Category: Academic Analysis

  • MIL-OSI Global: All the Shakespearean references in The White Lotus season three explained by an expert

    Source: The Conversation – UK – By Emily Rowe, Lecturer in Early Modern Literature, King’s College London

    Warning: this article contains major spoilers for the ending of White Lotus season three.

    “Is this a bit ‘You killed my father, prepare to die,’ kind of?” asks Chelsea, the horoscope-obsessed Brit played with charm by Aimee Lou Wood in season three of The White Lotus.

    Chelsea may be thinking of The Princess Bride (1987), but we’re firmly in Hamlet territory. Her partner Rick (Walton Goggins) soon sets off to avenge his father’s death and kicks off a chain of violence that ends, inevitably, in blood and tragedy.

    Mike White’s luxury-hotel-meets-moral-decline drama, The White Lotus, has always toyed with highbrow references. Season two gave us Madame Butterfly meets commedia dell’arte (a genre of early Italian theatre replete with wealthy lovers, greedy old men, duplicitous servants and glamorous courtesans).

    Season three shifts the setting to Thailand. There, the show’s satire of super-wealth is framed through not only the lens of Buddhism, but also through many of Sheakeapre’s great tragedies: Hamlet, Othello, Romeo and Juliet, and King Lear.


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    Enter Rick, our sullen Hamlet. He’s been raised on a tragic fairy tale. As a child, his mother told him that his saintly father was murdered by a corrupt Thailand-based hotel-owner, Jim Hollinger (Scott Glenn). Rick insists this theft of a parent is the root of his suffering. But like Hamlet, he can’t act – not at first.

    When he finally does pull the trigger, the results are devastating. Jim’s wife, Sritlana (Lek Patravadi), reveals the twist. Jim was his real father, an oedipal moment that was unsurprising in a season so obsessed with incest.

    In the ensuing swirl of gunfire, Chelsea is killed. Rick, cradling her body in a Lear-like pietà, is shot by the noble yet spiritually doomed security guard Gaitok (Tayme Thapthimthong). The two lovers’ bodies float in the lily-strewn waters in an overt modern-day remake of Sir John Everett Millais’s painting, Ophelia (another character from Hamlet).

    Yet it’s Timothy Ratliff (Jason Isaacs), not Rick, who most clearly channels Hamlet’s existential torment. Facing exposure for financial fraud, Timothy contemplates suicide and even taking his family with him.

    Like Hamlet, though, he hesitates. Not out of pity, but uncertainty. What comes after death? Hamlet asked the same:

    But that the dread of something after death,

    The undiscover’d country from whose bourn

    No traveller returns, puzzles the will

    And makes us rather bear those ills we have

    Than fly to others that we know not of?

    Life is suffering. Hamlet and the Buddha knew that well. So why do we put up with it? To live or die? To act or wait? At a Buddhist monastery, Timothy seeks answers to these questions.

    The senior monk tells him: death is not an escape, but a return. Like a droplet returning to the sea, “Death is a happy return, like coming home.” Pain is inescapable; it must be faced. Timothy, and Hamlet, struggle to accept that.

    The inevitability of greed

    Season three of The White Lotus may have touched on Hamlet’s considerations of suicide, revenge and fate (its finale is named Amor Fati, which translates as love of one’s fate), but its trademark attack on the inevitability of greed was thrown into sharp relief this season thanks to its light engagement with Buddhism.

    Timothy speaks with the monk.

    The senior monk tells Timothy in his gently broken English, “Everyone run from pain towards the pleasure, but when they get there only to find more pain. You cannot outrun pain.” This season, even our moral compasses, Gaitok, Piper (Sarah Catherine Hook) and Belinda (Natasha Rothwell), run from pain to pleasure – towards power, sex, comfort and money over enlightenment.

    Gaitok puts his morals aside to kill Rick so that he might get a promotion and win the heart of Mook (Lalisa Manobal). Piper decides against a year at the monastery after realising she needs the comforts of wealth more than she realised. And Belinda? She could have exposed the killer of Tanya (Jennifer Coolidge’s beloved character from seasons one and two). Instead, she takes a US$5 million payout and sails away smiling.

    As she departs, Billy Preston’s buoyant song Nothing from Nothing plays. It’s the same phrase Rick uttered earlier in the season: “Nothing comes from nothing, right?” He’s already empty, he cannot be saved. On the surface, it’s a throwaway line. But it holds weight – philosophical, spiritual and Shakespearean.

    Buddhism teaches anatta, the doctrine of no-self. It’s the idea that release comes through relinquishing ego, embracing nothingness. Since we are essentially nothing, all that ever can come from us is nothing: the business and strife and frustration of life is in fact empty froth on the surface of a deep nothingness. And Shakespeare knew the dangers of misunderstanding that “nothing”.

    Belinda goes back on her plans to start a business with Pornchai once she receives the money.

    “Nothing comes from nothing” is a favoured maxim of King Lear. After asking the first two of his three daughters to express profusely their love for him, he rewards them with land and wealth. Turning to his third daughter, Cordelia, he asks, “What can you say to draw / A third more opulent than your sisters? Speak,” to which she responds:

    Cordelia: Nothing, my lord.

    Lear: Nothing?

    Cordelia: Nothing.

    Lear: Nothing will come of nothing. Speak again.

    If Cordelia gives Lear “nothing,” he will give her “nothing” in return – no dowry, no inheritance, no kingdom. This exposes how Lear has come to place a transactional value on love. In his mind, affection must be spoken, quantified and rewarded with land and power. He’s unable, or unwilling, to recognise the moral worth of Cordelia’s honest, restrained love because it offers no immediate gratification or political utility.

    At this early stage of the play, Lear, like The White Lotus’s spiritually bankrupt denizens, falsely clings to worldly value, not seeing it as mere illusion. Belinda’s spiritual bank, however, was full. Yet in the season’s finale, the repetition of “nothing comes from nothing” after Belinda’s ethical one-eighty hints at how fateful her choice really is.

    In one moment, she trades enlightenment and true (if restrained) happiness for the nothingness of wealth. At the start of both The White Lotus and King Lear, “nothing”, whether it means death, poverty, or solitude, is a threat. By the end, it’s all that remains.

    Emily Rowe does not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and has disclosed no relevant affiliations beyond their academic appointment.

    ref. All the Shakespearean references in The White Lotus season three explained by an expert – https://theconversation.com/all-the-shakespearean-references-in-the-white-lotus-season-three-explained-by-an-expert-254248

    MIL OSI – Global Reports

  • MIL-Evening Report: ‘Alarmist nonsense’: Labor and Coalition dismissed security risks over the Port of Darwin for years. What’s changed?

    Source: The Conversation (Au and NZ) – By James Laurenceson, Director and Professor, Australia-China Relations Institute (UTS:ACRI), University of Technology Sydney

    Prime Minister Anthony Albanese and Opposition Leader Peter Dutton have both committed to stripping a Chinese company, Landbridge, of the lease to operate Darwin Port. Landbridge paid A$506 million for the 99-year lease from the Northern Territory government in October 2015.

    In Australia’s political system, democratically elected representatives like Albanese and Dutton have the power to make such decisions. Still, Australians would hope and expect these decisions were driven by the best available advice, not domestic political sparring ahead of a federal election.

    This is particularly so when such a move would likely elevate fears among foreign investors around sovereign risk.

    Defence Minister Richard Marles has refused to say if security agencies are recommending Australia retake control of the port, nor has the Coalition provided a reason for its new stance.

    Media reports often cite “defence experts” who claim Chinese ownership of the lease involves unacceptable risks.

    However, it has been the long-standing and consistent advice of Australia’s most senior national security officials that this is not the case.

    Earlier concerns batted away

    Landbridge did not need Canberra’s approval when it secured the port lease in 2015. Nonetheless, the company notified the Foreign Investment Review Board of its interest in submitting a competitive bid for the lease four months before the deal was sealed.

    The Department of Defence and the Australian Security Intelligence Organisation (ASIO) “examined it thoroughly”. The then-secretary of the Department of Defence, Dennis Richardson, said:

    We are at one in agreeing that this was not an investment that should be opposed on defence or security grounds.

    Richardson told Senate Estimates in 2015 he was “not aware of any concerns” among the senior leadership in the Australian Defence Forces (ADF), either.

    The chief of the ADF, Mark Binskin, said in the same hearing:

    If [ship] movements are the issue, I can sit at the fish and chip shop on the wharf […] and watch ships come and go, regardless of who owns it.

    Some analysts raised concerns after the sale, but these were borderline ridiculed by officials with access to the most highly classified national security information.

    Analysts at the Australian Strategic Policy Institute, for example, warned that a Chinese company holding the lease “could facilitate intelligence collection” of ADF operations and US Marine deployments.

    Richardson said it was “amateur hour” to suggest Chinese spies could use the port for this purpose. He added: “It’s as though people have never heard of overhead imagery” from spy satellites.

    Analysts also suggested China could acquire valuable knowledge of the types of signals an Australian or US warship would “emit through a variety of sensors and systems”. Richardson dismissed this as “absurd”.

    Even more ludicrous were claims the port deal would provide the People’s Liberation Army-Navy (PLA-N) with “facilitated access to Australia”.

    Richardson labelled this as “alarmist nonsense”. Any visits by foreign naval vessels cannot be approved by a commercial port operator, he said. They must be signed off on by the Department of Defence.

    Analysts also contended that Landbridge’s chairman, Ye Cheng, was a “senior Communist Party official” and the company was a “commercial front intimately tied to state-owned operations, the party and the PLA”.

    This was debunked by a Chinese law and corporate governance expert.

    Tellingly, when Landbridge found itself in financial difficulty in 2017, it was forced to borrow in high-interest rate debt markets. This is common for privately owned Chinese firms, but not those with close state and party connections. They would be able to access subsidised loans from state-owned banks.

    Successive reviews have reaffirmed the decision

    When Foreign Minister Julie Bishop was asked in 2018 whether she had any lingering security fears about the Darwin Port lease, she replied the Department of Defence “had no concerns […] and that is still the case”.

    As the China-Australia relationship deteriorated in the ensuing years, the Morrison government reviewed the deal in 2021. It found there were still no national security grounds sufficient to overturn the lease.

    Yet another review by the Albanese government just 18 months ago also deemed it “not necessary to vary or cancel the lease”. It concluded:

    there is a robust regulatory system in place to manage risks to critical infrastructure, including the Port of Darwin.

    In announcing his pledge to reacquire the Darwin Port last weekend, Dutton alluded to “advice of the intelligence agencies”, pointing to a deterioration in Australia’s strategic circumstances.

    However, the Coalition had apparently not yet received an intelligence briefing on any security risks specifically connected to the Port of Darwin when Dutton made this pledge. Opposition leaders only made a request for the national security advice underpinning Albanese’s promise to reacquire the port in a letter to the government on Monday.

    The reality is that if Albanese and Dutton now suddenly and genuinely believed that Darwin might need to serve as a staging post for military conflict with China, forcing the sale of a few commercial wharves currently operated by a Chinese company would be a woefully inadequate response.

    They would instead be committing to a massive infrastructure upgrade, most likely in the form of an entirely new port facility. Planning for such a facility was already being mooted in 2019.

    The fact that they aren’t says a lot.

    James Laurenceson does not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and has disclosed no relevant affiliations beyond their academic appointment.

    ref. ‘Alarmist nonsense’: Labor and Coalition dismissed security risks over the Port of Darwin for years. What’s changed? – https://theconversation.com/alarmist-nonsense-labor-and-coalition-dismissed-security-risks-over-the-port-of-darwin-for-years-whats-changed-253941

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Global: Business schools are facing challenges to their diversity commitments. They must reinforce them to train leaders effectively

    Source: The Conversation – France – By Alessandro Ghio, Research professor in Accounting, ESCP Business School

    In March 2025, the Association to Advance Collegiate Schools of Business (AACSB), a leading accreditation body, revised its guiding principles. This included removing the phrase “diversity and inclusion” from its accreditation standards and replacing it with the more neutral “community and connectedness”. The decision emerged amid a shifting legal and political climate in the United States, following a wave of executive orders and legislative efforts aimed at dismantling diversity, equity, and inclusion (DEI) initiatives across public institutions.

    For years, diversity and inclusion have been central to how business schools engage with and signal social responsibility, shaping policies on faculty hiring, student recruitment and curricula. The AACSB change is more than a semantic adjustment – it reflects growing pressure on institutions to retreat from politically sensitive terrain.

    Now, business schools – many of which once celebrated DEI as a strategic and ethical imperative – are being forced to re-evaluate. Will they continue to invest in inclusion, or quietly abandon it under mounting institutional and political scrutiny? The answer will have global consequences, not just for higher education, but for the kind of leadership business schools claim to cultivate.

    Accreditation bodies: shaping business schools’ strategies

    The AACSB’s shift could have a significant impact on how business schools engage with diversity. As higher education institutions have embraced neoliberal, market-driven models, fuelled by students’ consumer-like expectations, external validation from accreditation bodies has become essential. Only 136 institutions (about 1% of all business schools) worldwide hold “triple accreditation” – accreditation by the AACSB, EFMD Quality Improvement System (EQUIS), and Association of MBAs (AMBA). This status allows business schools to signal their elite standing and adherence to high international standards – and to charge higher tuition.

    Accreditation offers tangible benefits, including use of prestigious logos, membership in exclusive networks, mutual recognition of academic credits, student exchange opportunities, and access to shared resources and best practices. These benefits shape strategic decisions, as business schools prioritise accreditation to maintain their reputation and competitiveness to attract high-paying students.

    Many institutions even have associate or deputy deans dedicated to fulfilling accreditation requirements. Among these requirements has been the long-standing “diversity checkbox”, which required schools to demonstrate their commitment to diversity. AACSB was not alone in this focus: AMBA, another leading accreditation body that specialises in MBA programmes, annually recognises schools for their diversity efforts and initiatives promoting inclusion.

    Accreditation pressures are compounded by the influence of business school rankings, another powerful driver of institutional priorities. Rankings such as the Financial Times’ business school list include diversity-related indicators, such as gender balance in classrooms, representation of women among faculty, and international faculty diversity. Bloomberg Businessweek’s Best Schools Diversity Index placed US universities George Washington, Howard and Morgan State at the very top in 2024. While these institutions don’t typically rank highly in overall MBA rankings, the diversity index offered them visibility and a competitive edge to attract prospective students.

    With accreditation bodies and business school rankings shaping institutional identities, a key question emerges: will business schools continue to prioritise diversity if structural incentives erode, or will it quietly disappear from the agenda?

    Diversity at a crossroads

    While the language of diversity has become commonplace in business school messaging – “we place inclusion and diversity at the heart of everything we do”; we “engage with DE&I strategically, practically – and of course via forefront research”; we [“want] to encourage and contribute to the conversation on diversity for and with all the students” – many institutions have gone beyond rhetoric, implementing concrete policies to promote diversity across student bodies, faculty recruitment and course content.

    In France, the grandes écoles – often criticised for perpetuating social elitism, as highlighted by sociologist Pierre Bourdieu – have introduced targeted admission pathways for students from disadvantaged socioeconomic backgrounds. In the UK, business schools have begun auditing faculty diversity, particularly in terms of race and ethnicity. In Germany, where women professors remain underrepresented, ongoing efforts seek to address persistent gender imbalances in academic positions.

    These initiatives were not developed in a vacuum. Accreditation standards and external recognition gave institutions the legitimacy and incentive to act. Diversity became part of the strategic fabric – an ethical development, yes, but also a business case aligned with the values that accreditation and rankings rewarded.

    Now, with a major accreditation body stepping back and public discourse increasingly polarised, that alignment is beginning to fracture. In the US, federal support for diversity-related research is shrinking. Facing pressure from the Department of Education to end diversity initiatives or risk losing funding, some universities have already taken action by alternately moving to close DEI offices; removing references to DEI from websites, policies and official materials; or even cancelling a planned celebration of International Women’s Day.
    At least two US schools have either severed or planned to sever links with the PhD Project, a programme founded in 1994 that is devoted to “increasing the number of brilliant educators from all communities”. In Europe, some institutions may quietly reduce their commitments, no longer seeing DEI as worth the political or institutional risk.

    The dilemma is no longer about how to advance diversity – but whether to defend it at all. Business schools must decide: is diversity still central to their mission, or just another line item to be dropped when the pressure mounts?

    If business schools are serious about their social mission, they must continue investing in diversity – not as a symbolic gesture, but as a structural commitment. Diversity, equity and inclusion are not peripheral concerns; they are embedded in frameworks like the Principle of Responsible Management Education and the United Nations Sustainable Development Goals (SDG 5: Gender Equality; SDG 10: Reduced Inequalities) – benchmarks that many institutions cite as central to their values. More than 30 Nordic business schools, all members of AACSB, recently issued a joint statement that diversity remains a core value for them.

    Diversity and knowledge

    Beyond institutional mandates, diversity is foundational to the production of credible knowledge. In Why Trust Science? (2019), historian Naomi Oreskes argues that while “diversity does not heal all epistemic ills”, it plays a crucial role in identifying blind spots and challenging groupthink. Drawing on feminist theorists Sandra Harding and Helen Longino, she shows how epistemic communities that are diverse – and critically engaged – are better positioned to identify and correct biases. In more homogeneous groups, dominant assumptions often go unchallenged, leading to structural oversights that undermine both knowledge and legitimacy.

    At a time when trust in academic institutions is eroding, ensuring diverse perspectives is not just desirable – it is necessary. For business schools, which train future leaders and decision-makers, the stakes are especially high.

    This is a moment not to retreat from diversity, but to reclaim it. Rather than treating it as a politicized liability, schools can reassert it as a core academic and democratic value – a way of remaining relevant, rigorous and responsible. And in a climate where “woke” has become a catch-all insult, schools also have an opportunity to reclaim the term – not as provocation, but as a return to its original meaning: a principled alertness to social realities and structural injustice. The LGBTQI+ community’s reclamation of “queer” as a term of empowerment and resistance against societal norms can point the way.

    By reinforcing their commitment to diversity, business schools can help deepen critical inquiry, rebuild public trust in science and ultimately equip their students for leadership in this fractured world – which they will need to understand in all its complexity.

    Alessandro Ghio ne travaille pas, ne conseille pas, ne possède pas de parts, ne reçoit pas de fonds d’une organisation qui pourrait tirer profit de cet article, et n’a déclaré aucune autre affiliation que son organisme de recherche.

    ref. Business schools are facing challenges to their diversity commitments. They must reinforce them to train leaders effectively – https://theconversation.com/business-schools-are-facing-challenges-to-their-diversity-commitments-they-must-reinforce-them-to-train-leaders-effectively-252988

    MIL OSI – Global Reports

  • MIL-OSI Global: Gabon elections: why a landmark vote won’t bring real change

    Source: The Conversation – Africa – By Douglas Yates, Professor of Political Science , American Graduate School in Paris (AGS)

    The upcoming elections in Gabon will test whether the country is on a firm democratic footing, or whether it will be business as usual with military men in control, but under the guise of democratic choice.

    Brice Oligui Nguema, now the transitional president, staged a coup against Ali Bongo in August 2023. Oligui Nguema and his military junta promised to return power to civilians at the end of a two year military transition.

    But Oligui Nguema wrong-footed opposition figures on two fronts. First, he announced the elections six months earlier than the transition arrangement allowed for. And second, in early March he resigned his office as general and presented himself as a civilian and therefore eligible to run as a candidate. He is contesting against seven other candidates, one of whom is the former prime minister of Gabon, Claude Bilie-By-Nze.

    As a political scientist specialising in African politics, I have researched and published works on Gabon’s politics.

    Since most of the other candidates have no national following and lack sufficient campaign finance or party machinery throughout the densely forested national territory, I argue that the presidential race has been reduced to a run-off between two men: Oligui Nguema and Bilie-By-Nze.

    Both men were part of the previous regime. Although the two men agreed to stand against one another, they never contradict each other.

