Category: Academic Analysis

  • MIL-OSI Global: UK government’s AI plan gives a glimpse of how it plans to regulate the technology

    Source: The Conversation – UK – By Paul Khullar, Analyst, Science and Technology, RAND Europe

    Anggalih Prasetya / Shutterstock

    The UK government recently published its plan for using AI to boost growth and deliver services more efficiently. It also suggests a fundamental shift in how the UK aims to position itself as a global leader in AI innovation.

    The AI Opportunities Action Plan gives further evidence on how the government intends to regulate cutting-edge AI.

    The timing of this plan, ahead of the Paris AI Action Summit in February, positions the UK to play a significant role in shaping global discussions on AI governance. Its plans to give more powers to the AI Safety Institute (AISI), a directorate of the Department of Science, Technology and Innovation, could enhance the UK’s influence in international cooperation on AI safety and governance through leading the way on legislation and enforcement.

    The previous Conservative government’s approach, outlined in its Pro Innovation Approach to AI Regulation white paper, relied heavily on existing regulators and non-binding principles.

    But Secretary of State for Science, Innovation and Technology Peter Kyle has said there will be a significant shift in the UK’s regulatory approach, moving from voluntary cooperation to mandatory oversight of the most advanced AI systems. After looking at these systems, regulators could ask the tech companies to make changes.

    The government is proposing the Frontier AI Bill, which would make the AISI into a statutory body with the ability to have legal powers rather than just advise companies. The bill could also grant the AISI unprecedented powers to tell developers to share their models for testing before market release, and offer feedback.

    How the EU approaches AI

    This new regulatory shift differs from the European Union’s approach in two important ways. First, the EU has opted for a voluntary code of practice for general-purpose AI systems.

    The EU AI Act takes a comprehensive approach, regulating AI applications across various risk levels and sectors, from high-risk applications in healthcare and education to consumer-facing AI systems. In contrast, the UK’s proposed bill appears more narrowly focused on cutting-edge AI systems before they’re released. Beyond governance, the UK plan also addresses the use of AI in critical infrastructure such as the road networks.

    The government plans to go ahead with 48 out of 50 of the report’s recommendations to start with. This demonstrates a strong commitment to developing the necessary foundations for AI advancement. There are also “partial” agreements to consider visa plans for workers who are highly skilled in AI and the creation of a copyright cleared dataset for training, or improving, AI systems.

    These measures aim to address crucial gaps in the UK’s AI ecosystem. The focus on infrastructure and developing AI skills suggests maintaining competitiveness in AI requires more than just a favourable regulatory environment, it needs robust capital investments.

    Broader risks

    However, several challenges remain. The focus on advanced AI systems, while important, has drawn criticism for potentially overlooking broader AI-related risks. There are legitimate concerns about whether this approach adequately addresses the full spectrum of challenges posed by widespread AI adoption across different sectors and cases, such as developers using copyrighted material to improve their AI systems.

    The success of this new approach will largely depend on several factors. The ability to introduce effective pre-market testing procedures for cutting edge AI systems without creating excessive barriers to innovation. And also it depends on the capacity of regulators to balance oversight and innovation.

    Success will also hinge on the effectiveness of these initiatives in strengthening the UK’s competitive position. .

    The UK’s approach represents a bold experiment in AI governance – one that charts a distinct path from the EU.

    This plan marks a decisive moment in UK AI policy. The success or failure of this targeted approach could have significant implications for how other nations balance comprehensive AI oversight with focused regulation of the most capable systems.

    Paul Khullar has worked on projects funded by DSIT.

    Sana Zakaria has received funding from DSIT and UKRI for other areas of work in her portfolio.

    ref. UK government’s AI plan gives a glimpse of how it plans to regulate the technology – https://theconversation.com/uk-governments-ai-plan-gives-a-glimpse-of-how-it-plans-to-regulate-the-technology-248140

    MIL OSI – Global Reports

  • MIL-OSI Global: The Holocaust: how ‘rescue archaeology’ is tackling the impending loss of surviving witnesses

    Source: The Conversation – UK – By Tony Kushner, James Parkes Professor of Jewish/non-Jewish Relations, University of Southampton

    This year is the 80th anniversary of the Soviet army’s liberation of Auschwitz, the huge and complex concentration and death camp in which one million Jews were murdered.

    The theme of this year’s Holocaust Memorial Day is For a Better Future, a message of hope that is much needed in this extremely troubling world, where the far right is gaining power inside and outside of Europe.

    An issue which has troubled those, like myself, who are involved with Holocaust education and memorialisation for some time is what to do when the survivor generation passes on.

    This is no longer a theoretical concern. Every year, inevitably and at an accelerating rate, the numbers of Holocaust survivors diminishes. In the past few years in the UK alone, prominent survivors have been lost. Most recently Lily Ebert, aged 100, who late in life became famous through relating her harrowing story through the very modern media of TikTok.

    Speaking about her death, King Charles said: “Alongside other Holocaust survivors she became an integral part of the fabric of our nation; her extraordinary resilience and courage an example to us all, which will never be forgotten.”

    Indeed, many Holocaust survivors have been prominent in recent years, recounting their testimony to schools and the media. Holocaust Memorial Day, inaugurated at the start of the new millennium, has provided a special place for survivors at both a national and local level.

    This year at the University of Southampton, for example, we are privileged to have Janine Webber, a survivor of the Lvov ghetto in German-occupied Poland, speaking. She will relay to a diverse audience of all ages and backgrounds her life before, during and after the Holocaust.

    Through the Parkes Institute for the study of Jewish/non-Jewish relations, we have organised this city-wide event for over two decades. We know, however, that this may be one of the last times we will be privileged to have the survivors at the heart of our programme. In 2035 it will be the 90th anniversary of the liberation of Auschwitz and by then few survivors, if any, will still be alive.




    Read more:
    Charlotte Delbo and the women of Convoy 31000: how researching their stories led me to a forgotten subcamp and Nazi lies in the Auschwitz archive


    There is a certain irony in the understandable angst about the devastating prospect of a world without Holocaust survivors (as well as their liberators, and those who helped Jewish people during their darkest hour).

    For many years after 1945, Holocaust survivors were not given the space to talk about their experiences – a silence that often extended to their children and wider families. It was only talking in their own small circles that these survivors felt that their experiences would be understood.

    Now the situation is very different. Survivors are honoured for their work in educating new generations born well after the second world war. King Charles’s heartfelt tribute to Ebert reflects a wider tendency. Many have been given honours, including a knighthood to the late survivor leader, Ben Helfgott, who died in 2023. Helfgott was one of over 700 child survivors who were flown to the UK in 1945 to recuperate and ended up making a huge contribution to the country.

    The Pride of Britain Awards honoured Sir Ben Helfgott in 2020.

    In the 1950s and 60s, when the first histories of the Holocaust were produced, the focus was on the perpetrators and the victims were voiceless and seen as “uneducated men” who had no place in accounts of the recent past. All of this changed in the late 20th century when the Holocaust grew in public awareness and interest.

    Belatedly, the survivors were rescued from obscurity and the human element of the tragedy came to the fore. Local and then international testimony projects emerged, the largest being the ongoing Visual History Archive which has interviewed close to 60,000 survivors, including of more recent genocides such as that in Rwanda.

    ‘Rescue archaeology’

    I have estimated that there may be up to 100,000 testimonies of Holocaust survivors in video, oral history and written format – perhaps the most related to any event in history. Most recently these interviews have been developed as interactive holograms where students and others can ask questions of the survivors such as the University of Southern California’s Dimensions project.

    These projects are a form of “rescue archaeology”, saving the testimony of survivors before it is too late. They are, especially in the hologram form, a way of directly confronting the dilemma of how to educate and commemorate without the survivors actually being present.

    The University of Southern California’s Dimensions in Testimony project.

    In 2000, the Imperial War Museum in London opened its first Holocaust galleries. Before then the Holocaust had rarely been confronted by this landmark museum. In 2019 a new permanent Holocaust exhibition was also opened. In both exhibitions, survivor testimony was a prominent and engaging feature. Video testimony especially can capture the attention of all age groups and backgrounds.

    But even with this remarkable resource of recorded Holocaust testimony, something huge and irreplaceable will be lost when we no longer have the survivors to tell their stories.

    Even when survivors are unfocused in their presentation, or they find it challenging to communicate what is ultimately indescribable, there has been a bond between them and their audience. In some ways their presence has made it too easy for those involved in education and commemoration to deal with the Holocaust.

    We must therefore find fresh ways of doing justice to their experiences, using their recorded experiences (including those who were killed but managed to write their testimony in the war itself through diaries) and finding creative ways of engaging a new generation to whom this is now distant history.

    It would be naive, however, to think that the post-survivor world will be an easy one to navigate. We have been lucky that the survivors have had the courage and energy to share their experiences and must regret that it took us so long to listen.


    Looking for something good? Cut through the noise with a carefully curated selection of the latest releases, live events and exhibitions, straight to your inbox every fortnight, on Fridays. Sign up here.


    Tony Kushner 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 Holocaust: how ‘rescue archaeology’ is tackling the impending loss of surviving witnesses – https://theconversation.com/the-holocaust-how-rescue-archaeology-is-tackling-the-impending-loss-of-surviving-witnesses-248202

    MIL OSI – Global Reports

  • MIL-OSI Global: The pope’s memoir, Oscar nominees and a mafia exhibition – what to read, see and do this week

    Source: The Conversation – UK – By Anna Walker, Senior Arts + Culture Editor

    I finally got round to watching Conclave last week. Two hours of Ralph Fiennes and Isabella Rossellini in Oscar-nominated performances alongside Lucian Msamati and a stray papal turtle. The scandals. The tension. The outfits (also nominated). A sublime experience.

    On the way home from the cinema, I became lost in background reading. “How much do we know about real conclaves controversies?” I jabbed into Google. “How close was the film’s pope to the current pontiff, Francis?” As I soon realised, the real Vatican is frequently stranger than fiction. Take Wake Up!, for example, Pope Francis’s progressive rock album (no, really) which was released in 2015.

    More surprises are in store in his autobiography, Hope, which was published this week. It’s the first time a pope has written a memoir. As explained by our reviewer, the appropriately named historian of the Catholic church Professor Liam Temple, we’ve never known this much about the pontiff before. We learn that young Francis was an avid football and basketball fan, for example. But also, that he’s now a deeply remorseful man, often impatient and periodically anti-social.




    Read more:
    Pope Francis autobiography: we’ve never known so much about the pontiff before


    The book had us wondering. Would you rather learn about historic figures through their own words, or the art of others? Answer our poll to let us know and reply to this email with your favourite memoir of all time. My colleague Naomi’s is Just Kids by Patti Smith.

    A brutal backlash

    The Brutalist swept the Oscars shortlist yesterday with ten nominations including best picture, director and actor in a leading role. We asked a real architect to review the film.




    Read more:
    The Brutalist: an architect’s take on a film about one man’s journey to realise his visionary building


    The trailer for The Brutalist.

    Adrian Brody plays Hungarian-Jewish architect László Tóth. He’s arrived in Philadelphia after surviving the Holocaust and is taken under the patronage of wealthy industrialist, Harrison Van Buren (Guy Pearce). It’s a monumental work about the foundations, both literal and ideological, of post-war America. Three-and-a-half hours long (with a welcome intermission) it is staggering in its scale and ambition – a film that really must be seen in the cinema.

    For fans, the Academy’s support is a relief. For the past week, nominations were in doubt due to a growing backlash around the film’s use of AI to enhance the authenticity of the actors’ Hungarian accents. The language’s hard-to-imitate vowel sounds proved tricky even for Brody, whose mother was a Hungarian refugee. For Dr Dominic Lees, who has been researching the use of AI in filmmaking for six years, this creative decision is hardly shocking, especially in comparison to other recent uses of the technology – we’re looking at you, Here.




    Read more:
    AI voice technology used in The Brutalist is nothing new – the backlash is about transparency


    The trailer for Kyoto.

    With a climate-change denier back in the White House, the London opening of Kyoto at the West End’s Soho Place could hardly be timelier. The Royal Shakespeare Company production dramatises the intense negotiations of the world’s first climate change treaty. In doing so, it “turns diplomacy into a contact sport”, eliciting gales of laughter from the audience and raising plentiful questions to ponder on the way home.

    Kyoto is playing at London’s Soho Place theatre until May 3.

    Through the lens

    We caused some controversy last week with our rundown of six covers of Bob Dylan songs that were better than the originals. “What no Guns N’ Roses, Knocking on Heaven’s Door?” asked one reader. “I’ll give you Hendrix, but all the others are ersatz compared to Bob’s versions,” proclaimed another.

    The trailer for A Complete Unknown.

    Hopefully one thing Dylan fans can agree on is the strength of Timothee Chalamet’s Oscar-nominated performance in the new biopic, A Complete Unknown. To our reviewer’s mind, he brings charm, vulnerability and authenticity to what will surely become one of the stand-out roles of his career.




    Read more:
    A Complete Unknown: Chalamet’s brilliant performance captures the elusive essence of a young Dylan


    You might expect an exhibition of mafia photos to depict conflict, violence, men in suits and victims in pieces. But a new show of Sicilian photographer Letizia Battaglia at London’s Photographers’ Gallery instead presents images of lovers, flowers and children in the street.

    Born in 1935, Battaglia was one of the first women reporters in Italy. This is the first major UK exhibition of her work since her death in 2022. Through her lens, she frequently captured the ambiguous reality of the mafia in Sicily. The revolution of her work was the way it stripped the mafia of its glamour, by showing not only its violence, the murders, the desperation, but also the banality and the normalisation of their crimes.

    Letizia Battaglia: Life, Love and Death in Sicily is on at The Photographers’ Gallery, London, until February 23.

    ref. The pope’s memoir, Oscar nominees and a mafia exhibition – what to read, see and do this week – https://theconversation.com/the-popes-memoir-oscar-nominees-and-a-mafia-exhibition-what-to-read-see-and-do-this-week-248184

    MIL OSI – Global Reports

  • MIL-OSI Global: The Holocaust poets who can help us to understand genocides past and present

    Source: The Conversation – UK – By Jean Boase-Beier, Emeritus Professor, School of Literature, Drama and Creative Writing, University of East Anglia

    On Holocaust Memorial Day we remember the victims of the Nazi Holocaust in 1940s Europe and all those affected by later genocides.

    I believe that reading poetry is an important way to commemorate these victims because it is such a personal form.

    The events of the Holocaust are familiar to many people as dates and numbers. The first concentration camp opened in Dachau in 1933. In 1942 the infamous meeting at the Wannsee took place in Berlin to decide upon the “final solution” to the perceived problem of Jewish people in Germany and beyond.

    Some 6 million Jewish people were murdered, some 200,000 disabled and ill people were killed in Germany alone and 400,000 people were forcibly sterilised because they possessed traits the Nazis deemed undesirable.

    Such statistics are well documented by Holocaust historians. But behind these numbers, overwhelming in their sheer vastness, are individuals, those whose voices we hear especially clearly in poems.


    Looking for something good? Cut through the noise with a carefully curated selection of the latest releases, live events and exhibitions, straight to your inbox every fortnight, on Fridays. Sign up here.


    People wrote poetry as realisation grew of their likely fate even before the murderous events that later came to be called the Holocaust. Many wrote poetry about the Holocaust later, because they survived and wanted the world to hear their stories, or because they lost family members and wanted to remember them.

    Among those who wrote after the Holocaust was German poet Volker von Törne, who was wracked with vicarious guilt for his father’s Nazi past.

    But it is the poems written as the events of the Holocaust were unfolding that strike a particular chord. These are poems by prisoners facing execution, by Jewish members of society forced to live in overcrowded ghettos, by those in camps and those about to be transported to camps. Often such poems were written on odd scraps of paper, carefully hidden or buried in the ground, or smuggled out of prison, ghetto or camp.

    These writers, desperate to tell their stories, chose poetry because of its immediacy, its conciseness, its emotional impact and its ability to say what cannot easily be said in prose.

    Almost none of them wrote in English, so English speakers read them via translators who can speak their words for them, fashioning new versions that aim to capture the style of the originals with all its resonances and as much of their immediacy and impact as possible.

    Poets of the Holocaust

    Some Holocaust poets became famous, and their work has been translated many times. One of the best known, Paul Celan, was a Romanian-German poet. His parents died in the Holocaust. He died by suicide in 1970, having written some of the most memorable poems about the Holocaust, including Death-Fugue (1948), which described the repetitive and deadly rhythm of camp life and death.

    German poet Nelly Sachs, who escaped at the last minute to Sweden, won the Nobel prize in 1966. Her work is readily available in a number of excellent recent translations.

    Other famous poets of the Holocaust include Yiddish poet Abraham Sutzkever, Italian essayist Primo Levi and Hungarian poet Miklós Radnóti.

    But the stories told by these famous poets, important though they are, can only give a partial picture. Often the fine details of everyday experience, the fears and hopes of individual women, men and children, have a particular resonance in the work of lesser-known poets.

    Romanian-German poet Selma Meerbaum-Eisinger was only 17 when she wrote her poetry of fearful anticipation. She was transported to a concentration camp where she died a year later.

    Lithuanian poet Matilda Olkinaitė was murdered at 19. How would their poetry have developed had they lived? We will never know. But what they have left us, recreated through their translators, is a highly sensitive view of life in the chaos of approaching catastrophe.

    Voices in anthologies

    For readers who want a fuller picture of Holocaust poetry, anthologies are invaluable. They usually have an introduction, or notes, providing the context that is so crucial to understanding the poems.

    Two older anthologies, Holocaust Poetry by Hilda Schiff (1995) and Beyond Lament by Marguerite Striar (1998) are still very useful.

    More recently, I co-edited the anthology Poetry of the Holocaust (2019), which arose from a research project funded by the Arts and Humanities Research Council. Our aim was to collect less well-known Holocaust poetry, and, with the help of 35 translators from languages as varied as Yiddish, Norwegian, Japanese and Hungarian, to present the poems in original and translation, with a contextual note for each.

    We tried to include a broader range of poems than earlier anthologies have tended to do. The anonymous Song of the Roma, for example, laments the fate of the more than 200,000 Gypsy, Roma and Traveller victims of the Nazis.

    Many poems in the anthology document very specific events, such as French writer Andrė Sarcq’s To the Twice-Murdered Men, which depicts the dreadful detail of his lover’s death at the hands of the Nazis, who treated gay men with unfathomable barbarity.

    Polish Resistance member Irena Bobowska suffered the cruel removal of the wheelchair upon which she depended. She imagined the world she has lost in So I Learn Life’s Greatest Art.

    German poet Alfred Schmidt-Sas wrote with extreme difficulty, as his hands were bound. He reflected on his imminent beheading in Strange Lightness of Life. And in My God, French poet Catherine Roux told of the horrifying and mundane details of her arrival in a concentration camp: “I’ve no hair / I’ve no hanky.”

    It is only by listening to these individual voices that we can really begin to understand what the many millions of Holocaust victims went through, and what victims of genocides all over the world have suffered and are suffering at this moment. Poetry helps us to do this.

    Jean Boase-Beier acts as Translations Editor for Arc Publications. She has received funding from the Arts and Humanities Research Council for research relevant to this article.

    ref. The Holocaust poets who can help us to understand genocides past and present – https://theconversation.com/the-holocaust-poets-who-can-help-us-to-understand-genocides-past-and-present-248205

    MIL OSI – Global Reports

  • MIL-OSI Global: Trump inherits the Guantánamo prison, complete with 4 ‘forever prisoners’

    Source: The Conversation – USA – By Lisa Hajjar, Professor of Sociology, University of California, Santa Barbara

    A control tower overlooks the Camp VI detention facility, at Guantánamo Bay Naval Base, Cuba. AP Photo/Alex Brandon

    President Joe Biden’s record of handling the U.S. military prison at Guantánamo Bay, Cuba, is decidedly mixed. He succeeded in reducing the detainee population he inherited by more than half, but he compounded problems in the military commissions that the Bush administration had invented in the wake of the 9/11 attacks to try people captured in the “war on terror.” Now all the problems at Guantánamo are again President Donald Trump’s.

