
11
FORESIGHT-AND HINDSIGHT
In composing this narrative, we have tried to remember
that we write with the benefit and the handicap of hindsight. Hindsight
can sometimes see the past clearly-with 20/20 vision. But the path of what
happened is so brightly lit that it places everything else more deeply
into shadow. Commenting on Pearl Harbor, Roberta Wohlstetter found it
"much easier after the event to sort the relevant from the
irrelevant signals. After the event, of course, a signal is always crystal
clear; we can now see what disaster it was signaling since the disaster
has occurred. But before the event it is obscure and pregnant with
conflicting meanings."1
As time passes, more documents become available, and the
bare facts of what happened become still clearer. Yet the picture of
how those things happened becomes harder to reimagine, as that past
world, with its preoccupations and uncertainty, recedes and the remaining
memories of it become colored by what happened and what was written about
it later. With that caution in mind, we asked ourselves, before we judged
others, whether the insights that seem apparent now would really have been
meaningful at the time, given the limits of what people then could
reasonably have known or done.
We believe the 9/11 attacks revealed four kinds of
failures: in imagination, policy, capabilities, and management.
Historical Perspective
The 9/11 attack was an event of surpassing
disproportion. America had suffered surprise attacks before-Pearl Harbor
is one well-known case, the 1950 Chinese attack in Korea another. But
these were attacks by major powers.
While by no means as threatening as Japan's act of war,
the 9/11 attack was in some ways more devastating. It was carried out by a
tiny group of people, not enough to man a full platoon. Measured on a
governmental scale, the resources behind it were trivial. The group itself
was dispatched by an organization based in one of the poorest, most
remote, and least industrialized countries on earth. This organization
recruited a mixture of young fanatics and highly educated zealots who
could not find suitable places in their home societies or were driven from
them.
To understand these events, we attempted to reconstruct
some of the context of the 1990s. Americans celebrated the end of the Cold
War with a mixture of relief and satisfaction. The people of the United
States hoped to enjoy a peace dividend, as U.S. spending on national
security was cut following the end of the Soviet military threat.
The United States emerged into the post-Cold War world
as the globe's preeminent military power. But the vacuum created by the
sudden demise of the Soviet Union created fresh sources of instability and
new challenges for the United States. President George H.W. Bush dealt
with the first of these in 1990 and 1991 when he led an international
coalition to reverse Iraq's invasion of Kuwait. Other examples of U.S.
leaders' handling new threats included the removal of nuclear weapons from
Ukraine, Belarus, and Kazakhstan; the Nunn-Lugar threat reduction program
to help contain new nuclear dangers; and international involvement in the
wars in Bosnia and Kosovo.
America stood out as an object for admiration, envy, and
blame. This created a kind of cultural asymmetry. To us, Afghanistan
seemed very far away. To members of al Qaeda, America seemed very close.
In a sense, they were more globalized than we were.
Understanding the Danger
If the government's leaders understood the gravity of
the threat they faced and understood at the same time that their policies
to eliminate it were not likely to succeed any time soon, then history's
judgment will be harsh. Did they understand the gravity of the threat?
The U.S. government responded vigorously when the attack
was on our soil. Both Ramzi Yousef, who organized the 1993 bombing of the
World Trade Center, and Mir Amal Kansi, who in 1993 killed two CIA
employees as they waited to go to work in Langley, Virginia, were the
objects of relentless, uncompromising, and successful efforts to bring
them back to the United States to stand trial for their crimes.
Before 9/11, al Qaeda and its affiliates had killed
fewer than 50 Americans, including the East Africa embassy bombings and
the Cole attack. The U.S. government took the threat seriously,
but not in the sense of mustering anything like the kind of effort that
would be gathered to confront an enemy of the first, second, or even third
rank. The modest national effort exerted to contain Serbia and its
depredations in the Balkans between 1995 and 1999, for example, was orders
of magnitude larger than that devoted to al Qaeda.
As best we can determine, neither in 2000 nor in the
first eight months of 2001 did any polling organization in the United
States think the subject of terrorism sufficiently on the minds of the
public to warrant asking a question about it in a major national survey.
Bin Ladin, al Qaeda, or even terrorism was not an important topic in the
2000 presidential campaign. Congress and the media called little attention
to it.
If a president wanted to rally the American people to a
warlike effort, he would need to publicize an assessment of the growing al
Qaeda danger. Our government could spark a full public discussion of who
Usama Bin Ladin was, what kind of organization he led, what Bin Ladin or
al Qaeda intended, what past attacks they had sponsored or encouraged, and
what capabilities they were bringing together for future assaults. We
believe American and international public opinion might have been
different--and so might the range of options for a president--had they
been informed of these details. Recent examples of such debates include
calls to arms against such threats as Serbian ethnic cleansing, biological
attacks, Iraqi weapons of mass destruction, global climate change, and the
HIV/AIDS epidemic.
While we now know that al Qaeda was formed in 1988, at
the end of the Soviet occupation of Afghanistan, the intelligence
community did not describe this organization, at least in documents we
have seen, until 1999. A National Intelligence Estimate distributed in
July 1995 predicted future terrorist attacks against the United States-and
in the United States. It warned that this danger would increase
over the next several years. It specified as particular points of
vulnerability the White House, the Capitol, symbols of capitalism such as
Wall Street, critical infrastructure such as power grids, areas where
people congregate such as sports arenas, and civil aviation generally. It
warned that the 1993 World Trade Center bombing had been intended to kill
a lot of people, not to achieve any more traditional political goal.
This 1995 estimate described the greatest danger as
"transient groupings of individuals" that lacked "strong organization but
rather are loose affiliations." They operate "outside traditional circles
but have access to a worldwide network of training facilities and
safehavens."2 This was an excellent summary of the emerging
danger, based on what was then known.
In 1996-1997, the intelligence community received new
information making clear that Bin Ladin headed his own terrorist group,
with its own targeting agenda and operational commanders. Also revealed
was the previously unknown involvement of Bin Ladin's organization in the
1992 attack on a Yemeni hotel quartering U.S. military personnel, the 1993
shootdown of U.S. Army Black Hawk helicopters in Somalia, and quite
possibly the 1995 Riyadh bombing of the American training mission to the
Saudi National Guard.