    Whoever wins the 12 April election, Gabon’s people will see a new government run by members of the former one. So, for the people of Gabon, perhaps the only thing that will change will be the end of the 56-year Bongo family dynasty.

    The contenders

    Originally, 23 applications for candidacy were sent to the National Commission for the Organization and Coordination of Elections and Referendum. On 27 March Gabon’s Constitutional Court validated eight candidates.

    They are Thierry Yvon Michel Ngoma, Axel Stophène Ibinga Ibinga, Alain Simplice Boungoueres, Zenaba Gninga Changing, Stéphane Germain Iloko, Joseph Lapensée Essigone, Bilie-By-Nze and Oligui Nguema.

    Ever since the late President Omar Bongo (1967-2009) introduced one-party rule, the Gabonese Democratic Party has won every presidential and legislative election.




    Read more:
    Gabon: post-coup dialogue has mapped out path to democracy – now military leaders must act


    At first the military junta threatened to exclude the former ruling party from participating in the 2025 multiparty elections. But after a year of close consultations with former ministers, deputies and local party “big men”, Oligui Nguema decided to allow the Gabonese Democratic Party to present candidates.

    In return, the party agreed to call on all its activists and supporters to vote for Oligui Nguema.

    Where Oligui Nguema has resurrected the former ruling party, which ruled Gabon from 1967 to 2023, its politicians and its national machinery, Bilie-By-Nze has positioned himself as the “candidate of rupture”. Beyond the public posturing, there doesn’t seem to much difference between the two.




    Read more:
    Gabon coup has been years in the making: 3 key factors that ended the Bongo dynasty


    Electoral code, high-tech procedures

    The election, which will follow a new code put in place in January 2025, involves several key steps to ensure transparency and fairness.

    • Citizens register to vote, providing identification and proof of residency. As a referendum on a new constitution was held in November 2024, electoral lists are largely complete.

    • The election has to be organised on the basis of “permanent biometric electoral lists”. This means a biometric register of voters would be used for verification. Information and communications technologies must be used to ensure the transparency, efficiency and reliability of the ballots.

    • Candidates and their parties campaign, presenting their platforms and policies. This campaign period is regulated to ensure fair play, with restrictions on campaign financing and media coverage.

    • Polling stations are set up across the country, equipped with the necessary high-tech materials. Election officers are trained to assist voters and manage the process. Voters receive ballots listing all candidates and parties. They mark their choices in private booths to ensure confidentiality.

    • After the polls close, votes will be counted under strict supervision to prevent tampering. Counting is conducted transparently, with representatives from political parties and observers present to monitor the process, as per Article 90 of the electoral code.

    • The official results are announced by the electoral commission, with observers present to validate the process. Despite having high-technology biometric counting systems, it can take as long as two weeks to announce the official results, especially if the results are close.

    Any disputes or complaints are addressed through legal channels to ensure a fair outcome, in accordance with Article 105 of the electoral code.

    Doubts persist

    Despite these systems being in place, opposition figures (including former interior minister Jean-Remy Yama) have expressed doubts that the process will be fair.

    Firstly, candidates endorsed by the Gabonese Democratic Party have always won. Since Oligui Nguema has been endorsed by the Gabonese Democratic Party, he is, in a statistical sense, the most probable winner.

    Secondly, prominent figures from the former regime who are now leading opposition actors criticised Oligui Nguema’s premature announcement of the poll. According to his transition timeline, the election was to take place in August 2025. It is an old trick: calling quick elections to prevent the opposition from uniting behind a common candidate who can challenge the president.




    Read more:
    Gabon: how the Bongo family’s 56-year rule has hurt the country and divided the opposition


    Oversight

    Drawing from its past experience as election observer in Gabon, the Gabonese Red Cross plans to mobilise a team of 200 volunteers, in addition to its staff. This team will supplement the limited human resources available during the 2023 operation to help the public authorities.

    International observers from organisations such as the African Union and the United Nations are expected to monitor the elections to ensure they are free and fair, providing an additional layer of oversight.

    Security measures are also heightened during the election period to maintain peace and order, enabling citizens to exercise their democratic rights without fear or intimidation.

    If the referendum held in November 2024 is any indicator of what is to come, then foreign observers should expect a peaceful presidential election with a clear victory for the winner.

    It promises to be a peaceful transition from military rule to civilian rule. This is especially so as the new government will be run by members of the former one.

    Douglas Yates does not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and has disclosed no relevant affiliations beyond their academic appointment.

    ref. Gabon elections: why a landmark vote won’t bring real change – https://theconversation.com/gabon-elections-why-a-landmark-vote-wont-bring-real-change-253902

    MIL OSI – Global Reports

  • MIL-Evening Report: This chart explains why Trump backflipped on tariffs. The economic damage would have been huge

    Source: The Conversation (Au and NZ) – By James Giesecke, Professor, Centre of Policy Studies and the Impact Project, Victoria University

    The Trump administration has announced a 90-day pause on its plan to impose so-called “reciprocal” tariffs on nearly all US imports. But the pause does not extend to China, where import duties will rise to around 125%.

    The move signals a partial retreat from what had been shaping up as a broad and aggressive trade war. For most countries, the US will now apply a 10% baseline tariff for the next three months. But the White House made clear that its tariffs on Chinese imports will remain in place.

    So why did President Trump back away from the broader tariff push? The answer is simple: the economic cost to the US was too high.

    Our economic model shows the fallout, even after the ‘pause’

    Using a global economic model, we have been estimating the macroeconomic consequences of the Trump administration’s tariff plans as they have developed.

    The following table shows two versions of the economic effects of the tariff plan:

    • “pre-pause” – as the plan stood immediately before Wednesday’s 90-day pause, under a scenario in which all countries retaliate except Australia, Japan and South Korea (which said they would not retaliate)
    • “post-pause” after reciprocal tariffs were withdrawn.


    As is clear, the US would have faced steep and immediate losses in employment, investment, growth, and most importantly, real consumption, the best measure of household living standards.

    Heavy costs of the tariff war

    Under the pre-pause scenario, the US would have seen real consumption fall by 2.4% in 2025 alone. Real gross domestic product (GDP) would have declined by 2.6%, while employment falls by 2.7% and real investment (after inflation) plunges 6.6%.

    These are not trivial adjustments. They represent significant contractions that would be felt in everyday life, from job losses to price increases to reduced household purchasing power. Since the current US unemployment rate is 4.2%, these results suggest that for every three currently unemployed Americans, two more would join their ranks.

    Our modelling shows the damage would not just be short-term. Across the 2025–2040 projection period, US real consumption losses would have averaged 1.2%, with persistent investment weakness and a long-term decline in real GDP.

    It is likely that internal economic advice reflected this kind of outlook. The decision to pause most of the tariff increases may well be an acknowledgement that the policy was economically unsustainable and would result in a permanent reduction in US global economic power. Financial markets were also rattled.

    The scaled-back plan: still aggressive on China

    The new arrangement announced on April 9 scales the higher tariff regime back to a flat 10% for about 70 countries, but keeps the full weight of tariffs on Chinese goods at around 125%. Rates on Canadian and Mexican imports remain at 25%.

    In response, China has announced an 84% tariff on US goods.

    The table’s “post-pause” column summarises the results of the scaled-back plan if the pause becomes permanent. For consistency, we assume all countries except Australia, Japan and Korea retaliate with tariffs equal to those imposed by the US.

    As is clear from the “post-pause” results, lower US tariffs, together with lower retaliatory tariffs, equal less damage for the US economy.

    Tariffs applied uniformly are less distortionary, and significant retaliation from just one major partner (China) is easier to absorb than a broad global response.

    However, the costs will still be high. The US is projected to experience a 1.9% drop in real consumption in 2025, driven by lower employment and reduced efficiency in production. Real investment is projected to fall by 4.8%, and employment by 2.1%.

    Perhaps we should not be surprised that the costs are still so high. In 2022, China, Canada and Mexico accounted for almost 45% of all US goods imports, and many countries were already facing 10% reciprocal tariffs in the “pre-pause” scenario. Trump’s tariff pause has not changed duty rates for these countries.

    US President Donald Trump discusses the 90-day pause.

    What does this mean for Australia?

    Much of the domestic commentary in Australia has focused on the risk of collateral damage from a US-China trade war. Given Australia’s economic ties to both countries, it is a reasonable concern.

    But our modelling suggests that Australia may actually benefit modestly. Under both scenarios, Australia’s real consumption rises slightly, driven by stronger investment, improved terms of trade (a measure of our export prices relative to import prices), and redirection of trade flows.

    One mechanism is what economists call trade diversion: if Chinese or European exporters find the US market less attractive, they may redirect goods to Australia and other open markets.

    At the same time, reduced global demand for capital, especially in the US and China, means lower interest rates globally. That stimulates investment elsewhere, including in Australia. In our model, Australian real investment rises under both scenarios, leading to small but sustained gains in GDP and household consumption.

    These results suggest that, at least under current policy settings, Australia is unlikely to suffer significant direct effects from the tariff increases.

    However, rising investor uncertainty is a risk for both the global and Australian economies, and this is not factored into our modelling. In the space of a single week, the Trump administration has whipsawed global investor confidence through three major tariff announcements.

    A temporary reprieve

    Tariffs appear to be central to the administration’s economic program. So Trump’s decision to pause his broader tariff agenda may not signal a shift in philosophy: just a tactical retreat.

    The updated strategy, high tariffs on China and lower ones elsewhere, might reflect an attempt to refocus on where the administration sees its main strategic concern, while avoiding unnecessary blowback from allies and neutral partners.

    Whether this narrower approach proves durable remains to be seen. The sharpest economic pain has been deferred. Whether it returns depends on how the next 90 days play out.

    The authors do not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.

    ref. This chart explains why Trump backflipped on tariffs. The economic damage would have been huge – https://theconversation.com/this-chart-explains-why-trump-backflipped-on-tariffs-the-economic-damage-would-have-been-huge-253632

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Big changes are planned for aged care in 2025. But you’d never know from the major parties

    Source: The Conversation (Au and NZ) – By Hal Swerissen, Emeritus Professor of Public Health, La Trobe University

    Ground Picture/Shutterstock

    There has been little new in pre-election promises for Australia’s aged-care workers, providers or the 1.3 million people who use aged care.

    In March, Labor announced A$2.6 billion for another pay rise for aged-care nurses in addition to previous pay increases.

    There’s been nothing substantial on aged care from Labor or the Opposition since.

    Major changes are scheduled for the sector later this year, four years after the damning Royal Commission report into aged care. Yet no additional funding has been announced.

    Estimates suggest funding is short around $5 billion to address losses by residential care providers or the shortfall in Home Care Packages.

    What can we expect this year?

    A new Aged Care Act will come into force on July 1 with a much greater emphasis on the rights of older people to get the care that suits their needs. This will mean:

    • a new system to regulate aged care

    • a new independent complaints commissioner

    • a new Support at Home program for older people who want to live at home, and in the community

    • changes to fees for residential aged care.

    But a number of problems remain and it is not clear the reforms being introduced this year will fix them.

    Access is still an issue

    Access to aged care continues to be a problem, particularly in rural and remote areas. The system is difficult to navigate for often vulnerable and confused consumers and their families.

    The government relies heavily on the My Aged Care website to inform older people and their families about aged care options. But this provides only basic information and it is difficult to get individualised support.

    There is also a “digital divide” for a significant group who are unfamiliar with, and lack confidence in, using online services.

    So we need a much greater emphasis on providing local “one stop shops” for personalised support and advice, particularly when people first enter the aged-care system. These services could be provided through Centrelink or new regional aged-care offices.

    Not everyone can navigate websites to get information about the care they need.
    Screenshot/My Aged Care

    About one-third of older people say they need help to live at home. But to get assistance you need an aged-care assessment and that process too needs improving.

    Waiting times for assessment have blown out, with reported delays of up to five months.

    Older people prefer to stay at home

    There are some concerns the number of new aged-care beds is not increasing fast enough. For instance, there are shortages of residential aged care in particular areas such as Canberra.

    But admission times to residential aged care generally have not increased and occupancy rates are declining. This suggests older people would prefer home to residential care.

    Yet increased demand for home-care packages is not being met.

    For those who need more intensive services at home, waiting times remain stubbornly and unacceptably long because there aren’t enough home care packages.

    Despite years of complaints, there are still more than 80,000 people on the waiting list for care at home.

    The new Support at Home program will introduce an eight-level system of support. The highest level of home-care funding will increase to $78,000 to bridge the gap between funding for home and residential care. But many more intensive care packages for home care will be needed to reduce waiting times.

    The Support at Home program also introduces significantly higher out-of-pocket costs for older people. Such costs for everyday services – such as meals, cleaning and gardening – currently funded through the Commonwealth Home Support Program will increase significantly.

    Most controversially, there will also be greater out-of-pocket costs for “independence” services including personal care, social support, respite care and therapy.

    Staff shortages still a concern

    For aged-care providers, chronic workforce shortages are still the biggest problem. Recent increases in wages for aged-care workers, including nurses, are a step in the right direction. But wages are still low.

    It remains hard to attract staff, staff turnover is high and staff are under-trained, risking the quality of care. Shortages are particularly acute in rural areas.

    The aged-care industry is calling for streamlined migration, better training and incentives for regional workers to make up the shortfall. But so far no new election announcements have been made.

    Aged care still needs more workers, including nurses.
    WHYFRAME/Shutterstock

    No real reform

    Despite changes we’ll see from July, the organisation and financing of aged care remains fundamentally unchanged.

    Overall, Australia’s aged-care system is still heavily privatised and fragmented. In 2022-23 there were 923 home-care providers, 764 residential-care providers and 1,334 home-support providers, nearly all in the private and not-for-profit sectors.

    The Commonwealth continues to manage the sector through a cumbersome combination of highly centralised regulation and prescriptive funding contracts.

    It has not put into place an effective, regional management structure to plan, organise and govern the sector to drive quality, innovation, equity, responsiveness and efficiency.

    Nor has the Commonwealth been willing to adequately finance the system either through a levy, a social insurance scheme or via increased taxation. Instead, it’s upping the reliance on user fees to meet the cost of providing services.

    Hal Swerissen is Deputy Chair of the Bendigo Kangan Institute for TAFE.

    ref. Big changes are planned for aged care in 2025. But you’d never know from the major parties – https://theconversation.com/big-changes-are-planned-for-aged-care-in-2025-but-youd-never-know-from-the-major-parties-253727

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Fresh details emerge on Australia’s new climate migration visa for Tuvalu residents. An expert explains

    Source: The Conversation (Au and NZ) – By Jane McAdam, Scientia Professor and ARC Laureate Fellow, Kaldor Centre for International Refugee Law, UNSW Sydney

    The details of a new visa enabling Tuvaluan citizens to permanently migrate to Australia were released this week.

    The visa was created as part of a bilateral treaty Australia and Tuvalu signed in late 2023, which aims to protect the two countries’ shared interests in security, prosperity and stability, especially given the “existential threat posed by climate change”.

    The Australia–Tuvalu Falepili Union, as it is known, is the world’s first bilateral agreement to create a special visa like this in the context of climate change.

    Here’s what we know so far about why this special visa exists and how it will work.

    Why is this migration avenue important?

    The impacts of climate change are already contributing to displacement and migration around the world.

    As a low-lying atoll nation, Tuvalu is particularly exposed to rising sea levels, storm surges and coastal erosion.

    As Pacific leaders declared in a world-first regional framework on climate mobility in 2023, rights-based migration can “help people to move safely and on their own terms in the context of climate change.”

    And enhanced migration opportunities have clearly made a huge difference to development challenges in the Pacific, allowing people to access education and work and send money back home.

    As international development expert Professor Stephen Howes put it,

    Countries with greater migration opportunities in the Pacific generally do better.

    While Australia has a history of labour mobility schemes for Pacific peoples, this won’t provide opportunities for everyone.

    Despite perennial calls for migration or relocation opportunities in the face of climate change, this is the first Australian visa to respond.

    As a low-lying atoll nation, Tuvalu is particularly exposed to rising sea levels.
    maloff/Shutterstock

    How does the new visa work?

    The visa will enable up to 280 people from Tuvalu to move to Australia each year.

    On arrival in Australia, visa holders will receive, among other things, immediate access to:

    • education (at the same subsidisation as Australian citizens)
    • Medicare
    • the National Disability Insurance Scheme (NDIS)
    • family tax benefit
    • childcare subsidy
    • youth allowance.

    They will also have “freedom for unlimited travel” to and from Australia.

    This is rare. Normally, unlimited travel is capped at five years.

    According to some experts, these arrangements now mean Tuvalu has the “second closest migration relationship with Australia after New Zealand”.

    Reading the fine print

    The technical name of the visa is Subclass 192 (Pacific Engagement).

    The details of the visa, released this week, reveal some curiosities.

    First, it has been incorporated into the existing Pacific Engagement Visa category (subclass 192) rather than designed as a standalone visa.

    Presumably, this was a pragmatic decision to expedite its creation and overcome the significant costs of establishing a wholly new visa category.

    But unlike the Pacific Engagement Visa – a different, earlier visa, which is contingent on applicants having a job offer in Australia – this new visa is not employment-dependent.

    Secondly, the new visa does not specifically mention Tuvalu.

    This would make it simpler to extend it to other Pacific countries in the future.

    Who can apply, and how?

    To apply, eligible people must first register their interest for the visa online. Then, they must be selected through a random computer ballot to apply.

    The primary applicant must:

    • be at least 18 years of age
    • hold a Tuvaluan passport, and
    • have been born in Tuvalu – or had a parent or a grandparent born there.

    People with New Zealand citizenship cannot apply. Nor can anyone whose Tuvaluan citizenship was obtained through investment in the country.

    This indicates the underlying humanitarian nature of the visa; people with comparable opportunities in New Zealand or elsewhere are ineligible to apply for it.

    Applicants must also satisfy certain health and character requirements.

    Strikingly, the visa is open to those “with disabilities, special needs and chronic health conditions”. This is often a bar to acquiring an Australian visa.

    And the new visa isn’t contingent on people showing they face risks from the adverse impacts of climate change and disasters, even though climate change formed the backdrop to the scheme’s creation.

    Settlement support is crucial

    With the first visa holders expected to arrive later this year, questions remain about how well supported they will be.

    The Explanatory Memorandum to the treaty says:

    Australia would provide support for applicants to find work and to the growing Tuvaluan diaspora in Australia to maintain connection to culture and improve settlement outcomes.

    That’s promising, but it’s not yet clear how this will be done.

    A heavy burden often falls on diaspora communities to assist newcomers.

    For this scheme to work, there must be government investment over the immediate and longer-term to give people the best prospects of thriving.

    Drawing on experiences from refugee settlement, and from comparative experiences in New Zealand with respect to Pacific communities, will be instructive.

    Extensive and ongoing community consultation is also needed with Tuvalu and with the Tuvalu diaspora in Australia. This includes involving these communities in reviewing the scheme over time.

    Jane McAdam receives funding from the Australian Research Council. She is a member of the expert sub-committee of the Ministerial Advisory Council on Skilled Migration.

    ref. Fresh details emerge on Australia’s new climate migration visa for Tuvalu residents. An expert explains – https://theconversation.com/fresh-details-emerge-on-australias-new-climate-migration-visa-for-tuvalu-residents-an-expert-explains-254195

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: A damning study of online abuse of female MPs shows urgent legal reform is needed

    Source: The Conversation (Au and NZ) – By Cassandra Mudgway, Senior Lecturer in Law, University of Canterbury

    Media Whale Stock/Shutterstock

    Women MPs are increasingly targets of misogynistic, racist and sexual online abuse, but New Zealand’s legal framework to protect them is simply not fit for purpose.

    Recently released research found online threats of physical and sexual violence have caused those MPs to feel fearful, anxious and distressed. Some included in the study said the harassment led to them self-censoring, using social media less often, and considering leaving politics early.

    But the current legal framework is not well equipped to address the nature or volume of the online harassment aimed at MPs.

    Serious online threats made by identifiable individuals can be criminal offences under the Crimes Act 1961. Similarly, the new stalking law, expected to pass later this year, will create some protection for women MPs from online harassers – as long as the stalker can be identified.