    When Biden took office in 2021, there were 40 prisoners. Today there are 15, the lowest number since the first 20 Muslim men and boys captured in Afghanistan were airlifted to the base on Jan. 11, 2002.

    Biden left Trump four people the U.S. will not release but also cannot put on trial – the so-called “forever prisoners.” He also left intact the troubled military commissions system, with three pending criminal cases against a total of six detainees.

    In December 2021, former chief military defense attorney Brig. Gen. John Baker testified before the Senate Judiciary Committee: “It is too late in the process for the current military commissions to do justice for anyone. The best that can be hoped for at this point … is to bring this sordid chapter of American history to an end.” Baker made clear that the only viable option is to resolve the cases with plea bargains for the defendants.

    Marine Brig. Gen. John Baker tells U.S. senators that there is no opportunity for justice to be done at Guantánamo.

    A chance to make progress

    There are three cases that have not yet gone to trial – the 9/11 case with four defendants facing charges for their connections with the attacks, the USS Cole bombing in October 2000 with one defendant and the Bali bombing in October 2002 with one defendant.

    The 9/11 and USS Cole cases have been stuck in the pretrial phase since Biden was Barack Obama’s vice president. In the summer of 2024, a breakthrough in the 9/11 case appeared imminent: Prosecutors and defense lawyers for three of the four defendants reportedly reached plea-bargain agreements. Khalid Sheikh Mohammad – the alleged “mastermind” of the attacks – Walid bin Attash and Mustafa Hawsawi agreed to plead guilty and accept life sentences in exchange for the government taking the death penalty off the table. There was no deal for the fourth 9/11 defendant, Ammar al-Baluchi.

    The deals were approved on July 31 by the top military officer overseeing the Guantánamo commissions, retired Brig. Gen. Susan Escallier. But two days later, Biden’s defense secretary, Lloyd Austin, stepped into the process and overrode Escallier – whom he had appointed. Austin announced that the plea deals were revoked.

    The judge, Air Force Col. Matthew McCall, decided to schedule plea hearings for early January. But after some legal back-and-forth that forced a stay, he had to cancel them. Biden left the case against three 9/11 defendants in limbo.

    The basement of this government building in Bucharest, Romania, held a secret CIA prison, one of many across the world.
    AP Photo

    Witness to the transition

    In mid-January 2025, I made my sixteenth reporting trip to Guantánamo. I came for closing arguments on a motion in the 9/11 case that seeks to suppress statements that Ammar al-Baluchi made to the FBI in January 2007. That was four months after he and 13 others were transferred to Guantánamo from CIA black sites where they were held for years. The litigation to suppress those statements started in 2019.

    In Chapter 10 of my book, “The War in Court: Inside the Long Fight against Torture,” I detail how the litigation on this suppression motion made public previously unknown details and under-acknowledged horrors of the CIA’s rendition, detention and interrogation program.

    These closing arguments were the culmination of six years of litigation on the key question in the 9/11 case: Does torture matter in the pursuit of justice in the military commissions?

    A drawing by Guantánamo detainee Abu Zubaydah depicts a person being waterboarded.
    Copyright Abu Zubaydah 2019. Licensed by Professor Mark Denbeaux, Seton Hall Law School

    Can Guantánamo be closed?

    Of the 780 people ever detained at Guantánamo, 540 were released during the presidency of George W. Bush, who established the detention facility. Obama, who signed an executive order on his second day in office pledging to close Guantánamo within a year, released 200.

    In his first term, Trump pledged to keep the facility open. The only man to leave Guantánamo during Trump’s first term was Ahmed al-Darbi, who was repatriated to Saudi Arabia in 2018 to serve out the remainder of his sentence from a 2014 plea bargain agreement.

    When Biden took office, he said that he supported shutting down the military prison at Guantánamo. In the early years of his presidency, there was a slow stream of transfers, mostly people who had been cleared for release long ago and were freed.

    In Biden’s last months, the pace of transfers quickened. In December 2024, a Kenyan detainee, two Malaysian members of al-Qaida who had pled guilty the previous January, and a Tunisian man who had been in Guantánamo since the day the facility was opened were all repatriated to their countries of origin and freed. In January 2024, 11 Yemenis were transported from the prison to Oman to be resettled.

    15 men left behind

    The Biden administration had also planned to repatriate a severely disabled Iraqi detainee, Abd al-Hadi al-Iraqi, to serve out his plea-bargained sentence in a Baghdad prison. But a federal judge blocked that transfer, ruling that al-Iraqi would not get necessary medical treatment in Iraq and might be subject to abuse there.

    Al-Iraqi is one of the 15 that Biden left behind. Three of them – a Libyan, a Somali and a stateless Rohingya – have long been cleared for release. Their continuing detention without charges highlights a key element of the Guantánamo problem: No one can be released unless the U.S. government finds another country willing to accept them.

    One of the remaining detainees, Ali Bahlul, is serving a life sentence for conspiracy to commit war crimes. Six others, including the four 9/11 defendants, are awaiting their trials.

    There are also four detainees whom the government refuses to transfer but cannot put on trial for lack of evidence.

    The U.S. goverment says it cannot release Abu Zubaydah from Guantánamo because he would disclose classified interrogation techniques critics have labeled torture.
    U.S. Central Command via AP

    These so-called “forever prisoners” include Abu Zubaydah, a Saudi-born man of Palestinian descent who was taken into CIA custody in 2002 and was used as the guinea pig for the CIA torture program. The government long ago conceded that Abu Zubaydah was not a top leader of al-Qaida – in fact he was not even a member. But he will not be released because he knows how he was treated by the CIA, and that treatment remains highly classified.

    The newest forever prisoner is one of the original 9/11 defendants, Ramzi bin al-Shibh; in September 2023, he was declared mentally incompetent to stand trial. Now he is uncharged, unreleased and untreated for his psychological maladies that were caused by the torture he endured in CIA black sites.

    The ‘War on Terror’ is not over

    When Biden pulled U.S. troops out of Afghanistan in August 2021, he claimed to have ended America’s longest war – and repeated this claim in a January 2025 speech. But the Guantánamo prison remains open, and as long as it is, the “war on terror,” which first put U.S. troops in Afghanistan in 2001, is not over.

    How Trump will deal with Guantánamo is an open question. If he focuses on the death penalty, he will press ahead with military commission trials like his predecessors, hoping for unanimous guilty verdicts and death sentences. If he prioritizes cutting wasteful government spending, he will release additional detainees and allow the three plea bargain agreements to go into effect.

    No one I spoke to during my last trip was willing to predict what a second Trump term might bode for Guantánamo – except that it won’t be closed.

    Lisa Hajjar 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. Trump inherits the Guantánamo prison, complete with 4 ‘forever prisoners’ – https://theconversation.com/trump-inherits-the-guantanamo-prison-complete-with-4-forever-prisoners-247058

    MIL OSI – Global Reports

  • MIL-Evening Report: Going down a Wikipedia rabbit hole? Science says you’re one of these three types

    Source: The Conversation (Au and NZ) – By Sarah Polkinghorne, Adjunct Senior Industry Fellow, School of Global, Urban and Social Studies, RMIT University

    Johnson Martin / Unsplash

    If you’ve ever gone to look up a quick fact and just kept browsing from one article (or page, or video), to another, to another – then you know the feeling of “going down a rabbit hole”. This experience of curiosity-led online wandering has become synonymous with the free, user-created encyclopedia Wikipedia.

    Founded in 2001, Wikipedia is today one of the world’s most popular websites. With more users than Amazon, Netflix, TikTok or ChatGPT, the site is a go-to source for people to learn about and discover new interests.

    In new research involving more than 480,000 Wikipedia users in 14 languages across 50 countries, US researchers led by Dale Zhou at the University of Pennsylvania studied three distinctly different ways of going down the Wikipedia rabbit hole. These “curiosity styles” have been studied before, but not in such a large, diverse group of people using Wikipedia “naturalistically”, in daily life.

    The research may help us better understand the nature and importance of curiosity, its connections to wellbeing, and strategies for preventing the spread of false information.

    Wikipedia: first controversial, now mature, always popular

    When Wikipedia was new in the early 2000s, it sparked controversies. People such as librarians and lecturers voiced concerns about Wikipedia’s potential for platforming untrue or incomplete information.

    Today, the factuality of Wikipedia’s existing contents is less concerning than questions of bias, such as which topics the site’s volunteer editors deem noteworthy enough to include. There are global efforts to fill gaps in Wikipedia’s coverage, such as “edit-a-thons” to add entries on historically overlooked scientists and artists.

    Part of what made Wikipedia groundbreaking was how it satisfies people’s intrinsic learning needs by inviting navigation from page to page, luring readers into rabbit holes. This, combined with the site’s participatory approach to creating and verifying pages, sparked its rapid growth. These qualities have also sustained Wikipedia as a predominant everyday information source, globally.

    Research about Wikipedia has also evolved from early studies comparing it to the Encyclopedia Britannica.

    This new study examines data about Wikipedia readers’ activities. It looks at the different “architectural styles of curiosity” people embody when they navigate.

    Busybodys, hunters and dancers

    The new study explores the “knowledge networks” associated with the three main styles of curiosity: busybody, hunter and dancer. A knowledge network is a visual representation of how readers “weave a thread” across Wikipedia articles.

    As the researchers explain:

    The busybody scouts for loose threads of novelty, the hunter pursues specific answers in a projectile path, and the dancer leaps in creative breaks with tradition across typically siloed areas of knowledge.

    Earlier research had shown evidence of busybodies and hunters, and speculated about the existence of dancers. The new study confirms that busybodies and hunters exist in multiple countries and languages. It also details the dancer style, which has been more elusive to document.

    The researchers also identified geographical differences between curiosity styles.

    In all 14 languages studied, busybodies tend to read more about culture, media, food, art, philosophy and religion. Hunters in 12 out of 14 languages tend to read more about science, technology, engineering and maths.

    In German and English, hunters were more drawn to pages about history and society than busybodies. The opposite was true in Arabic, Bengali, Hindi, Dutch and Chinese.

    Dancers were identified by their forward leaps between disparate topics, as well as the diversity of their interests.

    The research team points out we still have much to learn about how curiosity is shaped by local norms. Relating these results to gender, ethnicity, access to education, and other elements will paint a fuller picture.

    Curiosity is beneficial, generally … and we have more to learn

    Overall, this study supports the benefits of freer, broader browsing and reading. Following our curiosity can help us become better informed and expand our worldviews, creativity and relationships.

    At the same time, people sometimes need closure more than they need exploration. This is not a bad thing or a sign of narrow-mindedness. In many situations there are benefits to moving on from information-seeking, and deciding we’ve learned enough for now.

    Endless curiosity can have downsides. This is especially true when it’s motivated not by the joy of learning, but by the discomfort of uncertainty and exclusion. As other research has found, for some people, curiosity can lead toward false information and conspiracy theories. When information has a sense of novelty, or a hint of being hidden by powerful elites, this can make it more appealing, even when it’s not true.

    The new study emphasises that different curiosity styles do not lead simply or universally to creativity or wellbeing. People’s contexts and circumstances vary.

    Each of us, like Goldilocks, can follow our curiosity to find not too much, not too little, but the information that is “just right”. The researchers also hint at evidence for a spectrum of new curiosity styles beyond the main three, which will surely spark more research in future.

    Stay curious and enjoy the rabbit hole

    This study also suggests ways Wikipedia (and sites like it) could better support curiosity-driven exploration. For example, rather than suggesting pages based on their popularity or similarity to other pages, Wikipedia could try showing readers their own dynamic knowledge network.

    As a Wikipedian would say, this new study is noteworthy. It shows how smaller-scale, exploratory research into people’s reading and browsing can be translated to a much larger scale across languages and cultures.

    As AI becomes more influential and the problems of misinformation grow, understanding technologies that shape our access to information – and how we use them – is more important than ever. We know YouTube recommendations can be a radicalising pipeline to extremist content, for example, and ChatGPT is largely indifferent to the truth.

    Studying Wikipedia readers reveals a rich picture of people’s freely expressed, diverse online curiosities. It shows an alternative to technologies built on narrower assumptions about what people value, how we learn, and how we want to explore online.

    Sarah Polkinghorne has received funding from the Social Sciences and Humanities Research Council of Canada, the Association for Information Science & Technology, and RMIT University’s School of Global, Urban and Social Studies. She is also affiliated with the University of Alberta, and is a past president of the Canadian Association for Information Science.

    ref. Going down a Wikipedia rabbit hole? Science says you’re one of these three types – https://theconversation.com/going-down-a-wikipedia-rabbit-hole-science-says-youre-one-of-these-three-types-242018

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: LNP wins Queensland election, likely with a clear majority

    Source: The Conversation (Au and NZ) – By Adrian Beaumont, Election Analyst (Psephologist) at The Conversation; and Honorary Associate, School of Mathematics and Statistics, The University of Melbourne

    With 45% of enrolled voters counted in today’s Queensland state election, The Poll Bludger’s results have the Liberal National Party (LNP) winning 38 of the 93 seats, Labor 26, Katter’s Australian Party (KAP) three and independents one.

    Including undecided seats where one party is ahead, it’s 49 LNP, 39 Labor, three KAP, one Green and one independent. A majority is achieved with 47 seats, so the LNP are on track for a majority.

    The statewide two-party estimate is a 53.1–46.9 win to the LNP, a 6.3% swing to the LNP since the 2020 election. Current primary votes are 40.9% LNP (up 5.7%), 33.4% Labor (down 6.6%), 10.3% Greens (up 0.7%), 7.8% One Nation (up 1.0%) and 2.3% KAP (down 0.3%).

    As pre-poll and postal votes have come in, the swing to the LNP has increased as these votes have had stronger swings to the LNP than election day votes. There are many more pre-poll and postals still to be counted, so it’s more likely that the LNP will exceed its current projections than fall below them.

    I believe the Resolve poll that gave the LNP a 53–47 lead will be the most accurate. While Labor recovered from landslide defeat margins in polls taken about the middle of this year, it wasn’t enough. The uComms poll that gave the LNP just a 51–49 lead two days before the election was poor.

    The Greens lost South Brisbane to Labor, after the LNP recommended preferences to Labor on their how-to-vote material after recommending preferences to the Greens in 2020. Analyst Kevin Bonham said this is the first time the Greens have lost a single-member seat that they won at the previous general election.

    The key reasons for Labor’s defeat were an “it’s time” factor, as Labor has governed since winning the January 2015 election, the federal Labor government tending to hurt state Labor parties, and Queensland easily being the most pro-Coalition state at the 2022 federal election.

    At that election, Queensland was the only state where the Coalition won the two-party vote (by 54.1–45.9). The second best state for the Coalition was New South Wales, where Labor won the two-party vote by 51.4–48.6.

    Labor’s defeat in Queensland will give some assistance to federal Labor. An unpopular and old Queensland Labor government would have hindered federal Labor’s prospects in Queensland at the federal election that is due by May 2025.

    Late polls

    The Newspoll and uComms poll were both released after Wednesday’s preview article on the Queensland election.

    A Newspoll, conducted October 18–24 from a sample of 1,151, had given the LNP a 52.5–57.5 lead, a 2.5-point gain for Labor since a mid-September Newspoll. Primary votes were 42% LNP (steady), 33% Labor (up three), 11% Greens (down one), 8% One Nation (steady) and 6% for all Others (down two).

    Labor premier Steven Miles gained seven points for a -3 net approval, with 48% dissatisfied and 45% satisfied. LNP leader David Crisafulli’s net approval plunged 15 points to -3. Miles led Crisafulli by 45–42 as better premier, a reversal from a 46–39 Crisafulli lead in September.

    A uComms poll that was conducted Thursday from a sample of 3,651 using robopolling, gave the LNP a 51–49 lead. Bonham had primary votes from this poll, which was not commissioned by anyone. The primary votes were 39.3% LNP, 33.6% Labor, 12.9% Greens, 7.8% One Nation, 2.9% KAP and 3.5% others.

    Federal Essential poll: Labor slumps and Dutton’s ratings jump

    A national Essential poll, conducted October 16–20 from a sample of 1,140, gave the Coalition a 48–46 lead including undecided (49–47 to Labor in early October). Primary votes were 35% Coalition (up one), 28% Labor (down four), 12% Greens (steady), 7% One Nation (down one), 2% UAP (up one), 9% for all Others (steady) and 6% undecided (up one).

    Anthony Albanese’s net approval improved one point from September to -4, with 48% disapproving and 44% approving. He has improved six points since August. Peter Dutton’s net approval jumped six points to +6, his best in any poll this term.

    King Charles had a 50–26 approval rating. By 45–39, voters supported Australia becoming a republic (42–35 in January). On Australia’s colonial history, 26% thought it something we should be proud of, 12% something we should be ashamed of and 62% said it had both positive and negative elements.

    On the National Anti-Corruption Commission, 46% thought it is largely operating as intended but could be improved, 14% wanted it abolished and 10% said it’s successful.

    Freshwater poll: Coalition holds narrow lead

    A national Freshwater poll for The Financial Review, conducted October 18–20 from a sample of 1,034, gave the Coalition a 51–49 lead, a one-point gain for Labor since the September Freshwater poll. Primary votes were 41% Coalition (down one), 30% Labor (steady), 13% Greens (steady) and 16% for all Others.

    Albanese’s net approval was up one point to -14, with 49% unfavourable and 35% favourable. Dutton’s net approval improved two points to -2. Albanese was just ahead as preferred PM by 44–43 (45–41 in September).

    Asked about Albanese buying a $4.3 million house, 52% said it had no impact on their view of him, 36% said it had worsened their view and 4% improved their view.

    Cost of living remained the top issue with 72% saying it was important. The Coalition retained a 14-point lead over Labor on this issue and a 16-point lead on managing the economy.

    Morgan poll: Labor jumps ahead

    A national Morgan poll, conducted October 14–20 from a sample of 1,687, gave Labor a 52–48 lead, a two-point gain for Labor since the October 7–13 Morgan poll.

    Primary votes were 36.5% Coalition (down one), 32% Labor (up two), 13.5% Greens (down 0.5), 5.5% One Nation (down 0.5), 9% independents (steady) and 3.5% others (steady).

    The headline figure uses respondent preferences. By 2022 election preference flows, Labor led by 53–47, a two-point gain for Labor.

    Adrian Beaumont 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. LNP wins Queensland election, likely with a clear majority – https://theconversation.com/lnp-wins-queensland-election-likely-with-a-clear-majority-241918

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Global: To truly understand the health of a lake, you must look well beyond its shoreline

    Source: The Conversation – Canada – By Beatrix Beisner, Professor, Aquatic ecology, Université du Québec à Montréal (UQAM)

    On the surface, most of Canada’s lakes and rivers look pristine. But below the surface, many are facing essential challenges to their health. Why? To better understand the health of Canadian lakes and rivers, we must look beyond the site itself to the whole watershed.

    Canada’s freshwater streams, rivers and lakes are inherently connected ecosystems. Driven by precipitation and gravity, the flow of water changes across seasons and location. Connected waterflows form watersheds. A watershed is the combined area drained by a body of water, including groundwater aquifers.

    All human activity within a watershed that affects the quality of flowing water — including rain, snow, irrigation or groundwater — will have an impact upon all the water bodies in the system. Because of this, it is essential to monitor and regulate human activities in a lake’s watershed if its health and biodiversity are to be preserved.

    Disturbances can influence aquatic ecosystems even if they occur far away from the water’s edge, especially where large quantities of water flow rapidly. Simply put, what happens upstream, and on land, is as important to what is happening in the lake itself. What’s more, poor freshwater health can affect the health of the land within the watershed as well.


    Our lakes: their secrets and challenges, is a series produced by La Conversation/The Conversation.

    This article is part of our series Our lakes: their secrets and challenges. The Conversation and La Conversation invite you to take a fascinating dip in our lakes. With magnifying glasses, microscopes and diving goggles, our scientists scrutinize the biodiversity of our lakes and the processes that unfold in them, and tell us about the challenges they face. Don’t miss our articles on these incredibly rich bodies of water!