The 1997 update of the 1995 estimate did not discuss the
new intelligence. It did state that the terrorist danger depicted in 1995
would persist. In the update's summary of key points, the only reference
to Bin Ladin was this sentence: "Iran and its surrogates, as well as
terrorist financier Usama Bin Ladin and his followers, have stepped up
their threats and surveillance of US facilities abroad in what also may be
a portent of possible additional attacks in the United States."3
Bin Ladin was mentioned in only two other sentences in the six-page
report. The al Qaeda organization was not mentioned. The 1997 update was
the last national estimate on the terrorism danger completed before 9/11.4
From 1998 to 2001, a number of very good analytical
papers were distributed on specific topics. These included Bin Ladin's
political philosophy, his command of a global network, analysis of
information from terrorists captured in Jordan in December 1999, al
Qaeda's operational style, and the evolving goals of the Islamist
extremist movement. Many classified articles for morning briefings were
prepared for the highest officials in the government with titles such as
"Bin Ladin Threatening to Attack US Aircraft [with antiaircraft missiles]"
(June 1998),"Strains Surface Between Taliban and Bin Ladin" (January
1999), "Terrorist Threat to US Interests in Caucasus" (June 1999), "Bin
Ladin to Exploit Looser Security During Holidays" (December 1999),"Bin
Ladin Evading Sanctions" (March 2000),"Bin Ladin's Interest in Biological,
Radiological Weapons" (February 2001), "Taliban Holding Firm on Bin Ladin
for Now" (March 2001),"Terrorist Groups Said Cooperating on US Hostage
Plot" (May 2001), and "Bin Ladin Determined to Strike in the US" (August
2001).5
Despite such reports and a 1999 paper on Bin Ladin's
command structure for al Qaeda, there were no complete portraits of his
strategy or of the extent of his organization's involvement in past
terrorist attacks. Nor had the intelligence community provided an
authoritative depiction of his organization's relationships with other
governments, or the scale of the threat his organization posed to the
United States.
Though Deputy DCI John McLaughlin said to us that the
cumulative output of the Counterterrorist Center (CTC) "dramatically
eclipsed" any analysis that could have appeared in a fresh National
Intelligence Estimate, he conceded that most of the work of the Center's
30- to 40-person analytic group dealt with collection issues.6
In late 2000, DCI George Tenet recognized the deficiency of strategic
analysis against al Qaeda. To tackle the problem within the CTC he
appointed a senior manager, who briefed him in March 2001 on "creating a
strategic assessment capability." The CTC established a new strategic
assessments branch during July 2001.The decision to add about ten analysts
to this effort was seen as a major bureaucratic victory, but the CTC
labored to find them. The new chief of this branch reported for duty on
September 10, 2001.7
Whatever the weaknesses in the CIA's portraiture, both
Presidents Bill Clinton and George Bush and their top advisers told us
they got the picture-they understood Bin Ladin was a danger. But given the
character and pace of their policy efforts, we do not believe they fully
understood just how many people al Qaeda might kill, and how soon it might
do it. At some level that is hard to define, we believe the threat had not
yet become compelling.
It is hard now to recapture the conventional wisdom
before 9/11. For example, a New York Times article in April 1999
sought to debunk claims that Bin Ladin was a terrorist leader, with the
headline "U.S. Hard Put to Find Proof Bin Laden Directed Attacks."8The
head of analysis at the CTC until 1999 discounted the alarms about a
catastrophic threat as relating only to the danger of chemical,
biological, or nuclear attack-and he downplayed even that, writing several
months before 9/11:"It would be a mistake to redefine counterterrorism as
a task of dealing with 'catastrophic,' 'grand,' or 'super' terrorism, when
in fact these labels do not represent most of the terrorism that the
United States is likely to face or most of the costs that terrorism
imposes on U.S. interests."9
Beneath the acknowledgment that Bin Ladin and al Qaeda
presented serious dangers, there was uncertainty among senior officials
about whether this was just a new and especially venomous version of the
ordinary terrorist threat America had lived with for decades, or was
radically new, posing a threat beyond any yet experienced. Such
differences affect calculations about whether or how to go to war.
Therefore, those government experts who saw Bin Ladin as
an unprecedented new danger needed a way to win broad support for their
views, or at least spotlight the areas of dispute, and perhaps prompt
action across the government. The national estimate has often played this
role, and is sometimes controversial for this very reason.10
Such assessments, which provoke widespread thought and debate, have a
major impact on their recipients, often in a wider circle of
decisionmakers. The National Intelligence Estimate is noticed in the
Congress, for example. But, as we have said, none was produced on
terrorism between 1997 and 9/11.
By 2001 the government still needed a decision at the
highest level as to whether al Qaeda was or was not "a first order
threat," Richard Clarke wrote in his first memo to Condoleezza Rice on
January 25, 2001. In his blistering protest about foot-dragging in the
Pentagon and at the CIA, sent to Rice just a week before 9/11, he repeated
that the "real question" for the principals was "are we serious about
dealing with the al Qida threat? . . . Is al Qida a big deal?"
One school of thought, Clarke wrote in this September 4
note, implicitly argued that the terrorist network was a nuisance that
killed a score of Americans every 18-24 months. If that view was credited,
then current policies might be proportionate. Another school saw al Qaeda
as the "point of the spear of radical Islam." But no one forced the
argument into the open by calling for a national estimate or a broader
discussion of the threat. The issue was never joined as a collective
debate by the U.S. government, including the Congress, before 9/11.
We return to the issue of proportion-and imagination.
Even Clarke's note challenging Rice to imagine the day after an attack
posits a strike that kills "hundreds" of Americans. He did not write
"thousands."
Institutionalizing Imagination:
The Case of Aircraft as Weapons
Imagination is not a gift usually associated with
bureaucracies. For example, before Pearl Harbor the U.S. government had
excellent intelligence that a Japanese attack was coming, especially after
peace talks stalemated at the end of November 1941. These were days, one
historian notes, of "excruciating uncertainty." The most likely targets
were judged to be in Southeast Asia. An attack was coming, "but officials
were at a loss to know where the blow would fall or what more might be
done to prevent it."11 In retrospect, available intercepts pointed to
Japanese examination of Hawaii as a possible target. But, another
historian observes, "in the face of a clear warning, alert measures bowed
to routine."12
It is therefore crucial to find a way of routinizing,
even bureaucratizing, the exercise of imagination. Doing so requires more
than finding an expert who can imagine that aircraft could be used as
weapons. Indeed, since al Qaeda and other groups had already used suicide
vehicles, namely truck bombs, the leap to the use of other vehicles such
as boats (the Cole attack) or planes is not far-fetched.