    Under the Harmful Digital Communications Act 2015), victims of online harassment can ask the court for protection from the person harassing them, which can include orders to stop all contact. But once again, police need to be able to identify the perpetrator.

    And that is the sticking point. Online abuse is usually committed anonymously and often by perpetrators using a VPN service that encrypts internet traffic and protects your online identity.

    Also, the Harmful Digital Communications Act was not drafted to deal with volumetric harassment – a coordinated effort designed to overwhelm and intimidate a target through a deluge online interactions.

    These campaigns typically involve a large number of participants who collectively flood someone with abusive, threatening or harmful messages. Reporting and attempting to take action on every single message or comment is simply not practical.

    Some women MPs told researchers the harassment led to them self-censoring, using social media less often and considering leaving politics early.
    Hagen Hopkins/Getty Images

    The way forward

    Despite the challenges, there are some steps the government can take to improve the law to better protect MPs.

    Firstly, any new law needs to be fit for purpose. The technological landscape is very different now to when the Harmful Digital Communications Act was introduced in 2015.

    New Zealand should consider following the European Union’s example and criminalise inciting, aiding and participating in mob-style or mass online harassment campaigns. In the EU, the penalty for this can include imprisonment.

    Much of the online abuse originates on social media platforms. But unlike the United Kingdom and Australia, New Zealand does not currently regulate social media.

    In the UK, for example, the Online Safety Act 2023 makes social media companies legally responsible for user safety. Companies must minimise risk of harm (including online violence) when designing, implementing and using any technology on their platforms. Failing these legal duties will incur significant financial penalties.

    The UK’s framework shifts the burden of online safety off the shoulders of individual victims and places it on social media companies which are better positioned to remove harmful content and users swiftly. The rules also alter how new technology is implemented to better protect user safety.

    Dust off past proposals

    Under the previous Labour government, the Ministry of Internal Affairs proposed a new, independent regulatory body to promote online safety, with industry standards and codes of practice. The current coalition government scrapped the proposal last year, leaving New Zealand without a clear plan to address online harm.

    Political leaders should urgently reconsider the Internal Affairs proposal for social media regulation. But they should also go further.

    My research evaluating responses to online abuse in New Zealand, Australia and the UK has highlighted the importance of addressing underlying social and cultural causes of online gender-based violence.

    To effectively prevent online violence against women MPs, a new regulatory framework should require social media platforms to actively challenge and modify harmful gender stereotypes embedded in their services.

    This includes conducting comprehensive risk assessments during the design, development, deployment and use of their platforms.

    While the recent revelations about online abuse directed at women MPs makes for grim reading, it’s clear there are steps the government can take to ensure all MPs feel safe to participate in the political process.

    Cassandra Mudgway is a member of the NZ Labour Party.

    ref. A damning study of online abuse of female MPs shows urgent legal reform is needed – https://theconversation.com/a-damning-study-of-online-abuse-of-female-mps-shows-urgent-legal-reform-is-needed-254184

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Current major party policies fall short for Indigenous communities. Here’s a better path forward

    Source: The Conversation (Au and NZ) – By Bartholomew Stanford, Senior Lecturer of Indigenous Studies, Indigenous Education and Research Centre, James Cook University

    Since the Voice to Parliament referendum in 2023, the Indigenous Affairs portfolio has not featured prominently in policy debates at the national level.

    As the election campaign continues, there’s yet to be much substantive discussion about how to improve the lives of First Nations people.

    But what do we know about Indigenous policy under a continuing Albanese Labor government, or a new one led by Peter Dutton?

    And more importantly, what does the evidence suggest the government, regardless of persuasion, should do with the Indigenous Affairs portfolio and areas where Indigenous policy needs reform to meet international standards?

    What’s happened since the referendum?

    The government has all but walked away from the Uluru Statement from the Heart since the referendum.

    The statement was the result of unprecedented, widespread consultation with Indigenous people nationwide in 2016 and 2017.

    Anthony Albanese committed to implementing the statement in full. It includes two other principles in addition to the Voice to Parliament: a Truth-Telling Commission and Treaty.

    But the government appears to have no appetite for these matters at the moment. The failure of the referendum is also something the prime minister would likely want to distance his government from in the re-election bid.

    After the referendum in October 2023, the government made a significant change in direction from Indigenous rights to economic initiatives for Indigenous communities. In December of that year, the government began public consultations to investigate how to strengthen the Indigenous Procurement Policy.

    In February 2025, the government announced reforms to the policy. It committed to new procurement targets, with an intention of reaching 4% of all Commonwealth procurement being from Indigenous businesses by 2030.

    There have been criticisms of this policy and the Indigenous business sector however, with concerns about Indigenous identity fraud and misuse of the policy.

    What has Labor pledged?

    Labor has committed to a continuation of efforts to close the gap. This is despite clear deficiencies within the policy to address socioeconomic disadvantage and the growing incarceration rates of Indigenous Australians.

    The government has flagged the potential for more economic based policies instead of returning to the prior focus on Indigenous rights, recognition and truth-telling.

    Labor has also committed to more Indigenous engagement at the international level. This is mostly through the Department of Foreign Affairs and Trade’s First Nations Ambassador initiatives, Indigenous foreign policy and public diplomacy.

    What about the Coalition?

    The Liberal and National parties are using the referendum outcome as a barometer to gauge the public’s attitudes towards Indigenous affairs. They are largely opposed to increased Indigenous rights and recognition.

    This has already started at a state level. The Queensland Liberal National Party, for instance, walked back their support for a state treaty just a week after the referendum result.

    The federal Coalition has since been vocal about curtailing Indigenous recognition and placing greater scrutiny on Indigenous funding and programs.

    Peter Dutton has expressed an interest in removing the Aboriginal and Torres Strait Islander flags at government press conferences. He also wants to scrap the First Nations ambassador role.

    Shadow Minister for Indigenous Affairs Jacinta Nampijinpa Price wants the Coalition to audit government spending on Indigenous programs. She also wants a royal commission into sexual abuse in Indigenous communities.




    Read more:
    A royal commission won’t help the abuse of Aboriginal kids. Indigenous-led solutions will


    It’s safe to assume the Coalition will have no interest in revisiting any aspects of the Uluru Statement.

    Dutton has indicated, however, that a referendum on Indigenous constitutional recognition could be reconsidered, if it had bipartisan support.

    But he seems very uncertain on this issue. It’s unclear if he or the Coalition would even support this.

    The direction of conservative politics in Australia is following trends happening in New Zealand. Indigenous rights there are very much in the crosshairs of policy debate and political attack.

    The missing policy pieces

    So what does the evidence say about what politicians should be doing to improve outcomes for First Nations people?

    The first thing to do is come up with a plan. We, as a nation, must move past the referendum result and present a clear roadmap for addressing Indigenous rights and ongoing marginalisation.

    Second, work on implementing the Uluru Statement remains unfinished. Truth and Treaty can still be acted on. The recognition so resoundingly called for in the statement remains elusive.

    And if not a Voice to Parliament, government needs to work with First Nations people to determine a path forward for legislating a representative Indigenous national body that both sides of politics will support.

    The Closing the Gap policy needs also needs massive overhaul. Of the 19 targets, only five are on track to be met.

    The Productivity Commission, which monitors the progress on the targets, has said the program will fail “without fundamental change”.

    Some improvements have been made, but closing the gap in life expectancy and addressing the over-representation of Indigenous people in incarceration continue to be areas of vital concern.

    Finally, Australia has not yet lifted Indigenous policy to international standards. The United Nations Declaration of the Rights of Indigenous Peoples (UNDRIP) has existed since 2007. Australia officially endorsed it in 2009.

    But, according to the Law Council of Australia, legal recognition of the declaration, and the rights it accords, is only recognised in a “piecemeal manner”.

    This means there is no comprehensive or consistent legal provision for Indigenous rights in Australia.

    And with no Treaty, there are limited safeguards for Indigenous cultures, creating further uncertainty which perpetuates and exacerbates Indigenous disadvantage.

    Bartholomew Stanford receives funding from the Australian Research Council.

    ref. Current major party policies fall short for Indigenous communities. Here’s a better path forward – https://theconversation.com/current-major-party-policies-fall-short-for-indigenous-communities-heres-a-better-path-forward-253331

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  • MIL-Evening Report: Tools like Apple’s photo Clean Up are yet another nail in the coffin for being able to trust our eyes

    Source: The Conversation (Au and NZ) – By T.J. Thomson, Senior Lecturer in Visual Communication & Digital Media, RMIT University

    Apple Clean Up highlights photo elements that might be deemed distracting. T.J. Thomson

    You may have seen ads by Apple promoting its new Clean Up feature that can be used to remove elements in a photo. When one of these ads caught my eye this weekend, I was intrigued and updated my software to try it out.

    The feature has been available in Australia since December for Apple customers with certain hardware and software capabilities. It’s also available for customers in New Zealand, Canada, Ireland, South Africa, the United Kingdom and the United States.

    The tool uses generative artificial intelligence (AI) to analyse the scene and suggest elements that might be distracting. You can see those highlighted in the screenshot below.

    Apple uses generative AI to identify elements, highlighted here in red, that might be distracting in photos. It then allows users to remove these with the tap of a finger.
    T.J. Thomson

    You can then tap the suggested element to remove it or circle elements to delete them. The device then uses generative AI to try to create a logical replacement based on the surrounding area.

    Easier ways to deceive

    Smartphone photo editing apps have been around for more than a decade, but now, you don’t need to download, pay for, or learn to use a new third-party app. If you have an eligible device, you can use these features directly in your smartphone’s default photo app.

    Apple’s Clean Up joins a number of similar tools already offered by various tech companies. Those with Android phones might have used Google’s Magic Editor. This lets users move, resize, recolour or delete objects using AI. Users with select Samsung devices can use their built-in photo gallery app to remove elements in photos.

    There have always been ways – analogue and, more recently, digital – to deceive. But integrating them into existing software in a free, easy-to-use way makes those possibilities so much easier.

    Using AI to edit photos or create new images entirely raises pressing questions around the trustworthiness of photographs and videos. We rely on the vision these devices produce in everything from police body and traffic cams to insurance claims and verifying the safe delivery of parcels.

    If advances in tech are eroding our trust in pictures and even video, we have to rethink what it means to trust our eyes.

    How can these tools be used?

    The idea of removing distracting or unwanted elements can be attractive. If you’ve ever been to a crowded tourist hotspot, removing some of the other tourists so you can focus more on the environment might be appealing (check out the slider below for an example).

    But beyond removing distractions, how else can these tools be used?

    Some people use them to remove watermarks. Watermarks are typically added by photographers or companies trying to protect their work from unauthorised use. Removing these makes the unauthorised use less obvious but not less legal.

    Others use them to alter evidence. For example, a seller might edit a photo of a damaged good to allege it was in good condition before shipping.

    As image editing and generating tools become more widespread and easier to use, the list of uses balloons proportionately. And some of these uses can be unsavoury.

    AI generators can now make realistic-looking receipts, for example. People could then try to submit these to their employer to get reimbursed for expenses not actually incurred.




    Read more:
    Can you spot a financial fake? How AI is raising our risks of billing fraud


    Can anything we see be trusted anymore?

    Considering these developments, what does it mean to have “visual proof” of something?

    If you think a photo might be edited, zooming in can sometimes reveal anomalies where the AI has stuffed up. Here’s a zoomed-in version of some of the areas where the Clean Up feature generated new content that doesn’t quite match the old.

    Tools like Clean Up sometimes create anomalies that can be spotted with the naked eye.
    T.J. Thomson

    It’s usually easier to manipulate one image than to convincingly edit multiple images of the same scene in the same way. For this reason, asking to see multiple outtakes that show the same scene from different angles can be a helpful verification strategy.

    Seeing something with your own eyes might be the best approach, though this isn’t always possible.

    Doing some additional research might also help. For example, with the case of a fake receipt, does the restaurant even exist? Was it open on the day shown on the receipt? Does the menu offer the items allegedly sold? Does the tax rate match the local area’s?

    Manual verification approaches like the above obviously take time. Trustworthy systems that can automate these mundane tasks are likely to grow in popularity as the risks of AI editing and generation increase.

    Likewise, there’s a role for regulators to play in ensuring people don’t misuse AI technology. In the European Union, Apple’s plan to roll out its Apple Intelligence features, which include the Clean Up function, was delayed due to “regulatory uncertainties”.

    AI can be used to make our lives easier. Like any technology, it can be used for good or bad. Being aware of what it’s capable of and developing your visual and media literacies is essential to being an informed member of our digital world.

    T.J. Thomson receives funding from the Australian Research Council. He is an affiliated researcher with the ARC Centre of Excellence for Automated Decision-Making & Society.

    ref. Tools like Apple’s photo Clean Up are yet another nail in the coffin for being able to trust our eyes – https://theconversation.com/tools-like-apples-photo-clean-up-are-yet-another-nail-in-the-coffin-for-being-able-to-trust-our-eyes-253942

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  • MIL-Evening Report: Location-sharing apps are enabling domestic violence. But young people aren’t aware of the danger

    Source: The Conversation (Au and NZ) – By Maria Atienzar-Prieto, PhD Candidate, School of Health Sciences and Social Work, Griffith University

    The Conversation/Snapchat

    Location-sharing apps are shaping how we connect and communicate – especially among younger people. Snap Map, a popular feature within Snapchat, is widely used by teens and young adults to stay in the loop and facilitate real-time meet-ups with friends and partners.

    Meanwhile, Life360 markets itself as “Australia’s number one family safety app”. It offers parents peace of mind through continuous, sophisticated location tracking.

    These apps determine a person’s real-time location primarily with GPS technology that’s already in a phone. The convenience and sense of security they provide might be appealing to many people. But they can also enable stalking and other forms of coercive control.

    The recent inquest into the murder of Lilie James starkly highlighted these risks. However, our research on young people’s perceptions of technology-facilitated abuse has shown many of them are not aware of the danger.

    A meticulously planned murder

    In October 2023, James, a 21-year-old water polo coach, was killed by her 24-year-old ex-boyfriend, Paul Thijssen, in a bathroom at St Andrew’s Cathedral School in Sydney.

    James had been in a brief relationship with Thijssen. But she ended it when he became obsessed.

    The coronial inquest revealed Thijssen had meticulously planned the murder. He had also used a range of coercively controlling behaviours in the lead up to his crime. For example, he physically stalked James by driving past her home on multiple occasions.

    He also tracked James’s location on Snapchat to monitor her whereabouts and asked a mutual friend to keep “an eye on her” during a party she attended.

    The court also heard about Thijssen’s use of abusive digital behaviours as a pattern of coercive control across his previous relationships.

    Not a sign of love and care

    A friend of James and Thijssen misinterpreted his tracking of her location as a sign of love and care. Young people are generally at risk of making similar mistakes, as our recent research highlights.

    As part of Maria’s PhD thesis, the research included surveys with more than 1,000 respondents and follow-up focus groups with 28 young people (aged 16–25). We asked these young people about their perceptions of technology-facilitated coercive control in dating relationships.

    Every young person who participated in the focus groups had either used location-sharing apps in their own relationships or knew someone who had. This reflected a high level of normalisation regarding the use of location sharing between dating partners.

    Many participants underestimated the risks associated with these behaviours.

    In fact, most young people in our study misinterpreted tracking a partner via Snapchat, the “Find My” app and Life360 as a protective behaviour and a sign of care and trust.

    There is a high level of normalisation regarding the use of location sharing between dating partners.
    Tom Wang/Shutterstock

    It starts at home

    According to the young people in our study, initial experiences with location tracking often start in the family home.

    In an attempt to ensure their children’s safety, parents are increasingly adopting tracking apps to monitor their children’s movements.

    Our findings suggest the widespread use of location sharing within families normalises its adoption outside the home. This can lead to a greater acceptance of surveillance among young people in friendships and romantic relationships.

    This observation is unsurprising when considering research from November 2024 by the eSafety Commissioner on broader community attitudes towards location sharing. It found one in ten Australians believe it is “reasonable to expect to track a partner using location-sharing apps”.

    Young people in our research were able to identify common red flags of harmful location tracking – for example, obsessively monitoring a partner’s whereabouts. But they described how the normalisation of location sharing makes it challenging for them to “opt out” of sharing their location with friends and partners.

    Location sharing is perceived as a demonstration of commitment in young relationships. Therefore, when someone in a relationship decides to stop sharing their location, it is seen as a sign of distrust or a breach of shared dating norms. And it may lead to displays of anger, as seen in the example of Thijssen’s earlier controlling relationships.

    Apps such as Snapchat include location-sharing features.
    Diego Thomazini/Shutterstock

    Negotiating digital boundaries early on

    Location sharing is often normalised in the family context without informed conversations about the associated risks in other relationships. But opting out of location sharing with friends or partners requires the skills and confidence to have such conversations.

    The Australian Government is investing A$77.6 million in respectful relationships education. This will be delivered in partnership with states, territories and non-government school sectors.

    However, for this initiative to be successful, both parents and young people should be educated about digital behaviours. These behaviours include location sharing in various contexts, such as with family members, partners and friends.

    Parents need to be informed about the potential risks associated with location sharing and its normalisation. Beyond learning how to use parental controls to ensure their children’s online safety, it is equally important that parents are equipped with skills to have informed conversations with their children about the risks associated with these features.

    Young people also require skills to navigate difficult conversations about their own digital boundaries.

    Solely relying on more education around the risks and protective measures related to location sharing, such as online stalking or increasing awareness of privacy controls, will not achieve this. We must equip young people with crucial knowledge and skills to recognise the need for, and negotiate, digital boundaries early on in their relationships.

    Setting boundaries in response to experiences of technology-facilitated coercive control may require additional safeguards, including the awareness and support of family and friends.

    Where technology-facilitated coercive control behaviours persist or escalate, national helplines and local domestic violence services can offer vital support, information and referral pathways.


    The National Sexual Assault, Family and Domestic Violence Counselling Line – 1800 RESPECT (1800 737 732) – is available 24 hours a day, seven days a week for any Australian who has experienced, or is at risk of, family and domestic violence and/or sexual assault.

    Silke Meyer receives funding from Australia’s Research Organisation for Women’s Safety (ANROWS) and state government funding for research into domestic, family and sexual violence.

    Maria Atienzar-Prieto does not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and has disclosed no relevant affiliations beyond their academic appointment.

    ref. Location-sharing apps are enabling domestic violence. But young people aren’t aware of the danger – https://theconversation.com/location-sharing-apps-are-enabling-domestic-violence-but-young-people-arent-aware-of-the-danger-253932

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Good boy or bad dog? Our 1 billion pet dogs do real environmental damage

    Source: The Conversation (Au and NZ) – By Bill Bateman, Associate Professor, Behavioural Ecology, Curtin University

    William Edge/Shutterstock

    There are an estimated 1 billion domesticated dogs in the world. Most are owned animals – pets, companions or working animals who share their lives with humans. They are the most common large predator in the world. Pet cats trail far behind, at about 220 million.

    We are all too aware of the negative effects of cats, both owned and feral, on wildlife. Feral dogs too are frequently seen as threats to biodiversity, although dingoes can have a positive role. By contrast, our pet dogs often seem to get a free pass.

    This is, unfortunately, based more on feelings than data. Our beloved pet dogs have a far greater, more insidious and more concerning effect on wildlife and the environment than we would like to be the case.

    In our new research, we lay out the damage pet dogs do and what can be done about it.

    Dogs are predators. They catch many types of wildlife and can injure or kill them. Their scent and droppings scare smaller animals. Then there’s the huge environmental cost of feeding these carnivores and the sheer quantity of their poo.

    We love our pet dogs, but they come with a very real cost. We have to recognise this and take steps to protect wildlife by leashing or restraining our animals.

    The predator in your home

    Dogs are domesticated wolves, bred to be smaller, more docile and extremely responsive to humans. But they are still predators.