    In my research, I work to better understand lake, stream and river ecosystem functioning, biodiversity and health. This is of increasing importance as aquatic environments are affected by climate change. What is clear, is that to fully understand what is going on in a lake ecosystem, you need to look beyond its shoreline.

    Truly understanding how water flows within a watershed can empower us to act more responsibly and design more just and effective policies.

    Inconsistent boundaries

    Watershed boundaries, which are defined by landscape topography, often do not overlap nicely with political boundaries — with the Nile Basin being perhaps the most obvious example.

    Moreover, humans have long been manipulating water flows through dams and irrigation. Where we place our cities, agriculture, mines and forestry also often overlaps with more than one watershed or can overwhelm another.

    Recent work, as part of the Lake Pulse Network, has sampled over 650 lakes across Canada. This research demonstrated that only a four per cent to 12 per cent urbanization level within a watershed is enough to harm biodiversity and ecosystem functioning.

    Urbanization is one of the most impactful ways in which humans affect watersheds. The reasons for this are likely down to hard infrastructure blocking the flow of water along with forestry and agriculture land conversions changing how water flows.

    The inescapable truth is that the health and function of a specific aquatic ecosystem is shaped by what happens on the land within that watershed as a whole. These system-wide influences are known as as “allochthonous” — as opposed to “autochthonous” (internal) interactions solely within a single waterbody.

    External influences (runoff) from the land can overwhelm a water body’s internal processes and, in some case, can even have negative impacts upon both fish health and the wider local food web.

    Climate change is also playing an increasingly outsized role in the lives of Canadian lakes. The most noticeable impacts of a warming world in Canada are forest fires of increasing severity and duration and ever more intense storms.

    These extreme events will cause more runoff into our lakes, potentially overwhelming them through nutrient overloading, salinization and other chemical shifts in the water quality.




    Read more:
    Sediment runoff from the land is killing NZ’s seas – it’s time to take action


    Managing water flows

    The connectivity between waterbodies within a watershed is also critical to consider in biodiversity conservation.

    First, these aquatic connections serve as migratory corridors for mammals and birds, but also aquatic species of fish and invertebrates like insects and crayfish. With climate change and warming waters across Canada, aquatic organisms will increasingly need such corridors within watersheds to move northwards to cooler waters.

    Just as migratory pathways enable the dispersal of native species, they can also aid the spread of invasive species. Invasive species management must also take a watershed perspective, and not focus on a single invaded lake or river.

    If an exotic species has arrived in your watershed then you are likely to soon see that species in a lake or river near you.

    Contaminants — such as pesticides, other toxins, microplastics and nutrients — also require a watershed-wide approach to effectively manage. Like an invasive species, contaminants can flow downstream across a watershed. Though, the presence of healthy wetlands within a watershed can help filter these out and improve water quality.

    Dams, bridges and culverts provide a clear physical barrier to connectivity within a watershed. Though not without utility, these human constructs greatly affect the watershed ecosystem.

    For example, many fish species will not pass through a culvert or under a low bridge. These human structures can greatly disrupt fish population dynamics, movement pathways and abilities to adapt to changing conditions.

    Unfortunately, the challenges facing fish populations can have significant impacts for biodiversity health, and ecosystem services, across the watershed.

    Endlessly interconnected

    The interconnected nature of watershed ecosystems necessitates collaborative forms of governance.

    Integrated watershed management is an approach to water governance that involves many different agencies, communities and levels of government. Several provinces use this approach, including the most populated provinces of Ontario and Québec. This model must become the norm across Canada.




    Read more:
    How the invasive spiny water flea spread across Canada, and what we can do about it


    More fundamentally, biodiversity protection in a watershed must be handled in an integrated manner. Ideally this would be done using natural watershed boundaries, and not political ones, especially with respect to managing issues related to connectivity. However, this may not always be possible, in which case water governance systems must transcend political boundaries as needed.

    Enabling watershed governance across political boundaries is an area where the new federal Canada Water Agency could play a leading role.

    Regardless of specific arrangement, it is imperative that all who care about the health of Canada’s freshwater consider its lakes and rivers within their larger watersheds. Only by focusing on watershed health can we preserve Canada’s freshwater.

    Beatrix Beisner currently receives research funding from NSERC, FRQNT, Hydro-Québec and the Québec Ministry of Environment (MELCCFP) . She is Co-director of the Interuniversity Research Group in Limnology / Groupe de recherche interuniversitaire en limnologie (GRIL).

    ref. To truly understand the health of a lake, you must look well beyond its shoreline – https://theconversation.com/to-truly-understand-the-health-of-a-lake-you-must-look-well-beyond-its-shoreline-228352

    MIL OSI – Global Reports

  • MIL-Evening Report: Promoted as a win-win, Australia’s Pacific island guest worker scheme is putting those workers at risk

    Source: The Conversation (Au and NZ) – By Matt Withers, Senior Lecturer, School of Sociology, Australian National University

    The Pacific Australia Labour Mobility Scheme (PALM) has been lauded by both sides of politics as a “win win” for the islanders who come here and the Australians who use their services.

    Australia’s Department of Foreign Affairs has even labelled it a “triple win”, for the workers, their hosts and for their home nations who receive remittances.

    But beneath the surface serious questions are being asked about the safety of workers denied the right to leave their employers.

    A report by the NSW Anti-slavery Commissioner entitled Be Our Guests has identified signs of debt bondage, deceptive recruiting, forced labour and, in extreme cases, servitude, sexual servitude and human trafficking.

    The NSW parliament has launched its own inquiry into the risks faced by migrant workers in response and is seeking submissions.

    Employment Minister Murray Watt this month signalled changes, saying there had been “far too many abuses of the PALM scheme”.

    PALM allows rural and regional employers to hire workers from nine Pacific nations and Timor-Leste when there are not enough local workers available.

    Unplanned pregnancies, sleeping rough

    The workers hired do not have the right to change employers while in Australia, even for contracts of up to four years, except via a request from their original employer or a direction from the Department of Employment.

    This means workers who abandon their employers for reasons including underpayment of wages, excessive deductions and overcharging for accommodation become absconders and lose their rights.

    The NSW Modern Slavery Commissioner says there are several thousand absconded PALM workers in Australia, without access to health insurance and formal income. Among them are women with unplanned pregnancies denied antenatal care due to ineligibility for Medicare.

    The Commissioner says crisis accommodation services in the NSW Riverina report having exhausted all available resources, including tents, for PALM workers who have left their employers and are sleeping rough.

    Australia had 30,805 PALM workers at the end of August, one-third of them (11,420) in Queensland. Most work in farming (52%) and 39% in meat processing. The accommodation and care industries between them account for 6%.



    For many of these workers, the income is life-changing. An I-Kiribati worker I interviewed recently told me she makes more money cleaning hotel rooms in Queensland than is paid to the president of her country.

    The Department of Foreign Affairs and Trade says between July 2018 to October 2022 PALM workers sent home a total of A$184 million, but their employers made profits of $289 million and charged them a further $74 million in rent.

    Unable to switch employers, their bargaining power is weak.

    An estimated 45 workers on the PALM scheme died between June 2022 and June 2023. Nineteen deaths remain under investigation.

    After a Fijian abattoir worker died of a brain tumour in June, Fiji raised with Australia claims of racism, bullying, excessive workloads, unfair termination and unsafe working conditions under the program.

    Minimum pay, but no right to move

    Reforms introduced last year guaranteed workers a minimum of 30 hours per week and a minimum weekly take-home pay (after deductions) of $200.

    But until PALM workers are able to move freely between approved employers they will remain at risk of what the president of the Australian Council of Trade Unions Michele O’Neil calls modern-day slavery.

    O’Neil wants the government to blacklist bad employers and identify ethical ones in consultation with unions and civil society organisations. But she says until PALM workers can move, they risk being treated as disposable labour.

    Many employers treat their PALM workers well, but the current design of the scheme leaves that outcome to chance, and leaves badly-treated workers trapped.

    It’s time to give them the same sort of right to move between employers as the rest of us.

    Matt Withers 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. Promoted as a win-win, Australia’s Pacific island guest worker scheme is putting those workers at risk – https://theconversation.com/promoted-as-a-win-win-australias-pacific-island-guest-worker-scheme-is-putting-those-workers-at-risk-240333

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: With AI translation tools so powerful, what is the point of learning a language?

    Source: The Conversation (Au and NZ) – By Elba Ramirez, Senior Lecturer and Programme Leader BA International Studies, Auckland University of Technology

    In the age of artificial intelligence (AI), foreign language learning can seem like it’s becoming obsolete. Why invest the time and effort to learn another language when technology can do it for you?

    There are now translation tools to understand song lyrics, translate websites and to enable automated captions when watching foreign videos and movies. Our phones can instantly translate spoken words.

    At the same time, foreign language programmes are closing at New Zealand and Australian universities.

    But while technology can translate messages, it misses an important component of human communication – the cultural nuances behind the words.

    So, while AI translation might bridge language barriers and promote communication because of its accessibility, it’s important to be clear about the benefits and challenges it presents. Merely relying on technology to translate between languages will ultimately lead to misunderstandings and a less rich human experience.

    The rise of translation technology

    Translation technology has rapidly grown since its emergence between the 1950s and 1960s. This progress was bolstered by the commercialisation of computer-assisted translation systems in the 1980s.

    But recent advances in generative AI have led to significant breakthroughs in translation technologies.

    Google Translate has dramatically changed since its launch in 2006. Initially developed as a limited statistical translation machine, it has evolved into a “portable interpreter”.

    AI translation is useful in some circumstances. For example, helping teachers communicate with parents who speak a different language, or when travelling.

    Translation technology may even play a role in the preservation of Indigenous and minority languages on the verge of disappearing by supporting online collections of literature. Incorporating AI-powered technology in these digital libraries can help users access and understand these texts.

    But the new technology also comes with limitations.

    In 2019, staff at an Immigration and Customs Enforcement detention centre in the United States used AI translation to process an asylum application. The voice-translation tool was unable to understand an applicant’s regional accent or dialect, leading to the asylum seeker spending six months in detention without being able to meaningfully communicate with anyone.

    In 2021, a court in the US determined Google Translate wasn’t reliable enough to ensure someone’s consent. A trooper had used the translation app to ask a Spanish-speaking suspect if he could search her car. Google Translate used the word “registrar” (which translates as “register” but can be used to say “examine”) when, in fact, the word “buscar” (to search) would have been more appropriate.

    Brain health and other benefits

    Learning additional languages also stands out as one of the best ways to improve ourselves, with benefits for brain health, social skills, cultural understanding, empathy and career opportunities.

    An analysis of studies from 2012 to 2019 found speaking more than one language can enhance the brain’s flexibility, delay the onset of dementia, and improve cognitive health later in life. The analysis also recommended starting language learning early.

    In 2022, the Council of Europe emphasised the significance of plurilingual and intercultural education for fostering democratic culture, noting its cognitive, linguistic and social benefits.

    And this year, the council launched the “Language education at the heart of democracy” programme. The goal is to highlight the importance of learning language for a fairer society.

    Lost in translation

    In Aotearoa New Zealand, English is widely used. Te reo Māori and New Zealand Sign Language are also recognised as official languages. Some 29% of citizens are born overseas. There are more than 150 languages spoken, with at least 24 spoken by more than 10,000 people.

    But interest in learning languages has fallen. In 2021, 980 full-time equivalent students studied a language other than Māori or New Zealand Sign Language at one of the country’s eight universities, falling from 1,555 less than a decade earlier.

    As a consequence, a number of universities have closed, or announced plans to close, their language programmes.

    While AI-powered translation technology has its uses, a great deal can be lost if we rely solely on it to communicate. The nuances of languages, and what they say about different cultures, are difficult to communicate via translation tools.

    And the benefits of being bilingual or multilingual – both personally and for the wider community – risk being lost if we don’t support second language learning.

    Elba Ramirez 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. With AI translation tools so powerful, what is the point of learning a language? – https://theconversation.com/with-ai-translation-tools-so-powerful-what-is-the-point-of-learning-a-language-238068

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: From Ancient Rome to Persia, eunuchs often led armies and were powerbrokers of the ancient world

    Source: The Conversation (Au and NZ) – By Michael B. Charles, Associate Professor, Management Discipline, Faculty of Business, Arts and Law, Southern Cross University

    The person to the right of the haloed emperor is thought to be the eunuch Narses, a powerful Byzantine general. Bender235/Wikimedia

    When people think of eunuchs, someone like Lord Varys from Game of Thrones often springs to mind. Chubby, obsequious and a flatterer, he is involved in court intrigues and manipulates people and events behind the scenes.

    These traits oppose military prowess and valour endorsed by traditional models of masculinity across various times and cultures. According to those tropes, a eunuch’s weapon is the whisper, not the sword.

    In reality, not every eunuch in the ancient world was a servile, cloistered being. In fact, eunuchs sometimes led armies on campaign, and were entrusted with high-level administrative tasks.

    What was a eunuch?

    A eunuch was someone whose testicles had been deliberately crushed or excised.

    In Greek myth, Cronus (the father of Zeus) castrated his own father Uranus to overthrow his tyranny and become king of the Titans.

    Greek historians reported castration as war punishment, and persistently linked the castration of young boys to sexual slavery.

    The ancient Greek historian Herodotus stressed the demand for castrated boys at the court of the Persian kings. But the market for eunuchs was evidently larger than just the Persian court.

    The Romans replicated the Greeks’ negative view of eunuchs. They are often portrayed in Roman texts as being in the company of “bad” emperors such as the supposedly cruel and narcissistic Domitian – even though he forbade the practice of making eunuchs.

    The notion of the unmanly eunuch in antiquity was reinforced by Orientalist literature, which imagined ancient eunuchs in charge of something akin to a Turkish sultan’s harem. Unable to procreate, the eunuch is paradoxically surrounded by beautiful women, his in-between-ness granting him access to the psychological makeup of both genders.

    Orientalism drew inspiration from historical accounts written after the Greco-Persian wars, which the Greeks won in 449 BCE. These accounts were written in the shadow of Alexander the Great’s conquest of the Near East (including areas such as modern-day Iraq, Iran and Syria), which was followed by the Roman hegemony.

    Instead of critically evaluating the sources, colonial writers and their readers indulged in a world of fantasy where eunuchs offered a sensualised peek into the “secrets of the harem”.

    In fact, a deeper look at the historical record reveals that eunuchs often occupied positions of great military power and civil authority.

    Eunuchs as bodyguards, enforcers and governors

    Cyrus, the first Persian king (590–529 BCE), praised eunuchs for their reliability. He insisted that gelded men, like gelded horses, are easier to control. He believed they made up for their lack of physical strength with their loyalty.

    Cyrus may have owed his life to eunuchs, who played a role in saving him as a baby from a murderous plot by his grandfather.

    The Greek historian Herodotus also reports that eunuch-bodyguards tried to protect, albeit unsuccessfully, the man on the Persian throne just before Darius the Great took power in 522 BCE (Darius contended that this man was not a real king but an imposter).

    The historical record also mentions a Persian eunuch being in charge of a garrison at Gaza around 332 BCE.

    The Egyptian pharaoh Amasis, who reigned in the sixth century BCE, also relied on eunuchs to recover fugitive slaves.

    Eunuchs appeared in the courts of the Hittites and Assyrians (civilisations in modern-day Turkey and Iraq respectively) from the 13th century BCE.

    Assyrian kings often appointed eunuchs as provincial governors. The Assyrian king Shamshi-Adad V (who ruled Assyria 824–811 BCE) praised his chief eunuch Mutarris-Ashur as “clever and experienced in battle”. Mutarris-Ashur led the Assyrian army on a military campaign to the Nairi lands in the Armenian Highlands.

    King Ashurbanipal, who ruled the Neo-Assyrian Empire from 669 BCE to 631 BCE, sent his chief eunuch on missions against neighbouring Mannea (a kingdom in modern-day Iran) and the rebellious Gambulu tribe in ancient Babylonia.

    This Assyrian relief shows the head of a beardless royal attendant, possibly a eunuch. Eunuchs were key figures in the Assyrian court.
    The Metropolitan Museum of Art

    Bagoas the eunuch

    In the fourth century BCE, there was Bagoas, a Persian court eunuch who is sometimes conflated with a eunuch lover of Alexander the Great who had the same name. Bagoas became the second most important person in the Persian court, after the Persian king.

    Bagoas had served in Persian king Artaxerxes III’s campaign against Egypt, and rose to the rank of Chiliarch (the leader of the royal infantry guard).

    Bagoas developed a reputation as a kingmaker – he was instrumental in replacing Artaxerxes III with his son, Artaxerxes IV. He later poisoned Artaxerxes IV and installed as king Darius III, who was eventually defeated by Alexander the Great.

    Bagoas had plotted to replace Darius too, but Darius outsmarted him; he forced Bagoas to drink the poison the latter had prepared for Darius to drink.

    Eunuchs in Rome

    Despite the bias of the Greco-Roman sources, including their suspicion of eastern cults that involved eunuch priests, eunuchs were important in Roman imperial service.

    The emperor Claudius rewarded his eunuch Posides for his service during Rome’s invasion of Britain in 43 CE.

    In 399 CE, the eunuch Eutropius became a powerful consul in Rome’s eastern empire under the emperor Arcadius. Some Romans, however, attacked the appointment of a semivir (half man) as consul as an abomination.

    In early Christianity, the concept of becoming a eunuch for the kingdom of God acquired currency. According to some interpretations of the Bible, being a eunuch was connected to the virtues of chastity and celibacy.

    By the sixth century CE, Byzantine eunuchs found themselves in charge of large armies. (What we now call the Byzantine Empire, or the Eastern Roman Empire, was known by its people as the Roman Empire until 1453 CE).

    Narses was a eunuch and one of the Byzantine emperor Justinian’s great generals. He managed to recapture Italy, including Rome, from the Goths (a Germanic people who had invaded Italy).

    Narses, possibly an Armenian by birth, was no armchair general. At the battle of Mons Lactarius (552 or 553 CE), Narses fought on foot with his fellow soldiers against the Goths. He encouraged his men to hang on against a brave enemy.

    Despite the stereotypes, eunuchs clearly often played important roles in the ostensibly masculine world of strategic planning and combat.

    This plurality of masculinities in the ancient Mediterranean world remains relevant to modern society as it challenges notions of a simple gender binary.

    Eva Anagnostou-Laoutides receives funding from the Australian Research Council and the Gerda Henkel Foundation.

    Michael B. Charles 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. From Ancient Rome to Persia, eunuchs often led armies and were powerbrokers of the ancient world – https://theconversation.com/from-ancient-rome-to-persia-eunuchs-often-led-armies-and-were-powerbrokers-of-the-ancient-world-235957

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  • MIL-Evening Report: Is it possible to have a fair jury trial anymore?

    Source: The Conversation (Au and NZ) – By Arlie Loughnan, Professor of Criminal Law, University of Sydney

    Shutterstock

    The decades-long mystery about what happened to 19-year-old Amber Haigh made it to court in New South Wales earlier this year. Those accused of murdering Haigh were found not guilty.

    Usually we don’t know precisely why someone was found guilty or not. But in this case, the reasons were given.

    This is because the trial was “judge alone”: a trial without a jury. This means the judge decides on the factual questions as well as the legal ones. And as judges are required to give reasons for their decisions, we learned what was behind the verdict, something usually hidden by the “black box” of the jury room.

    Judge alone trials are increasing in New South Wales. Moves are being made in some other Australian jurisdictions to increase access to judge alone trials.

    While it’s only possible to hold a judge alone trial in certain circumstances, and there are small numbers of such trials relative to other trials, some lawyers and judges think these trials have advantages over those with a jury.

    This is because jury trials face a lot of challenges. Some have pondered whether, in this media-saturated environment, there is such a thing as a fair jury trial. So what are these challenges, and where do they leave the time-honoured process?

    What happens in a jury trial?

    The criminal trial brings together knowledge of the facts that underpin the criminal charge. The task of the jury is to independently assess that knowledge as presented in the trial, and reach a conclusion about guilt to the criminal standard of proof: beyond reasonable doubt.

    Crucially, lay people provide legitimacy to this process, as individuals drawn from all walks of life are engaged in the decision-making around the guilt of the accused.