Yet these scenarios were slow to work their way into the
thinking of aviation security experts. In 1996, as a result of the TWA
Flight 800 crash, President Clinton created a commission under Vice
President Al Gore to report on shortcomings in aviation security in the
United States. The Gore Commission's report, having thoroughly canvassed
available expertise in and outside of government, did not mention suicide
hijackings or the use of aircraft as weapons. It focused mainly on the
danger of placing bombs onto aircraft-the approach of the Manila air plot.
The Gore Commission did call attention, however, to lax screening of
passengers and what they carried onto planes.
In late 1998, reports came in of a possible al Qaeda
plan to hijack a plane. One, a December 4 Presidential Daily Briefing for
President Clinton (reprinted in chapter 4), brought the focus back to more
traditional hostage taking; it reported Bin Ladin's involvement in
planning a hijack operation to free prisoners such as the "Blind Sheikh,"
Omar Abdel Rahman. Had the contents of this PDB been brought to the
attention of a wider group, including key members of Congress, it might
have brought much more attention to the need for permanent changes in
domestic airport and airline security procedures.13
Threat reports also mentioned the possibility of using
an aircraft filled with explosives. The most prominent of these mentioned
a possible plot to fly an explosives-laden aircraft into a U.S. city. This
report, circulated in September 1998, originated from a source who had
walked into an American consulate in East Asia. In August of the same
year, the intelligence community had received information that a group of
Libyans hoped to crash a plane into the World Trade Center. In neither
case could the information be corroborated. In addition, an Algerian group
hijacked an airliner in 1994, most likely intending to blow it up over
Paris, but possibly to crash it into the Eiffel Tower.14
In 1994, a private airplane had crashed onto the south
lawn of the White House. In early 1995,Abdul Hakim Murad-Ramzi Yousef's
accomplice in the Manila airlines bombing plot-told Philippine authorities
that he and Yousef had discussed flying a plane into CIA headquarters.15
Clarke had been concerned about the danger posed by
aircraft since at least the 1996 Atlanta Olympics. There he had tried to
create an air defense plan using assets from the Treasury Department,
after the Defense Department declined to contribute resources. The Secret
Service continued to work on the problem of airborne threats to the
Washington region. In 1998, Clarke chaired an exercise designed to
highlight the inadequacy of the solution. This paper exercise involved a
scenario in which a group of terrorists commandeered a Learjet on the
ground in Atlanta, loaded it with explosives, and flew it toward a target
in Washington, D.C. Clarke asked officials from the Pentagon, Federal
Aviation Administration (FAA), and Secret Service what they could do about
the situation. Officials from the Pentagon said they could scramble
aircraft from Langley Air Force Base, but they would need to go to the
President for rules of engagement, and there was no mechanism to do so.
There was no clear resolution of the problem at the exercise.16
In late 1999, a great deal of discussion took place in
the media about the crash off the coast of Massachusetts of EgyptAir
Flight 990, a Boeing 767.The most plausible explanation that emerged was
that one of the pilots had gone berserk, seized the controls, and flown
the aircraft into the sea. After the 1999-2000 millennium alerts, when the
nation had relaxed, Clarke held a meeting of his Counterterrorism Security
Group devoted largely to the possibility of a possible airplane hijacking
by al Qaeda.17
In his testimony, Clarke commented that he thought that
warning about the possibility of a suicide hijacking would have been just
one more speculative theory among many, hard to spot since the volume of
warnings of "al Qaeda threats and other terrorist threats, was in the tens
of thousands-probably hundreds of thousands."18Yet the possibility was
imaginable, and imagined. In early August 1999, the FAA's Civil Aviation
Security intelligence office summarized the Bin Ladin hijacking threat.
After a solid recitation of all the information available on this topic,
the paper identified a few principal scenarios, one of which was a
"suicide hijacking operation." The FAA analysts judged such an operation
unlikely, because "it does not offer an opportunity for dialogue to
achieve the key goal of obtaining Rahman and other key captive extremists.
. . .A suicide hijacking is assessed to be an option of last resort."19
Analysts could have shed some light on what kind of
"opportunity for dialogue" al Qaeda desired.20 The CIA did not
write any analytical assessments of possible hijacking scenarios.
One prescient pre-9/11 analysis of an aircraft plot was
written by a Justice Department trial attorney. The attorney had taken an
interest, apparently on his own initiative, in the legal issues that would
be involved in shooting down a U.S. aircraft in such a situation.21
The North American Aerospace Defense Command imagined
the possible use of aircraft as weapons, too, and developed exercises to
counter such a threat-from planes coming to the United States from
overseas, perhaps carrying a weapon of mass destruction. None of this
speculation was based on actual intelligence of such a threat. One idea,
intended to test command and control plans and NORAD's readiness,
postulated a hijacked airliner coming from overseas and crashing into the
Pentagon. The idea was put aside in the early planning of the exercise as
too much of a distraction from the main focus (war in Korea), and as too
unrealistic. As we pointed out in chapter 1, the military planners assumed
that since such aircraft would be coming from overseas; they would have
time to identify the target and scramble interceptors.22
We can therefore establish that at least some government
agencies were concerned about the hijacking danger and had speculated
about various scenarios. The challenge was to flesh out and test those
scenarios, then figure out a way to turn a scenario into constructive
action.
Since the Pearl Harbor attack of 1941, the intelligence
community has devoted generations of effort to understanding the problem
of forestalling a surprise attack. Rigorous analytic methods were
developed, focused in particular on the Soviet Union, and several leading
practitioners within the intelligence community discussed them with us.
These methods have been articulated in many ways, but almost all seem to
have at least four elements in common: (1) think about how surprise
attacks might be launched; (2) identify telltale indicators connected to
the most dangerous possibilities; (3) where feasible, collect intelligence
on these indicators; and (4) adopt defenses to deflect the most dangerous
possibilities or at least trigger an earlier warning.