    Pet dogs are responsible for more reported attacks on wildlife than are cats, according to data from wildlife care centres, and catch larger animals.

    Pet dogs off the leash are the main reason colonies of little penguins are nearing collapse in Tasmania.

    In New Zealand, a single escaped pet dog is estimated to have killed up to 500 brown kiwis out of a total population of 900 over a five-week period.

    Once off the leash, dogs love to chase animals and birds. This may seem harmless.
    But being chased can exhaust tired migratory birds, forcing them to use more energy. Dogs can kill fledglings of beach-nesting birds, including endangered birds such as the hooded plover.

    The mere presence of these predators terrifies many animals and birds. Even when they’re on the leash, local wildlife are on high alert. This has measurable negative effects on bird abundance and diversity across woodland sites in eastern Australia.

    In the United States, deer are more alert and run sooner and farther if they see a human with a leashed dog than a human alone.

    Several mammal species in the United States perceived dogs with a human as a bigger threat than coyotes.

    Dogs don’t even have to be present to be bad for wildlife. They scent-mark trees and posts with their urine and leave their faeces in many places. These act as warnings to many other species. Researchers in the US found animals such as deer, foxes and even bobcats avoided areas dogs had been regularly walked compared to dog exclusion zones, due to the traces they left.

    Beach-nesting birds such as hooded plovers are vulnerable to off-leash dogs, who can easily trample eggs, kill hatchlings or scare off the parents.
    Martin Pelanek/Shutterstock

    Keeping dogs healthy and fed has a cost

    The medications we use to rid our pet dogs of fleas or ticks can last weeks on fur, and wash off when they plunge into a creek or river. But some of these medications have ingredients highly toxic to aquatic invertebrates, meaning a quick dip can be devastating.

    Researchers have found when birds such as blue tits and great tits collect brushed-out dog fur to line their nests, it can lead to fewer eggs hatching and more dead hatchlings.

    Then there’s the poo. In the US, there are about 90 million pet dogs, while the UK has 12 million and Australia has 6 million.

    The average dog deposits 200 grams of faeces and 400 millilitres of urine a day. This translates to a tonne of faeces and 2,000 litres of urine over a 13 year lifespan. Scaled up, that’s a mountain of waste.

    This waste stream can add to nitrogen pollution in waterways, alter soil chemistry and even spread diseases to humans and other wildlife. More than 80% of the pathogens infecting domesticated animals also infect wildlife.

    Dogs largely eat meat, meaning millions of cows and chickens are raised just to feed our pets. Feeding the world’s dogs leads to about the same emissions as the Philippines and a land use “pawprint” twice the size of the UK.

    No one likes thinking about this

    People love their dogs. They’re always happy to see us. Their companionship makes us healthier, body and mind. Many farms couldn’t run without working dogs. We don’t want to acknowledge they can also cause harm.

    Dogs, of course, are not bad. They’re animals, with natural instincts as well as the domesticated instinct to please us. But their sheer numbers mean they do real damage.

    Many of us have a large dog-shaped blind spot. Little Brutus wouldn’t have done something like that, we think. But Brutus can and does.

    Choosing to own a dog comes with responsibilities. Being a good dog owner means caring not just for the animal we love, but the rest of the natural world.

    The authors do not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.

    ref. Good boy or bad dog? Our 1 billion pet dogs do real environmental damage – https://theconversation.com/good-boy-or-bad-dog-our-1-billion-pet-dogs-do-real-environmental-damage-252726

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  • MIL-Evening Report: Our ancestors didn’t eat 3 meals a day. So why do we?

    Source: The Conversation (Au and NZ) – By Rob Richardson, Senior Lecturer in Culinary Arts & Gastronomy, Auckland University of Technology

    Shutterstock

    Pop quiz: name the world’s most famous trio? If you’re a foodie, then your answer might have been breakfast, lunch and dinner. It’s an almost universally accepted trinity – particularly in the Western world.

    But how did it come about?

    The first meals

    Early humans were nomadic. Forming small communities, they would travel with the seasons, following local food sources.

    While we can only guess what daily mealtimes rhythms looked like, evidence dating back 30,000 years from the South Moravia region, Czech Republic, shows people visited specific settlements time and again. They gathered around hearths, cooking and sharing food: the first signs of human “commensality”, the practice of eating together.

    One of the best-preserved hunter-gatherer sites we’ve found is Ohalo II – located on the shores of the modern-day Sea of Galilee (also called Lake Tiberias or Lake Kinneret) in Israel, and dating back some 23,000 years.

    In addition to several small dwellings with hearths, it provides evidence of diverse food sources, including more than 140 types of seeds and nuts, and various birds, fish and mammals.

    The development of agricultural knowledge some 12,000 years ago gave rise to permanent settlements. The earliest were in the Levant region (across modern-day Iraq, southwestern Iran and eastern Turkey), in an area called the “Fertile Crescent”.

    The fertile crescent covers the rich, biodiverse valleys of the Tigris, Euphrates and Jordan rivers.
    Shutterstock

    Permanent agriculture led to the production of a surplus of food. The ability to stay in one place with food on-hand meant the time it took to cook no longer mattered as much.

    It quickly became common to eat one light meal early in the day, followed by a larger hearth-prepared meal later on. The specific timings would have varied between groups.

    Eating together as a rule

    The communal nature of foraging and hunting, and later farming, meant humans almost always ate their meals in the company of others. In the ancient city-state of Sparta, in the 4th century BCE, these practices were codified as common main meals called syssitia (meaning “eating together”).

    These meals were consumed at the end of the day in communal dining halls. Food was served by young boys to tables of 15 or so men who lived together and fought in the same military division. The men gradually shared generational knowledge with the young boys, who themselves would join the tables by age 20.

    In the 5th century BCE, Greek historian Herodotus wrote about how syssitia evolved from a Spartan military practice to having deep political meaning in society. Similarly, Plato wrote common meals were an integral component of civil society, and that missing a meal without good reason was a civic offence.

    By dining in full view of the rest of society, citizens were compelled to maintain self-discipline. Mealtime was also an opportunity for social linkage, and important discussions ranging from business deals to politics.

    The eating habits of Spartan women are missing in the texts, although it is implied they ate at home.

    Bunches of lunches

    Counter to the tough Spartan way of life, the Romans enjoyed their main meal, cena, earlier in the day, followed by a lighter meal just before bed.

    The northern European tribes tended towards two larger meals per day, as more sustenance is required in colder climes. To the Vikings, these meals were known as dagmal and nattmal, or day meal and night meal. Nattmal was the cooked evening meal, while dagmal usually consisted of leftover nattmal with the addition of bread and beer or mead.

    In Australia, evidence suggests Aboriginal peoples tended toward a daily single meal, which aligns with the predominant method of cookery: slow-cooking with hot coals or rocks in an earth oven. This underground oven, used by Aboriginal and also Torres Strait Islander communities, was referred to as a kup murri or kap mauri by some groups.

    This is similar to other Indigenous preparations throughout the Pacific, such as the New Zealand Māori hāngī, Hawaiian imu, Fijian lovo, and even the Mayan píib.

    The once-daily meal would have been supplemented with snacks throughout the day.

    Three’s the magic number

    The timing of meals was heavily influenced by class structure, local climate and people’s daily activities. Practicality also played a part. Without reliable lighting, meals had to be prepared and eaten before dark. In settled parts of Northern Europe, this could be as early as 3pm.

    So how did we go from one or two main meals, to three? The answer may lie with the British Royal Navy.

    Since its inception in the 16th century, the navy served three regular meals to align with the shipboard routine. This included a simple breakfast of ship’s biscuits, lunch as the main meal, and dinner as more of a light supper.

    Some sources suggest the term “square meal” may have come from the square wooden trays meals were served in.

    Initially, sailors recieved a daily gallon of beer with meals. This was later changed to watered-down rum, the infamous ‘grog’, which is being handed out in this 1940 photo taken aboard HMS King George V.
    Imperial War Museums, CC BY-NC

    The Industrial Revolution, which started around 1760, arguably also played a role in formalising the concept of three specific mealtimes across the Western world.

    The cadence of breakfast, lunch and dinner matched the routine of the longer, standardised workdays. Workers ate breakfast and dinner at home, before and after work, while lunch was eaten with coworkers at a set time.

    With minimal breaks, and no time for snacking, three substantial meals became necessary.

    The fall of the holy trinity

    Today, many factors impact the time and frequency of our meals, from long work commutes to juggling hobbies and social obligations.

    The ways in which we eat and share food continue to evolve alongside our societies and cultures.
    Shutterstock

    The COVID pandemic also impacted how and what we eat, leading us to eat larger amounts of higher calorie foods. The rapid growth of delivery services also means a meal is no more than a few minutes away from most people.

    All of this has resulted in mealtimes becoming less rigid, with social meals such as brunch, elevenses and afternoon teas expanding how we connect over food. And mealtimes will continue to evolve as our schedules become ever more complicated.

    The authors do not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.

    ref. Our ancestors didn’t eat 3 meals a day. So why do we? – https://theconversation.com/our-ancestors-didnt-eat-3-meals-a-day-so-why-do-we-250773

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  • MIL-Evening Report: Here’s how a ‘silent’ tax hike is balancing the budget – with the heaviest burden on the lowest paid

    Source: The Conversation (Au and NZ) – By Chris Murphy, Visiting Fellow, Economics (modelling), Australian National University

    With just over three weeks to go until the federal election, both major parties are trying to position themselves as Australia’s better economic managers.

    Labor was able to hand down two consecutive budget surpluses in its current term. But the most recent federal budget shows a return to deficit this financial year.

    After the deficit peaks – at 1.5% of gross domestic product (GDP) next financial year – it will then take a decade to balance the budget. My own economic forecasts also imply the budget can return to balance in this time frame.

    However, this slow budget repair work is done silently by “bracket creep”, not by policy actions of the government.

    Under a progressive tax system, as incomes rise with inflation, the additional income is taxed more heavily.

    For example, a worker on average, annual wages of A$79,000 pays 20.3% of that in tax. But they pay tax of 32% (including the medicare levy) on any wage increases, even if those wage increases are only just enough to keep pace with inflation.

    The higher tax rate on additional wages pushes up average tax rates – known as bracket creep. This piece explains it well.

    Bracket creep has the political advantage of being a silent way of gradually increasing average tax rates. Both major parties are heavily relying on it. But is it good economic policy?

    The ‘silent’ tax hike

    Though Australia’s personal income tax system is progressive, it’s possible to work out the average tax rate faced by Australians collectively. This is total personal income tax paid as a percentage of total taxable income.

    In the first two decades of this century, personal income tax accounted for an average of 22.9% of taxable incomes. There was no clear trend.

    Since then, the trend has been up, because announced tax cuts haven’t been enough to offset silent bracket creep.

    The average tax rate this financial year, 2024-25, is estimated to be 24.3%.



    In the latest budget, the government reduced the lowest marginal tax rate – from 16% to 15% in 2026-27, then to 14% in 2027-28 and beyond.

    This almost stabilises the average tax rate for two years. However, it then resumes its upward trend under the silent influence of bracket creep, reaching 28.1% in 2035-36.

    This will be an all-time high average tax rate. Living standards will be squeezed and incentives to work and save will diminish.

    Some countries limit bracket creep by indexing personal income tax brackets to price inflation. This stops price inflation alone pushing workers into higher tax brackets.

    To illustrate how indexing could work, if inflation was 2%, all of the tax thresholds would move up by 2%. For example, the tax free threshold of $18,200 would increase to $18,564.

    A worker whose pay had increased by 2% would similarly pay only 2% extra tax, keeping their average tax rate unchanged.

    However, most of the time wages rise faster than prices because of productivity growth.

    Why bracket creep is unfair

    The unfairness of bracket creep can be illustrated with examples.

    Under the budget, the average rate of tax (for everyone) rises over the next 11 years by 3.8% points of income.

    The average wage earner with an annual income of $79,000 fares a little better. Their average tax rate goes from 20.3% in 2024-25 to 23.6% in 2035-36, an increase of 3.3% points of income, as noted in the recent budget.

    However, a low wage earner, with an annual income of $45,000 fares worse. Their average tax rate jumps from 10.8% to 17.3%, an increase of 6.5% points of income.

    Do we think it is fair that someone with an annual income of only $45,000 today should have to pay about 17% of their income in income tax in 11 years time?

    While this is an extreme example, it illustrates the fact that bracket creep is regressive and has serious unintended consequences.

    Less of a “Robin Hood” effect

    All of this has implications for the fairness of our tax system overall.

    To measure how much a country’s personal income tax system reduces inequality in income distribution, economists use something called the “Reynolds-Smolensky redistribution index”. Let’s call it the “R” index.

    A higher R index for a country means a stronger “Robin Hood” element in its tax system – that the system is doing more to redistribute income.

    Bracket creep disproportionately affects those on low incomes.
    muse studio/Shutterstock

    The International Monetary Fund reports that in 2018, the R index for Australia was 6.8%, compared to the average for OECD countries of under 5%. In 2024-25, the Australian R index is already a little lower at 6.5%.

    The R index can also be used to measure how benefits reduce inequality, but here, we’re only using it for personal income tax.

    Without any budget measures, the regressive nature of bracket creep would have caused the R index to fall further to a value of 6.3% in 2035-36.

    However, this budget’s “top-up tax cut” to the lowest marginal tax rate limited this fall to 6.4%, because it was a progressive tax change.



    Time for indexation

    Politicians from both major parties should stop relying so much on their silent partner, bracket creep, to slowly repair budget deficits.

    Instead of misleading announcements of tax cuts in only some budgets, my modelling shows how we could benefit from automatically indexing the tax brackets to prices in every budget.

    This will mean that the average rate of personal income tax will rise more modestly over the next 11 years, from 24.3% to 25.5%, instead of to 28.1%. Indexation also limits the fall in the R index to a value of 6.4%.

    The resulting revenue shortfall could be filled in ways that are more transparent, efficient and fairer than bracket creep.

    Possible ways include better priorities and higher efficiency in government spending, more reliance on indirect taxes such as the GST and expanding the tax base itself through reforms to boost productivity.

    Chris Murphy does not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and has disclosed no relevant affiliations beyond their academic appointment.

    ref. Here’s how a ‘silent’ tax hike is balancing the budget – with the heaviest burden on the lowest paid – https://theconversation.com/heres-how-a-silent-tax-hike-is-balancing-the-budget-with-the-heaviest-burden-on-the-lowest-paid-253442

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  • MIL-Evening Report: 1 in 10 tunnel workers could develop silicosis, our new research shows

    Source: The Conversation (Au and NZ) – By Kate Cole, Occupational Hygienist, PhD Candidate, University of Sydney

    Around 10% of underground tunnel workers in Queensland could develop silicosis, our new study has found.

    Silicosis is a serious, incurable lung disease caused by inhaling small particles of silica dust. You might have heard about it in people who work with engineered stone. But silica is more widespread.

    Silica is found in rocks and concrete, so workers in industries such as construction, mining and tunnelling are at high risk if proper safety measures aren’t in place.

    When silica dust is breathed in, it gets trapped in the lungs, causing inflammation and scarring. Over time, this scarring makes it harder to breathe and can be fatal.

    As symptoms of silicosis can take decades to appear, workers may not realise they’re sick until long after they’ve started working, or even after they stop.

    But silicosis is preventable.

    When silica dust is breathed in, it gets trapped in the lungs in tiny air sacs (the alveoli), causing inflammation and scarring.
    Pikovit/Shutterstock

    How does silicosis affect tunnel workers?

    Thousands of people are involved in tunnelling projects in Australia.

    Tunnelling involves breaking up large amounts of silica-containing rock with heavy machinery.

    Tunnel workers rely on advanced ventilation systems to provide fresh air underground, water systems to keep the rocks wet and suppress dust, and they wear respirators on their face to keep the air they breathe clean. But some people have raised concerns these measures do not always work properly.

    There are also national legal limits in place for silica dust exposure, currently 0.05 milligrams per cubic metre over an eight-hour work day.

    However, a media investigation last November revealed one-third of air monitoring tests from a Sydney tunnel project were above legal limits.

    While air monitoring tests are required by law, the results of routine air monitoring tests are often not made public.

    An expert taskforce has recently been set up in New South Wales to address the silica-related health risks for tunnel workers, promising to make high silica results above legal limits publicly available.

    But while attention has been focused on tunnel workers in Sydney, the problem of lung disease in underground workers is more widespread.

    Our Queensland study

    The results of air monitoring tests are important because they show whether legal silica dust limits are being adhered to.

    Another valuable use of this data is it can help us predict future disease risk. Instead of waiting to see how many workers develop silica-related diseases such as silicosis and lung cancer, this data can be used to estimate cases in advance.

    In 2017, a Queensland parliamentary inquiry raised concerns about the health of Brisbane’s tunnel workers, particularly regarding the harmful effects of exposure to silica dust.

    We worked through the parliamentary inquiry documents to uncover the results of hundreds of individual air monitoring tests conducted on three major Queensland tunnel projects between 2007 and 2013.

    We analysed this data to estimate how many workers were exposed to silica dust and at what levels. We then modelled how many cases of silicosis and lung cancer would occur over the workers’ lifetimes.

    We estimated that in a group of around 2,000 workers involved in these Queensland tunnel projects, 200 to 300 would develop silicosis over their lifetime as a result of silica dust exposure (roughly one in every ten workers).

    We also estimated between 20 to 30 workers would develop lung cancer due to their exposure.

    We had limited information on workplace conditions in the specific projects, so we made a number of assumptions based on publicly available information and our own experience. These included assumptions around the use and protective nature of masks. The fact we had to make some assumptions could be a limitation of our study. Due to the lack of data transparency we don’t know if these figures apply more broadly to tunnel workers throughout Australia.

    Silicosis can appear decades after occupational exposure.
    Marco Di Stefano/Shutterstock

    Our projected rate of silicosis, 10%, is the same as the rate of silicosis recorded by a government inquiry in 1924 which investigated silicosis among workers who built Sydney’s sewers.

    So it doesn’t seem things are any better in terms of silicosis risk in underground work than a century ago.

    We need to do more to protect tunnel workers

    Continued secrecy around silica dust data reduces our ability to understand the scale of the problem and respond effectively. Nonetheless, the small amount of data that has been made available supports the need for urgent action.

    With Australia’s ongoing infrastructure expansion, policymakers must act now. This should include enforcing stricter legal limits for silica dust exposure. There is concern among health experts that current limits don’t sufficiently protect workers’ health.

    Policymakers should also ensure protective measures such as advanced ventilation and dust suppression systems are in place for all tunnel projects, set up national tunnel worker health surveillance, and make exposure data available to workers and the public.

    There are several examples where things are done better. Internationally, Norway and Switzerland have strong systems to protect tunnel workers’ health such as air and health monitoring being conducted by an independent government agency. In Switzerland, this agency also insures the project. Noncompliance results in higher insurance premiums or, in some cases, the withdrawal of insurance, effectively stopping the project.

    Nationally, Australia’s mining industry is more heavily regulated than tunnelling, with stricter enforcement of compliance.

    Without immediate intervention, thousands of tunnel workers will continue to face serious health risks and Australia will face a growing wave of preventable occupational diseases.

    Kate Cole receives higher degree by research funding from The University of Sydney; is a member of the Asbestos and Silica Safety Eradication Council; the NSW Dust Diseases Board; the Chair of the External Affairs Committee for the Australian Institute of Occupational Hygienists; and acts as an expert witness for law firms concerning silica-related diseases in tunnel workers.

    Renee Carey has previously received funding from the Australian Council of Trade Unions. She is a member of the Occupational Lung Disease Network Steering Committee formed by Lung Foundation Australia.