    The jury is therefore a fundamental part of our democracy.

    The changing trial

    For its legitimacy, the criminal trial traditionally relies on open justice, independent prosecutors and the lay jury (the “black box”), all overseen by the impartial umpire, the judge, and backed up by the appeal system.

    But these aspects of the criminal trial are being challenged by changes occurring inside and outside the courtroom.

    These challenges include high levels of media attention given to criminal justice matters.

    Another is the questioning about the way public prosecutors are using their discretion in bringing charges against individuals. This is happening in NSW, ACT and Victoria.

    There are also concerns about “junk science” being relied on Australian courtrooms. This is where unreliable or inaccurate expert evidence is introduced in trials.

    Some legal bodies are also demanding a post-appeal criminal cases review commission to prevent wrongful convictions.

    Added complexity

    It is not just juries that must come to grips with complex evidence in criminal matters. Judges and lawyers are also required to grasp intricate scientific evidence, understand new areas of expertise, and get across changing practices of validating expert knowledge.

    The difficulty of these tasks for judges and lawyers was on show in the two special inquiries into Kathleen Folbigg’s convictions for the murder of her children, held in 2019 and 2022–23. Rapid developments in genetic science, alongside other developments, came to cast doubt on the accuracy of Folbigg’s convictions. This was just a few years after the first inquiry concluded there was no reasonable doubt about her guilt.

    The challenges facing criminal trials are one dimension of much wider social and political dynamics. News and information is produced and consumed differently now. People have differing degrees of respect for scientific knowledge and expertise. Trust in authority and institutions is low.

    These factors come together in a perfect storm and pose existential questions about what criminal justice should look like now.

    What does the future look like?

    The future of criminal law and its institutions depends on their legitimacy. It’s legitimacy that gives courts the social license and power to proscribe conduct, prosecute crimes and authorise punishment. Juries are a vital piece of this picture.

    Amid the changing environment, there are things we can do to improve jury trials and in turn, safeguard and enhance their legitimacy.

    One is providing extremely careful instructions to juries to make sure jurors understand their tasks, and do not feel frustrated.

    Another is introducing higher and better standards for expert evidence. Experts testifying in court need firm guidance, especially on their use of industry jargon, to decrease chances of wrongful convictions.

    These sorts of changes might be coupled with changes in criminal laws, like enhancing laws of self-defence so they are more accessible to women in domestic violence situations.

    Together, this would help to future-proof criminal law, ready to meet the challenges of coming years and decades that we are yet to detect.

    Arlie Loughnan 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. Is it possible to have a fair jury trial anymore? – https://theconversation.com/is-it-possible-to-have-a-fair-jury-trial-anymore-239401

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  • MIL-Evening Report: What’s at stake in elections in Georgia and Moldova this week: a stark choice between Russia and the West

    Source: The Conversation (Au and NZ) – By Adam Simpson, Senior Lecturer, International Studies, University of South Australia

    Two former Soviet republics have important elections this week that will likely be pivotal in their respective journeys toward tighter integration with the West against the backdrop of rising Russian influence and the Ukraine war.

    What happens in Georgia and Moldova is being closely watched across the European Union and Moscow. Russia has invested heavily in trying to influence the outcomes of both elections. If it succeeds, this will be a cause of significant concern in other ex-Soviet states, as well as the West.

    Moldova takes a tentative step towards the EU

    On Sunday, Moldovans voted in the first round of their presidential election. A referendum was also on the ballot to amend the country’s Constitution to include an aspiration to join the EU.

    Pre-election polls had suggested the referendum would easily pass and the popular pro-EU president, Maia Sandu, would be re-elected.

    However, Russia launched a significant “propaganda blitz” ahead of the vote, including credible allegations of widespread vote buying, to undermine the electoral process.

    Sandu won the first round comfortably, with over 42% of the vote, though not by enough to avoid a run-off on November 3. The country’s pro-Russia parties are now likely to coalesce behind the second-place candidate in an attempt to oust her.

    The referendum, however, teetered on the edge of failure before narrowly passing by the tightest of margins.

    Though Moldova’s negotiations with the EU were certain to continue under Sandu regardless of the outcome, the result was nonetheless concerning. It demonstrates the strength of Russia’s influence operations to destabilise a nation seen as key to security on the eastern boundaries of the EU and NATO.

    Moldova has a 1,200-kilometre border with Ukraine in the east and borders Romania, an EU and NATO member, in the west.

    Polling suggests a majority of Moldovans condemned Russia’s invasion of Ukraine, but a significant minority retain pro-Russian views.

    Russia also has a history of interference in Moldova’s sovereignty.

    Moldova declared independence in 1991 during the dissolution of the Soviet Union but Transnistria, a small part of the country along the border with Ukraine, was taken over by separatists in a military operation backed by Russian troops.

    Following Russia’s full-scale invasion of Ukraine in 2022, the Parliamentary Assembly of the Council of Europe formally recognised Transnistria as Moldovan territory still occupied by Russia.

    What’s at stake in Georgia?

    On the day of Moldova’s vote, tens of thousands of pro-EU supporters staged a demonstration in Tblisi, Georgia’s capital, calling for their country to choose a pro-EU path in their own election

    The Georgian Dream party has been in power since 2012 and while it remains nominally pro-EU, it has gradually shifted towards a more pro-Russia stance.

    The Georgian Dream-dominated legislature recently passed an antidemocratic, Putinesque law that requires groups receiving at least 20% of their funding from overseas to register as “agents of foreign influence”. And earlier this month, it passed a sweeping anti-LGBTQ+ bill that bans same-sex marriages, adoption by same-sex couples and changing one’s gender on identity documents.

    The EU suspended Georgia’s accession process after the foreign agents law was passed and has recently cancelled €121 million (A$196 million) in funding due to “democratic backsliding”. This month, the European Parliament also overwhelmingly adopted a resolution calling for a freeze on EU funding to Georgia until its undemocratic laws are repealed.

    The opposition parties are now working together to try to remove Georgian Dream from power, support the re-election of the current pro-EU president and return the country to the road of rapid integration with the EU.

    Polls show support for joining the EU remains very high at nearly 80%. However, as the Moldovan election demonstrates, this may not necessarily be reflected in the vote on election day.




    Read more:
    ‘We do not want to be like Russia’: a first-hand account of Georgia’s fight for democracy


    Russian interference

    Russia has long meddled in its southern neighbour. After an invasion of Georgia in 2008, Russian troops supported two pro-Russian breakaway republics, South Ossetia and Abkhazia, as they had done in Transnistria.

    Russia has now established military bases in both regions, as well as a new naval base in Abkhazia to serve as a permanent base for parts of Russia’s Black Sea fleet.

    These incursions set the stage for Russia’s invasion of Crimea and eastern Ukraine in 2014. As the post-Soviet Baltic states have argued, the lack of an adequate response from the West to these invasions set the stage for Russia’s full-scale invasion of Ukraine.

    Georgians are understandably concerned that Russia may invade their country again. Polls suggest two-thirds of people support joining NATO.

    There are concerns that Saturday’s election could also be tainted. The Parliamentary Assembly of the Council of Europe issued a declaration earlier this month, saying there are “alarming reports” indicating the Russian-backed Georgian Dream party might be “preparing to steal” the election.

    The report accused the ruling party of a “massive intimidation campaign” against opposition candidates and their supporters, including physical attacks. It also said the Central Election Commission has apparently been brought under the control of Georgian Dream.

    The opposition and civil society groups claimed electoral fraud after the 2020 elections, which resulted in mass protests and a political crisis when the opposition boycotted parliament.

    Why these elections matter

    These elections in Georgia and Moldova are crucial for reinforcing democratic rights in vulnerable former Soviet states. Any outcome that shifts their trajectory towards Russia will likely result in increased repression of both minorities, including the LGTBQ+ community, and the political opposition.

    Wins by pro-Russian candidates and parties – legitimate or otherwise – will also drive greater military and economic integration with Russia. Despite popular support in both countries for joining NATO, wins by Russian-backed candidates will likewise undermine support for Ukraine in its war with Russia.

    While it looks like pro-EU results might have squeaked through in Moldova, the elections in Georgia are potentially more hazardous for European relations.

    The stakes in both elections could not be higher.

    Adam Simpson 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. What’s at stake in elections in Georgia and Moldova this week: a stark choice between Russia and the West – https://theconversation.com/whats-at-stake-in-elections-in-georgia-and-moldova-this-week-a-stark-choice-between-russia-and-the-west-240675

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: I have hay fever. How can I tell what I’m allergic to?

    Source: The Conversation (Au and NZ) – By Ryan Mead-Hunter, Senior lecturer, School of Population Health, Curtin University

    Kaboompics.com/Pexels

    When we think of spring we think of warming weather, birdsong and flowers. But for many people, this also means the return of their seasonal hay fever symptoms.

    Around 24% of Australians get hay fever, with sneezing, a runny or blocked nose, and itchy or watery eyes the most common symptoms. In severe cases, this may impact sleep and concentration, or be linked to increased frequency of sinus infections.

    The exact timing of the symptoms depends on your exposure to an allergen – the thing you’re allergic to. Those impacted by tree pollen (from plane trees or cypress pine, for example) may experience symptoms at different times of the year than those impacted by grass pollen (such as rye grass). This will also vary around the country.

    In Perth, for example, tree pollen (cypress pine) is generally present in August to October, while grass pollen counts tend to be highest in October to November. Other cities and regions may have longer pollen seasons, which may extend further into summer.

    Remind me, how does hay fever impact the body?

    What we know colloquially as hay fever is called allergic rhinitis. Exposure to a specific allergen (or allergens) triggers an immune response in the body. This leads to inflammation and swelling of the tissue lining the nasal passages in the nose.

    A range of allergens may trigger such a response: pollen (from trees, grass or weeds), dust mites, pet fur, dander, mould and some air pollutants.

    Those with allergies that are only present for part of the year, such as pollen, experience what we call seasonal hay fever, while those with allergies that may be present at any time, such as dust mites and pet dander, experience perennial hay fever.

    Getting a diagnosis

    Many people with hay fever self-manage their symptoms by limiting exposure to allergens and using over-the-counter antihistamines and steroid nasal sprays.

    But this may require assistance from your GP and confirmation that what you’re experiencing is hay fever. Your GP can assess your symptoms and medical history, provide a diagnosis, and help with treating and managing your symptoms.

    Your GP may also be able help you identify potential allergens, based on when you experience symptoms and the environments to which you’re exposed.

    If symptoms persist, your GP may suggest allergy testing. They may refer you to a specialist called an immunologist, to determine what particular allergen is causing your symptoms, using skin prick tests or blood tests. Tests typically involve controlled exposure to small quantities of suspected allergens.

    But note, there are a number of tests marketed online that are unproven and not recommended by reputable bodies.

    How else can I work out what I’m allergic to?

    For those with seasonal hay fever, resources are available to help manage exposures, based on the flowering seasons for common allergy-related species or through pollen forecasting services.

    The Australian Society of Clinical Immunology and Allergy provides a useful pollen guide for each species and when they’re most likely to cause symptoms, broken down for each state and territory.

    Pollen monitoring and forecasting services – such as Perth Pollen, Melbourne Pollen and Sydney Pollen, as well as for other cities – can help you plan outdoor activities.

    There are also associated phone apps for these services, which can give notifications when the pollen count is high. You can down load these apps (such as AirRater, Perth Pollen, Melbourne Pollen and Sydney Pollen) from your preferred app store.

    Apps such as AirRater also allow you to enter information about your symptoms, which can then be matched to the environmental conditions at the time (pollen count, temperature, smoke, and so on).

    Using statistical modelling, the app may be able to establish a link between symptoms and exposure. If a sufficiently high correlation is established, the app can send you notifications when the exposure risk is high. This may prompt you to limit outdoor activities and have any medication readily available.


    Further information about managing allergic rhinitis is available from healthdirect and Allergy and Anaphylaxis Australia

    Ryan Mead-Hunter receives funding from the Department of Water and Environmental Regulation (WA) and the NHMRC. He is part of the Perth Pollen team.

    ref. I have hay fever. How can I tell what I’m allergic to? – https://theconversation.com/i-have-hay-fever-how-can-i-tell-what-im-allergic-to-240450

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  • MIL-Evening Report: From Camilla to the ‘ugly’ Elizabeth of Austria: a problematic history of obsessing over royal women’s looks

    Source: The Conversation (Au and NZ) – By Darius von Guttner Sporzynski, Historian, Australian Catholic University

    Elizabeth of Austria and Casimir IV of Poland in the woodcut from the Łaski Statute. Archiwum Główne Akt Dawnych

    Throughout history, queens have often been judged on their looks. Beauty standards shaped early-modern queenship. Even today, royal women such as the UK royal family’s Camilla, Catherine and Meghan are scrutinised for their looks, while their male counterparts aren’t held to the same standard.

    One woman who faced particular scrutiny for her looks was Elizabeth of Austria (1436/37–1505). Known as the “mother of kings”, Elizabeth married Casimir IV of Poland and had 13 children, securing the Jagiellon dynasty’s future. Yet she is still remembered for her supposed lack of beauty.

    This obsession with her appearance overlooks what really mattered for queens in her time: fertility, motherhood, political alliances and dynastic stability.

    Beauty versus duty

    Elizabeth was a powerful queen consort of Poland who played a significant role in European politics. Yet for centuries, she has been chiefly labelled as unattractive. This narrative likely began as early as 50 years after her death, with commentators focusing on her supposed ugliness.

    But the foundation for these claims is shaky, at best. Medieval chroniclers, such as Jan Długosz, who documented the lives of Polish rulers and their families, made no mention of Elizabeth’s appearance.

    This omission is significant as Długosz often commented on the beauty, or lack thereof, of other royal women. The absence of such remarks in Elizabeth’s case suggests her physical appearance was not a matter of public concern during her lifetime.

    Later chroniclers such as Maciej of Miechów (1457–1523) and Marcin Bielski (1495–1575), who drew heavily from Długosz, also failed to comment on Elizabeth’s looks, further underscoring the lack of focus on her beauty.

    In 1548, Polish nobleman Andrzej Górka alleged in a rhetorical speech that King Casimir IV was disappointed by Elizabeth’s appearance and considered breaking off their engagement. Górka claimed the king expressed doubts about the impending marriage because of Elizabeth’s lack of beauty – and the only thing that persuaded him to wed was a sense of duty.

    However, Górka’s speech took place almost a century after the actual events. It was delivered in a political context where the goal was to influence Casimir’s grandson not to marry for love.

    This saga mirrors a well-known English story involving Henry VIII and Anne of Cleves. In 1540, Henry, eager to meet his new bride, rode in disguise to surprise her. The meeting didn’t go as planned. Henry’s disappointment in Anne’s appearance became notorious and the marriage was speedily annulled.

    Both of these stories reflect the pressure queens faced to meet idealistic beauty standards, often with serious consequences. Henry’s judgement of Anne based on her looks altered the course of their marriage and, by extension, future political alliances. His behaviour reinforced the idea that a queen’s worth was tied to her physical appearance, overshadowing her political or dynastic significance.

    Elizabeth as the ‘ugly queen’

    The primary role of a queen in early-modern Europe was to provide heirs and secure political alliances through marriage. Beauty was arguably not the most important factor.

    This 1454 painting depicts the marriage of Elizabeth of Austria to Casimir IV of Poland.
    Wikimedia

    Elizabeth of Austria’s marriage to Casimir IV of Poland was about strengthening ties between the Habsburg and Jagiellon dynasties, not about physical attraction. Of Elizabeth’s 13 children, several went on to become kings and queens across Europe. Her ancestry and status as a mother were the basis of her political influence – far more valuable than her looks.

    Around 1502, in anticipation of the birth of her grandchild, Elizabeth commissioned a treatise to provide practical advice on raising a future ruler. She believed a royal child should embody values, attitudes and behaviours befitting a future monarch.

    However, as history shows, the perception of a queen’s beauty could still end up influencing her legacy. While Elizabeth’s contemporaries didn’t seem to care about her appearance, later generations did.

    The myth of Elizabeth’s unattractiveness gained traction primarily after a 1973 investigation into the royal tombs at the Wawel Cathedral in Kraków. Skeletal remains identified as belonging to Elizabeth showed facial deformities, reinforcing the myth. However, there’s no solid proof these bones were even hers, and the findings have since been questioned.

    Nonetheless, the idea that a queen had to be beautiful to be politically capable took hold over time. Even though Elizabeth helped secure the future of one of Europe’s most powerful dynasties, her legacy is clouded by a narrative focused on her appearance.

    Royal beauty standards today

    Royal women in the 21st century continue to be haunted by the same narratives that plagued Anne of Cleves and Elizabeth of Austria. Queen Camilla, for instance, has been criticised for her looks throughout her public life, especially in comparison to the late Princess Diana.

    Kate Middleton and Meghan Markle also face intense media scrutiny over their appearance, with headlines dissecting everything from their fashion choices to their weight. Queen Mary of Denmark, Princess Charlene of Monaco and Queen Letizia of Spain face similar scrutiny.

    Sure, queens were and are aware of this. Many even weaponised beauty, ritual and fashion for their own gain. Cleopatra did this to hold onto power in ancient Egypt, and Marie Antoinette to protect herself from the hostile French court.

    A circa 1774 portrait of Marie Antoinette.
    Marie Antoinette, with her extravagant dresses, became as renowned for her fashion as her scandalous behaviour.
    British Museum, CC BY-NC-SA

    Elizabeth I’s reign in England gave rise to a concept of “Elizabethan beauty”, characterised by pale skin and rosy lips and cheeks. And the late Elizabeth II understood the need to dress the part.

    By reducing royal women to their looks – or framing them as fashion icons – we fail to reckon with their individual characters and influence in the world. Meanwhile, men such as King Charles, King Frederick of Denmark and King Felipe of Spain are more likely to be judged by their virility, actions and policies.

    Should beauty really matter when it comes to royal women? Shouldn’t we be more interested in their contributions to history, politics and society?

    It’s time to shift the conversation away from appearance and focus on what matters: the impact these women have on the world. Like their male counterparts, they are crucial figures in shaping history and politics, so we ought to think carefully about how we judge them.

    The Conversation

    Darius von Guttner Sporzynski receives funding from the National Science Centre, Poland as a partner investigator in the grant “Polish queen consorts in the 15th and 16th centuries as wives and mothers” (2021/43/B/HS3/01490).

    Magdalena Biniaś-Szkopek receives funding from the National Science Centre, Poland, as the principal investigator in the grant “Polish queen consorts in the 15th and 16th centuries as wives and mothers” (2021/43/B/HS3/01490).

    Robert Tomczak receives funding from the National Science Centre, Poland, as a post-doctoral fellow in the grant “Polish queen consorts in the 15th and 16th centuries as wives and mothers” (2021/43/B/HS3/01490).

    ref. From Camilla to the ‘ugly’ Elizabeth of Austria: a problematic history of obsessing over royal women’s looks – https://theconversation.com/from-camilla-to-the-ugly-elizabeth-of-austria-a-problematic-history-of-obsessing-over-royal-womens-looks-241674

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  • MIL-OSI Global: ‘Childless cat ladies’ have long contributed to the welfare of American children − and the nation

    Source: The Conversation – USA – By Anya Jabour, Regents Professor of History, University of Montana

    Nobel Peace Prize winner Jane Addams, who never had children of her own, concentrated much of her activism on enriching the lives of American youth. Chicago History Museum/Getty Images

    Parenting, single people and the U.S. birth rate have assumed a greater place in the 2024 presidential campaign than any race in recent memory.

    Republican vice presidential candidate JD Vance was widely rebuked for criticisms he lodged in 2021 against “childless cat ladies,” saying they have no “physical commitment” to the country’s future.

    In August 2024, Arkansas Gov. Sarah Huckabee Sanders, also a Republican, piled on, saying Democratic presidential candidate Kamala Harris has no children to “keep her humble,” even though she’s stepmother to two children who call her “Mamala.”

    As a historian of women, families and children in the U.S., I see these biological definitions of motherhood as too narrowly conceived. The past can serve as a reminder that other forms of mothering are important, too.