After the end of the Gulf War, concerns about lack of
warning led to a major study conducted for DCI Robert Gates in 1992 that
proposed several recommendations, among them strengthening the national
intelligence officer for warning. We were told that these measures
languished under Gates's successors. Responsibility for warning related to
a terrorist attack passed from the national intelligence officer for
warning to the CTC. An Intelligence Community Counterterrorism Board had
the responsibility to issue threat advisories.23
With the important exception of analysis of al Qaeda
efforts in chemical, biological, radiological, and nuclear weapons, we did
not find evidence that the methods to avoid surprise attack that had been
so laboriously developed over the years were regularly applied.
Considering what was not done suggests possible ways to
institutionalize imagination. To return to the four elements of analysis
just mentioned:
- The CTC did not analyze how an aircraft, hijacked or
explosives-laden, might be used as a weapon. It did not perform this
kind of analysis from the enemy's perspective ("red team" analysis),
even though suicide terrorism had become a principal tactic of Middle
Eastern terrorists. If it had done so, we believe such an analysis would
soon have spotlighted a critical constraint for the terrorists-finding a
suicide operative able to fly large jet aircraft.They had never done so
before 9/11.
- The CTC did not develop a set of telltale indicators
for this method of attack. For example, one such indicator might be the
discovery of possible terrorists pursuing flight training to fly large
jet aircraft, or seeking to buy advanced flight simulators.
- The CTC did not propose, and the intelligence
community collection management process did not set, requirements to
monitor such telltale indicators.Therefore the warning system was not
looking for information such as the July 2001 FBI report of potential
terrorist interest in various kinds of aircraft training in Arizona, or
the August 2001 arrest of Zacarias Moussaoui because of his suspicious
behavior in a Minnesota flight school. In late August, the Moussaoui
arrest was briefed to the DCI and other top CIA officials under the
heading "Islamic Extremist Learns to Fly."24 Because the system was not
tuned to comprehend the potential significance of this information, the
news had no effect on warning.
- Neither the intelligence community nor aviation
security experts analyzed systemic defenses within an aircraft or
against terrorist-controlled aircraft, suicidal or otherwise. The many
threat reports mentioning aircraft were passed to the FAA.While that
agency continued to react to specific, credible threats, it did not try
to perform the broader warning functions we describe here. No one in the
government was taking on that role for domestic vulnerabilities.
Richard Clarke told us that he was concerned about the
danger posed by aircraft in the context of protecting the Atlanta
Olympics of 1996, the White House complex, and the 2001 G-8 summit in
Genoa. But he attributed his awareness more to Tom Clancy novels than to
warnings from the intelligence community. He did not, or could not,
press the government to work on the systemic issues of how to strengthen
the layered security defenses to protect aircraft against hijackings or
put the adequacy of air defenses against suicide hijackers on the
national policy agenda.
The methods for detecting and then warning of surprise
attack that the U.S. government had so painstakingly developed in the
decades after Pearl Harbor did not fail; instead, they were not really
tried. They were not employed to analyze the enemy that, as the twentieth
century closed, was most likely to launch a surprise attack directly
against the United States.
The road to 9/11 again illustrates how the large,
unwieldy U.S. government tended to underestimate a threat that grew ever
greater. The terrorism fostered by Bin Ladin and al Qaeda was different
from anything the government had faced before. The existing mechanisms for
handling terrorist acts had been trial and punishment for acts committed
by individuals; sanction, reprisal, deterrence, or war for acts by hostile
governments. The actions of al Qaeda fit neither category. Its crimes were
on a scale approaching acts of war, but they were committed by a loose,
far-flung, nebulous conspiracy with no territories or citizens or assets
that could be readily threatened, overwhelmed, or destroyed.
Early in 2001, DCI Tenet and Deputy Director for
Operations James Pavitt gave an intelligence briefing to President-elect
Bush, Vice President-elect Cheney, and Rice; it included the topic of al
Qaeda. Pavitt recalled conveying that Bin Ladin was one of the gravest
threats to the country.25
Bush asked whether killing Bin Ladin would end the
problem. Pavitt said he and the DCI had answered that killing Bin Ladin
would have an impact, but would not stop the threat. The CIA later
provided more formal assessments to the White House reiterating that
conclusion. It added that in the long term, the only way to deal with the
threat was to end al Qaeda's ability to use Afghanistan as a sanctuary for
its operations.26
Perhaps the most incisive of the advisors on terrorism
to the new administration was the holdover Richard Clarke. Yet he admits
that his policy advice, even if it had been accepted immediately and
turned into action, would not have prevented 9/11.27
We must then ask when the U.S. government had reasonable
opportunities to mobilize the country for major action against al Qaeda
and its Afghan sanctuary. The main opportunities came after the new
information the U.S. government received in 1996-1997, after the embassy
bombings of August 1998, after the discoveries of the Jordanian and Ressam
plots in late 1999, and after the attack on the USS Cole in
October 2000.
The U.S. policy response to al Qaeda before 9/11 was
essentially defined following the embassy bombings of August 1998.We
described those decisions in chapter 4. It is worth noting that they were
made by the Clinton administration under extremely difficult domestic
political circumstances. Opponents were seeking the President's
impeachment. In addition, in 1998-99 President Clinton was preparing the
government for possible war against Serbia, and he had authorized major
air strikes against Iraq.
The tragedy of the embassy bombings provided an
opportunity for a full examination, across the government, of the national
security threat that Bin Ladin posed. Such an examination could have made
clear to all that issues were at stake that were much larger than the
domestic politics of the moment. But the major policy agencies of the
government did not meet the threat.
The diplomatic efforts of the Department of State were
largely ineffective. Al Qaeda and terrorism was just one more priority
added to already-crowded agendas with countries like Pakistan and Saudi
Arabia. After 9/11 that changed.
Policymakers turned principally to the CIA and covert
action to implement policy. Before 9/11, no agency had more
responsibility-or did more-to attack al Qaeda, working day and night, than
the CIA. But there were limits to what the CIA was able to achieve in its
energetic worldwide efforts to disrupt terrorist activities or use proxies
to try to capture or kill Bin Ladin and his lieutenants. As early as
mid-1997, one CIA officer wrote to his supervisor: "All we're doing is
holding the ring until the cavalry gets here." 28
Military measures failed or were not applied. Before
9/11 the Department of Defense was not given the mission of ending al
Qaeda's sanctuary in Afghanistan.