    Tim Driscoll has acted as an expert witness, and written government reports, in relation to silica exposure but not specifically connected to tunnelling. He chairs the Occupational and Environmental Cancer Committee of Cancer Council Australia and chairs the Occupational Lung Disease Network Steering Committee of Lung Foundation Australia.

    ref. 1 in 10 tunnel workers could develop silicosis, our new research shows – https://theconversation.com/1-in-10-tunnel-workers-could-develop-silicosis-our-new-research-shows-252186

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  • MIL-Evening Report: Australia urgently needs to get serious about long-term climate policy – but there’s no sign of that in the election campaign

    Source: The Conversation (Au and NZ) – By Frank Jotzo, Professor, Crawford School of Public Policy and Head of Energy, Institute for Climate Energy and Disaster Solutions, Australian National University

    The federal election should be an earnest contest over the fundamentals of Australia’s climate and energy policies.

    Strong global action on climate change is clearly in Australia’s long-term national interest. But it has fallen prey to US President Donald Trump’s disruption of the world order, which has drained global attention from other crucial issues, including climate change.

    The Trump administration’s anti-climate actions might energise some to counteract it, but its overall affect will be chilling.

    Election reality

    A comprehensive platform to strengthen and broaden Australian climate policy towards net zero is needed more than ever.

    But the political reality playing out in the election campaign is very different, with the overriding focus on the cost of living, and the usual emphasis on electoral tactics rather than long-term strategies.

    Even a policy like Labor’s subsidised home batteries is being framed as a hip-pocket measure, rather than as a small contribution to energy infrastructure.

    Likewise, the Coalition’s pledge to halve fuel excise is aimed squarely at easing price pressures at the pump. In fact, the policy would slightly delay progress towards low emissions transport.

    The vexed question of how to ensure sufficient gas supplies for south eastern Australia is also cloaked in energy affordability. We are already seeing industry push back against the Coalition’s policy to require gas companies to withhold a share of production for the domestic market.

    Off target

    Regardless of who wins the election, Australia’s 43% emissions reduction target by 2030 will be difficult to achieve unless there is a change of pace.

    The government’s projections assume sharp
    cuts during 2027–30. But national emissions have flatlined at around 28% below 2005 levels for four years.

    Labor will subsidise the cost of solar batteries if its re-elected on May 4.
    Kathie Nichols/Shutterstock

    Under the Paris Agreement, a 2035 target commitment is required this year. The Climate Change Authority will give its advice to the new government after the election. It has previously floated a reduction range of 65–75%

    This would be compatible with the global goal of keeping warming below 2°C. Yet it might look highly ambitious under current political and international circumstances.

    Renewables reloaded

    The shift from coal to clean energy sources in the power sector is well underway. In 2024, renewables accounted for 39% of the national energy market, three times the share a decade ago.

    But progress has slowed at the same time as older coal plants have become unreliable and costly to run.

    It is clear that the future of an affordable, secure power supply in Australia is mostly wind and solar, supported by energy storage and some gas.

    But progress needs to be much faster. Many renewable projects, transmission lines and also Snowy 2 energy storage, are behind schedule. This is due to supply chain constraints, regulatory clogging and community opposition.

    Blueprint for action

    Deep emission reductions can still be achieved over the next ten years, but only if we pull out all the stops. That would mean:

    • going much faster on electricity transition
    • strengthening incentives and regulation to cut industrial and resource sector emissions
    • getting serious about a transition to clean transport
    • meaningful action towards low-emissions agriculture including changes to land use.

    A re-elected Labor government would likely do more on renewable power, while also strengthening action on industrial and resource emissions through the Safeguard Mechanism.

    But more will be needed to prepare for the 2030s. If the Teals hold the balance of power in a hung parliament, they would push Labor to be more ambitious.

    By contrast, a Dutton government might dial back the existing ambition and adopt a lower 2035 target than labor.

    Nuclear means more coal

    The initial focus of the Coalition’s energy policy going into the campaign has been to build nuclear power stations.

    Nuclear power would be far more expensive than the alternatives, costing hundreds of billions of dollars for only a small share of future power supply. It would need enormous subsidies, probably through government ownership.

    Deployment would inevitably be a very long time off. The near term affect would be to delay the transition to more renewable energy.

    The Coalition’s modelling assumes ageing coal-fired power plants would keep running beyond their announced closure dates. That would mean burning more coal and keeping Australia’s national carbon emissions higher for longer.

    The future of resource exports is green

    Australia’s intrinsic interest in limiting climate change remains urgent. Our opportunity as a green commodity producer and exporter remains solid.

    Green industry policy has been on the rise under the Albanese government, through support for green hydrogen and green iron. But we will not be able to subsidise our way to greatness in clean export industries.

    What is needed is international green commodity markets for Australian supplies of green ammonia, iron and other products. This is best achieved through carbon pricing in commodity importing countries, coupled with border carbon adjustments which give exporters of cleanly produced products an edge in those markets.

    A strong Australian 2035 emissions target would help send a signal to investors and overseas markets that we are serious about the transition.

    A COP in Australia

    Australia has a strong chance of hosting the 2026 UN climate conference. Labor wants it, but the Coalition doesn’t.

    COP31 would be a big chance for Australia to demonstrate positive leadership. It would also create pressure to do more for developing countries, given the conference would be hosted jointly with Pacific island states.

    Disappointment is likely, as rich countries will probably fail to meet expectations. In any case, Australia will be pushed by our Pacific neighbours to do more on climate change.

    We could do with the encouragement.


    This is the fourth article in our special series, Australia’s Policy Challenges. You can read the other articles here

    Frank Jotzo leads various research projects on climate policy. He is a commissioner with the NSW Net Zero Commission, chairs the Queensland Clean Economy Expert Panel and led the federal government’s Carbon Leakage Review.

    ref. Australia urgently needs to get serious about long-term climate policy – but there’s no sign of that in the election campaign – https://theconversation.com/australia-urgently-needs-to-get-serious-about-long-term-climate-policy-but-theres-no-sign-of-that-in-the-election-campaign-250637

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  • MIL-Evening Report: Labor made plenty of promises at the last election. Did they deliver?

    Source: The Conversation (Au and NZ) – By Frank Rindert Algra-Maschio, PhD Candidate, Social and Political Sciences, Monash University

    Election promises are a mainstay of contemporary politics. Governments cite kept commitments as proof they can be trusted, while oppositions pounce on any failure to deliver.

    But beyond the politics, campaign pledges are also central to representative democracy. They telegraph what to expect from a party in government and create a moral obligation for it to follow through.

    Democratic governments across the globe fulfil, on average, roughly two-thirds of their promises, but most voters believe it is far fewer. Since voters will punish governments for breaking promises, it’s vital they have accurate information on their government’s record.

    We set out to provide Australians with that information through RMIT’s Election Promise Tracker. We assessed 66 major promises made by Labor before the last election.

    By presenting evidence through an interactive timeline that follows all the twists and turns since 2022, the tracker allows voters to form their own judgements during the 2025 campaign.

    Tracking election promises

    Our team compiled a long list of promises during the last election campaign by scouring public statements made by both major parties.

    For this, we kept to the definition of an “election promise” used by the Comparative Pledges Project, a research network that employs a common approach to studying promises.

    After the election, we narrowed Labor’s list to 66 promises — based on newsworthiness, coverage of policy areas and, later, feedback from the audience of ABC News.



    The tracker was originally launched as a project of RMIT ABC Fact Check, and it applies a methodology of fact-check journalism that prioritises impartiality and transparency.

    We laid out, from the start, the criteria by which we would eventually assess each promise, to ensure only those that could be assessed by the end of the electoral term were included.

    Three years on, we determined whether those criteria had been met, marking promises as “delivered”, “thwarted” or “broken”. In a few cases, some remain “in progress” or “stalled”.

    Mostly good news for the government

    Overall, the government delivered at least 46 of the promises (roughly 70%) we tracked. Many of these are in areas typically seen as Labor strengths.

    These include key promises in health and aged care, such as funding pay rises for aged care workers, requiring aged care homes to keep a registered nurse on site 24/7, and mandating minimum “care minutes” for their residents.

    On education, employment and social services, the government boosted childcare subsidies and increased workplace protections for gig workers. It also delivered funding for 450,000 fee-free TAFE places and for the states to hire 500 support workers for women in crisis.

    Integrity was a key theme of the 2022 election, and the government has since followed through on establishing an anti-corruption commission, delivering a royal commission into Robodebt and implementing all the recommendations of the Respect@Work report that fell within its remit.

    And on the all-important cost of living, Labor cut the maximum price for Pharmaceutical Benefits Scheme (PBS) scripts, boosted payments for disabled veterans, increased the low-and-middle income tax offset by $420 and – following a Senate standoff with the Greens and Coalition — established a $10 billion Housing Australia Future Fund.

    And some bad news

    But it was not all smooth sailing for the government. It failed to deliver on at least 14 pledges (roughly 20%), including a promise to increase real wages above pre-election levels. It’s pledged to address real wages through a submission to the Fair Work Commission this time around.

    Arguably, it was unlucky on defence spending. Despite injecting $10 billion over its first three years, Labor is poised to miss its target of spending “at least” 2% of gross domestic product on defence, due to an uptick in GDP.

    In other cases, the government never really got close. After promising to deliver 450 gigalitres of environmental water under the Murray Darling Basin Plan, it only managed 27.5GL.

    And some deadlines were simply missed, with the government belatedly establishing 50 urgent care clinics and introducing a new Pacific Engagement Visa.

    Among the most controversial issues was Labor’s restructuring of the stage three tax cuts, having previously pledged to implement the cuts exactly as the Coalition had formulated them. But polling showed voters may forgive the “breaking” of a pledge if they agree with the outcome.

    The government also retreated from its promise to establish a Makarrata Commission following the defeated Voice referendum, providing an example of how changed political circumstances can come to haunt promises made years earlier.

    Not always an easy answer

    Despite the best intentions, some promises don’t fit neatly into the “delivered” or “broken” binary.

    For example, Labor promised Australia would make a joint bid with Pacific Island countries to host a United Nations climate conference. But the government can’t formally submit a bid unless Turkey bows out of the race, meaning this pledge has been “thwarted”.

    And it remains to be seen whether households will receive a much-touted $275 cut to their annual electricity bill (on 2021 levels) by mid-2025. The necessary data won’t arrive until after the election, and Labor’s energy rebates have complicated the picture.

    Prime Minister Anthony Albanese may not have delivered on “every single thing” he promised, but of the promises we tracked, far more were kept than broken.

    This suggests the Albanese government has performed on a fairly level footing with other comparative countries, as well as with the Gillard Labor government.

    But voters will have different views on which promises are most important, so as ever, it’s the details that matter.

    Lisa Waller receives funding from The Australian Research Council

    David Campbell and Frank Rindert Algra-Maschio do not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.

    ref. Labor made plenty of promises at the last election. Did they deliver? – https://theconversation.com/labor-made-plenty-of-promises-at-the-last-election-did-they-deliver-251481

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Global: How the small autonomous region of Puntland found success in battling Islamic State in Somalia

    Source: The Conversation – Global Perspectives – By Ido Levy, PhD Candidate, School of International Service, American University

    Soldiers with the Puntland Defense Forces. Photo by Carolyn Van Houten/The Washington Post via Getty Images

    On Feb. 24, 2025, members of the Puntland Defense Forces posed next to a sign in Arabic that proclaimed the mountain town of Sheebaab as a “province” of the Islamic State group. The town, located in Somalia’s autonomous northeastern region of Puntland, was one of numerous areas that soldiers from the regional government have taken back during Operation Hilaac, an ongoing campaign against fighters from the Islamic State in Somalia – the local branch of the terrorist network – which began in late November 2024.

    Puntland’s success in combating a growing Islamic State group presence in the northeastern region is particularly notable given the relative lack of success of the central Somali government’s confrontation with the al-Qaida-affiliated group Harakat al-Shabaab al-Mujahidin – more commonly known as al-Shabab – which for about two decades has waged war against federal forces.

    In contrast, security forces in the self-declared autonomous region of Puntland have, with some key support from international partners, united to repel the Islamic State group’s advance.

    The Islamic State group’s rise in Somalia

    Islamist groups have been part of Somalia’s fractured political landscape since the country’s descent into civil war in the 1980s.

    They tapped into profound local dissatisfaction with warlordism, tribalism and corruption, as well as a reaction to foreign intervention by Ethiopia, the United States and other international actors.

    Al-Shabab and later the Islamic State in Somalia are the most extreme manifestations of this trend.

    Islamic State in Somalia emerged in 2015 when a small group of al-Shabab members led by Abdulqadir Mumin – an extremist Somali preacher who previously lived in Sweden and the United Kingdom, where he acquired citizenship – pledged allegiance to then-Islamic State group leader Abu Bakr al-Baghdadi. Having formed as a local branch – or “province” in the group’s self conception as a global entity intent on expanding territory – Islamic State in Somalia launched its first major operation in October 2016, briefly seizing the port town of Qandala in Puntland.

    Thereafter, the group retreated to its strongholds in the mountain regions inside Puntland amid pressure from both the regional government and al-Shabab, which has cracked down on Islamic State supporters in its ranks.

    Yet from the Puntland mountains, Islamic State in Somalia grew into a key node of the terrorist group’s global network. It is now a hub for transferring funds and drawing recruits from across Africa and elsewhere via the regional coordination office it operates known as al-Karrar.

    One notable Sudan-born operative killed in a 2023 U.S. raid in Puntland, Bilal al-Sudani, was known as a key foreign fighter, facilitator and financier who developed Islamic State funding networks in South Africa and helped fund the group’s branch in Afghanistan.

    An NBC News report from mid-2024 cited U.S. officials who believed Mumin, head of Islamic State in Somalia, was acting as the network’s overall leader, or caliph, though other analysts have suggested he holds a top role close to caliph.

    In any case, Islamic State in Somalia’s ranks have increased steadily, from an estimated 200-300 fighters in 2016 to about 1,000 as of February 2025, according to reports.

    Puntland pushes back

    Puntland declared itself an autonomous region of Somalia in 1998 amid the ongoing Somali civil war and has since achieved relative stability compared with the other parts of the country, which have generally been marked by decades of sectarian division and weak central governance.

    Puntland is no stranger to divisions in a country that often hinges on clan loyalties, but it has achieved a greater degree of unity and has regularly raised security forces to defeat external threats, often with considerable foreign support.

    The dominance of a single clan, the Majeerteen, has in part likely helped facilitate this unity. In the current operations against Islamic State in Somalia, the autonomous Puntland government under President Said Abdullahi Deni has gathered several disparate regional forces under the “Puntland Defense Forces” banner, including clan militias, the Puntland Darawish – a regional paramilitary unit – and the Puntland Maritime Police Force.

    Soldiers with the Puntland Defense Forces stand at a base formerly held by the Islamic State group’s Somali affiliate in January 2025 in Puntland, Somalia.
    Carolyn Van Houten/The Washington Post via Getty Images

    The Puntland Maritime Police Force in particular has evolved into a well-trained and experienced counterterrorism unit. Founded with United Arab Emirates money and mentored by private South African military contractors to address growing piracy, it has turned to fighting al-Shabab and Islamic State in Somalia in the mountain regions. Indeed, it played a leading role in taking Qandala from Islamic State control in 2016. It also cooperated effectively with other forces to defeat a 2016 al-Shabab attempt to attack Puntland from the sea.

    The U.S. and UAE have supported the Puntland government’s campaign. In February 2025, the U.S. launched two airstrikes on Islamic State fighters, with one on Feb. 1, 2025, killing Omani-born Ahmed Maeleninine, a key recruiter, financier and facilitator. The United States claimed another airstrike on March 25.

    The UAE has conducted airstrikes too, likely from the large UAE-funded Puntland Maritime Police Force headquarters base in the major port city of Bosaso.

    The Puntland government has claimed that through its latest operation it has advanced through 315 kilometers, clearing numerous villages and outposts in the mountains.

    On Feb. 11, 2025, The Washington Post reported that regional security forces had killed more than 150 Islamic State members, mostly foreign fighters from countries including Morocco, Ethiopia, Saudi Arabia and Yemen, illustrating the group’s significance as a global hub for the network. In fact, one analyst counted 118 dead fighters from a single encounter in early February, indicating a possibly higher death toll. In any case, it represents heavy losses for Islamic State in Somalia, though it is not defeated yet and still numbers fighters in the hundreds.

    The risk of outside interference

    All in all, Puntland has leveraged past success fighting jihadist groups in making remarkable progress in its fight against Islamic State in Somalia.

    It shows how local and substate forces can be more effective at fighting armed nonstate groups than the federal authorities, despite limited resources.

    No doubt, support from the United States and UAE has aided Puntland’s anti-Islamic State push. But reliance on outside sources risks creating dependence on them when local forces must ultimately take ownership of the fight themselves.

    And less patient foreign supporters have been known to spoil the elite units they build. This occurred with the Puntland Security Force, a U.S.-created special forces unit that splintered during a brief withdrawal of U.S. forces from Somalia in 2021 and 2022.

    There are also risks that partner forces will behave badly. While the Emirati mission in Puntland – as well as in Afghanistan and Yemen – has proven effective in fighting jihadists, in Sudan it has been arguably disastrous. There, the UAE-backed Rapid Support Forces paramilitary unit helped to ignite an ongoing civil war in 2023 during which its members perpetrated alleged atrocities.

    Ultimately, it will be up to Puntlanders themselves to keep fighting. Indeed, foreign support would have little impact without effective local forces on the ground with the political will to sustain the campaign. Just as Puntland has done before, so too is it now demonstrating that it is determined to fight the threat posed by jihadist groups like Islamic State in Somalia.

    Ido Levy does not work for, consult, own shares in or receive funding from any company or organization that would benefit from this article, and has disclosed no relevant affiliations beyond their academic appointment.

    ref. How the small autonomous region of Puntland found success in battling Islamic State in Somalia – https://theconversation.com/how-the-small-autonomous-region-of-puntland-found-success-in-battling-islamic-state-in-somalia-251775

    MIL OSI – Global Reports

  • MIL-Evening Report: Tripped at the first hurdle: fees-free changes could put some students off tertiary study altogether

    Source: The Conversation (Au and NZ) – By Wendy Ann Alabaster, PhD candidate, University of Canterbury

    skynesher/Getty Images

    The door to tertiary education will likely close for some students now changes have kicked in for the fees-free policy.

    In 2017, the Labour government introduced a fee holiday for students’ first year of academic study, or two years of training in a work-based setting. This was meant to help those who had been put off tertiary study because of the cost. It was also intended to boost the number of people going into higher education.

    But students who started university or other tertiary training in 2025 will instead have to wait until their final year for the fees holiday under a policy change by the current coalition government.

    According to Tertiary Education Minister Penny Simmonds, the goal was to incentivise “hard working learners, businesses and tertiary providers” and help those “most in need of support to access tertiary education and training”.

    However, my research suggests the change will likely compound existing inequalities in access to tertiary education for students from low-income backgrounds.

    Through repeated in-depth interviews with students throughout their first year of study, I examined the impact of the fees free policy on their attitudes and behaviours. What I found is for students from low-income backgrounds, the policy is going to make entering study harder.

    Fees free as an entry point

    My study focused on ten students from low-income backgrounds or who were first in their family to undertake tertiary study. They were interviewed three times: on enrolment, mid-year and at the end of their first year.

    Five of the ten students said they could not have imagined beginning their studies without the first year fees-free support. One student said,

    If it had cost, I wouldn’t have gone.

    Another said,

    I don’t think I would have [studied], to be honest.

    And a third said,

    I’m definitely not one to have debt. No, I don’t think I would have [studied].

    The students in my study were also worried about the debt associated with a student loan. As of December 2024, the total student loan debt in New Zealand was around NZ$15.6 billion, with the median loan balance being $17,949.

    One student said she did not want the debt from a student loan. Another commented,

    It was always the thought that, oh, uni, there’s a massive student loan that you’re going to end up with later down the line. I don’t want to end up stuck in debt and then, you know, never be able to pay off things like that.

    A third said,

    It’s daunting because it was only recently that my mum’s paid off her student loan or her debt.

    Throughout the interviews, the students suggested other changes that could help how low-income students approached tertiary study.

    These included improving access to career education advice, assistance and mentoring in navigating the tertiary environment (including application processes), and increased health and wellbeing support.

