to return the eSLR to its traditional role as a backstop capital requirement instead of what has become a substantial balance sheet constraint.
    The proposed change was designed to promote resilience in the banking system and to protect financial stability, while also maximizing credit availability and economic growth throughout the credit cycle.9 During the COVID-19 pandemic, the Federal Reserve addressed constraints on the ability of U.S. banks to support efficient Treasury market functioning by temporarily excluding Fed reserves and Treasuries from the denominator of the SLR.10
    The central role of bank-affiliated broker-dealers in Treasury market intermediation has led us to take a close look at bank regulatory requirements to clarify how these requirements, particularly their calibration, may impact Treasury market functioning. Although designed to address low risk activities, like Treasury market intermediation, leverage ratios have become increasingly binding as a bank capital constraint as market conditions change.
    While issues around the use of leverage ratios require close examination, a solid capital foundation in the banking system is critical to support safety and soundness and financial stability. Revisiting the calibration of leverage ratios to ensure that they remain backstops instead of creating binding constraints, especially in times of stress, should not be interpreted as a critique of the role of capital in a robust regulatory and supervisory framework.
    But to be clear, the consequences of an overly restrictive leverage ratio go well beyond just Treasury market intermediation, and impact a wide range of low-risk activities. Leverage capital requirements do not differentiate between the risk of different asset classes or exposures.
    However, in periods when bank balance sheets are expanding—like the significant deposit inflows during COVID-19—leverage capital requirements can unintentionally become the binding constraint on both banks and their affiliates. This increases the amount of required capital as bank balance sheets grow, regardless of the underlying risk. When constrained in this way, bank-affiliated primary dealers may pull back on the market intermediation of low-risk assets like U.S. Treasuries. A binding leverage capital requirement can create perverse incentives for banks to shift their balance sheets into higher risk assets, since doing so could generate larger returns without requiring additional capital. This is simply a cause and effect of overly restrictive leverage capital.
    The fact of leverage ratios becoming increasingly binding is evident in simple metrics like the ratio of risk-weighted assets to total leverage exposure. These are, respectively, the denominators of risk-based capital ratios and the SLR. Shortly after the SLR was adopted in the U.S. in the mid-2010s, this ratio stood at 48 percent in the aggregate for the eight largest U.S. banks, the global systemically important banks (G-SIBs). Since then, the ratio of risk-weighted assets to total leverage exposure has declined and currently stands at 40 percent, primarily due to higher reserves and other types of high-quality liquid assets on bank balance sheets. This downward trend results in the SLR increasingly becoming the binding constraint and reflects banks’ growing holdings of high-quality liquid assets, most of which carry a risk weight of zero under risk-based capital ratios but have a 100 percent weighting under leverage capital ratios.
    Efficient SolutionsOne example of the SLR’s unintended consequence is the erosion of liquidity in U.S. Treasury markets because it is driven, in part, by leverage ratio requirements increasingly becoming the binding constraints on the largest U.S. banks. This example also illustrates the necessity of evaluating tradeoffs in regulation and speaks to a larger issue with the calibration of leverage.
    The banking regulators are uniquely positioned to both analyze and remediate components of the bank regulatory framework that may disrupt banks’ participation in low-risk, but economically critical activities. This includes the exacerbation of Treasury market illiquidity. Treasury markets play a critical role in the U.S. and global financial systems, and we should be proactive in addressing the unintended consequences of bank regulation, while ensuring the framework continues to promote safety, soundness, and financial stability.11 We should start by addressing potential constraints on Treasury market functioning before issues arise, lessening impacts from stress, and mitigating the need to intervene in future market events.
    On Wednesday, the Board is scheduled to consider specific amendments to the eSLR, which is the requirement that applies at both the holding company and bank levels of the largest U.S. banks. While I do not want to front-run the proposal, I will note that the proposal’s goal is to address a long-identified—and growing—problem with the calibration of this leverage requirement. The proposal would solicit public comment on the impacts of this miscalibration, potential fixes, and work to develop an appropriate and effective solution. This proposal takes a first step toward what I view as long overdue follow-up to review and reform what have become distorted capital requirements. This proposal, while meaningful, addresses only one element of the capital framework. More work on capital requirements remains, especially to consider how they have evolved and whether changes in market conditions have revealed issues that should be addressed.
    In a few weeks, on July 22, the Federal Reserve will host a conference to bring together a wide range of thought leaders to discuss the U.S. bank capital framework, including the design and calibration of leverage ratios. Fixing the design and calibration of leverage capital requirements will not resolve every issue with U.S. Treasury market functioning. But, simple reforms to return leverage ratio requirements to their traditional role as a capital backstop could improve Treasury market functioning by building resilience in advance of future stress events. And this could reduce the chances that we would need to intervene in Treasury markets should a future stress event arise. While we know well the issues created by the eSLR, there are many potential improvements that could address other issues within the capital framework.
    As I have noted previously, a broader set of reforms could include amending not only the leverage capital ratio, but also G-SIB surcharge requirements. We should also reconsider capital requirements for a wider range of banks, including the SLR’s application to banks with more than $250 billion in assets, Tier 1 leverage requirements, and the calibration of the community bank leverage ratio.