Officials in both the Clinton and Bush administrations
regarded a full U.S. invasion of Afghanistan as practically inconceivable
before 9/11. It was never the subject of formal interagency deliberation.
Lesser forms of intervention could also have been
considered. One would have been the deployment of U.S. military or
intelligence personnel, or special strike forces, to Afghanistan itself or
nearby-openly, clandestinely (secretly), or covertly (with their
connection to the United States hidden). Then the United States would no
longer have been dependent on proxies to gather actionable intelligence.
However, it would have needed to secure basing and overflight support from
neighboring countries. A significant political, military, and intelligence
effort would have been required, extending over months and perhaps years,
with associated costs and risks. Given how hard it has proved to locate
Bin Ladin even today when there are substantial ground forces in
Afghanistan, its odds of sucess are hard to calculate. We have found no
indication that President Clinton was offered such an intermediate choice,
or that this option was given any more consideration than the idea of
invasion.
These policy challenges are linked to the problem of
imagination we have already discussed. Since we believe that both
President Clinton and President Bush were genuinely concerned about the
danger posed by al Qaeda, approaches involving more direct intervention
against the sanctuary in Afghanistan apparently must have seemed-if they
were considered at all-to be disproportionate to the threat.
Insight for the future is thus not easy to apply in
practice. It is hardest to mount a major effort while a problem still
seems minor. Once the danger has fully materialized, evident to all,
mobilizing action is easier-but it then may be too late.
Another possibility, short of putting U.S. personnel on
the ground, was to issue a blunt ultimatum to the Taliban, backed by a
readiness to at least launch an indefinite air campaign to disable that
regime's limited military capabilities and tip the balance in
Afghanistan's ongoing civil war. The United States had warned the Taliban
that they would be held accountable for further attacks by Bin Ladin
against Afghanistan's U.S. interests. The warning had been given in 1998,
again in late 1999, once more in the fall of 2000, and again in the summer
of 2001. Delivering it repeatedly did not make it more effective.
As evidence of al Qaeda's responsibility for the
Cole attack came in during November 2000, National Security Advisor
Samuel Berger asked the Pentagon to develop a plan for a sustained air
campaign against the Taliban. Clarke developed a paper laying out a
formal, specific ultimatum. But Clarke's plan apparently did not advance
to formal consideration by the Small Group of principals. We have found no
indication that the idea was briefed to the new administration or that
Clarke passed his paper to them, although the same team of career
officials spanned both administrations.
After 9/11, President Bush announced that al Qaeda was
responsible for the attack on the USS Cole. Before 9/11, neither
president took any action. Bin Ladin's inference may well have been that
attacks, at least at the level of the Cole, were risk free.29
Earlier chapters describe in detail the actions decided
on by the Clinton and Bush administrations. Each president considered or
authorized covert actions, a process that consumed considerable
time-especially in the Clinton administration-and achieved little success
beyond the collection of intelligence. After the August 1998 missile
strikes in Afghanistan, naval vessels remained on station in or near the
region, prepared to fire cruise missiles. General Hugh Shelton developed
as many as 13 different strike options, and did not recommend any of them.
The most extended debate on counterterrorism in the Bush administration
before 9/11 had to do with missions for the unmanned Predator-whether to
use it just to locate Bin Ladin or to wait until it was armed with a
missile, so that it could find him and also attack him. Looking back, we
are struck with the narrow and unimaginative menu of options for action
offered to both President Clinton and President Bush.
Before 9/11, the United States tried to solve the al
Qaeda problem with the same government institutions and capabilities it
had used in the last stages of the Cold War and its immediate aftermath.
These capabilities were insufficient, but little was done to expand or
reform them.
For covert action, of course, the White House depended
on the Counterterrorist Center and the CIA's Directorate of Operations.
Though some officers, particularly in the Bin Ladin unit, were eager for
the mission, most were not. The higher management of the directorate was
unenthusiastic. The CIA's capacity to conduct paramilitary operations with
its own personnel was not large, and the Agency did not seek a large-scale
general expansion of these capabilities before 9/11. James Pavitt, the
head of this directorate, remembered that covert action, promoted by the
White House, had gotten the Clandestine Service into trouble in the past.
He had no desire to see this happen again. He thought, not unreasonably,
that a truly serious counterterrorism campaign against an enemy of this
magnitude would be business primarily for the military, not the
Clandestine Service.30
As for the Department of Defense, some officers in the
Joint Staff were keen to help. Some in the Special Operations Command have
told us that they worked on plans for using Special Operations Forces in
Afghanistan and that they hoped for action orders. JCS Chairman General
Shelton and General Anthony Zinni at Central Command had a different view.
Shelton felt that the August 1998 attacks had proved a waste of good
ordnance and thereafter consistently opposed firing expensive Tomahawk
missiles merely at "jungle gym" terrorist training infrastructure.31
In this view, he had complete support from Defense Secretary William
Cohen. Shelton was prepared to plan other options, but he was also
prepared to make perfectly clear his own strong doubts about the wisdom of
any military action that risked U.S. lives unless the intelligence was
"actionable." 32
The high price of keeping counterterrorism policy within
the restricted circle of the Counterterrorism Security Group and the
highest-level principals was nowhere more apparent than in the military
establishment. After the August 1998 missile strike, other members of the
JCS let the press know their unhappiness that, in conformity with the
Goldwater-Nichols reforms, Shelton had been the only member of the JCS to
be consulted. Although follow-on military options were briefed more
widely, the vice director of operations on the Joint Staff commented to us
that intelligence and planning documents relating to al Qaeda arrived in a
ziplock red package and that many flag and general officers never had the
clearances to see its contents.33
At no point before 9/11 was the Department of Defense
fully engaged in the mission of countering al Qaeda, though this was
perhaps the most dangerous foreign enemy then threatening the United
States. The Clinton administration effectively relied on the CIA to take
the lead in preparing long-term offensive plans against an enemy
sanctuary. The Bush administration adopted this approach, although its
emerging new strategy envisioned some yet undefined further role for the
military in addressing the problem. Within Defense, both Secretary Cohen
and Secretary Donald Rumsfeld gave their principal attention to other
challenges.