    My research offers a broader perspective on women’s experiences of mothering and a deeper understanding of how women without biological children contribute to the nation and its future.

    ‘Mothers of all children’

    One such woman was Katharine Bement Davis, the subject of my current research.

    Born in Buffalo, New York, in 1860, Davis was a member of a generation of “new women” who pursued higher education, built professional careers and fought for political rights.

    Other women of this generation included Nobel Peace Prize winner Jane Addams, public health nurse Lillian Wald, prison reformer Miriam Van Waters, child welfare advocate Julia Lathrop, social work pioneer Sophonisba Breckinridge and first lady Eleanor Roosevelt – to name just a few.

    Of this group, only Roosevelt had children of her own. But all of them saw themselves as “mothers of all children,” as one historian has described juvenile justice advocates. Accepting responsibility for the nation’s welfare, they used their identity as public mothers to shape American politics.

    In a 1927 letter to her college classmates, Davis whimsically reflected on her life choices:

    “First, I am still an old maid; therefore, I cannot write interesting things about my husband and children, (and) how I have treated him and how I have raised them. First and last, however, I have had a good deal to do in the way of looking after other people’s husbands and children.”

    Indeed, Davis’ life illustrated the many meanings of motherhood.

    Like many ostensibly childless women, Davis was a doting aunt. With her unmarried sisters, Helen and Charlotte, she helped care for her only niece, Frances, whose mother died when she was just a toddler. In the mid-1920s, Frances lived with all three aunts while attending school in New York City.

    Black feminist scholars call this sort of arrangement, long practiced in African American communities, “othermothering.”

    Davis and other white women of her generation also engaged in the practice of caring for children, whether through formal adoption or informal caregiving. For instance, Breckinridge helped raise her nieces and nephews, while Van Waters legally adopted a daughter.

    ‘Maternalism the coming great force in government’

    Throughout her life, Davis used what she called “the methods of motherhood” to promote public welfare.

    After teaching school in western New York , establishing a playground in a working-class neighborhood in Philadelphia and supervising young offenders in upstate New York, Davis became New York City’s first female commissioner of correction in 1914.

    Only months into her term, male inmates at Blackwell’s Island Penitentiary staged a major riot. Davis quelled the rebellion and established her own authority by addressing the refractory prisoners like wayward children. “You fellows must behave,” she pronounced. “I’ll have it no other way.”

    Social reformer Katharine Bement Davis, right, wrote that she ‘had a good deal to do in the way of looking after other people’s husbands and children.’
    Heritage Art/Heritage Images via Getty Images

    After successfully using “motherly methods” to regain control of “the bad boys of Blackwell’s Island,” Davis proclaimed that “maternalism” was “the coming great force in government.”

    Echoing her colleagues in the suffrage movement, Davis used the language of maternalism to promote women’s voting rights. Like other feminist pacifists, she believed that women were “the mother half of humanity.” Finally, like many women activists in the U.S. and Europe, she believed that all women – whether they had children of their own or not – were responsible for all children’s welfare.

    Insisting that “wise motherhood” was essential to better government, Davis argued that women needed the vote – and that the nation needed women voters. Maternalist activists also promoted juvenile justice, parks and playgrounds, health care programs and financial assistance for needy families and children, laying the groundwork for the modern welfare state.

    Giving women the right to choose

    While she promoted public welfare and demanded political rights, Davis also advocated for what she and her contemporaries called “voluntary motherhood” – the idea that women should be able to control their reproductive lives.

    Davis supported efforts to overturn the Comstock Act of 1873, which defined contraception and abortion as obscene and made distributing birth control information or devices through the U.S. postal service a federal crime.

    States followed federal precedent by adopting “mini-Comstock Laws” criminalizing birth control. By the 1920s, however, some states permitted physicians to prescribe contraceptives – such as diaphragms and spermicides – to protect the health of their female patients.

    When she surveyed 1,000 married women for a study of female sexuality in the 1920s, Davis found that most of her study subjects used contraceptives. In addition, nearly 1 in 10 reported having had at least one abortion, even though the procedure was illegal in every state.

    And when Davis asked the women about their views on contraception – or as the survey put it, “the use of means to render parenthood voluntary instead of accidental” – she found that about three-quarters of them approved of it.

    When the childless take charge

    So-called childless women like Davis have shown that they have a stake in children’s welfare, women’s welfare and the nation’s welfare.

    Over the past century, maternalists and feminists often have worked together to achieve their aims. Indeed, sometimes they were the same people.

    Davis cuddles a kitten in a photograph taken while she was a college student.
    Life and Labor, Volume 4

    But today, it seems that Republican politicians are attempting to drive a wedge between mothers and others. As a recent New York Times article put it, “the politics of motherhood” have become a “campaign-trail cudgel.”

    However, as Davis understood, many issues that affect mothers are important to all women. Moreover, Davis believed that everyone – not just biological mothers – shares the responsibility for the health and welfare of future generations. Finally, she insisted that women should control their own destinies.

    So, was Davis a childless cat lady?

    Well, a grainy photo of her cuddling a kitten suggests that she did love cats.

    As for her childless status, when you consider the full range of her work on behalf of the nation’s children, the answer becomes a bit more complicated.

    Anya Jabour 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. ‘Childless cat ladies’ have long contributed to the welfare of American children − and the nation – https://theconversation.com/childless-cat-ladies-have-long-contributed-to-the-welfare-of-american-children-and-the-nation-240199

    MIL OSI – Global Reports

  • MIL-OSI Global: Tim Walz’s candidacy for vice president underscores the political power of teachers

    Source: The Conversation – USA – By Christopher Chambers-Ju, Assistant Professor of Political Science, University of Texas at Arlington

    As a former high school teacher, Tim Walz represents a rarity among politicos. PeopleImages/E+ via Getty Images

    On July 25, 2024, Vice President Kamala Harris spoke to the American Federation of Teachers – the first labor union she addressed after announcing her candidacy for president.

    Even though she was speaking to a roomful of teachers, Harris didn’t focus on teacher-specific issues. Rather, she spoke about general policies that working people want, such as sick leave and paid family leave. She also spoke about the labor movement more broadly. “When unions are strong, America is strong,” she said.

    At the Democratic National Convention in August, Harris’ running mate Tim Walz proudly claimed his identity as a teacher. On Instagram, he described himself as being a “dues-paying, card-carrying member of my teachers union for years.”

    Public school teachers are not often talked about as a major force in national politics. They are not wealthy donors. They rarely hold public office. Many congresspeople claim to have been “educators,” but that includes law school professors, school fundraisers and school district superintendents.

    Teachers and their unions, however, can be influential in politics – in the U.S. and globally. Walz’s candidacy prompts a reexamining of their role. Whose interests do they represent? Can teachers really speak on behalf of broader communities?

    Our view, based on political science research we and others have carried out, is that teachers are one of the most – if not the most – well-organized groups advocating in favor of the economic interests of working people in politics today.

    The rise of teachers as political candidates around the world

    Tim Walz taught social studies for 20 years at Mankato West High School in Minnesota. When he served in Congress, he was one of only a handful of teachers from public K-12 schools. The overwhelming majority of congresspeople are lawyers and business professionals who are mostly from higher-income backgrounds, and a disproportionate number studied at elite institutions.

    Walz’s candidacy as a high school teacher turned high-profile politician has few obvious precedents in the United States. But Walz is far from unique globally.

    In many developing democracies, from Colombia to Indonesia and India, teachers are a large group of public sector workers who are organized through powerful labor unions. Around the world, teacher candidates have risen through the ranks politically. In Colombia, for example, the teachers union has 270,000 members, making it the largest union in that country. A number of leaders from that union have moved from the union presidency to the Senate of the republic.

    The 2024 book “Mobilizing Teachers” documents the emergence of teachers as a political force in Latin America beginning three decades ago.

    Former president of Peru Pedro Castillo may be best remembered for being ousted from office in 2022 after attempting to dissolve Congress. But his origins are notable. He was a humble elementary school teacher and union leader who improbably rose to the presidency in 2021. Similarly in Mexico, national teachers union leader Alfonso Cepeda Salas became a senator for the ruling party in 2024.

    Teachers unions aren’t always a force for good governance. In Mexico, they are widely criticized for using corrupt practices to influence politics, such as showing favoritism in promoting teachers aligned with certain parties. In the 1980s, however, teachers mobilized in the streets of Brazil, Chile and Mexico against military dictatorships and authoritarian rule, and Brazilian teachers unions advocated for broader causes such as the right to education and increased spending on public schools.

    In the U.S., public K-12 teachers do not usually become high-profile political candidates. However, they emerged as major political actors in other ways in the late 20th century. This was spurred by economic changes such as automation and globalization, which disrupted the work of many unions – such as manufacturing unions – but not teachers. Today, 1 in 5 union members are teachers. And teachers as a whole make up 8% of the college-educated workforce in the United States.

    Through their labor unions, teachers in the U.S. are sometimes recruited as political candidates, especially in state and local elections. However, their numbers are few. In 2018, for example, teachers were on the ballot in record numbers but still represented just 3% of candidates.

    Teachers and the public interest

    Teachers in the U.S. have faced criticism for opposing reforms such as school choice and connecting teacher evaluations to student test scores. Some scholars believe these reforms could improve education quality.

    In the U.S., there’s also concern about teachers’ strong influence on school board elections and Democratic Party primaries. Some researchers argue that teachers unions have disproportionate power because “they are actively and purposely engaged in an electoral effort to control their own superiors” – school board members. In other words, unlike private sector workers, teachers unions use their political clout to select their own bosses.

    Yet, other scholars have shown that the policies teachers pursue often align with the interests of students. Teachers unions have long argued that better teacher working conditions mean better learning conditions for students, and that’s what they often advocate for.

    In some states and cities, there are severe teacher shortages, which some analysts cite to argue that low pay for teachers has made it an unattractive career. These shortages not only affect the quality of education but also reflect the economic concerns of middle-class Americans. Teacher salaries have stagnated, even though a large body of economics research has shown a cause-and-effect relationship between increasing educational spending and better student achievement, especially when funding increases go to teacher salaries.

    Over the past 16 years in the U.S., teacher strikes have raised teacher salaries and the salaries of other education workers, such as janitors, bus drivers and administrative staff. Teachers have also highlighted the kinds of school-quality concerns that many parents care about, such as free school meals and hiring more counselors, nurses and psychologists at schools.

    The role of teachers in preserving democracy

    Public school teachers are uniquely positioned to uphold democratic institutions – a primary concern for many scholars heading into this election. Teachers are deeply embedded in local communities and habitually organize to coordinate political efforts with other local nonprofits and grassroots groups. We believe they’re one of the few middle-class groups still able to push back against the growing power of large corporations, megadonors and media conglomerates.

    Melissa Arnold Lyon receives funding from a postdoctoral fellowship with the National Academy of Education (NAEd) and the Spencer Foundation.

    Christopher Chambers-Ju 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. Tim Walz’s candidacy for vice president underscores the political power of teachers – https://theconversation.com/tim-walzs-candidacy-for-vice-president-underscores-the-political-power-of-teachers-239812

    MIL OSI – Global Reports

  • MIL-OSI Global: Could fungi actually cause a zombie apocalypse?

    Source: The Conversation – USA – By Matt Kasson, Associate Professor of Mycology and Plant Pathology, West Virginia University

    A zombie cicada fungus, _Massospora cicadina_, has consumed the rear end of this periodical cicada, replacing it with a ‘plug’ of chalky spores. Matt Kasson, CC BY-ND

    Curious Kids is a series for children of all ages. If you have a question you’d like an expert to answer, send it to curiouskidsus@theconversation.com.


    Is a zombie apocalypse caused by fungi, like the Cordyceps from “The Last of Us,” something that could realistically happen? – Jupiter, age 15, Ithaca, New York


    Zombies strike fear into our hearts – and if they’re persistent, eventually they get inside our heads. Animals taken over by zombies no longer control their own bodies or behaviors. Instead, they serve the interests of a master, whether it’s a virus, fungus or some other harmful agent.

    The term “zombi” comes from Vodou, a religion that evolved in the Caribbean nation of Haiti. But the idea of armies of undead, brain-eating human zombies comes from movies, such as “Night of the Living Dead,” television shows like “The Walking Dead” and video games like Resident Evil.

    Those all are fictional. Nature is where we can find real examples of zombification – one organism controlling another organism’s behavior.

    I study fungi, a huge biological kingdom that includes molds, mildews, yeasts, mushrooms and zombifying fungi. Don’t worry – these “brain-eating organisms” tend to target insects.

    The fungus Ophiocordyceps unilateralis infects and kills ants. Over time, they can diminish the local ant population.

    Insect body snatchers

    One of the most famous examples is the zombie ant fungus, Ophiocordyceps unilateralis, which is part of a larger group known as Cordyceps fungi. This fungus inspired the video game and HBO series “The Last of Us,” in which a widespread fungal infection turns people into zombie-like creatures and causes society to collapse.

    In the real world, ants usually comes into contact with this fungus when spores – pollen-size reproductive particles that the fungus makes – fall onto the ant from a tree or plant overhead. The spores penetrate the ant’s body without killing it.

    Once inside, the fungus spreads in the form of a yeast. The ant stops communicating with nestmates and staggers around aimlessly. Eventually it becomes hyperactive.

    Finally, the fungus causes the ant to climb up a plant and lock onto a leaf or a stem with its jaws – a behavior called summiting. The fungus changes into a new phase and consumes the ant’s organs, including its brain. A stalk erupts from the dead insect’s head and produces spores, which fall onto healthy ants below, starting the cycle again.

    A citrus cicada nymph infected with Ophiocordyceps sobolifera. The nymph lives underground, but the fungus ensures that it ‘summits’ to just below the soil line, so that its stalks (pink) and spores find their way above ground.
    Matt Kasson, CC BY-ND

    Scientists have described countless species of Ophiocordyceps. Each one is tiny, with a very specialized lifestyle. Some live only in specific areas: for example, Ophiocordyceps salganeicola, a parasite of social cockroaches, is found only in Japan’s Ryukyu Islands. I expect that there are many more species around the world awaiting discovery.

    The zombie cicada fungus, Massospora cicadina, has also received a lot of attention in recent years. It infects and controls periodical cicadas, which are cicadas that live underground and emerge briefly to mate on 13- or 17-year cycles.

    The fungus keeps the cicadas energized and flying around, even as it consumes and replaces their rear ends and abdomens. This prolonged “active host” behavior is rare in fungi that invade insects. Massospora has family members that target flies, moths, millipedes and soldier beetles, but they cause their hosts to summit and die, like ants affected by Ophiocordyceps.

    The real fungal threats

    These diverse morbid partnerships – relationships that lead to death – were formed and refined over millions of years of evolutionary time. A fungus that specializes in infecting and controlling ants or cicadas would have to evolve vastly new tools over millions more years to be able to infect even another insect, even one that’s closely related, let alone a human.

    In my research, I’ve collected and handled hundreds of living and dead zombie cicadas, as well as countless fungus-infected insects, spiders and millipedes. I’ve dissected hundreds of specimens and uncovered fascinating aspects of their biology. Despite this prolonged exposure, I still control my own behavior.

    Dozens of Massospora cicadina-infected 13-year cicadas being prepared for drying and analyzing in Matt Kasson’s mycology lab at West Virginia University.
    Matt Kasson, CC BY-ND

    Some fungi do threaten human health. Examples include Aspergillus fumigatus and Cryptococcus neoformans, both of which can invade people’s lungs and cause serious pneumonia-like symptoms. Cryptococcus neoformans can spread outside the lungs into the central nervous system and cause symptoms such as neck stiffness, vomiting and sensitivity to light.

    Invasive fungal diseases are on the rise worldwide. So are common fungal infections, such as athlete’s foot – a rash between your toes – and ringworm, a rash that despite its name is caused by a fungus.

    Fungi thrive in perpetually warm and wet environments. You can protect yourself against many of them by showering after you get sweaty or dirty and not sharing sports gear or towels with other people.

    Not all fungi are scary, and even the alarming ones won’t turn you into the walking dead. The closest you’re likely to come to a zombifying fungus is through watching scary movies or playing video games.

    If you’re lucky, you might find a zombie ant or fly in your own neighborhood. And if you think they’re cool, you could become a scientist like me and spend your life seeking them out.


    Hello, curious kids! Do you have a question you’d like an expert to answer? Ask an adult to send your question to CuriousKidsUS@theconversation.com. Please tell us your name, age and the city where you live.

    And since curiosity has no age limit – adults, let us know what you’re wondering, too. We won’t be able to answer every question, but we will do our best.

    Matt Kasson has received funding from the National Science Foundation, the National Geographic Society, USDA ARS and USDA APHIS.

    ref. Could fungi actually cause a zombie apocalypse? – https://theconversation.com/could-fungi-actually-cause-a-zombie-apocalypse-230761

    MIL OSI – Global Reports

  • MIL-OSI Global: Wild animals can experience trauma and adversity too − as ecologists, we came up with an index to track how it affects them

    Source: The Conversation – USA – By Xochitl Ortiz Ross, Ph.D. Candidate in Ecology & Evolutionary Biology, University of California, Los Angeles

    Marmots were the perfect test species for a wildlife adversity index. Xochitl Ortiz Ross

    Psychologists know that childhood trauma, or the experience of harmful or adverse events, can have lasting repercussions on the health and well-being of people well into adulthood. But while the consequences of early adversity have been well researched in humans, people aren’t the only ones who can experience adversity.

    If you have a rescue dog, you probably have witnessed how the abuse or neglect it may have experienced earlier in life now influence its behavior – these pets tend to be more skittish or reactive. Wild animals also experience adversity. Although their negative experiences are easy to dismiss as part of life in the wild, they still have lifelong repercussions – just like traumatic events in people and pets.

    As behavioral ecologists, we are interested in how adverse experiences early in life can affect animals’ behavior, including the kinds of decisions they make and the way they interact with the world around them. In other words, we want to see how these experience affect the way they behave and survive in the wild.

    Many studies in humans and other animals have shown the importance of early life experiences in shaping how individuals develop. But researchers know less about how multiple, different instances of adversity or stressors can accumulate within the body and what their overall impact is on an animal’s well-being.

    Wild populations face many kinds of stressors. They compete for food, risk getting eaten by a predator, suffer illness and must contend with extreme weather conditions. And as if life in the wild wasn’t hard enough, humans are now adding additional stressors such as chemical, light and sound pollution, as well as habitat destruction.

    Given the widespread loss of biodiversity, understanding how animals react to and are harmed by these stressors can help conservation groups better protect them. But accounting for such a diversity of stressors is no easy feat. To address this need and demonstrate the cumulative impact of multiple stressors, our research team decided to develop an index for wild animals based on psychological research on human childhood trauma.

    A cumulative adversity index

    Developmental psychologists began to develop what psychologists now call the adverse childhood experiences score, which describes the amount of adversity a person experienced as a child. Briefly, this index adds up all the adverse events – including forms of neglect, abuse or other household dysfunction – an individual experienced during childhood into a single cumulative score.

    This score can then be used to predict later-life health risks such as chronic health conditions, mental illness or even economic status. This approach has revolutionized many human health intervention programs by identifying at-risk children and adults, which allows for more targeted interventions and preventive efforts.

    So, what about wild animals? Can we use a similar type of score or index to predict negative survival outcomes and identify at-risk individuals and populations?

    These are the questions we were interested in answering in our latest research paper. We developed a framework on how to create a cumulative adversity index – similar to the adverse childhood experiences score, but for populations of wild animals. We then used this index to gain insights about the survival and longevity of yellow-bellied marmots. In other words, we wanted to see whether we could use this index to estimate how long a marmot would live.

    A marmot case study

    Yellow-bellied marmots are a large ground squirrel closely related to groundhogs. Our research group has been studying these marmots in Colorado at the Rocky Mountain Biological Laboratory since 1962.

    A marmot wearing an ear tag.
    Xochitl Ortiz Ross

    Yellow-bellied marmots are an excellent study system because they are diurnal, or active during the day, and they have an address. They live in burrows scattered across a small, defined geographical area called a colony. The size of the colony and the number of individuals that reside within varies greatly from year to year, but they are normally composed of matrilines, which means related females tend to remain within the natal colony, while male relatives move away to find a new colony.