    Despite Labour’s fees-free policy, there has been a persistent decline in the number of students from low socioeconomic backgrounds entering tertiary study.
    Phil Walter/Getty Images

    The participants in this study found it difficult to access help with scholarship and enrolment applications. One student commented,

    [High school staff] were very passionate about people to go to uni so it looked good on their reports, but not like helping people apply or anything like that. So it was quite one sided.

    Another student was frustrated with trying to navigate Studylink, the student loan and assistance provider. She said,

    I don’t know why [Studylink] make it so hard for everybody.

    It was difficult for low-income and first-in-family students to communicate with their families about their struggles. One student said,

    Coming from a low-income family meant I was the first in my family to attend tertiary study. It was hard to communicate to my family the struggles of tertiary education and I found it difficult to connect with them and feel like they understood my experience.

    Ongoing unequal access

    Despite the fees free policy, there has been a persistent disparity in the background of students who go on to study at university or other tertiary institutions.

    In 2021, the proportion of students undertaking tertiary study from decile one schools (those with the highest number of students from low-income backgrounds) was under 4%. The proportion from decile 10 schools was closer to 16%. (The decile system has since been replaced by the Schooling Equity Index).

    Regardless of the fees free programme’s original goals, the percentage of students accessing tertiary education from the schools with the lowest five deciles has decreased from 38% in 2017 to 28% in 2021. At the same time, the number of students from the highest five decile schools has increased from 62% to 72%.

    Improving access for students

    Research in 2019 and 2020 revealed that students who were more influenced by the fees-free policy may need extra support to complete qualifications and have a successful tertiary experience.

    The students who were more influenced by the fees-free policy were approximately 1.67 times more likely to struggle during the transition to university and show an interest in early departure within the first few weeks of study.

    My study suggests free fees in the first year allowed students from low-income families to feel they had a right to study.

    Rather than being a reward for students at the end of their study, it is more likely the shift of the fees-free year will discourage low-income students from taking the risk to commit to study at the tertiary level.

    The authors do not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.

    ref. Tripped at the first hurdle: fees-free changes could put some students off tertiary study altogether – https://theconversation.com/tripped-at-the-first-hurdle-fees-free-changes-could-put-some-students-off-tertiary-study-altogether-253613

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Global: Universities in Nazi Germany and the Soviet Union thought giving in to government demands would save their independence

    Source: The Conversation – USA – By Iveta Silova, Professor of Comparative and International Education, Arizona State University

    Columbia University has been in the crosshairs of the Trump administration.
    Rudi Von Briel/Photodisc via Getty Images

    Many American universities, widely seen globally as beacons of academic integrity and free speech, are giving in to demands from the Trump administration, which has been targeting academia since it took office.

    In one of his first acts, President Donald Trump branded diversity, equity and inclusion programs as discriminatory. His administration also launched federal investigations into more than 50 universities, from smaller regional schools such as Grand Valley State University in Michigan and the New England College of Optometry in Massachusetts to elite private universities such as Harvard and Yale.

    Trump ramped up the pressure by threatening university research funding and targeting specific schools. In one example, the Trump administration revoked US$400 million in grants to Columbia University over its alleged failures to curb antisemitic harassment on campus. The school later agreed to most of Trump’s demands, from tightening student protest policies to placing an entire academic department under administrative oversight – though the funding remains frozen.

    Cornell, Northwestern, Princeton, Brown and the University of Pennsylvania have also recently had grants frozen. Harvard was sent a list of demands in order to keep $9 billion in federal funding.

    Now, across the United States, many universities are trying to avoid being Trump’s next target. Administrators are dismantling DEI initiatives – closing and rebranding offices, eliminating positions, revising training programs and sanitizing diversity statements – while professors are preemptively self-censoring.

    Not all institutions are complying. Some schools, such as Wesleyan, have refused to abandon their diversity principles. And organizations including the American Association of University Professors have filed lawsuits challenging Trump’s executive orders, arguing they violate academic freedom and the First Amendment.

    But these remain exceptions, as the broader trend leans toward institutional caution and retreat.

    As a scholar of comparative and international education, I study how academic institutions respond to authoritarian pressure – across political systems, cultural contexts and historical moments. While some universities may believe that compliance with the administration will protect their funding and independence, a few historical parallels suggest otherwise.

    Students and other Nazi supporters gather at Humboldt University in Berlin in 1933.
    AP Photo

    German universities: A lesson

    In the 1975 book “The Abuse of Learning: The Failure of German Universities,” historian Frederic Lilge chronicles how German universities, which entered the 20th century in a golden age of global intellectual influence, did not resist the Nazi regime but instead adapted to it.

    Even before seizing national power in 1933, the Nazi Party was closely monitoring German universities through nationalist student groups and sympathetic faculty, flagging professors deemed politically unreliable – particularly Jews, Marxists, liberals and pacifists.

    After Hitler took office in 1933, his regime moved swiftly to purge academic institutions of Jews and political opponents. The 1933 Law for the Restoration of the Professional Civil Service mandated the firing of Jewish and other “non-Aryan” professors and members of the faculty deemed politically suspect.

    Soon after, professors were required to swear loyalty to Hitler, curricula were overhauled to emphasize “national defense” and “racial science” – a pseudoscientific framework used to justify antisemitism and Aryan supremacy – and entire departments were restructured to serve Nazi ideology.

    Some institutions, such as the Technische Hochschule Stuttgart, even rushed to honor Hitler with an honorary doctorate within weeks of his rise to power. He declined the offer, though the gesture signaled the university’s eagerness to align with the regime. Professional associations, such as the Association of German Universities, stayed silent, ignoring key opportunities to resist before universities lost their autonomy and became subservient to the Nazi state.

    As linguist Max Weinreich wrote in his 1999 book “Hitler’s Professors,” many academics didn’t just comply, they enabled the regime by reshaping their research. This legitimized state doctrine, helping build the intellectual framework of the regime.

    A few academics resisted and were dismissed, exiled or executed. Most did not.

    The transformation of German academia was not a slow drift but a swift and systemic overhaul. But what made Hitler’s orders stick was the eagerness of many academic leaders to comply, justify and normalize the new order. Each decision – each erased name, each revised syllabus, each closed program and department – was framed as necessary, even patriotic. Within a few years, German universities no longer served knowledge – they served power.

    It would take more than a decade after the war, through denazification, reinvestment and international reintegration, for West German universities to begin regaining their intellectual standing and academic credibility.

    Under Stalin, dissenting scholars were purged and history rewritten to glorify the Communist Party. Moscow State University opened in 1953 with murals such as this one depicting Soviet symbols.
    AP Photo/Zander Hollander

    USSR and fascist Italy suffer similar fate

    Other countries that have fallen under authoritarian regimes followed similar trajectories.

    In fascist Italy, the shift began not with violence but with a signature. In 1931, the Mussolini regime required all university professors to swear an oath of loyalty to the state. Out of more than 1,200, only 12 refused.

    Many justified their compliance by insisting the oath had no bearing on their teaching or research. But by publicly affirming loyalty and offering no organized resistance, the academic community signaled its willingness to accommodate the regime. This lack of opposition allowed the fascist government to tighten control over universities and use them to advance its ideological agenda.

    In the Soviet Union, this control was not limited to symbolic gestures – it reshaped the entire academic system.

    After the Russian Revolution in 1917, the Bolsheviks oscillated between wanting to abolish universities as “feudal relics” and repurposing them to serve a socialist state, as historians John Connelly and Michael Grüttner explain in their book “Universities Under Dictatorship.” Ultimately, they chose the latter, remaking universities as instruments of ideological education and technical training, tightly aligned with Marxist-Leninist goals.

    Under Josef Stalin, academic survival depended less on scholarly merit than on conformity to official doctrine. Dissenting scholars were purged or exiled, history was rewritten to glorify the Communist Party, and entire disciplines such as genetics were reshaped to fit political orthodoxy.

    This model was exported across Eastern and Central Europe during the Cold War. In East Germany, Czechoslovakia and Poland, ministries dictated curricula, Marxism-Leninism became mandatory across disciplines, and admissions were reengineered to favor students from loyalist backgrounds. In some contexts, adherents to older intellectual traditions pushed back, especially in Poland, where resistance slowed though could not prevent the imposition of ideological control.

    By the early 1950s, universities across the region had become what Connelly calls “captive institutions,” stripped of independence and recast to serve the state.

    A more recent example is Turkey, where, following the failed 2016 coup, more than 6,000 academics were dismissed, universities were shuttered and research deemed “subversive” was banned.

    History’s warning

    The Trump administration’s early and direct intervention into higher education governance echoes historical attempts to bring universities under state influence or control.

    The administration says it is doing so to eradicate “discrimatory” DEI policies and fight what it sees as antisemitism on college campuses. But by withholding federal funding, the administration is also trying to force universities into ideological conformity – by dictating whose knowledge counts but also whose presence and perspectives are permissible on campus.

    Columbia’s reaction to Trump’s demands sent a clear message: Resistance is risky, but compliance may be rewarded – though the $400 million has yet to be restored. The speed and scope of its concessions set a precedent, signaling to other universities that avoiding political fallout now may mean rewriting policies, reshaping departments and retreating from controversy, perhaps before anyone even asks.

    The Trump administration has already moved on to other universities, including the University of Pennsylvania over its transgender policies, Princeton for its climate programs and Harvard over alleged antisemitism. The question is which school is next.

    The Department of Education has launched investigations into over 50 institutions, accusing them of using “racial preferences and stereotypes in education programs and activities.” How these institutions choose to respond may determine whether higher education remains a space for open inquiry.

    The pressure to conform is not just financial – it is also cultural. Faculty at some institutions are being advised not to use “DEI” in emails and public communication, with warnings to not be a target. Academics are removing pronouns from their email signatures and asking their students to comply, too. I’ve been on the receiving end of those warnings, and so have my counterparts at other institutions. And students on visas are being warned not to travel outside the U.S. after several were deported or denied reentry due to alleged involvement in protests.

    Meanwhile, people inside and outside academia are combing websites, syllabi, presentations and public writing in search of what they consider ideological infractions. This type of peer surveillance can reward silence, incentivize erasure and turn institutions against their own.

    When universities start regulating not just what they say but what they teach, support and stand for – driven by fear rather than principle – they are no longer just reacting to political threats, they are internalizing them. And as history has shown, that may mark the beginning of the end of their academic independence.

    This article does not represent the views of Arizona State University.

    ref. Universities in Nazi Germany and the Soviet Union thought giving in to government demands would save their independence – https://theconversation.com/universities-in-nazi-germany-and-the-soviet-union-thought-giving-in-to-government-demands-would-save-their-independence-252888

    MIL OSI – Global Reports

  • MIL-OSI Global: Supreme Court’s decision on deportations gave both the Trump administration and ACLU reasons to claim a victory − but noncitizens clearly lost

    Source: The Conversation – USA – By Rebecca Hamlin, Professor of Legal Studies and Political Science, UMass Amherst

    A prison officer guards a gate at the Terrorism Confinement Center in El Salvador, where hundreds of migrants from the United States were deported by the Trump administration. Alex Pena/Anadolu via Getty Images

    President Donald Trump has claimed victory at the Supreme Court in his campaign to deport Venezuelan migrants accused by the government of being part of a foreign terrorist organization.

    “The Supreme Court has upheld the Rule of Law in our Nation by allowing a President, whoever that may be, to be able to secure our Borders, and protect our families and our Country, itself,” Trump posted on April 7, 2025, calling it, “A GREAT DAY FOR JUSTICE IN AMERICA!”

    A 5-4 majority of the U.S. Supreme Court had just overruled a lower court that had temporarily barred the deportations, deciding the U.S. could move ahead with its plans to send those Venezuelans to a prison in El Salvador.

    Eight minutes after Trump’s post, the American Civil Liberties Union, Democracy Forward and the ACLU of the District of Columbia, three advocacy groups that represented the Venezuelan nationals in the case, also claimed the decision was a win.

    In a press release, lawyers from these organizations said that the case was “an important victory” in which the court determined that the “Trump administration acted unlawfully when it removed people from this nation with no process.”

    Can both sides legitimately say they won a Supreme Court victory?

    As professors of legal studies, we study the Supreme Court, including how the court approaches cases involving immigration law and presidential power.

    Here’s why both sides are claiming a win in the case known as Trump v. J.G.G., what the court’s opinion actually said, and what you can take away from it.

    The Supreme Court decision lifted the temporary restraining order blocking the deportations imposed by James Boasberg, chief judge of the U.S. District Court for the District of Columbia.
    Drew Angerer/AFP via Getty Images

    Why both sides are claiming victory

    The complexity of the court’s per curiam opinion – an unsigned opinion of a majority of the court – allows the Trump administration and the ACLU to view the ruling in Trump v. J.G.G. from different perspectives.

    This has led them both to claim victory.

    Trump sees the case as a win because the justices vacated a lower court decision that had temporarily barred the deportation of the Venezuelans. This means that the federal government was victorious in the case: His administration does not have to immediately stop deporting Venezuelan nationals.

    At the same time, the ACLU claims the case is a victory for them because the Supreme Court’s opinion said that the government must give people the opportunity to challenge their removal under the Alien Enemies Act – which the government had not done. The Venezuelans’ right to due process was one of the key arguments advanced by the ACLU and its partners.

    On April 9, judges in New York and Texas agreed, just two days after the Supreme Court’s decision, temporarily halting the deportation of five Venezuelans until the government can clarify what type of notice it will be giving to people it intends to deport.

    Eventually, the Supreme Court will need to speak definitively about whether the Trump administration can use the Alien Enemies Act to deport those it alleges to be part of a foreign terrorist organization. The court has not yet addressed that issue.

    This means the court will have to deal with some tricky questions down the road. These include whether a drug cartel can be said to be engaging in an “invasion” or “predatory incursion” into the United States, which the Alien Enemies Act requires if it is to be invoked. Another issue is the extent to which the Alien Enemies Act can be used when Congress hasn’t declared war.

    And a big unanswered question is whether the Supreme Court, or any court, should even answer these questions at all. The political questions doctrine, which dates to 1803, is a principle saying that courts should avoid tackling thorny political questions that are best left to Congress or the president.

    Venezuelans deported from the U.S. sit aboard the plane as they arrive at Simon Bolivar International Airport in Maiquetia, Venezuela, on March 28, 2025.
    Jesus Vargas/picture alliance via Getty Images

    What the court decided and what it means for noncitizens’ rights

    The court’s brief opinion, to which five members signed on, repeats the very basic constitutional premise that noncitizens are entitled to due process of law, even as they are being removed from the United States. Most significantly, due process includes the ability to protest their deportations before a court of law.

    Justice Brett Kavanaugh’s concurrence emphasized the idea that the disagreement between the majority and the dissents is not about whether the noncitizens should have the opportunity to challenge their removal; all nine justices agree they have that right. Rather, Kavanaugh said, the justices disagreed on the question of venue, meaning the location in which these challenges should occur.

    Kavanaugh’s focus on venue obscures the fact that what the justices granted to potential deportees is a significantly less robust type of judicial review than the one they were asking for.

    The Venezuelans were challenging their removal as a class, because Trump had declared in a presidential proclamation that all Venezuelans over the age of 14 who were believed to be members of the Tren de Aragua cartel “are subject to immediate apprehension, detention, and removal.”

    The Supreme Court majority made a group-based approach much more difficult in its April 7 ruling. It allowed for only individual, case-by-case appeals in which each potential deportee must retain legal counsel, file what’s known as a habeas corpus petition challenging their detention, and then try to convince a judge in the district where they are being held that they are not a member of Tren de Aragua in order to prevent their removal.

    For most detainees, that would mean filing a petition in the Southern District of Texas, in the 5th U.S. Circuit Court of Appeals, known as the most conservative federal circuit in the country.

    Unless more courts step in to prevent it, the impact of the decision will be more removals to El Salvador’s notorious CECOT prison, perhaps of people who are not actually gang members, or even Venezuelan. This has already happened in the previous round of removals under this program.

    Further, at least 200 people have already been flown out of the U.S. to CECOT. Because they’ve been accused of no crime in El Salvador, they have no right to due process or legal counsel there, and no trial date set where they might prove their innocence. A recent CBS exposé also found that three-quarters of them had no criminal record in the United States either.

    In the meantime, there is a separate but related case of a man, Kilmar Abrego Garcia, wrongly deported to El Salvador, despite having legal protection in the U.S. preventing his removal to his home country of El Salvador. The Trump administration is currently arguing before the Supreme Court that when it makes an error in the process of carrying out these removals, it does not have to correct it.

    Not all due process is created equal. The court’s April 7 decision allowing the bare minimum process protecting people being removed makes errors more likely and thus raises the stakes for the outcome of the Abrego Garcia case tremendously.

    Many parties have claimed victory in the Trump v. J.G.G. decision, but one thing is clear: It was a defeat for the rights of noncitizens in the United States.

    The authors do not work for, consult, own shares in or receive funding from any company or organization that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.

    ref. Supreme Court’s decision on deportations gave both the Trump administration and ACLU reasons to claim a victory − but noncitizens clearly lost – https://theconversation.com/supreme-courts-decision-on-deportations-gave-both-the-trump-administration-and-aclu-reasons-to-claim-a-victory-but-noncitizens-clearly-lost-254153

    MIL OSI – Global Reports

  • MIL-OSI Global: Canada was mostly spared from Trump’s reciprocal tariffs, but it must not grow complacent

    Source: The Conversation – Canada – By Sylvanus Kwaku Afesorgbor, Associate Professor of Agri-Food Trade and Policy, University of Guelph

    United States President Donald Trump’s so-called Liberation Day introduced sweeping reciprocal tariffs on approximately 60 countries on April 2.

    Canada, a major U.S. trading partner, was largely spared from these reciprocal tariffs thanks to the Canada-United States-Mexico Agreement (CUSMA) — a free trade agreement renegotiated and signed by the Trump administration in 2020.

    Although it may appear Canada has avoided the worst of the tariff measures, other existing tariffs could still significantly impact Canadian trade with the U.S.

    Currently, Canada faces other tariffs on its exports to the U.S., which Trump has linked to concerns over illicit drugs and immigrants crossing the border. Under these measures, the U.S. has imposed a 25 per cent tariff on non-CUSMA compliant goods. Canadian energy and potash exports that are not CUSMA-compliant have been hit with a 10 per cent tariff.

    If the current tariffs related to fentanyl and migration are lifted, CUSMA-compliant goods would continue to enjoy preferential treatment, while non-compliant goods would then be subject to a 12 per cent reciprocal tariff.

    What makes a product CUSMA-compliant?

    Under CUSMA, a product is considered compliant if it originates from any of the three member countries: Canada, the U.S. or Mexico. This means the product satisfies the originating status according to the rules of origin criteria listed in the CUSMA agreement.

    To be deemed originating, some of the criteria includes, for instance:

    1. That the product is wholly produced in the territory of one of the member states.
    2. That, if the product is produced with non-originating materials, the regional value of content must not be less than product specific rules of origin.
    3. That the product has undergone substantial transformation or a change in tariff classification.

    Regional value content is the difference between the transaction value of a product adjusted for costs related to international shipping of the good, and the value of non-originating material. It is expressed as a percentage of the transaction value.

    When a product qualifies for an originating status, it is considered CUSMA-compliant. It then qualifies for a preferential treatment, which means it can enter the CUSMA market duty-free or at a reduced rate.

    Products exported under CUSMA

    Under the CUSMA tariff schedule, which outlines tariff commitments on Canadian products, the vast majority of Canadian exports to the U.S. are eligible for preferential treatment.

    In fact, more than 98 per cent of tariff lines and more than 99.9 per cent of bilateral trade are CUSMA-compliant, meaning Canadian exporters can claim preferential access if their products meet the agreement’s rules of origin.

    Based on the Tariff Schedule of the United States, 98.4 per cent of Canadian products enter the U.S. duty-free, while only 1.6 per cent face tariffs. These protected products are primarily agricultural goods considered sensitive by the U.S. — notably dairy and sugar.