America's homeland defenders faced outward. NORAD itself
was barely able to retain any alert bases. Its planning scenarios
occasionally considered the danger of hijacked aircraft being guided to
American targets, but only aircraft that were coming from overseas. We
recognize that a costly change in NORAD's defense posture to deal with the
danger of suicide hijackers, before such a threat had ever actually been
realized, would have been a tough sell. But NORAD did not canvass
available intelligence and try to make the case.
The most serious weaknesses in agency capabilities were
in the domestic arena. In chapter 3 we discussed these institutions-the
FBI, the Immigration and Naturalization Service, the FAA, and others. The
major pre-9/11 effort to strengthen domestic agency capabilities came in
2000, as part of a millennium after-action review. President Clinton and
his principal advisers paid considerable attention then to border security
problems, but were not able to bring about significant improvements before
leaving office. The NSC-led interagency process did not effectively bring
along the leadership of the Justice and Transportation departments in an
agenda for institutional change.
The FBI did not have the capability to link the
collective knowledge of agents in the field to national priorities. The
acting director of the FBI did not learn of his Bureau's hunt for two
possible al Qaeda operatives in the United States or about his Bureau's
arrest of an Islamic extremist taking flight training until September
11.The director of central intelligence knew about the FBI's Moussaoui
investigation weeks before word of it made its way even to the FBI's own
assistant director for counterterrorism.
Other agencies deferred to the FBI. In the August 6 PDB
reporting to President Bush of 70 full-field investigations related to al
Qaeda, news the President said he found heartening, the CIA had simply
restated what the FBI had said. No one looked behind the curtain.
The FAA's capabilities to take aggressive, anticipatory
security measures were especially weak. Any serious policy examination of
a suicide hijacking scenario, critiquing each of the layers of the
security system, could have suggested changes to fix glaring
vulnerabilities-expanding no-fly lists, searching passengers identified by
the CAPPS screening system, deploying Federal Air Marshals domestically,
hardening cockpit doors, alerting air crew to a different kind of
hijacking than what they had been trained to expect, or adjusting the
training of controllers and managers in the FAA and NORAD.
Government agencies also sometimes display a tendency to
match capabilities to mission by defining away the hardest part of their
job. They are often passive, accepting what are viewed as givens,
including that efforts to identify and fix glaring vulnerabilities to
dangerous threats would be too costly, too controversial, or too
disruptive.
Operational Management
Earlier in this report we detailed various missed
opportunities to thwart the 9/11 plot. Information was not shared,
sometimes inadvertently or because of legal misunderstandings. Analysis
was not pooled. Effective operations were not launched. Often the handoffs
of information were lost across the divide separating the foreign and
domestic agencies of the government.
However the specific problems are labeled, we believe
they are symptoms of the government's broader inability to adapt how it
manages problems to the new challenges of the twenty-first century. The
agencies are like a set of specialists in a hospital, each ordering tests,
looking for symptoms, and prescribing medications. What is missing is the
attending physician who makes sure they work as a team.
One missing element was effective management of
transnational operations. Action officers should have drawn on all
available knowledge in the government. This management should have ensured
that information was shared and duties were clearly assigned across
agencies, and across the foreign-domestic divide.
Consider, for example, the case of Mihdhar, Hazmi, and
their January 2000 trip to Kuala Lumpur, detailed in chapter 6. In late
1999, the National Security Agency (NSA) analyzed communications
associated with a man named Khalid, a man named Nawaf, and a man named
Salem. Working-level officials in the intelligence community knew little
more than this. But they correctly concluded that "Nawaf"and "Khalid"
might be part of "an operational cadre" and that "something nefarious
might be afoot."
The NSA did not think its job was to research these
identities. It saw itself as an agency to support intelligence consumers,
such as CIA. The NSA tried to respond energetically to any request made.
But it waited to be asked.
If NSA had been asked to try to identify these people,
the agency would have started by checking its own database of earlier
information from these same sources. Some of this information had been
reported; some had not. But it was all readily accessible in the database.
NSA's analysts would promptly have discovered who Nawaf was, that his full
name might be Nawaf al Hazmi, and that he was an old friend of Khalid.
With this information and more that was available,
managers could have more effectively tracked the movement of these
operatives in southeast Asia. With the name "Nawaf al Hazmi," a manager
could then have asked the State Department also to check that name. State
would promptly have found its own record on Nawaf al Hazmi, showing that
he too had been issued a visa to visit the United States. Officials would
have learned that the visa had been issued at the same place-Jeddah-and on
almost the same day as the one given to Khalid al Mihdhar.
When the travelers left Kuala Lumpur for Bangkok, local
officials were able to identify one of the travelers as Khalid al Mihdhar.
After the flight left, they learned that one of his companions had the
name Alhazmi. But the officials did not know what that name meant.
The information arrived at Bangkok too late to track
these travelers as they came in. Had the authorities there already been
keeping an eye out for Khalid al Mihdhar as part of a general regional or
worldwide alert, they might have tracked him coming in. Had they been
alerted to look for a possible companion named Nawaf al Hazmi, they might
have noticed him too. Instead, they were notified only after Kuala Lumpur
sounded the alarm. By that time, the travelers had already disappeared
into the streets of Bangkok.
On January 12, the head of the CIA's al Qaeda unit told
his bosses that surveillance in Kuala Lumpur was continuing. He may not
have known that in fact Mihdhar and his companions had dispersed and the
tracking was falling apart. U.S. officials in Bangkok regretfully reported
the bad news on January
13. The names they had were put on a watchlist in
Bangkok, so that Thai authorities might notice if the men left the
country. On January 14, the head of the CIA's al Qaeda unit again updated
his bosses, telling them that officials were continuing to track the
suspicious individuals who had now dispersed to various countries.
Unfortunately, there is no evidence of any tracking
efforts actually being undertaken by anyone after the Arabs disappeared
into Bangkok. No other effort was made to create other opportunities to
spot these Arab travelers in case the screen in Bangkok failed. Just from
the evidence in Mihdhar's passport, one of the logical possible
destinations and interdiction points would have been the United States.Yet
no one alerted the INS or the FBI to look for these individuals. They
arrived, unnoticed, in Los Angeles on January 15.