    Yellow-bellied marmots hibernate for most of the year, but they become active between April and September. During this active period, we observe each colony daily and regularly trap each individual in the population – that’s over 200 unique individuals just in 2023. We then mark their backs with a distinct symbol and give them uniquely numbered ear tags so they can be later identified.

    Although they can live up to 15 years, we have detailed information about the life experiences of individual marmots spanning almost 30 generations. They were the perfect test population for our cumulative adversity index.

    Among the sources of adversity, we included ecological measures such as a late spring, a summer drought and high predator presence. We also included parental measures such as having an underweight or stressed mother, being born or weaned late, and losing their mother. The model also included demographic measures such as being born in a large litter or having many male siblings.

    Importantly, we looked only at females, since they are the ones who tend to stay home. Therefore, some of the adversities listed are only applicable to females. For example, females born in litters with many males become masculinized, likely from the high testosterone levels in the mother’s uterus. The females behave more like males, but this also reduces their life span and reproductive output. Therefore, having many male siblings is harmful to females, but maybe not to males.

    A yellow-bellied marmot shown on a trail camera in Montana.

    So, does our index, or the number of adverse events a marmot experienced early on, explain differences in marmot survival? We found that, yes, it does.

    Experiencing even just one adversity event before age 2 nearly halved an adult marmot’s odds of survival, regardless of the type of adversity they experienced. This is the first record of lasting negative consequences from losing a mother in this species.

    So what?

    Our study isn’t the only one of its kind. A few other studies have used an index similar to the human adverse childhood experiences score with wild primates and hyenas, with largely similar results. We are interested in broadening this framework so that other researchers can adopt it for the species they study.

    A better understanding of how animals can or cannot cope with multiple sources of adversity can inform wildlife conservation and management practices. For example, an index like ours could help identify at-risk populations that require a more immediate conservation action.

    Instead of tackling the one stressor that seems to have the greatest effect on a species, this approach could help managers consider how best to reduce the total number of stressors a species experiences.

    For example, changing weather patterns driven by global heating trends may create new stressors that a wildlife manager can’t address. But it might be possible to reduce how many times these animals have to interact with people during key times of the year by closing trails, or providing extra food to replace the food they lose from harsh weather.

    While this index is still in early development, it could one day help researchers ask new questions about how animals adapt to stress in the wild.

    Xochitl Ortiz Ross has received funding from The National Science Foundation, The University of California, Los Angeles, The Rocky Mountain Biological Laboratory, The Animal Behavior Society, The American Society of Mammalogists, and The American Museum of Natural History.

    Daniel T. Blumstein received funding from The National Science Foundation, The University of California Los Angeles, The Rocky Mountain Biological Laboratory and the National Geographic Society.

    ref. Wild animals can experience trauma and adversity too − as ecologists, we came up with an index to track how it affects them – https://theconversation.com/wild-animals-can-experience-trauma-and-adversity-too-as-ecologists-we-came-up-with-an-index-to-track-how-it-affects-them-237913

    MIL OSI – Global Reports

  • MIL-OSI Global: More kids than ever need special education, but burnout has caused a teacher shortage

    Source: The Conversation – USA – By Kimber Wilkerson, Professor of Special Education, University of Wisconsin-Madison

    Many special education teachers quit after less than five years on the job. 10’000 Hours/Digital Vision via Getty Images

    A growing number of students in public schools – right now, about 15% of them – are eligible for special education services. These services include specially designed instruction for students with autism, learning or physical disabilities, or traumatic brain injuries. But going into the current school year, more than half of U.S. public schools anticipate being short-staffed in special education. Dr. Kimber Wilkerson, a professor of special education and department chair at the University of Wisconsin-Madison, explains why there’s a shortage and what needs to be done to close the gap.

    Dr. Kimber Wilkerson discusses the special education teacher shortage.

    The Conversation has collaborated with SciLine to bring you highlights from the discussion, which have been edited for brevity and clarity.

    Which students receive special education services?

    Kimber Wilkerson: Students with a disability label receive special education services. They need these additional services and sometimes instruction in school so they can access the curriculum and thrive like their peers.

    What is happening with staffing for special education?

    Wilkerson: Since special education became a thing in the ’70s, there have always been challenges in filling all the special education positions.

    In the past 10 years preceding the COVID-19 pandemic, those challenges started to increase. There were more open positions in special education at the beginning of each school year than in previous decades. In the 2023-24 school year, 42 states plus the District of Columbia reported teacher shortages in special education.

    What is causing these shortages?

    Wilkerson: One, there are fewer young people choosing teaching as a major in college and as a profession. And special education is affected by these lower rates more than other forms of education.

    Also, there’s more attrition – people leaving their teaching job sooner than you might expect – not because they’re retiring, but because they are tired of the job.

    They want to do something different. They want to go back to school. Sometimes it’s life circumstances, but the number of people leaving the job before retirement age has increased. And in our state, Wisconsin, about 35% of all educators leave the field before they hit their fifth year.

    That number is even higher for special educators. About half of special educators are out of the profession within five years.

    Why do special education teachers leave the profession?

    Wilkerson: There’s not a national study that speaks to that reason. There are some localized studies, and people report things like too much paperwork or too many administrative tasks associated with the job. Sometimes they report the students’ behavioral challenges. Sometimes it’s a feeling of isolation, or a lack of support from the school.

    How are students with disabilities affected when their school does not have enough special educators?

    Wilkerson: In a school that’s one special educator short, the other special educators have to take over that caseload. Instead of having 12 students on their caseload, maybe now they have 20. So, the amount of individual attention given to each student with a disability decreases.

    Also, when teachers with experience leave the profession, they leave behind a less experienced group of teachers. This means the students are losing out on the benefit of those years of wisdom and experience.

    What are some strategies to recruit and retain more special education teachers?

    Wilkerson: There’s a range of strategies that different universities, states and school districts have taken, like residency programs.

    In these programs, the person who is learning to be a teacher, and who is referred to as a teaching resident, works alongside a mentor teacher for an entire year in a school, and they get paid to do so. They’re not the teacher of record, but they’re learning and getting paid, and they’re in that school community.

    Can you tell us about your recent study on supporting new special education teachers?

    Wilkerson: One thing that made a big difference is when the teachers in our study, which is now under review, had access to a mentor and a group of their peers. We called this facilitated peer-to-peer group of teachers a “community of practice.” Every other week, on Zoom, we’d get these new special education teachers from different school districts together, along with experienced teachers. And they would do some sort of work on problems, bringing in the things that were challenging, and work on possible solutions as a group.

    We also used Zoom to do one-on-one mentoring. And what people liked about it was that they could talk to someone who wasn’t right in their building and right in their district who they could be open and vulnerable with.

    Sometimes, special educators can be isolated because they’re not necessarily a part of a grade-level team. They work with kids across a lot of classrooms. This gave them an opportunity to have their own kind of community, and that made a difference.

    We also surveyed their level of burnout and how good they felt about the job they did. And then we surveyed special education teachers who weren’t participating in our community of practice.

    At the end of the year, those people who had that mentoring and the community of practice felt less burnt out, and they also felt more effective in the area of classroom management. And that’s critical, because burnout is one of the primary reasons people leave the profession.

    So if we can make people feel like they’re better equipped to handle this challenging position, then that’s one strategy to increase the number of people wanting to stay in their job year after year.

    Watch the full interview to hear more.

    SciLine is a free service based at the American Association for the Advancement of Science, a nonprofit that helps journalists include scientific evidence and experts in their news stories.

    Kimber Wilkerson receives funding from the U.S. Department of Education’s Institute of Education Sciences and the Office of Elementary and Secondary Education.

    ref. More kids than ever need special education, but burnout has caused a teacher shortage – https://theconversation.com/more-kids-than-ever-need-special-education-but-burnout-has-caused-a-teacher-shortage-239559

    MIL OSI – Global Reports

  • MIL-OSI Global: Presidential election could help decide fate of the 70,000 Afghans living temporarily in the US

    Source: The Conversation – USA – By Idean Salehyan, Professor of political science, University of North Texas

    Afghan evacuees arrive at Dulles International Airport in Dulles, Va., on Aug. 27, 2021. Olivier Douliery/AFP via Getty Images

    The Taliban, an ultraconservative Islamic political group, retook control of Kabul a little more than three years ago, dashing many Afghans’ hopes for a tolerant, democratic government.

    As U.S. troops withdrew from Afghanistan days after the Taliban’s resurgence in 2021, hundreds of thousands of Afghans flocked to the Kabul airport, desperate to be evacuated. Among them were Afghans who worked for U.S. military and NATO forces as interpreters and in other roles – in addition to other people who were afraid of the Taliban.

    Chaotic and sometimes violent scenes of the poorly planned evacuation captured media attention for weeks, as the U.S. military airlifted nearly 124,000 people out of Afghanistan.

    Many of the Afghans who fled their country in 2021 went to Iran, Pakistan and other nearby countries. To offer a lifeline to the Afghans who came to the U.S., the Biden administration announced on Aug. 29, 2021, that evacuated Afghans could legally – but temporarily – stay in the U.S.

    As a scholar of civil conflict and refugee migration, I have been following the Afghan evacuation and policy responses in Washington since 2021. While President Joe Biden renewed humanitarian parole for approximately 70,000 Afghans in 2023, these people remain in legal limbo, unable to fully move forward in their lives.

    The upcoming election will likely be decisive in resolving Afghans’ legal status or not.

    An Afghan couple, including a man who worked as an interpreter for the U.S. military, walk in Charlestown, Mass. in February 2022.
    Joseph Prezioso/AFP via Getty Images

    Understanding humanitarian parole

    The U.S. admitted Afghans into the country through what’s called humanitarian parole, a federal program that the president can authorize to give protection to people in other countries facing extreme emergency circumstances.

    Humanitarian parole must be renewed by a presidential administration every two years, unlike the U.S. refugee admission policy, which gives foreigners who face legitimate fears of returning home the right to get permanent residency in the U.S.

    The Afghan parole program enabled people like Mina Bakhshi – a female rock climber who had no future under the Taliban because of her gender – to enter the U.S. and attend college.

    It also helped people like Qasim Rahimi, a journalist in Afghanistan, to flee to safety with his family and settle in Kansas City, Missouri.

    About one-third of the Afghan evacuees who came to the U.S. settled in California, Virginia and Texas, while the rest settled in other states.

    Yet humanitarian parole is not a permanent solution.

    While these Afghan people can legally work and attend school in the U.S., they often face obstacles with getting stable work or even finding a home to rent because they are not permanent residents and do not have Social Security numbers.

    A long history of parole in the US

    Typically, the U.S. government has used humanitarian parole to rescue people from conflicts in which U.S. armed forces are involved, like Vietnam and Ukraine.

    People who face serious danger because of conflict or other reasons can also enter the U.S. by applying for and receiving refugee status, but it can take more than a year for it to be granted. Humanitarian parole lets the U.S. government act quickly when it wants to help foreigners come to the country during an emergency.

    At the end of the Vietnam War in 1975, for example, the U.S. admitted thousands of Vietnamese, Cambodian and Laotian migrants fleeing their countries.

    As then-President Gerald Ford stated in an address to Congress in 1975, providing humanitarian parole to Vietnamese people who supported the U.S. in its war effort in Vietnam was a “profound moral obligation.” In 1977, Congress passed a law that allowed these refugees to permanently settle in the U.S.

    The U.S. also issued humanitarian parole to Hungarian and Cuban refugees who fled communist dictatorships in the 1950s.

    More recently, the U.S. granted parole to a group of Haitian orphans following a major earthquake in 2010, and to children from Central America who illegally crossed the border without their parents during the Obama administration.

    In 2022, the U.S. government again used humanitarian parole to welcome more than 125,000 Ukrainians fleeing the war in their country.

    What the Afghan Adjustment Act would do

    While Biden issued temporary humanitarian parole to Afghans in 2021 and renewed it in 2023, only Congress has the power to pass an act that would ensure they can legally stay in the country permanently. Yet, a deadlocked Congress has failed to pass legislation to adjust the status of Afghans.

    A proposed bipartisan bill in Congress called the Afghan Adjustment Act would allow Afghan parolees to apply for permanent legal status.

    A coalition of refugee advocates and veterans organizations has championed the Afghan Adjustment Act.

    Yet, a handful of Republican lawmakers, led by Sen. Chuck Grassley, have opposed the act on national security grounds. They say that vetting procedures for newcomers are not sufficient, which could lead to security risks. Some want a more targeted program that focuses only on Afghans who worked with U.S. troops.

    Republican Sen. Tom Cotton has proposed another bill that would significantly reduce a president’s authority to use humanitarian parole for Afghans or anyone else in the future.

    An Afghan evacuee living in Charlestown, Mass., in February 2022 shows a photo of himself working in Afghanistan as a translator.
    Joseph Prezioso/AFP via Getty Images

    The election factor

    The fate of Afghan parolees will likely be determined by the results of the upcoming election. Should Democratic presidential nominee Kamala Harris win office, I believe she is likely to renew parole for Afghans for at least two more years, as Biden did in 2023. Congress may be more likely to pass the Afghan Adjustment Act after the election, since it is rare to pass major legislation during an election period.

    What Republican presidential nominee Donald Trump might do about Afghans living temporarily in the U.S. is an open question. During Trump’s previous presidential term, his administration focused in part on curbing immigration. This included slashing refugee admissions and making it harder to issue U.S. visas to Afghans and Iraqis who worked with the U.S. military.

    On the campaign trail, Trump has promised to renew his travel ban on Muslims and to continue to limit immigration to the U.S.

    In the meantime, Afghans who fled the Taliban continue to face uncertainty about their future in the U.S.

    Idean Salehyan is affiliated with the Niskanen Center in Washington, D.C.

    ref. Presidential election could help decide fate of the 70,000 Afghans living temporarily in the US – https://theconversation.com/presidential-election-could-help-decide-fate-of-the-70-000-afghans-living-temporarily-in-the-us-233941

    MIL OSI – Global Reports

  • MIL-OSI Global: Aurora and Springfield aren’t the first cities to become flash points in US immigration debate − here’s what happened in other places used as political soapboxes

    Source: The Conversation – USA – By Miranda Cady Hallett, Associate Professor of Anthropology and Human Rights Center Research Fellow, University of Dayton

    Many Americans had probably never heard of Aurora, Colorado, or Springfield, Ohio, before Donald Trump broadcast his false claims about these cities nationwide late in the 2024 presidential campaign.

    First, in September 2024, the Republican presidential nominee claimed in a debate with Kamala Harris that Haitian immigrants in Ohio were stealing and eating other residents’ pets. A month later, at a rally in Aurora, Trump declared that city to be a “war zone” overrun by Venezuelan gangs.

    Trump’s false claims went viral, creating chaos for these communities. Reporters rushed in. In Springfield, so did bomb threats.

    These stories feel familiar to me as an anthropologist whose work has explored the social dynamics of immigrant destinations in the United States. Springfield and Aurora are only the latest small cities to become sudden flash points in America’s ongoing – and increasingly heated – immigration debate.

    Siler City, North Carolina

    The small town of Siler City, North Carolina, was used as a backdrop for anti-immigrant political rhetoric a quarter century ago.

    In the late 20th century, jobs in Siler City’s local poultry industry became a magnet for Latin American immigrants and their families, leading to rapid demographic change. In 1990, the town was 98% white and African American. By the 2000 census, almost 40% of the town’s 6,000 residents identified as Hispanic or Latino.

    This shift caused some racial tension, and in 2000 the notoriously racist politician David Duke headlined an anti-immigrant rally outside City Hall in Siler City.

    Duke, who was also a former Louisiana state representative and former Ku Klux Klan grand wizard, railed against Latin American immigrants.

    “Do you understand that immigration will destroy the foundations of this country?” Duke asked. “When you have more diversity, you end up with more division and more conflict,” he said, warning of “extinction” for white people in the U.S.

    Duke also railed against school integration. Thirty-five years after desegregation, this remained a favorite complaint of white supremacists.

    Only a handful of people, many of them from out of town, showed up to support Duke’s message, carrying signs like “The Melting Pot is Boiling Over.”

    In the short term, Duke’s rally exacerbated polarization in Siler City. It also stoked fear and anxiety among foreign-born residents, some of whom believed the local government had endorsed Duke’s message because the rally took place in front of the town hall.

    Looking back, however, many Siler City residents see the David Duke incident as a turning point – toward an improvement in ethnic relations in their town.

    After Duke’s rally, local politicians spoke out against the divisiveness and hatred. Within a few months, residents offended by the anti-immigrant rally had organized a unity event and cultural festival.

    By the time I visited Siler City in 2008 as a graduate research assistant studying new immigration destinations, many locals noted with pride that white supremacists could gain no foothold in town. They said Duke’s racist rally caused neighbors to stop and think, and decide what side they were on.

    Today, Siler City has an immigrant community advisory board, and the government actively works to promote integration and social cohesion among residents.

    Lewiston, Maine

    A similar story unfolded in the working-class Maine city of Lewiston in 2002 after its mayor wrote a public letter about the city’s rising refugee population.

    Just over 1,000 Somali refugees had settled in the city in the preceding year, having been displaced by civil war and drought back home.

    “This large number of new arrivals cannot continue without negative results for all,” Mayor Laurier Raymond wrote. “Our city is maxed out financially, physically and emotionally.”

    He called on Somali people to “pass the word (that) we have been overwhelmed.”

    Raymond’s letter got the attention of organized white supremacist groups, who descended on Lewiston, a former sawmill hub of about 35,000 people. In response, local people formed an ad hoc community organization called “Many and One,” and when the hate group World Church of the Creator rallied in Lewiston on Jan. 11, 2003, only 36 people attended. About 4,000 counter-protesters came out to support the Somali community.

    A film crew that had showed up to document the conflict ended up telling the story of Lewistonians sending a message of acceptance and unity.

    The temporary stresses on Lewiston were real, but in general locals came down on the side of inclusion and welcome. By 2021, Lewiston had one of the country’s highest per capita populations of Muslim residents, and of Somali-Americans.

    Twenty years later, the arrival of Somali families has become part of the story Lewiston tells about its history and identity.

    Conservative and anti-immigrant messages continue to resonate in the town. Yet many locals, like author Cynthia Anderson, say they are “moved and inspired” by the resilience of their Somali-American neighbors.

    Like most Haitians living in Springfield, Somali people did not choose to leave their country. They were displaced, and many were traumatized – yet they built new lives and contributed to the community.

    What can this history tell us now?

    While there are key differences between Springfield, Aurora, Siler City and Lewiston, these four places also share many attributes.

    These are all economically beleaguered cities with higher crime rates than the U.S. average but lower housing costs and more entry-level jobs in manufacturing. Such places are sometimes called “emerging gateway cities,” because they are appealing to immigrant families seeking opportunity.

    Yet the same conditions also make these cities attractive to political figures seeking a stage to blame immigrants for the community’s preexisting economic, social and public safety challenges.

    As in Siler City and Lewiston, Springfield and Aurora have mainly rejected false political claims and negative messages about their immigrant residents.

    In Springfield, residents have organized rallies and a prayer vigil in solidarity with Haitians, and Ohio’s Republican governor defended the city against Trump’s allegations.

    The Republican mayor of Aurora said before Trump’s Oct. 11 visit that he hoped “to show him and the nation that Aurora is a considerably safe city – not a city overrun by Venezuelan gangs.”

    The 2024 election has brought tense and polarizing times to these towns. But history suggests that Springfield and Aurora will eventually be home to vibrant and integrated immigrant communities.

    Once the vitriol fades, Trump’s incendiary misinformation will likely become just a footnote to the larger story of the country’s 21st-century transformation.