    These protected items are typically subject to tariff rate quotas, which allow limited quantities to enter at a lower (within-quota) duty rate, while imports beyond the quota are permitted at a higher (over-quota) tariff rate.

    Steel and aluminum tariffs

    Although Canada was not directly targeted by Trump’s reciprocal tariffs, its steel and aluminum industries remains significantly impacted by Section 232 tariffs. Importantly, these tariffs cannot be waived due to CUSMA.

    Section 232 of the Trade Expansion Act of 1962 authorizes the U.S. president to restrict the import of certain goods if they threaten national security. Under this provision, the Trump administration has imposed a 25 per cent duty on steel, aluminum and related products.

    Steel and aluminum products are crucial to Canada, with total exports of iron and steel, iron or steel products and aluminum products reaching $34.8 billion in 2024. It’s hard to imagine the U.S. justifying tariffs on Canadian steel and aluminum on national security grounds, given Canada’s longstanding role as one of its closest allies.

    Automotive tariffs

    The automotive sector has also been targeted with the Section 232 tariffs. As Canada’s second-largest export to the U.S., valued at over $72.3 billion in 2024, the industry relies heavily on an integrated cross-border supply chain. That makes the sector particularly vulnerable to tariffs.

    The imposition of a 25 per cent tariff on non-U.S. content in vehicles threatens the profitability of Canadian producers and reduces production efficiency.

    Determining non-U.S. content at the border will lead to significant inefficiencies, including long wait times, as companies attempt to prove American content in vehicles. This process will also demand an excessive amount of documentation, imposing unnecessary costs on businesses.

    This tariff also undermines CUSMA’s rules of origin, which allow vehicles with at least 75 per cent North American content to qualify for duty-free access. The Section 232 measure effectively penalizes compliant vehicles, creating a trade barrier inconsistent with the spirit of the agreement.

    The way forward

    The uncertainty created by the Trump administration’s unilateral trade policies poses a serious threat to Canada and the global economy as a whole. With Trump’s presidency just beginning, both Canada and the rest of the world must brace for the economic disruptions his policies may bring.

    At the bilateral level, Canada appears to have exhausted nearly all diplomatic avenues to persuade the Trump administration to reverse its harmful tariff measures. Regionally, while Trump renegotiated the CUSMA agreement, his actions have undermined its spirit and violated key provisions.

    At the multilateral level, the World Trade Organization (WTO) has been significantly weakened. Its dispute settlement mechanism has been rendered ineffective due to the U.S. blocking the appointment of new judges to its appellate body.

    The only faint silver lining is that, despite threats during his first term to withdraw from the organization, Trump has not followed through. This suggests he still holds at least some degree of respect or recognition for the WTO’s role in global trade.

    The world is currently navigating a period of deep uncertainty and confusion. Canada must stand in solidarity with the international community to exert collective pressure on the U.S. A co-ordinated global response could compel Trump to reconsider his unilateral trade policies.

    Although Canada has been granted a reprieve from the new reciprocal tariffs, this should not lead to complacency. Instead, Canada should continue to collaborate with other nations to push for a more stable and rules-based global trading system. This is the way to protect Canada’s interests and reinforce multilateral co-operation.

    Sylvanus Kwaku Afesorgbor receives funding from OMAFA

    ref. Canada was mostly spared from Trump’s reciprocal tariffs, but it must not grow complacent – https://theconversation.com/canada-was-mostly-spared-from-trumps-reciprocal-tariffs-but-it-must-not-grow-complacent-253813

    MIL OSI – Global Reports

  • MIL-OSI Global: Some rivers have ‘legal personhood’. Now they need a lawyer

    Source: The Conversation – UK – By Will de Freitas, Environment + Energy Editor, UK edition

    New Zealand has granted legal personhood to the Whanganui River. Ron Kolet / shutterstock

    Most rivers need some human help to stay clean and healthy and to flow freely. People have to fish out litter, block sewage, look out for invasive species and so on.

    This is obvious enough. But, as rivers are increasingly being granted legal rights of their own, they’ll need another form of human help: people willing to be their legal representatives, filing lawsuits and speaking in court.


    This roundup of The Conversation’s climate coverage comes from our award-winning weekly climate action newsletter. Every Wednesday, The Conversation’s environment editor writes Imagine, a short email that goes a little deeper into just one climate issue. Join the 40,000+ readers who’ve subscribed.


    The idea that nature should be granted rights similar to that of a human (sometimes described as “legal personhood”) has been around for a few decades now. Though some lakes, forests and other features have been awarded these rights, it’s rivers that are the main beneficiaries. Most recently, the River Ouse in East Sussex, England, was awarded rights by its local council, following similar moves in places as diverse as New Zealand, Ecuador, Canada and India.

    “Rivers often have strong cultural and spiritual identities as sacred living entities or life-giving beings. These existential understandings have underpinned legal actions.” That’s according to Nick Mount, a rivers expert at the University of Nottingham.

    Back in 2017, Mount travelled to Colombia to visit the River Atrato. The Atrato flows through a remote and highly biodiverse jungle, in a region which at the time remained a paramilitary stronghold. The country’s constitutional court had recently awarded the river humans rights and Mount wanted to see what that meant in practice.

    “The Atrato River has been awarded rights,” he said, “because of what it provides for human life – not because it should be equated with human life”. He continued “this places a significant burden on the Colombian state to ensure the rights are enforced – and it demands that local people are empowered to manage their river properly”.

    However, “the reality was sobering”. He found deforested riverbanks, so contaminated with chemicals that plants could not regrow. He found industrial dredging had reshaped an entire river to the point where its regular nutrient-cycling floods had broken down entirely, while whole human communities had been displaced.

    “The Atrato River in general, and [its tributary] the Rio Quito in particular, serve as a stark reminder that awarding environmental rights is not the same as realising them. Such rights don’t exist within a vacuum, of course, and they will only be fulfilled if political, socio-economic and cultural systems support them.”




    Read more:
    Can a river have legal rights? I visited the jungles of Colombia to find out


    So what might a more supportive human system involve? Oluwabusayo Wuraola is a law lecturer at Anglia Ruskin University. Writing about the recent River Ouse news, she agrees with Mount that “simply granting a river some rights isn’t enough” and adds that “we now need to think about who will actually defend these rights”.

    The River Ouse, playing hide and seek.
    Melanie Hobson / shutterstock

    “Appointing representatives who care about their own personal and property interests would be a grave mistake, as would appointing anyone who prioritises the rights of humans to a healthy environment over a more intrinsic right of nature (remember: the idea is that the River Ouse has rights in itself and shouldn’t need to demonstrate its worth to humans).”

    In her analysis, “the most effective defenders of the rights of nature in many court cases” have been people with an “ecocentric perspective”. That means an outlook that prioritises the intrinsic value of nature itself, rather than focusing on how it can serve human interests. She cites instances where the supposed advocates for a river’s rights in court were actually motivated by wanting to protect their own property downstream.

    Ultimately, though “moves to give rights to nature are promising … we’ll need a whole army of nature protectors to actually enforce those rights”.




    Read more:
    Rivers are increasingly being given legal rights. Now they need people who will defend these rights in court


    These ideas can be applied to rivers in the news right now. For instance, China recently approved the construction of the world’s largest hydroelectric dam on the Yarlung Tsangpo river in Tibet.

    The dam will provide enormous amounts of clean energy – when complete, it will be the world’s largest power plant by some distance. But it will also displace people, destroy ecosystems and, of course, disrupt the river itself.

    Mehebub Sahana, a geographer at the University of Manchester, points out the effects may be especially severe downstream in India and Bangladesh, where that same river is known as the Brahmaputra and helps form a vast and incredibly fertile delta system.

    For him, the dam highlights “some of the geopolitical issues raised by rivers that cross international borders”. “Who owns the river itself,” he asks, “and who has the right to use its water? Do countries have obligations not to pollute shared rivers, or to keep their shipping lanes open? And when a drop of rain falls on a mountain, do farmers in a different country thousands of miles downstream have a claim to use it?”




    Read more:
    China plans to build the world’s largest dam – but what does this mean for India and Bangladesh downstream?


    These are crucial questions, even if they’re ultimately framed around humans. An ecocentric representative might argue the Yarlung Tsangpo/Brahmaputra has an intrinsic right to flow undisturbed and to dump its sediment where it pleases.

    There may be a happy medium. Viktoria Kahui is an environmental economist at the University of Otago in New Zealand. Last year, she investigated 14 examples of rights-of-nature from around the world.

    She found a “fundamental divide between local communities and external economic interests”. In some cases, interest groups were able to overturn the provision of nature rights.

    She therefore recommends that “future rights-of-nature frameworks need to … include appointed guardians, established as separate legal entities with limited liability, as well as the support of representatives from interest groups”.




    Read more:
    Granting legal ‘personhood’ to nature is a growing movement – can it stem biodiversity loss?


    In the Yarlung Tsangpo/Brahmaputra example, those interest groups might include rice farmers and mangrove conservationists in Bangladesh, or fishermen a thousand miles upstream. They might include the millions of people who would gain electricity, or the thousands who would lose their homes. The river itself could also be an interested party, perhaps via eco-centric human representatives.

    Exactly where you draw the line in these cases is tricky. But with rivers increasingly being granted legal rights, this isn’t the last you’ll hear of this issue.

    ref. Some rivers have ‘legal personhood’. Now they need a lawyer – https://theconversation.com/some-rivers-have-legal-personhood-now-they-need-a-lawyer-254267

    MIL OSI – Global Reports

  • MIL-OSI Global: PMDD: social media users claim antihistamines help symptoms – here’s what the evidence says

    Source: The Conversation – UK – By Milli Raizada, Senior Clinical lecturer in Primary care academia, Lancaster University

    Some social media users claims anti-allergy medications have helped their PMDD symptoms. antoniodiaz/ Shutterstock

    A number of videos have surfaced recently on social media with women claiming that common medications used to treat allergies and heartburn have helped them manage symptoms of premenstrual dysphoric disorder (PMDD). But is there any science behind this claim?

    Premenstrual dysphoric disorder is a long-term condition which causes severe psychological distress in the week or two before a woman’s period begins. PMDD symptoms can be varied and vast – with physical symptoms ranging from difficulty sleeping, migraines, bloating and breast tenderness. Psychological symptoms include rage, anger, anxiety, low mood and feeling overwhelmed.

    All of these symptoms can have a severe impact on a woman’s social, home and work life. Women with PMDD are seven times more likely to attempt suicide due to the mood symptoms they suffer with making them more vulnerable.

    PMDD affects 3-8% of the population but is still widely under-recognised and undiagnosed. Some women have to wait years before getting a diagnosis.

    It’s not fully known what causes PMDD. It’s thought to be due to many factors.

    One theory is that the condition occurs due to variations in genes that activate hormones and their receptors. Other theories suggest the brain’s emotional circuits (limbic system), which are densely populated with hormone receptors, react differently in those with PMDD.

    For example, a widespread theory posits that when oestrogen fluctuates up and down in the two weeks before a woman’s period, this has a negative impact on serotonin (the so-called happy hormone). If this is true, it would explain why selective serotonin reuptake inhibitor (SSRI) antidepressants can be effective for some women as these drugs aim to increase serotonin levels.




    Read more:
    Premenstrual dysphoric disorder: the frightening psychological condition suffered by Dixie D’Amelio


    Another theory relates to faults in the progesterone pathway and its breakdown product called allopregnenalone (a steroid). Allopregnenalone normally stimulates a calming chemical called GABA in the brain, which acts as a natural anti-anxiety substance.

    Fluctuations and altered sensitivity of allopregnenalone on the GABA system is thought to be why some women suffer with PMDD. This can explain why some women typically have no symptoms of PMDD during pregnancy due to the lack of fluctuation in the hormone progesterone.

    Histamine link?

    Some women online are now claiming that high histamine levels may also be the cause of PMDD symptoms – and that taking over-the-counter drugs which block the effects of histamines has helped to alleviate their symptoms.

    Histamine is a chemical the body naturally produces which plays a role in allergies, digestion, inflammation, brain function and hormone balance.

    There is currently no evidence that antihistamines can help with PMDD symptoms.
    MDV Edwards/ Shutterstock

    There is currently no published research which has investigated the link between PMDD symptoms and histamine levels. However, we do know from other areas of research that histamine activity varies throughout the menstrual cycle.

    One study found that in the two weeks before a period, immune cells called mast cells, which release histamine, are more likely to be activated due to oestrogen levels being high. It’s suggested that these changing oestrogen levels – which cause high histamine – may explain why PMDD symptoms occur. If this theory is true, it would also explain why antihistamines would help with PMDD symptoms, as these drugs block the release of histamines.

    There are many potential reasons why oestrogen levels may be particularly high in some women – particularly those with PMDD. This so-called oestrogen dominance may be due to many factors, such as excess toxin exposure in the environment from plastics and issues with people unable to detoxify oestrogen from the body efficiently due to poor liver and gut health. All this can potentially add to the oestrogen bucket, which has a knock-on effect on histamine levels, which can further stimulate oestrogen – leading to a vicious cycle.

    But the histamine intolerance and oestrogen dominance theories are both still controversial and not fully recognised in the mainstream medical community. There are no scientific, clinical studies that exist on the topic of PMDD, oestrogen dominance and histamine as yet to show whether they are linked to PMDD or not – or whether antihistamines are effective for PMDD.

    Yet, many people with PMDD are turning to antihistamines, as well as famotidine – a histamine receptor antagonist which blocks histamine production in the stomach – to reduce PMDD symptoms. Many of these women are reporting they’re seeing improvement, so there may well be some validity behind these claims. However, there is no research to back the use of these drugs just yet.

    Lifestyle changes – such as eating fewer inflammatory, processed foods, exercising and talking therapies (such as cognitive therapy) – have all shown small but positive benefits in people with PMDD.

    Prescription drugs such as antidepressants (SSRIs) and contraceptive pills containing a synthetic progestin called drospirenone are also shown to be effective for people with PMDD. These options may be better for women in the meantime until more research in this area has been done.

    Disclosure: Dr Milli Raizada, a GP, is the medical director, founder and works in of Dr Milli health clinics. She is a Senior Clinical Lecturer at Lancaster University. She is affiliated as a trustee and ambassador of the first and only UK PMDD charity: The PMDD project. She is a GMC associate where she gets paid as her role as chief invigilator, PLAB Part 2 examiner and Part 1 station management group member. She also delivers paid corporate talks on primary care topics and is an paid expert content creator for Clinical Knowledge skills.

    ref. PMDD: social media users claim antihistamines help symptoms – here’s what the evidence says – https://theconversation.com/pmdd-social-media-users-claim-antihistamines-help-symptoms-heres-what-the-evidence-says-253587

    MIL OSI – Global Reports

  • MIL-OSI Global: Press freedom linked to greater financial stability, finds global study

    Source: The Conversation – UK – By George Kladakis, Lecturer in Finance, University of St Andrews

    Press freedom is widely considered to be a cornerstone of democracy. It brings accountability, transparency and access to reliable information.

    But beyond its democratic role, press freedom is also a vital part of a stable economy. Research has shown that it acts as a kind of financial watchdog, ensuring balance and accuracy.

    In doing so, an independent press strengthens the resilience of financial institutions. And our research suggests that higher levels of press freedom can also be linked to greater financial stability and lower “systemic risk” – where something bad happening at one company can trigger wider instability or even industry collapse – in the banking sector.

    Using data from 47 countries, we found that an independent press brings greater scrutiny of banking executives. Another benefit is a better flow of information around the financial markets, making the whole system more efficient.

    Countries with higher levels of press freedom are also more likely to foster corporate and political cultures that are free from the sort of corruption which could jeopardise the stability of the banking sector. All of these advantages are most pronounced during economic downturns or banking crises.

    And even outside times of crisis, we can see the positive effects by looking at basic financial indicators in countries with high and low press freedom levels. Countries with consistently high levels of press freedom such as Norway, Sweden or Estonia, for example, have far fewer non-performing (unrepaid) loans than countries with low levels of press freedom such as Pakistan, Greece or Russia.

    But a free press and a stable banking industry are by no means the norm.

    Recent data from the campaign group Reporters Without Borders highlights a worrying decline in media autonomy. It reports that 135 out of 180 countries now have press freedom levels classified as “problematic”, “difficult” or “very serious”.

    This trend extends to advanced economies such as Japan (70th, down from 68th in 2023), Italy (46th, down from 41st), and the US (55th, down from 45th).

    And it looks like the world’s largest economy could slip down the rankings even further. Although President Trump signed an executive order aimed at “restoring freedom of speech”, he has also explicitly threatened to revoke broadcast licenses, investigate critical media and jail journalists who protect confidential sources.

    In February 2025, White House officials even informed one US news agency that its journalists would be barred from entering the Oval Office until it stopped using the geographic term “Gulf of Mexico” instead of Trump’s preferred “Gulf of America”.

    But the Trump effect is not limited to the US. A recent aid freeze by his administration has cut billions in funding for independent media outlets across more than 30 countries, including Ukraine, Afghanistan and Iran.

    Press test

    Notable declines in press freedom have also been observed in politically volatile regions such as Latin America, Africa, the Middle East and central Asia, where authoritarian regimes continue to tighten their grip on the media.

    The survey from Reporters Without Borders suggests that governments across the world are failing to protect journalism, with a marked trend of declining press freedom.

    In 2014, 13% of countries enjoyed a “good” degree of press freedom, but this figure dropped to 7% by 2021 and then to just 4.4% in 2022. Conversely, the share of countries in the lowest classifications has risen dramatically. A decade ago, 8% were considered “difficult”, now that figure is 24%. The number of those with a “very serious” situation has gone from 8% to 17% in the same period.




    Read more:
    White House spat with AP over ‘Gulf of America’ ignites fears for press freedom in second Trump era


    Of course, there are outliers in the global picture. China, for example, has limited press freedom but a very stable banking sector that has been highly resilient to external shocks in the past. But the country is run by an authoritarian regime that helps to shield its banks from those kinds of risks.

    Elsewhere though, the decline in press freedom threatens not just democratic principles and political transparency, but also the operation of financial markets. Safeguarding that freedom is a critical basis of economic resilience and stability.

    The authors do not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and have disclosed no relevant affiliations beyond their academic appointment.

    ref. Press freedom linked to greater financial stability, finds global study – https://theconversation.com/press-freedom-linked-to-greater-financial-stability-finds-global-study-248207

    MIL OSI – Global Reports

  • MIL-OSI Global: White Lotus hotels target gen Z travellers – but luxury resorts don’t reflect their travel habits

    Source: The Conversation – UK – By Ross Bennett-Cook, PhD Candidate in the Carnegie School of Sport, Leeds Beckett University

    American-British actor, Sam Nivola, in the season three finale of The White Lotus. Fabio Lovino / HBO

    HBO’s hit television series, The White Lotus, is as renowned for its stunning hotels and filming locations as it is for its mixture of unsettling, hilarious and sultry storylines.

    Set in fictional five-star “White Lotus” resorts, fans quickly learned the true locations of the luxury hotels. Each season has been set in a different destination – Hawaii, Sicily and, most recently, Thailand – and every resort has seen a surge in interest since featuring on the show. This has been labelled the “White Lotus effect”.

    Four Seasons Hotels, the actual brand behind the resorts, said the original White Lotus in Hawaii saw a 386% increase in availability checks after appearing on the show. And Hotels.com reported a 40% spike in booking interest for the filming location in Koh Samui, Thailand, following the release of the season three trailer.

    Four Seasons says the show’s popularity among gen Z and millennials is introducing a new market to their hotels. According to the company’s internal research, 71% of millennials who watch the show and are aware of Four Seasons have expressed a strong likelihood of visiting the featured properties.

    Younger age groups are key targets for Four Seasons, which is keen to attract the next generation of luxury travellers. But do luxury resorts really represent the travel habits of young people?

    According to a 2023 survey by consultancy firm Deloitte, young people have been hit particularly hard by the rising cost of living. Many are losing hope of owning a home and even starting a family. It has been widely reported that younger generations are worse off than their parents.