In early March 2000, Bangkok reported that Nawaf al
Hazmi, now identified for the first time with his full name, had departed
on January 15 on a United Airlines flight to Los Angeles. Since the CIA
did not appreciate the significance of that name or notice the cable, we
have found no evidence that this information was sent to the FBI.
Even if watchlisting had prevented or at least alerted
U.S. officials to the entry of Hazmi and Mihdhar, we do not think it is
likely that watchlisting, by itself, have prevented the 9/11 attacks.Al
Qaeda adapted to the failure of some of its operatives to gain entry into
the United States. None of these future hijackers was a pilot.
Alternatively, had they been permitted entry and surveilled, some larger
results might have been possible had the FBI been patient.
These are difficult what-ifs. The intelligence community
might have judged that the risks of conducting such a prolonged
intelligence operation were too high-potential terrorists might have been
lost track of, for example. The pre-9/11 FBI might not have been judged
capable of conducting such an operation. But surely the intelligence
community would have preferred to have the chance to make these choices.
From the details of this case, or from the other
opportunities we catalogue in the text box, one can see how hard it is for
the intelligence community to assemble enough of the puzzle pieces
gathered by different agencies to make some sense of them and then develop
a fully informed joint plan. Accomplish-ing all this is especially
difficult in a transnational case. We sympathize with the working-level
officers, drowning in information and trying to decide what is important
or what needs to be done when no particular action has been requested of
them.
Who had the job of managing the case to make sure these
things were done? One answer is that everyone had the job. The CIA's
deputy director for operations, James Pavitt, stressed to us that the
responsibility resided with all involved. Above all he emphasized the
primacy of the field. The field had the lead in managing operations. The
job of headquarters, he stressed, was to support the field, and do so
without delay. If the field asked for information or other support, the
job of headquarters was to get it-right away.34
This is a traditional perspective on operations and,
traditionally, it has had great merit. It reminded us of the FBI's
pre-9/11 emphasis on the primacy of its field offices. When asked about
how this traditional structure would adapt to the challenge of managing a
transnational case, one that hopped from place to place as this one did,
the deputy director argued that all involved were
| Operational Opportunities
1. January 2000: the CIA does not watchlist Khalid al
Mihdhar or notify the FBI when it learned Mihdhar possessed a valid
U.S. visa.
2. January 2000: the CIA does not develop a
transnational plan for tracking Mihdhar and his associates so that
they could be followed to Bangkok and onward, including the United
States.
3. March 2000: the CIA does not watchlist Nawaf al
Hazmi or notify the FBI when it learned that he possessed a U.S. visa
and had flown to Los Angeles on January 15, 2000.
4. January 2001: the CIA does not inform the FBI
that a source had identified Khallad, or Tawfiq bin Attash, a major
figure in the October 2000 bombing of the USS Cole, as having
attended the meeting in Kuala Lumpur with Khalid al Mihdhar.
5. May 2001: a CIA official does not notify the FBI
about Mihd-har's U.S. visa, Hazmi's U.S. travel, or Khallad's having
attended the Kuala Lumpur meeting (identified when he reviewed all of
the relevant traffic because of the high level of threats).
6. June 2001: FBI and CIA officials do not ensure
that all relevant information regarding the Kuala Lumpur meeting was
shared with the Cole investigators at the June 11 meeting.
7. August 2001: the FBI does not recognize the
significance of the information regarding Mihdhar and Hazmi's possible
arrival in the United States and thus does not take adequate action to
share information, assign resources, and give sufficient priority to
the search.
8. August 2001: FBI headquarters does not recognize
the significance of the information regarding Moussaoui's training and
beliefs and thus does not take adequate action to share information,
involve higher-level officials across agencies, obtain information
regarding Moussaoui's ties to al Qaeda, and give sufficient priority
to determining what Moussaoui might be planning.
9. August 2001: the CIA does not focus on
information that Khalid Sheikh Mohammed is a key al Qaeda lieutenant
or connect information identifying KSM as the "Mukhtar" mentioned in
other reports to the analysis that could have linked "Mukhtar" with
Ramzi Binalshibh and Moussaoui.
10.August 2001: the CIA and FBI do not connect the
presence of Mihdhar, Hazmi, and Moussaoui to the general threat
reporting about imminent attacks. |
responsible for making it work. Pavitt underscored the
responsibility of the particular field location where the suspects were
being tracked at any given time. On the other hand, he also said that the
Counterterrorist Center was supposed to manage all the moving parts, while
what happened on the ground was the responsibility of managers in the
field.35
Headquarters tended to support and facilitate, trying to
make sure everyone was in the loop. From time to time a particular post
would push one way, or headquarters would urge someone to do something.
But headquarters never really took responsibility for the successful
management of this case. Hence the managers at CIA headquarters did not
realize that omissions in planning had occurred, and they scarcely knew
that the case had fallen apart.
The director of the Counterterrorist Center at the time,
Cofer Black, recalled to us that this operation was one among many and
that, at the time, it was "considered interesting, but not heavy water
yet." He recalled the failure to get the word to Bangkok fast enough, but
has no evident recollection of why the case then dissolved, unnoticed.36
The next level down, the director of the al Qaeda unit
in CIA at the time recalled that he did not think it was his job to direct
what should or should not be done. He did not pay attention when the
individuals dispersed and things fell apart. There was no conscious
decision to stop the operation after the trail was temporarily lost in
Bangkok. He acknowledged, however, that perhaps there had been a letdown
for his overworked staff after the extreme tension and long hours in the
period of the millennium alert.37
The details of this case illuminate real management
challenges, past and future. The U.S. government must find a way of
pooling intelligence and using it to guide the planning of and assignment
of responsibilities for joint operations involving organizations
as disparate as the CIA, the FBI, the State Department, the military, and
the agencies involved in homeland security.
Institutional Management
Beyond those day-to-day tasks of bridging the
foreign-domestic divide and matching intelligence with plans, the
challenges include broader management issues pertaining to how the top
leaders of the government set priorities and allocate resources. Once
again it is useful to illustrate the problem by examining the CIA, since
before 9/11 this agency's role was so central in the government's
counterterrorism efforts.