    The unintended shift over time in the eSLR increasingly becoming a binding capital constraint demonstrates that we need to think about regulatory policies in a dynamic way based on the evolution in the banking and financial systems, and the broader economy.
    Other examples of regulations that must take into account the impact of economic growth and inflation include elements of the G-SIB surcharge, as well as regulatory thresholds that define the broader categories of banks. Thresholds like the $10 billion definition of a “community bank” and the $700 billion in total assets and $75 billion for cross-jurisdictional activity separating Category II and III banks determine which regulatory requirements apply to each group.
    One way to prevent the original calibration from becoming divorced from the foundational policy decisions over time is to index the relevant G-SIB surcharge coefficients and regulatory thresholds to nominal gross domestic product. While approaches like indexing thresholds and requirements can make our regulations more robust and durable over time, we should also acknowledge the essential role of supervision as a tool to promote safety and soundness, and financial stability. Just as our capital requirements are intended to operate in a complementary manner, so do regulation and supervision act in a complementary way.
    These are only a handful of relevant examples, but they are representative of an effective approach to regulatory reform. Regulations should not be created in a static world of “set it and forget it.” The economy evolves over time, as do the banking and financial systems and the needs of businesses and consumers.
    Increasingly, regulators are expected to conduct a more thorough and detailed analysis as part of the ordinary rulemaking process, which includes a proposal’s costs and benefits. Yet, over time, we tend to devote fewer resources to the work of conducting maintenance of our regulations. Maintenance of the regulatory system should include reviewing the basis for earlier policy decisions, considering whether the policies embedded in regulations have been distorted over time through market developments, and examining whether emerging issues in the market should lead to further review and revision.
    Closing ThoughtsThank you for the opportunity to join you today and to provide my views on the U.S. economic outlook and current regulatory proposals. In the United States, regulatory policy objectives are prescribed by law, and bank regulators focus primarily on promoting the safe and sound operation of U.S. banks, and financial stability. Despite this limited purpose, we must understand the consequences of regulations, which can extend well beyond the banking system. Recent trends—including providing more fact-based and analytical support for proposals—are a positive step in achieving responsible regulation.
    But we need a broad commitment to follow the approach I have just described. We must consider relevant data and information, identify the source of any problems or opportunity for greater efficiency, and then develop targeted and effective policy solutions and approaches.

    1. The views expressed here are my own and are not necessarily those of my colleagues on the Federal Reserve Board or the Federal Open Market Committee. Return to text
    2. See 12 CFR 249.3; 249.20 (defining categories of high-quality liquid assets based on asset characteristics). Return to text
    3. See Michelle W. Bowman, “Taking a Fresh Look at Supervision and Regulation (PDF),” (speech at the Georgetown University McDonough School of Business, Psaros Center for Financial Markets Policy, Washington, D.C., June 6, 2025). Return to text
    4. Board of Governors of the Federal Reserve System, “Federal Reserve Board Announces that the Temporary Change to its Supplementary Leverage Ratio (SLR) for Bank Holding Companies Will Expire as Scheduled on March 31,” press release, March 19, 2021, (“To ensure that the SLR—which was established in 2014 as an additional capital requirement—remains effective in an environment of higher reserves, the Board will soon be inviting public comment on several potential SLR modifications. The proposal and comments will contribute to ongoing discussions with the Department of the Treasury and other regulators on future work to ensure the resiliency of the Treasury market.”). Return to text
    5. See Board of Governors of the Federal Reserve System, Financial Stability Report (PDF) (Washington, D.C., April 2025), 10–11. Return to text
    6. Board of Governors, Financial Stability Report, at 32. Return to text
    7. See Board of Governors, Financial Stability Report, at 3. Return to text
    8. See Office of the Comptroller of the Currency and Federal Reserve System (2018), “Regulatory Capital Rules: Regulatory Capital, Enhanced Supplementary Leverage Ratio Standards for U.S. Global Systemically Important Bank Holding Companies and Certain of Their Subsidiary Insured Depository Institutions; Total Loss-Absorbing Capacity Requirements for U.S. Global Systemically Important Bank Holding Companies,” Federal Register, vol. 83 (April 19), pp. 17317–27. Return to text
    9. See Office of the Comptroller of the Currency and Federal Reserve System (2018), “II. Revisions to the Enhanced Supplementary Leverage Ratio Standards,” Federal Register, vol. 83 (April 19), p. 17319, paragraph 3: “Leverage capital requirements should generally act as a backstop to the risk-based requirements. If a leverage ratio is calibrated at a level that makes it generally a binding constraint through the economic and credit cycle, it can create incentives for firms to reduce participation in or increase costs for low-risk, low-return businesses.” Return to text
    10. See, for example, Federal Reserve System (2020), “Temporary Exclusion of U.S. Treasury Securities and Deposits at Federal Reserve Banks from the Supplementary Leverage Ratio (PDF),” Federal Register, vol. 85, (April 14), pp. 20578–79. Return to text
    11. For more information, see the press release in note 4 indicating that the Board would seek comment on changes to the SLR. Return to text

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