    Miranda Cady Hallett received funding from the Russell Sage Foundation’s “New Immigrant Destinations” project in 2008-2009, providing support for the North Carolina-based research mentioned in this article.

    ref. Aurora and Springfield aren’t the first cities to become flash points in US immigration debate − here’s what happened in other places used as political soapboxes – https://theconversation.com/aurora-and-springfield-arent-the-first-cities-to-become-flash-points-in-us-immigration-debate-heres-what-happened-in-other-places-used-as-political-soapboxes-239809

    MIL OSI – Global Reports

  • MIL-OSI Global: Election officials are hard at work to deliver fair, secure and accurate elections – despite a constant flow of attacks

    Source: The Conversation – USA – By Mitchell Brown, Professor of Political Science, Auburn University

    Voting machines are tested at the Wake County Board of Elections on Sept. 17, 2024, in Raleigh, N.C. Allison Joyce/Getty Images

    The 2024 election is rife with controversy, from the politics of the campaigns to the politics surrounding the administration of elections. Accusations of wrongdoing and ineptitude continue to plague election officials, despite their explanations of legal compliance and process.

    This is not new. During the 2016 election season, there was a growing narrative in the media and elsewhere that U.S. elections were poorly run. These accusations came from the left and the right, with concerns ranging from voter suppression to rigged machines.

    My colleagues and I have been studying election administration intensely for many years. When these accusations were made, they struck us as both odd and incorrect. We traveled around the country to visit election offices. We did surveys, we interviewed people, we ran focus groups, we toured election offices.

    In 2020, my colleague Kathleen Hale and I published a book on innovation in election administration. Among our conclusions: U.S. elections are not broken, and while fragmented and sometimes confusing, the system is functioning well, despite myriad pressures on it.

    The 2020 election continued to underscore that American election administration is strong across the country, despite the narrative from some losing candidates that there was widespread fraud and conspiracy.

    I continue to interact with election officials on a regular basis through meetings, conversations, classes I teach and election observations. While there are normal errors and mistakes that will always happen, this year’s presidential election also continues to demonstrate that the people running our elections are professionals engaging in neutral administration, upholding the law as well as important public administration principles of transparency, accountability, accuracy, integrity and widespread access for eligible voters.

    These people are doing this work despite an increasingly complicated and threatening environment for election officials.

    Elections happen almost every day

    There are approximately 8,000 election jurisdictions across the country. For the most part, elections are run locally by community members who work for their county or city government. Some election officials are appointed, some elected, and some are career civil service employees. During the voting period, there are thousands and thousands of volunteer poll workers who are trained to support the process.

    These offices work closely with other county and city government offices. Their employees are trained on standard operating procedures to ensure ballot security and electoral integrity, and they work closely with state election offices to ensure standard application of federal and state laws. In some states, such as Colorado and Ohio, they have professional associations to enhance their coordination and work. And there are national professional and training programs to further enhance the field.

    Despite the fact that most people think elections are held every other year, when you take into account state, local and special elections and the steps involved in preparation, early and absentee voting, election day voting and canvas and certification, there is an election being run somewhere in America almost every day.

    Working in elections is uniquely challenging. Deadlines are fixed, budgets are comparatively small in most places, and perfection is expected at all times. For the past two presidential election cycles, election officials in some jurisdictions faced almost constant accusations of incompetence or fraud. Accusers are rarely able to provide actual evidence.

    There are excellent examples around the country of good election administration in the face of many challenges and accusations of wrongdoing.

    ‘Relentless … barrage of falsehoods’

    Consider Wesley Wilcox, supervisor of elections in Marion County, Florida. Wilcox has been a dedicated election official for decades, honored by his colleagues across the country when they elected him to the Election Center Hall of Fame in 2023. He is an elected Republican and vocal about his support of his party.

    But since 2020, Wilcox and his colleagues have been a constant target of accusations of wrongdoing, which he told a 2022 U.S. Senate committee hearing constituted a “relentless and unprecedented barrage of falsehoods.” These baseless accusations came despite the fact that Wilcox’s office was involved in the investigation of a woman who was charged with actual wrongdoing: substantiated voter fraud.

    Another example is Mary Hall, an auditor in Thurston County, Washington. Hall has been recognized by the state of Washington and her colleagues for her strong professionalism for decades. She heads a robust office and staff who work to communicate to voters to ensure community trust in their processes and outcomes.

    Despite that, groups in the area have organized to challenge voter registrations of people who have done no wrong, causing extra work for Hall’s office.

    There are legitimate reasons that voter rolls are not perfect, and the presence of people on a voter roll who have moved and registered elsewhere is not evidence of fraud. And while such double registration is not illegal, voting in multiple places is. In the face of all of this, Hall continues to respectfully respond to their accusations and criticisms.

    In 2023, her office was one of five nationally to have received envelopes with white powder in them, which turned out to be fentanyl in some cases.

    “I used to be very proud of my position and telling people what I did for a living. And I don’t do that anymore, because you never know what reaction you’re going to receive from the people on the other end,” Hall told “PBS NewsHour” in November 2023.

    Election Day precinct officials receive training at Wake County Board of Elections headquarters on Sept. 26, 2024, in Raleigh, N.C.
    Allison Joyce/Getty Images

    ‘Years of unsubstantiated personal attacks’

    Other than sowing confusion and public distrust, these attacks and accusations have real-life implications for the lives of the people running elections.

    One of the hardest for me to watch has been Cathy Darling Allen’s resignation from the profession.

    Darling Allen, the former chief election official for California’s Shasta County, is widely regarded among her peers as having the highest levels of professionalism, integrity and honesty. In 2024, Darling Allen was one of five election officials in the country whom the American Bar Association awarded its Unsung Heroes of Democracy Award. That award “recognizes those individuals and organizations who work every day, often behind the scenes or without fanfare, to ensure that our elections are secure and that the democratic ideals set forth in the U.S. Constitution are upheld.”

    But years of threats, hate mail, accusations and unsubstantiated personal attacks against her left her physically ill. This stress and resulting health conditions forced her to retire early. A vocal group of county residents alleged that widespread election fraud was happening on her watch and accused her of sedition and treason. In an ironic development, a local news website reported that “Supervisor Patrick Jones, who is the most visible proponent of the claim that election fraud is occurring locally, was himself successfully elected to office in a process overseen by Darling Allen.”

    Darling Allen is just one example of dedicated officials who have left the field in recent years because of the rampant, false narrative about election wrongdoing on the part of officials.

    Election offices will never have the kinds of resources that those individuals, groups and countries who are attacking the integrity of their offices have.

    But these officials nonetheless persist, upholding state and federal laws and professional standards of conduct and producing accurate and timely election results.

    A review of the Moritz College of Law case tracker for the 2020 presidential election, which documents important election law cases from around the nation, demonstrates that many of these charges were meritless and that the results of the election were upheld. These results reflect the competence of those election officials.

    Other groups, including academics, have been working to neutrally and empirically study these issues, looking at a range of topics, from election performance to best practices, as well as seeking to understand the impacts of the current narrative on the public.

    Real electoral mismanagement is investigated, and the people involved face consequences if it is substantiated. Election fraud is a crime. Election officials know this and work tirelessly to ensure timely, fair, secure and accurate elections.

    Mitchell Brown is the Curtis O. Liles III Professor in the Department of Political Science and directs the election administration program at Auburn University. For 35 years, Auburn University faculty have served as the curricular faculty for the Certified Elections/Registration Administrator (CERA) certification program, and through this role she serves on the Board of Directors of the Election Center. She has received numerous grants and contracts to study election administration, including from the U.S. Election Assistance Commission, Bipartisan Policy Center, and MIT MEDSL, among others.

    ref. Election officials are hard at work to deliver fair, secure and accurate elections – despite a constant flow of attacks – https://theconversation.com/election-officials-are-hard-at-work-to-deliver-fair-secure-and-accurate-elections-despite-a-constant-flow-of-attacks-236912

    MIL OSI – Global Reports

  • MIL-OSI Global: Tracking vampire worms with machine learning − using AI to diagnose schistosomiasis before the parasites causing it hatch in your blood

    Source: The Conversation – USA – By Trirupa Chakraborty, Ph.D. Candidate in Integrative Systems Biology, University of Pittsburgh

    Blood samples of patients infected with a parasitic worm that causes schistosomiasis contain hidden information that marks different stages of the disease. In our recently published research, our team used machine learning to uncover that hidden information and improve early detection and diagnosis of infection.

    The parasite that causes schistosomiasis completes its life cycle in two hosts – first in snails and then in mammals such as people, dogs and mice. Freshwater worm eggs enter human hosts through the skin and circulate throughout the body, damaging multiple organs, including the liver, intestine, bladder and urethra. When these larvae reach blood vessels connecting the intestines to the liver, they mature into adult worms. They then release eggs that are excreted when the infected person defecates, continuing the transmission cycle.

    Since diagnosis currently relies on detecting eggs in feces, doctors usually miss the early stages of infection. By the time eggs are detected, patients have already reached an advanced stage of the disease. Because diagnosis rates are poor, public health officials typically mass-administer the drug praziquantel to populations in affected regions. However, praziquantel cannot clear juvenile worms in early stages of infection, nor can it prevent reinfection.

    Schistosomiasis isn’t usually diagnosed until the late stages of the disease.
    DPDx/CDC

    Our study provides a clear path forward to improving early detection and diagnosis by identifying the hidden information in blood that signals active, early stage infection.

    Your body responds to a schistosomiasis infection by mounting an immune response involving several types of immune cells, as well as antibodies specifically targeting molecules secreted by or present on the worm and eggs. Our study introduces two ways to screen for certain characteristics of antibodies that signal early infection.

    The first is an assay that captures a quantitative and qualitative profile of immune response, including various classes of antibodies and characteristics that dictate how they communicate with other immune cells. This allowed us to identify specific facets of the immune response that distinguish uninfected patients from patients with early and late-stage disease.

    Second, we developed a new machine learning approach that analyzes antibodies to identify latent characteristics of the immune response linked to disease stage and severity. We trained the model on immune profile data from infected and uninfected patients and tested the model on data that wasn’t used for training and data from a different geographical location. We identified not only biomarkers for the disease but also the potential mechanism that underlies infection.

    Why it matters

    Schistosomiasis is a neglected tropical disease that affects over 200 million people worldwide, causing 280,000 deaths annually. Early diagnosis can improve treatment effectiveness and prevent severe disease.

    In addition, unlike many machine learning methods that are black boxes, our approach is also interpretable. This means it can provide insights into why and how the disease develops beyond simply identifying markers of disease, guiding future strategies for early diagnosis and treatment.

    Clusters of Schistosoma haematobium eggs surrounded by immune cells in bladder tissue.
    CDC/Dr. Edwin P. Ewing Jr.

    What still isn’t known

    The schistosomiasis infection signatures we identified remain stable across two geographical regions across two continents. Future research could explore how well these biomarkers apply to additional populations.

    Further, our work identifies a potential mechanism behind disease progression. We found that a particular immune response against a specific protein on the surface of the worm signals an intermediate stage of infection. Understanding how the immune system responds to this understudied antigen could improve diagnosis and treatment.

    What’s next

    Besides improving our understanding of how the immune system responds to different stages of infection, our findings identify key antigens that could pave the way for designing cost-effective and efficient approaches to diagnosis and treatments. Our next steps will include actually deploying these strategies in the field for early detection and management of disease.

    The Research Brief is a short take about interesting academic work.

    Trirupa Chakraborty is affiliated with Light Up non-profit organisation, based in India. The organisation does not have any connection with or benefits from this article.

    Aniruddh Sarkar has received grant funding from the NIAID, BARDA, Task Force for Global Health (TFGH), Atlanta Center for Point-of-Care Technologies (ACME POCT), Center for Childhood Infections & Vaccines (CCIV) and the Bernie Marcus Early Career Professorship at Georgia Tech

    Jishnu Das has research grant funding from the NIH (NIAID, NHGRI, NIAMS, NEI, NCI, NHLBI, NIMH), DoD and the Rainin Foundation. He consults for Seromyx on a case-by-case basis and receives corresponding financial compensation including stock options. Seromyx has no direct connection to (including benefitting from financially or otherwise) this article.

    ref. Tracking vampire worms with machine learning − using AI to diagnose schistosomiasis before the parasites causing it hatch in your blood – https://theconversation.com/tracking-vampire-worms-with-machine-learning-using-ai-to-diagnose-schistosomiasis-before-the-parasites-causing-it-hatch-in-your-blood-239466

    MIL OSI – Global Reports

  • MIL-OSI Global: Thomas Tuchel: the philosophical dilemma facing the new England coach

    Source: The Conversation – UK – By John William Devine, Senior Lecturer in Ethics, Department of Sport and Exercise Sciences, Swansea University

    As the new senior head coach of the England men’s football team, Thomas Tuchel has assumed one of the most intensely scrutinised managerial roles, not only in football, but in all of sport.

    Commentary following his appointment suggests that he should expect unprecedented scrutiny. Despite superb credentials, including coaching Chelsea to Champions League victory in 2021, Tuchel’s appointment has raised anew the question of whether English players should be managed by an English manager.

    At the press conference announcing his appointment, he apologised (only partly in jest) for holding a German passport. He is the first German to be appointed to the role. Sceptics have voiced concern about whether a “foreign” manager – particularly one from the England team’s fiercest rival – could feel the requisite passion, loyalty and determination for English success. But doubts about his commitment are only the beginning – the role of England manager involves an unenviable footballing dilemma.

    The renowned American football coach Vince Lombardi made popular the sporting mantra: “Winning isn’t everything, it’s the only thing.” On the Lombardian view, performance has no value independent of its outcome. Set aside the mastery of skills, the lessons of winning and losing, forging bonds with teammates and opponents and the simple joy of play – for him, the value of sport lies in winning – and winning alone.

    On this view, the clamour for Tuchel’s predecessor, Gareth Southgate, to depart following the 2024 UEFA European Football Championship was misguided. In reaching the final of successive European championships (2020 and 2024) and the semi-final of the World Cup in 2018, Southgate brought English men’s football to its greatest height since the World Cup-winning team of 1966.

    His team comfortably outperformed the so-called “golden generation” of David Beckham, Stephen Gerrard, Frank Lampard and Wayne Rooney, which never progressed beyond the quarterfinals of a major tournament, playing for another foreign manager, Sven-Goran Ericksson. Judged by results alone, Southgate was a once in a generation England manager.

    However, the English public subscribed to a more demanding philosophy of football: “Winning is essential, but it is not enough.” Despite the team’s success, the public wanted more. They demanded not only victory, but style too.

    Southgate’s team played a conservative, defensively-minded brand of football. In Euro 2024, their passing wasn’t fluid and they created few chances on goal. Instead, they relied on a strong defence coupled with rare moments of attacking brilliance from individual players. Despite their success, Southgate became a lightning rod for criticism due to the uninspiring manner of his team’s victories.

    A philosophical dilemma

    The pursuit of victory in sport would seem, on the face of it, to be a simple proposition – play as well as you can and hope that this suffices to overcome your opponent. But playing to win is often less about playing well and more about ensuring that your opponent plays badly. It is less about executing your strengths and more about stifling the opposition.

    In happy circumstances, playing well and playing to win coincide. In such cases, an opponent’s strengths and weaknesses can largely be ignored. Athletes who are comfortably superior to their opposition (think Serena Williams, Simone Biles, or the All Blacks in their pomp) may have the luxury of ignoring their opponents’ performance. Such is their dominance that, if they play well, victory inevitably follows. However, for mere mortals – including the Three Lions – even a good day can be a losing day.

    This tension between playing well and playing to win is one that all athletes, of whatever level, must navigate. Tuchel now takes up the challenge of marrying these often opposed ideals – anything but victory is unacceptable and so too is anything but thrilling football.

    In contrast to the Lombardian obsession with winning, sport can also be seen as a vehicle for self-expression. Each sport presents athletes with a unique set of obstacles, constraints embedded in the rules coupled with challenges presented by opponents. How we respond to those obstacles can express something about us, both to ourselves and to others.

    Sporting competition can serve as a means of self-expression – a blank canvas on which athletes paint. We must decide how much we value sport as an avenue for proving athletic superiority and how much we value sport as an avenue to convey who we are and what we value. At its best, a national team’s style reflects a national footballing philosophy. But honouring our sporting identity may conflict with our desire to win.

    Winning at the highest level and playing to express the pure form of our footballing philosophy may be mutually exclusive goals for all but the most dominant teams. Tuchel must grasp both horns of this dilemma while persuading the public of his desire for English success.

    If the team’s results are anything but flawless, his commitment to the cause will be questioned. If the team’s style is unpleasing to the eye, he will be accused of misunderstanding England’s footballing identity. Who would envy him the task ahead?



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    John William Devine 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. Thomas Tuchel: the philosophical dilemma facing the new England coach – https://theconversation.com/thomas-tuchel-the-philosophical-dilemma-facing-the-new-england-coach-241836

    MIL OSI – Global Reports

  • MIL-OSI Global: Existential uncertainty: how it affects your mind – and what you can do about it

    Source: The Conversation – UK – By Dusana Dorjee, Associate professor in Psychology in Education, University of York

    ‘Doomscrolling’ is an unhelpful coping strategy. Olezzo/ Shutterstock

    With near-constant headlines discussing the devastating crises humanity is currently facing – from climate change to political polarisation and war – many of us are experiencing feelings of existential uncertainty.

    This can manifest in different ways, such as feeling anxious or distressed when consuming the news. You might also feel a more subtle but persistent sense of unease and worry about the future.

    These feelings are actually linked to changes in the brain. By knowing how this works, we can understand what techniques will best help us to manage this feeling when we next experience it.

    Worrying thoughts and feelings about existential threats increase activity in the amygdala – a brain region that responds to threat. This releases stress hormones – first in the brain (hypothalamus and pituitary gland) and then in the adrenal cortex (which sits on top of the kidneys).

    The release of these hormones from the adrenal cortex can impact our attention, problem-solving and decision-making abilities due to their effects on two distinct brain regions which support cognitive functions and memory – the prefrontal cortex and the hippocampus. These regions can actually decrease stress hormone levels, but can become less effective at doing so in response to extremely stressful events or very frequent experiences of stress and anxiety. Chronic stress exposure damages these two brain regions, and can create a vicious cycle of prolonged anxiety.

    To cope with this uncertainty and anxiety, one common response people use is information seeking – where we seek out information about an event or situation in order to feel more certain and less anxious.

    But this coping mechanism can lead to doomscrolling on social media, where negative content tends to be shared more frequently and feelings of existential uncertainty are exploited for financial or political gain. Our brains also remember negative information better than positive information, which is why negative content is often used for manipulation.




    Read more:
    Existential crisis: how long COVID patients helped us understand what it’s like to lose your sense of identity and purpose in life


    Our attempts to make sense of existential uncertainty can also make some people more susceptible to conspiracy theories. This is because when we feel threatened and uncertain, any explanation for what’s happening seems better than none – and this brings some short-term relief from our worries.

    We may also be more inclined to cling to ideas and values that make us feel part of something bigger than ourselves when experiencing existential uncertainty. That’s why some people find themselves feeling more strongly about their political or religious views during periods of unrest – even if such beliefs can sow distrust towards others.

    These coping mechanisms may only provide short-term relief from feelings of anxiety – and even worsen our mental health in the long run. To better cope and protect your mental health during times of existential uncertainty, here are some more effective things you can do instead:

    1. Stress-reduction exercises

    Next time the news makes you feel anxious, try naming the emotion you’re experiencing. Naming emotions can reduce their intensity and unpleasantness. Then count to four while breathing in and count to five while breathing out. Breathing out for longer activates the parasympathetic system – the pathway of neural cells that helps the body rest and relax.

    Using a “sensory anchor” such as a nearby sound or object to ground your attention in the moment can also be effective. This can quell the stream of worrying thoughts.

    Other stress-reducing activities you can add into your daily routine include practising relaxation techniques such as progressive muscle relaxation or taking brief mindfulness breaks. Physical activity, such as dancing or walks, can also temporarily decrease stress as brief acute stress during exercise is another way of activating the parasympathetic system afterwards.

    2. Look to connect

    It can be helpful when experiencing existential uncertainty to remind yourself that others are probably feeling the same way. Acknowledging the common humanity of our worries may help reduce the feelings of threat we have.

    Awe-inducing activities, such as spending time outdoors, making art or meditating or praying, can all expand feelings of connectedness and reduce worry.