On December 4, 1998, DCI Tenet issued a directive to
several CIA officials and his deputy for community management, stating:
"We are at war. I want no resources or people spared in this effort,
either inside CIA or the Community."38The memorandum had little
overall effect on mobilizing the CIA or the intelligence community.39
The memo was addressed only to CIA officials and the
deputy for community management, Joan Dempsey. She faxed the memo to the
heads of the major intelligence agencies after removing covert action
sections. Only a handful of people received it. The NSA director at the
time, Lieutenant General Kenneth Minihan, believed the memo applied only
to the CIA and not the NSA, because no one had informed him of any NSA
shortcomings. For their part, CIA officials thought the memorandum was
intended for the rest of the intelligence community, given that they were
already doing all they could and believed that the rest of the community
needed to pull its weight.40
The episode indicates some of the limitations of the
DCI's authority over the direction and priorities of the intelligence
community, especially its elements within the Department of Defense. The
DCI has to direct agencies without controlling them. He does not receive
an appropriation for their activities, and therefore does not control
their purse strings. He has little insight into how they spend their
resources. Congress attempted to strengthen the DCI's authority in 1996 by
creating the positions of deputy DCI for community management and
assistant DCIs for collection, analysis and production, and
administration. But the authority of these positions is limited, and the
vision of central management clearly has not been realized.
The DCI did not develop a management strategy for a war
against Islamist terrorism before 9/11. Such a management strategy would
define the capabilities the intelligence community must acquire for such a
war-from language training to collection systems to analysts. Such a
management strategy would necessarily extend beyond the CTC to the
components that feed its expertise and support its operations, linked
transparently to counterterrorism objectives. It would then detail the
proposed expenditures and organizational changes required to acquire and
implement these capabilities.
DCI Tenet and his deputy director for operations told us
they did have a management strategy for a war on terrorism. It was to
rebuild the CIA. They said the CIA as a whole had been badly damaged by
prior budget constraints and that capabilities needed to be restored
across the board. Indeed, the CTC budget had not been cut while the
budgets had been slashed in many other parts of the Agency. By restoring
funding across the CIA, a rising tide would lift all boats. They also
stressed the synergy between improvements of every part of the Agency and
the capabilities that the CTC or stations overseas could draw on in the
war on terror.41
As some officials pointed out to us, there is a tradeoff
in this management approach. In an attempt to rebuild everything at once,
the highest priority efforts might not get the maximum support that they
need. Furthermore, this approach attempted to channel relatively strong
outside support for combating terrorism into backing for across-the-board
funding increases. Proponents of the counterterrorism agenda might respond
by being less inclined to loosen the purse strings than they would have
been if offered a convincing counterterrorism budget strategy. The DCI's
management strategy was also focused mainly on the CIA.
Lacking a management strategy for the war on terrorism
or ways to see how funds were being spent across the community, DCI Tenet
and his aides found it difficult to develop an overall intelligence
community budget for a war on terrorism.
Responsibility for domestic intelligence gathering on
terrorism was vested solely in the FBI, yet during almost all of the
Clinton administration the relationship between the FBI Director and the
President was nearly nonexistent. The FBI Director would not communicate
directly with the President. His key personnel shared very little
information with the National Security Council and the rest of the
national security community. As a consequence, one of the critical working
relationships in the counterterrorism effort was broken.
The Millennium Exception
Before concluding our narrative, we offer a reminder,
and an explanation, of the one period in which the government as a whole
seemed to be acting in concert to deal with terrorism-the last weeks of
December 1999 preceding the millennium.
In the period between December 1999 and early January
2000, information about terrorism flowed widely and abundantly. The flow
from the FBI was particularly remarkable because the FBI at other times
shared almost no information. That from the intelligence community was
also remarkable, because some of it reached officials-local airport
managers and local police departments-who had not seen such information
before and would not see it again before 9/11, if then. And the terrorist
threat, in the United States even more than abroad, engaged the frequent
attention of high officials in the executive branch and leaders in both
houses of Congress.
Why was this so? Most obviously, it was because everyone
was already on edge with the millennium and possible computer programming
glitches ("Y2K") that might obliterate records, shut down power and
communication lines, or otherwise disrupt daily life. Then, Jordanian
authorities arrested 16 al Qaeda terrorists planning a number of bombings
in that country. Those in custody included two U.S. citizens. Soon after,
an alert Customs agent caught Ahmed Ressam bringing explosives across the
Canadian border with the apparent intention of blowing up Los Angeles
airport. He was found to have confederates on both sides of the border.
These were not events whispered about in highly
classified intelligence dailies or FBI interview memos. The information
was in all major newspapers and highlighted in network television news.
Though the Jordanian arrests only made page 13 of the New York Times,
they were featured on every evening newscast. The arrest of Ressam was on
front pages, and the original story and its follow-ups dominated
television news for a week. FBI field offices around the country were
swamped by calls from concerned citizens. Representatives of the Justice
Department, the FAA, local police departments, and major airports had
microphones in their faces whenever they showed themselves.42
After the millennium alert, the government relaxed.
Counterterrorism went back to being a secret preserve for segments of the
FBI, the Counterterrorist Center, and the Counterterrorism Security Group.
But the experience showed that the government was capable of mobilizing
itself for an alert against terrorism. While one factor was the
preexistence of widespread concern about Y2K, another, at least equally
important, was simply shared information. Everyone knew not only of an
abstract threat but of at least one terrorist who had been arrested in
the United States. Terrorism had a face-that of Ahmed Ressam-and
Americans from Vermont to southern California went on the watch for his
like.
In the summer of 2001, DCI Tenet, the Counterterrorist
Center, and the Counterterrorism Security Group did their utmost to sound
a loud alarm, its basis being intelligence indicating that al Qaeda
planned something big. But the millennium phenomenon was not repeated. FBI
field offices apparently saw no abnormal terrorist activity, and
headquarters was not shaking them up.
Between May 2001 and September 11, there was very little
in newspapers or on television to heighten anyone's concern about
terrorism. Front-page stories touching on the subject dealt with the
windup of trials dealing with the East Africa embassy bombings and Ressam.
All this reportage looked backward, describing problems satisfactorily
resolved. Back-page notices told of tightened security at embassies and
military installations abroad and government cautions against travel to
the Arabian Peninsula. All the rest was secret.
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