    With property ownership out of reach, many young people seem more willing to splurge on travel than save for an uncertain future. According to a 2017 poll by Realty Mogul, a real estate crowdfunding platform, almost half of young people aged 18 to 34 would prioritise travelling over buying a home. This compared to just 26% of those aged 45 and over.

    But gen Z generally aren’t as interested in five-star resorts as they are in five-star experiences. Many travellers from this age group opt to spend big on once-in-a-lifetime activities rather than splash out on luxury accommodation. According to a 2022 YouGov poll, over one-third of young people say they’d pick a standard three-star or below hotel, making this the most popular accommodation option.

    However, the European Travel Commission has found that this generation embraces mixing budget and luxury options when they can. For example, they may use budget airlines to reach their destination so they can spend a little more elsewhere. According to the same YouGov poll, luxury hotels and resorts still rank among gen Z’s top three travel accommodations.

    Four Seasons properties have provided the setting for the first three seasons of The White Lotus.
    Todamo / Shutterstock

    For many gen Z travellers, the journey is also just as important as the destination – and the impact they leave behind matters, too. Research by Booking.com reveals that over half (52%) of gen Z travellers say the environmental impact of tourism on a destination influences their travel choices. Even more (63%) would consider avoiding a destination altogether if they knew it was threatened by overtourism.

    Many of these values may not align with the opulence typically associated with luxury travel. On the Hawaiian island of Maui, the setting for season one of The White Lotus, local opposition towards tourism erupted after deadly wildfires swept across the island in 2023 – the most deadly wildfire event in recent US history.

    While locals faced heavy restrictions due to water scarcity, the island’s hotels and resorts were allowed to maintain vast golf courses, lush gardens and pools and welcomed up to 8,000 tourists a day.

    Thousands signed petitions to delay the return of mass tourism to the islands. And community groups held what was called a 24 hour “fish-in” protest to prevent tourists from using the popular Kāʻanapali Beach, a long stretch of pristine coastline where several high-end resorts are located.

    Protesters said their aim was to bring attention to the displacement of locals made homeless due to the wildfires and unable to find permanent housing due to short-term holiday rentals taking priority.

    Leaders have long worried the islands are losing their culture as the cost of housing fuels an exodus of native Hawaiian residents. The 2022 census revealed that more native Hawaiians live outside of Hawaii than within.

    Luxury travel reimagined

    Gen Z may well be the next generation of luxury travellers. In 2017, millennials and gen Z consumers were responsible for 32% of sales in the global personal luxury goods market. This figure was forecast to increase to 45% by 2025.

    But luxury travel must change to cater to the tastes and interests of younger generations. These people largely crave unique, shareable and story-worthy travel – not just comfort, but connection. For this new generation of luxury travellers, a remote glamping trip under the stars, or an off-grid adventure with experienced locals, may be more attractive than the traditional luxury resort.

    Some brands are already making changes. In 2024, the Hyatt Hotels group introduced its “Be More Here” brand initiative, a collection of bespoke guest activities with a focus on wellness and experience.

    And the latest addition to the Maldives’ luxury resort portfolio, Six Senses, has an ethos centred on sustainability. Its resorts have an onsite environmental learning space, and offer immersive marine conservation experiences and sustainability tours to guests.

    As young people navigate a complex future, their travel choices reflect a deeper desire: not just to see the world, but to engage with it responsibly and thoughtfully, and gain something meaningful from it.

    Ross Bennett-Cook does not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and has disclosed no relevant affiliations beyond their academic appointment.

    ref. White Lotus hotels target gen Z travellers – but luxury resorts don’t reflect their travel habits – https://theconversation.com/white-lotus-hotels-target-gen-z-travellers-but-luxury-resorts-dont-reflect-their-travel-habits-252242

    MIL OSI – Global Reports

  • MIL-OSI Global: Earth’s oceans once turned green – and they could change again

    Source: The Conversation – UK – By Cédric M. John, Professor and Head of Data Science for the Environment and Sustainability, Queen Mary University of London

    Were Earth’s oceans once green? 100Y Design/Shutterstock

    Nearly three fourths of Earth is covered by oceans, making the planet look like a pale blue dot from space. But Japanese researchers have made a compelling case that Earth’s oceans were once green, in a study published in Nature.

    The reason Earth’s oceans may have looked different in the ancient past is to do with their chemistry and the evolution of photosynthesis. As a geology undergraduate student, I was taught about the importance of a type of rock deposit known as the banded iron formation in recording the planet’s history.

    Banded iron formations were deposited in the Archean and Paleoproterozoic eons, roughly between 3.8 and 1.8 billion years ago. Life back then was confined to one cell organisms in the oceans. The continents were a barren landscape of grey, brown and black rocks and sediments.

    Rain falling on continental rocks dissolved iron which was then carried to the oceans by rivers. Other sources of iron were volcanoes on the ocean floor. This iron will become important later.

    Cross section of banded iron formation in Karijini National park, in the Hamersley Range, Western Australia.
    Hans Wismeijer/Shutterstock

    The Archaean eon was a time when Earth’s atmosphere and ocean were devoid of gaseous oxygen, but also when the first organisms to generate energy from sunlight evolved. These organisms used anaerobic photosynthesis, meaning they can do photosynthesis in the absence of oxygen.

    It triggered important changes as a byproduct of anaerobic photosynthesis is oxygen gas. Oxygen gas bound to iron in seawater. Oxygen only existed as a gas in the atmosphere once the seawater iron could neutralise no more oxygen.

    Eventually, early photosynthesis led to the “great oxidation event”, a major ecological turning point that made complex life on Earth possible. It marked the transition from a largely oxygen free Earth to one with large amounts of oxygen in the ocean and atmosphere.

    The “bands” of different colours in banded iron formations record this shift with an alternation between deposits of iron deposited in the absence of oxygen and red oxidised iron.

    The case for green oceans

    The recent paper’s case for green oceans in the Archaean eon starts with an observation: waters around the Japanese volcanic island of Iwo Jima have a greenish hue linked to a form of oxidised iron – Fe(III). Blue-green algae thrive in the green waters surrounding the island.

    Despite their name, blue-green algae are primitive bacteria and not true algae. In the Archaean eon, the ancestors of modern blue-green algae evolved alongside other bacteria that use ferrous iron instead of water as the source of electrons for photosynthesis. This points to high levels of iron in the ocean.

    The ocean around Iwo Jima has a greenish hue.
    Phan Lee McCaskill/US Navy

    Photosynthetic organisms use pigments (mostly chlorophyll) in their cells to transform CO₂ into sugars using the energy of the sun. Chlorophyll gives plants their green colour. Blue-green algae are peculiar because they carry the common chlorophyll pigment, but also a second pigment called phycoerythrobilin (PEB).

    In their paper, the researchers found that genetically engineered modern blue-green algae with PEB grow better in green waters. Although chlorophyll is great for photosynthesis in the spectra of light visible to us, PEB seems to be superior in green-light conditions.

    Before the rise of photosynthesis and oxygen, Earth’s oceans contained dissolved reduced iron (iron deposited in the absence of oxygen). Oxygen released by the rise of photosynthesis in the Archean eon then led to oxidised iron in seawater. The paper’s computer simulations also found oxygen released by early photosynthesis led to a high enough concentration of oxidised iron particles to turn the surface water green.

    Once all iron in the ocean was oxidised, free oxygen (0₂) existed in Earth’s oceans and atmosphere. So a major implication of the study is that pale-green dot worlds viewed from space are good candidates planets to harbour early photosynthetic life.

    The changes in ocean chemistry were gradual. The Archaean period lasted 1.5 billion years. This is more than half of Earth’s history. By comparison, the entire history of the rise and evolution of complex life represents about an eighth of Earth’s history.

    Almost certainly, the colour of the oceans changed gradually during this period and potentially oscillated. This could explain why blue-green algae evolved both forms of photosynthetic pigments. Chlorophyll is best for white light which is the type of sunlight we have today. Taking advantage of green and white light would have been an evolutionary advantage.

    Could oceans change colour again?

    The lesson from the recent Japanese paper is that the colour of our oceans are linked to water chemistry and the influence of life. We can imagine different ocean colours without borrowing too much from science fiction.

    Purple oceans would be possible on Earth if the levels of sulphur were high. This could be linked to intense volcanic activity and low oxygen content in the atmosphere, which would lead to the dominance of purple sulphur bacteria.

    Red oceans are also theoretically possible under intense tropical climates when red oxidised iron forms from the decay of rocks on the land and is carried to the oceans by rivers or winds. Or if a type of algae linked to “red tides” came to dominate the surface oceans.

    These red algae are common in areas with intense concentration of fertiliser such as nitrogen. In the modern oceans, this tends to happen in coastline close to sewers.

    As our sun ages, it will first become brighter leading to increased surface evaporation and intense UV light. This may favour purple sulphur bacteria living in deep waters without oxygen.

    It will lead to more purple, brown, or green hues in coastal or stratified areas, with less deep blue colour in water as phytoplankton decline. Eventually, oceans will evaporate completely as the sun expands to encompass the orbit of Earth.

    At geological timescales nothing is permanent and changes in the colour of our oceans are therefore inevitable.

    Cedric John receives funding from the UKRI.

    ref. Earth’s oceans once turned green – and they could change again – https://theconversation.com/earths-oceans-once-turned-green-and-they-could-change-again-253460

    MIL OSI – Global Reports

  • MIL-OSI Global: The Return: how each new retelling of The Odyssey opens up the worlds of the women in this epic

    Source: The Conversation – UK – By Emily Hauser, Senior Lecturer in Classics, University of Exeter

    Waves crash across Ithaca’s rocky shore. “The city of Troy has fallen,” we are told, as the shuttle on Penelope’s loom flickers across the screen. “On the island of Ithaca, Queen Penelope still longs for the return of her husband Odysseus.” The camera then cuts to the wreckage of a ship and the body of a man washed up on the beach – naked, dishevelled, scarred.

    This is the beginning of the new Odyssey-inspired film starring Ralph Fiennes and Juliette Binoche, The Return.

    The Odyssey, the ancient Greek epic poem ascribed to the poet Homer, charts the return home of its eponymous hero, Odysseus. For half the epic poem, we follow the hero as he struggles, sometimes against fantastical monsters and goddesses, sometimes against himself and his crew, to return.

    But Ralph Fiennes’s Odysseus is not stranded on his travels. He has already returned home. Home to Ithaca but not quite home to Penelope.

    It has often been said that the Odyssey shows a marked interest in its women – Penelope, perhaps, above all. Odysseus makes it clear that returning home is about much more than the literal voyage to Ithaca. What he wants, he says (in Emily Wilson’s translation) is a reinstatement to “the joys of home”, and to partnership with “my wife”.


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    Retelling the Odyssey’s women

    Many retellings, particularly those in recent years, have been interested in giving the women of the Odyssey more agency and voice. The Return is no exception: it is made quite clear that Penelope and her recognition of Odysseus are central to his reintegration into Ithaca.

    The film is centred on her refusal to choose one of her suitors, and Odysseus’s fear – in the face of her anger at being forced to wait for him for 20 years – that she might not want him back. After battles with female monsters and rest-stops with enchanting goddesses, Penelope is the final and greatest woman he must face and win back.

    Putting Penelope at the centre of the tale follows a line of recent reinterpretations of Odysseus’s return that have taken Penelope’s point of view more explicitly – most notably, Margaret Atwood’s The Penelopiad (2005).

    Here Penelope’s version of the story is used not only to emphasise the costs (and compromises) borne by the archetypal patient wife in her husband’s absence, but also to shed light on the sheer violence and bloodshed of Odysseus’s return. In particular, it highlights the victimisation of the 12 enslaved women raped by Penelope’s suitors, who are later hanged for their actions by Odysseus’s son.

    Wilson made similar strides in her 2018 translation of the Odyssey – the first into English by a woman. In it, she stripped away the judgments imposed on Odysseus’s enslaved women by earlier male translators that suggested they deserved what they got.

    We see some similar, if less pointed, changes in The Return. Penelope is quick to condemn the violence of war (“Why do men go to war?” she demands), and then the bloodshed Odysseus brings into her home.

    Binoche plays Penelope with a brittle resilience that is both moving and powerful. Though quiet, she refuses to move her ground, and the words she speaks are always charged with meaning. Yet it is worth noting that the film – despite Atwood and Wilson’s interventions in reminding readers of their existence and changing how they are perceived – does not include the execution of the enslaved women.

    Real Greek women

    In my new book, Mythica: A New History of Homer’s World, through the Women Written Out Of It, I also explore what the Odyssey (and Homer’s other epic, the Iliad) might look like from the women’s point of view – using the latest archaeological evidence and newest scientific analysis of ancient DNA. I use these findings as a window into the worlds of the real women who might have inspired the myths and legends of the Odyssey.

    Take, for instance, discoveries of spinning and weaving equipment that belonged to queens who once ruled in the historical kingdoms like Mycenae, Pylos and even Troy. The Homeric epics, the Iliad and Odyssey, are full of scenes of women weaving in the Greek palaces of legend.

    Perhaps most famous is Penelope’s weaving: the famous ruse in which she wove and unwove her weaving and so delayed the suitors’ demand that she choose one of them for marriage.

    Penelope is said in the Odyssey to have been weaving for three years before her trick was revealed. It’s been suggested that she was making what’s known as a “story cloth” – a tapestry detailing narratives.

    Such “story cloths” have been found in the Greek world, dating back to the 4th century BC, from the shores of the Black Sea. The idea of Penelope weaving her own story in thread is a particularly rich one – making her a poet of her own story to rival the poet of the Odyssey (though her tapestry, of course, unravels to make space for Odysseus).

    The red, yellow and purple dyes women used to dye the threads they spun and wove with have also been recovered from minuscule traces on prehistoric pots.

    In Pasolini’s The Return, we see Penelope weaving with blood-red thread. This is probably meant to represent the ancient colour porphyreos, or reddish-purple, that was so expensive it came to be called “royal purple”. It’s a word (and shade) that’s also used for blood in the Homeric epics – so anticipating the bloodshed of Odysseus’s return.

    To me, starting from the history that surrounds legend and myth is a radical way into the stories of women like Penelope. It allows us to understand them from the experiences and activities of actual, historical women of the Greek past.

    The Odyssey has been retold and will continue to be retold countless times. I found The Return to be a moving, tightly theatrical version of the closing scenes of the Odyssey. It puts Penelope at the heart of the drama. The foregrounding of her role is a particular highlight and Binoche plays her spectacularly well.

    We have director Christopher Nolan’s take on the Odyssey to look forward to next in July 2026. It remains to be seen how Penelope, and the enslaved women, will be treated there.

    However, with every new retelling comes the opportunity to draw attention to the central roles of female figures in this ancient epic.

    Emily Hauser does not work for, consult, own shares in or receive funding from any company or organisation that would benefit from this article, and has disclosed no relevant affiliations beyond their academic appointment.

    ref. The Return: how each new retelling of The Odyssey opens up the worlds of the women in this epic – https://theconversation.com/the-return-how-each-new-retelling-of-the-odyssey-opens-up-the-worlds-of-the-women-in-this-epic-253922

    MIL OSI – Global Reports

  • MIL-OSI Global: Hypermasculine influencers can be good role models for boys too

    Source: The Conversation – UK – By Michael Joseph Richardson, Senior Lecturer in Human Geography, Newcastle University

    Body Stock/Shutterstock

    It’s good to see that men in positions of power and influence are concerned about the impact that masculinity influencers, the manosphere and the misogyny they can inspire is having on boys and young men.

    Prime Minister Sir Keir Starmer and former England manager Sir Gareth Southgate have spoken about the need for positive role models. Southgate has highlighted the ills of social media, gaming and pornography. Starmer has backed the showing of Netflix series Adolescence, which explores the impact of the manosphere on teenagers, in schools.

    Starmer and Southgate mean well and their words have amplified the issue. But their approach may not reach the boys and young men they would hope to inspire.

    Southgate’s recent Richard Dimbleby lecture followed a well-trodden path of demonising certain spaces – such as social media – and in doing so offered a somewhat limited understanding of how and why they are so prevalent in young people’s lives.

    Men like Starmer and Southgate are defined by their progressive outlook. But in the manosphere, “niceness” can be viewed with suspicion and disdain. It can come with the assumption that “white knights,” men who display a caring kind of masculinity, are driven by an aim, conscious or unconscious, of being sexually rewarded by women for their efforts. Messages from proponents of this caring masculinity may be dismissed out of hand by the young men they are most trying to reach.

    The influencers that so many boys are drawn to project an entirely different kind of masculinity to that of Starmer and Southgate. They are characterised by a focus on fitness and physical strength, financial success and heterosexuality. This is known as hypermasculinity.

    Boys and young men may feel more comfortable, less judged and more valued if they can see themselves in the people who support them. Youth workers, for example, can offer an important and effective counterpoint to online misogyny.

    My research with young fathers reveals that a “safe environment free of judgment” is key to exploring ideas of care and equality with young men. I learned that hypermasculinity does not have to necessitate dominance over others – women, LGBTQ+ people, people of colour. Nor does this way of being a man need to be predicated on emotional repression, misogyny, racism or homophobia.

    Hypermasculine spaces can offer comfort for those who fail to see themselves in more “feminised” spaces elsewhere.

    Fitness and gym culture

    Influencers know that fitness is appealing to many young men. They make explicit links between physical strength, fitness and sexual prowess.

    According to incel (involuntary celibate) culture, athleticism and physicality help determine a man’s “sexual market value”, and those who lack these hypermasculine characteristics are denied sexual access and social status. But young men do not need to buy wholly into this mindset to value gym culture and see physical strength as desirable.

    Former kickboxer Andrew Tate offers the appeal of the hypermasculine triumvirate of fitness, fame and fighting. Listening to young men tells us that they can be drawn to the hypermasculine “success” of Andrew Tate for reasons such as his devotion to physical fitness, not because of his misogyny.

    This tells us we should be spending time better understanding hypermasculinity, not further marginalising it. I believe hypermasculinity can make space for positive social change, but there needs to be an authentic connection for young men.

    Paddy “the Baddy” Pimblett would be a good place to start in understanding how hypermasculinity can be a positive force. Pimblett is a professional mixed martial artist who has over 3 million followers on Instagram.

    His public profile proves that hypermasculinity can carry more than just violence: he is using his platform for social good through charity work and mental health campaigning.

    Tech and financial independence

    Hypermasculine social media influencers also attract followers through their pursuit of financial independence. The allure of an aspirational lifestyle is not surprising in an era of financial uncertainty, especially when influencers purport that their successes are replicable. Andrew Tate’s “education system” The Real World, for instance, offers to teach paid subscribers the pathway to financial success when they sign up.

    At the same time, “tech bros” have become a defining financial success story. They are aspirational figures for some young men – simultaneously representing elite financial power and a self-sufficient, anti-establishment swagger. I am not suprised by their popularity, as in my work with young men in the north east of England, anti-elite narratives were often repeated.

    Again, though, there are positive examples to be found in this hypermasculine space. Gary Stevenson, whose YouTube channel has over a million subscribers, represents this. On one level, he is a hypermasculine trader who claims he won his job through a card game and whose high-risk gambling brought great rewards. Yet he now calls himself a “people’s economist” and uses his significant media profile to highlight structural disadvantage instead of aspirational lifestyles.

    Making space for hypermasculinity does not mean it should replace other forms, such as caring masculinities. But we need to engage with the hypermasculine and listen to those who value it to better understand it. We should not assume the hypermasculine is always problematic. In acknowledging, and avoiding demonising this kind of masculinity, we can ensure greater representation for young men and boys, while continuing to challenge sexism, misogyny and other social ills.

    Michael Joseph Richardson has received funding from the Economic and Social Research Council Impact Accelerator Account (ESRC IAA), Arts Council England and the National Lottery Climate Action Fund.

    ref. Hypermasculine influencers can be good role models for boys too – https://theconversation.com/hypermasculine-influencers-can-be-good-role-models-for-boys-too-253187

    MIL OSI – Global Reports