    Volunteering can help you connect with others.
    PeopleImages.com – Yuri A/ Shutterstock

    Writing about what you’re grateful for is another useful way to decrease distress during times of uncertainty. This increases brain activity in the medial prefrontal cortex – a brain area involved in regulating emotions, stress and boosting social-connectedness. The increased brain activity can last as long as three months.

    Practising compassion can also reduce distress during times of existential uncertainty. Whereas witnessing others’ suffering can trigger empathic distress – a negative emotion that’s also linked to withdrawal – finding ways to be compassionate and help others can shift this into a positive emotion and make us feel closer to people.

    3. Shift your thinking

    Instead of spending hours doomscrolling, try using your need for information to search for creative solutions or view the crises as opportunities for innovation where you can put your skills to positive use.

    Or, try finding initiatives that help to create this kind of constructive mindset. This can be anything from volunteering at a food bank or charity, writing a blog to making art. These kinds of activities can have a buffering effect on the stress response by protecting mental health and reduce negative emotions.

    Similarly, new creative ways of responding during times of crisis can shift our thinking to being solution-focused – instead of dwelling on the problems we face. This can support our emotional wellbeing.

    If everyone follows these tips, this may create a more cooperative environment which may bring us a bit closer to addressing current global crises at the collective, societal level.

    Dusana Dorjee received funding for her research from the British Academy, ESRC, UKRI Innovate UK and Mind & Life Institute. She is a co-director of a community interest company providing training in mindfulness-based wellbeing courses for schools and adults.

    ref. Existential uncertainty: how it affects your mind – and what you can do about it – https://theconversation.com/existential-uncertainty-how-it-affects-your-mind-and-what-you-can-do-about-it-241197

    MIL OSI – Global Reports

  • MIL-OSI Global: The 2026 Commonwealth Games will create an economic model that allows smaller nations to step up and host

    Source: The Conversation – UK – By Gayle McPherson, Chair in Events and Cultural Policy, and Director of the Research Centre for Culture, Sport and Events, University of the West of Scotland

    The tension was palpable as we waited to see if Glasgow would rescue the Commonwealth Games for 2026. After the Australian state of Victoria pulled out, the eyes of the Commonwealth turned to Scotland.

    Glasgow delivered a hugely successful event in 2014, raising questions about whether a future games there could match that success. I was part of the bid team as the cultural advisor for Glasgow 2014 and went on to conduct research on the impact of the games on sustainable community participation for people with a disability. So I understand the positive impact the games had for Scotland.

    My work over the past couple of decades has examined the social impact of mega sports events and their role as agents for change, specifically disability rights, social inclusion, and peace and diplomacy. In other words, considering whether major sport events truly serve as a force for good as it’s often argued they do. If this is indeed the case, why shouldn’t smaller Commonwealth nations benefit from hosting the games?

    Experts often criticise the economic and social impact of major sporting events, but others argue for the social value these events can bring to communities long after they have left town.

    My research team conducted a survey on perceptions of the impact of the Glasgow 2014 games that revealed overwhelming support for their lasting impact on the city and Scotland.

    The results showed that 75% of respondents believed the games increased civic and national pride, boosted Glasgow and Scotland’s chances of securing future events, enhanced their international reputation, and, as often attested, strengthened the nation’s soft power. Scotland ranks second (behind Quebec) out of ten similar territories for overall soft power, and third for sport.

    Amid a rise in the Bric countries (Brazil, Russia, India and China) using sport in soft power terms, other nations have sought to be part of this too. The Commonwealth Games is increasingly being used as a vehicle for positive change and regional soft power.




    Read more:
    Glasgow’s 2026 Commonwealth Games needs to showcase an affordable and socially beneficial way of hosting sporting events


    There has been a rise in emerging states running mega sports events, often wealthy illiberal nations such as China and Qatar. However, what about the smaller nations in the Commonwealth? Only two – Malaysia and Jamaica – have ever hosted the Commonwealth Games, and the only other nation outside of Australia, Canada, UK and New Zealand to do so is India.

    Glasgow is offering a new model that will create a legacy not only for Scotland, but for many other smaller nations in the Commonwealth. The games are known as the “Friendly Games” – it’s a community that is known for three core values: humanity, equality and destiny.

    The family of nations

    The African nations form a significant part of the Commonwealth sports movement, so shouldn’t we expect the model that Glasgow is developing to be transferable, ensuring that sport can serve a common good? An environmentally sustainable approach would use facilities and networks already in place to help developing nations, which already suffer disproportionately in terms of climate and environmental risks.

    Under this model, venues and infrastructure are already in place. The event is athlete-focused, with competitors staying in hotels as opposed to a purpose-built athlete village, and transport needs minimised through walking or the use of team buses. The 2026 Glasgow event could serve as a blueprint for a sustainable approach to games delivery, inspiring nations such as Ghana, which already has the necessary venues and infrastructure to take on future Commonwealth Games.

    With just ten sports across four venues, Glasgow 2026 has thought differently about delivery and digital broadcast. This is the only fully integrated games, hosting para competition at the same time as able-bodied events. This too will help smaller nations’ para-athletes, who often do not get a chance to compete internationally.

    The Commonwealth is made up of 56 independent countries and the Commonwealth Games Federation consists of 72 member nations and territories. Gabon and Togo joined the Commonwealth in 2022, neither of which had previous ties to the British empire or other Commonwealth states, demonstrating that some countries still want to be part of a wider family.

    Given 19 African countries have Commonwealth Games Associations, we could well see one of these take the baton in future. The Ghanaian sports minister made it clear that after hosting a successful African Games in 2024, he believed the next step would be the Commonwealth Games.

    The recent African Games in Ghana’s capital Accra held athletics in a stadium that seats 11,000 spectators, while the World Athletics Championships in 2022 used the University of Oregon’s temporary stadium that seated 13,000. Commonwealth Games Scotland realised that, for 2026, Glasgow could host athletics at an existing stadium in the city with an upgrade to facilities that would provide seating for 11,000.

    Ghana and Scotland are learning from each other to lay a path for smaller nations to host future games. The Birmingham Commonwealth Games in 2022 contributed £1.2 billion to the UK economy and £79.5 million in social value. This is possible for small nations too.

    Glasgow 2026 can create a different legacy for the Commonwealth Games; one that is built on inclusion, diversity and sustainability and which incorporates the culture, values and pride of the Commonwealth. The time is right to offer a new approach to event delivery that offers other smaller nations the chance to benefit from sport as a force for good.

    Professor Gayle McPherson receives funding from the Social Sciences and Humanities Research Council and Sport Canada and has previously received funding from the Peter Harrison Foundation and Observatory for Sport in Scotland.

    ref. The 2026 Commonwealth Games will create an economic model that allows smaller nations to step up and host – https://theconversation.com/the-2026-commonwealth-games-will-create-an-economic-model-that-allows-smaller-nations-to-step-up-and-host-241059

    MIL OSI – Global Reports

  • MIL-OSI Global: AI is just one of the thorny issues facing photography – here’s how the industry can prioritise ethics

    Source: The Conversation – UK – By Savannah Dodd, Postdoctoral research fellow, Centre for Creative Ethnography, Queen’s University Belfast

    Photography is an immensely powerful medium. Unlike paintings or drawings, photographs have long been connected to ideas of truth and used as evidence, shaping our understanding of the world. When it comes to journalism, photographs have been shown to have a greater impact than the written word alone – in fact, the lead image of a news article can alter how a reader interprets the text.

    But right now the industry is having a crisis of conscience, and the past few years have seen a surge in online debate about ethics, as concerns have been raised about photographic practices across a wide range of industries, from fashion advertising to charity fundraising.

    These concerns have extended to the news media, which has drawn criticism for the one-dimensional representation of certain communities, for example that of black men and Afghan women, which is exacerbated by inconsistent standards applied to publishing images of suffering.


    This article is part of our State of the Arts series. These articles tackle the challenges of the arts and heritage industry – and celebrate the wins, too.


    While questions of image ethics are not new, this crisis is only deepening with the exponential growth in the production and use of AI-generated images.

    It is often difficult to differentiate between photographs and photo-realistic AI-generated images, and the lines between the two are being increasingly blurred as AI images are sold on picture library platforms and used by advocacy campaigns for charities. AI images are now being used in the campaign for the upcoming US election, perhaps most famously with an AI image of Taylor Swift endorsing Donald Trump.

    Despite the ongoing discussion about photography ethics, practice is sometimes slower to change. This can create a tension between those who espouse more traditional approaches to photography, and those who are critiquing those approaches. This is contributing to polarisation within the industry and a growing uncertainty about how we can use photography ethically today.

    As an anthropologist who teaches visual media ethics, I am interested in how professional photographers think about and practise ethics in their work. This year, as part of my research into this topic, I analysed 48 interviews I conducted between 2020 and 2023 with people working in photography.

    These interviews focused particularly on the perspectives of professionals, including those whose voices have often been marginalised within the industry. This includes black photographers, photographers of colour, photographers in the global south, disabled photographers and female photographers. All of these interviews are publicly available online.

    Lessons in self-reflection

    In each interview, I asked: “What does photography ethics mean to you?” Through analysing their responses, I have distilled eight key lessons about photography ethics. From foundational ideas about the power of photography to practical advice about personal biases, collaboration, asking for consent and building trust, these lessons can help to foster a deeper understanding of the ethical considerations in photography.

    One of the threads that runs through many of these lessons is the importance of self-reflection. Photographers speak about engaging in self-reflection to understand their own motivations for telling a certain story through photography, as well as their own personal perspective in relation to the stories they tell. Photographer Kirsty Mackay says:

    I think looking at the objective and your own reasons for documenting a subject is really, really important. What we see, quite often, is middle-class photographers making a story about working-class people, not really to raise awareness of an issue, but really for themselves, and for their own ego, and to elevate their status within photography.

    Self-reflection can help photographers to better understand how their perspective shapes the way they tell visual stories by identifying their underlying assumptions and unconscious biases. As photographer and academic Dr Tara Pixley explains: “In your career as a photographer … you’re going to tell hundreds of stories, but the first story you have to tell to yourself is the one about you.”

    While self-reflection is important for mining our motivations and mitigating our biases, it cannot achieve objectivity. Despite long-held beliefs in the objectivity of photography, there is a growing recognition within the industry that we all see the world through our own lens, subjectively. This is why we need a diversity of photographers.

    Additionally, no amount of self-reflection can substitute knowledge and understanding of the people, places and topics we are photographing. Photographers like Taha Ahmad stress the importance of research in their practice. He explains that doing research can help photographers to “have a better understanding of the kind of work they are going to produce and what impact the work could make when it is out in front of the world”.

    Despite its limitations, self-reflection is critical for the future of the photography industry. Photography ethics are changing as the world changes. This may mean that past practice does not match up with the current ethical standards. This may also mean that we respond to ethical issues differently today than we might have in the past. The key is to learn from our past experiences to inform our practice in the future.

    The lessons identified by this report should not be understood as guidelines or rules, nor are they comprehensive. Instead, they are intended to help inform how we think about photographs, the photographic process and photography ethics – and, perhaps, they can help us to navigate the current crisis of conscience felt across the photography industry.



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    Savannah Dodd is the founder and director of the Photography Ethics Centre. She receives funding from the Economic and Social Research Council (ESRC).

    ref. AI is just one of the thorny issues facing photography – here’s how the industry can prioritise ethics – https://theconversation.com/ai-is-just-one-of-the-thorny-issues-facing-photography-heres-how-the-industry-can-prioritise-ethics-241148

    MIL OSI – Global Reports

  • MIL-OSI Global: What is it like to be a prison officer in the UK?

    Source: The Conversation – UK – By Kaigan Carrie, PhD Candidate in Criminology, University of Westminster

    When prison officers are in the news, it’s rarely for a positive reason. Recent headlines have included officers smuggling contraband into prisons, or having inappropriate relationships with prisoners. It’s little wonder that the many prison officers who only want to do a good job feel undervalued. We don’t often hear about the ones saving lives on the wings.

    Prison officers get a bad reputation. Research suggests that the public think they are power-hungry disciplinarians with questionable morals. It doesn’t help that a record high 165 staff in England and Wales were dismissed for misconduct in the past year.

    But what is it like to be a prison officer in the UK today? I talk to prison officers in Scotland and Finland for my own PhD research and I regularly interview prison officers around the world for my podcast, Evolving Prisons.

    Prison officers wear many hats. They’re mentors, firefighters and first-aiders. Officers themselves have likened their job to that of a parent. Sometimes they’re teaching a prisoner how to read, helping with job applications and sometimes they’re just having a conversation which might help someone change their thinking. Prison officers are the cornerstone of the prison system.

    This is why it is so concerning that prisons in England and Wales are chronically understaffed. More than 13% of prison officers left His Majesty’s Prison and Probation Service in the 12 months prior to June 30 2024. And 32% of the remaining officers have less than two years’ service, which puts them at risk due to their inexperience.


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    This understaffing means that prisoners spend longer in their cells, as there are fewer opportunities for them during the day. This, coupled with unprecedented overcrowding, creates a “pressure cooker” environment which results in higher rates of violence and an increase in staff assaults.

    One officer, who has worked in UK prisons for three decades, said it’s like going through a meat grinder and living each day in fear.

    A 2023 study by the House of Commons justice committee surveyed 5,113 prison officers (about 25% of the total officer workforce). The results found a staggering 50% of them do not feel safe in the prison they work in.

    The Ministry of Justice revealed that, in the 12 months to March 2024, the rate of assaults on staff in prisons in England and Wales increased by 24% from the year before, totalling 9,847 assaults. Working in a job where you are exposed to violence regularly has a negative impact on your physical and mental health.

    Physical and mental health toll

    Prison officers are in constant contact with people deemed too dangerous to be in society. As a result of this and the lack of resources available to them to do their job, they’re found to experience elevated rates of stress and burnout. They are also at heightened risk of cardiovascular disease and stroke.

    In addition to the stress-related risks, working in a prison carries other environmental hazards that have both physical and mental effects.

    For example, the use of the synthetic drug “spice”, a psychoactive substance, is prevalent in prisons around the UK and prison officers are at risk from inhaling the fumes. The symptoms are wide-ranging from one officer telling me it made her believe she had six fingers, to another being hospitalised and left with long-term health problems. Earlier this year, five prison officers were taken to hospital after a curry made for them by prisoners was suspected to have been spiked with spice.

    Hypervigilance is common in prison officers and manifests as a way to keep themselves safe. However, research found it can negatively affect their sleep and their relationships, and it can psychologically fatigue officers. Some research suggests that some officers may help prisoners commit crime as a result of burnout, due to feeling a lack of motivation and dedication to the job.

    Prison officers can also experience “moral injury”, a form of psychological trauma that can occur when someone acts against deeply held beliefs, as they find themselves going against their internal beliefs in their work. One officer told me, when working with female prisoners who had previously been victims of domestic abuse, that she felt she had replaced their perpetrator and was further traumatising them by telling them when they could shower, eat and leave their cell.

    Prison officers witness a lot of trauma such as self-harm, suicide attempts and violence. Little research exists into rates of post-traumatic stress disorder (PTSD) among serving prison officers in the UK. However, a 2018 study in the US found prison officers have PTSD rates six times higher than the general population.

    It’s clear that UK prison officers have been struggling with their mental health. One in eight took sick days for mental health reasons in 2022.

    A Ministry of Justice spokesperson said recently that the department will “get a grip on the situation … and make our prisons safer for hard-working staff.”

    But until that happens, the country’s prisons remain in a state of disarray. And prison officers are the people being asked to hold them together, while putting their own health and wellbeing on the line.

    Kaigan Carrie 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. What is it like to be a prison officer in the UK? – https://theconversation.com/what-is-it-like-to-be-a-prison-officer-in-the-uk-241596

    MIL OSI – Global Reports

  • MIL-OSI Global: Why does Donald Trump tell such blatant lies?

    Source: The Conversation – UK – By Geoff Beattie, Professor of Psychology, Edge Hill University

    When it comes to lying in politics, Donald Trump is in a class of his own. According to the Washington Post, he made 30,573 false or misleading claims in his four years as president, increasing year-on-year from six per day in his first year to 39 per day in his fourth.

    Although other presidents have lied to the public, none have lied like this. Some of Trump’s lies are trivial, and many are self-aggrandising (“Nobody builds better walls than me”). Then there are his more egregious lies, like the one about the 2020 presidential election being “stolen” – demonstrably and dangerously contrary to the facts, with serious consequences for the nation and public trust.

    And these lies can cut through. Research by political scientists Kevin Arceneaux and Roy Truex found that this “big lie” about the stolen election was very “sticky”. Around 50% of Republican voters believed it, regardless of any emerging contrary evidence. The researchers also found that belief in this lie boosted Republican supporters’ self-esteem – as they weren’t “losers” after all.

    Politicians who lie can gain a strategic advantage. If you can successfully embellish the truth or construct a new reality, this often tends to be more interesting and engaging than the complicated truth. The truth may be a bit dull and uninspiring; the lie can be whatever you want it to be. You know what your audience wants to hear.

    Politicians know that lying is part of our everyday lives. Research in psychology using lie diaries tells us that people lie on average twice a day. Many are harmless “white” lies told for the benefit of others, but some are not so harmless and told for the benefit of the liar themselves.

    Some people get significant pleasure from telling such self-centred lies. Psychologists call this “duping delight”. It confuses the recipient of the lie, who expects to detect signs of guilt or anxiety. Instead, all they see is a faint smile of satisfaction. The liar gets away with it – that smile could mean anything.

    Who likes lying?

    Certain types of personality are drawn to telling these sorts of lies, including those with little empathy, such as narcissists and psychopaths. They don’t care about the consequences for the recipient; it’s all about them.

    People typically start lying early in life – between two and three years of age. Charles Darwin observed this in his own son.

    And the ability to lie improves as our cognitive abilities develop. Like any skill, we get better at it with practice. While many adults still feel guilt when they don’t tell the truth, some politicians don’t appear to feel any guilt, shame or sadness at telling a lie.

    Donald Trump claimed falsely that immigrants in Ohio were eating cats and dogs.

    Telling a big lie

    Politics was once thought of as an art. It was political philosopher Nicolo Machiavelli who, in 1532, wrote: “Those princes who have done great things … have known how to circumvent the intellect of men by craft.” Part of that craft was lying. Machiavelli argued that rulers should do whatever it takes to retain power, and this could include “being a great dissembler”.

    Politicians can lie by omission and by exaggeration – but sometimes, like Trump, they tell outright “big lies”. This term was introduced by Adolf Hitler in Mein Kampf, and the concept of the big lie was used by the Nazis to justify persecution of the Jews.

    A big lie is often defined as “a deliberate gross distortion of the truth used especially as a propaganda tactic”. These have, it is argued, the power to disrupt society.

    Political historian Timothy Snyder accused Trump of using the big lie technique in his denial of the 2020 election result.

    To work, according to Hitler, big lies must also be able “to awaken the imagination of the public through an appeal to their feelings”. They are not aimed at our rational selves, but our unconscious and emotional selves.

    Trump saying that immigrants are eating the dogs and cats in Springfield, Ohio, is not appealing to our rational system. It’s providing us with a vivid image, and trying to affect our emotional and unconscious system.

    As the sociobiologist Robert Trivers has pointed out, lying can give you a clear evolutionary advantage. Status, wealth and achievements are important in that great evolutionary battle, the survival of the genes – that’s why people (including Trump) lie about them. But Trivers says self-deceit can also be evolutionarily advantageous, because if you can convince yourself then it makes you more convincing to others, and therefore more effective.

    Perhaps Trump managed to convince himself that they really were eating the dogs and cats in Springfield. Or perhaps he thought to himself: “Plant the emotional image, that’s all you need for the faithful.”

    Attractive fictions might well engage us and sweep us along but, as Shakespeare suggested in the Merchant of Venice, many people hope the “truth will out” eventually. The last few months of the US election campaign suggest this may not always be true.

    Geoff Beattie 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. Why does Donald Trump tell such blatant lies? – https://theconversation.com/why-does-donald-trump-tell-such-blatant-lies-241192

    MIL OSI – Global Reports