Category: Academic Analysis

  • MIL-Evening Report: Can we find hidden graves of murder victims with soil imaging? New Australian study gives it a try

    Source: The Conversation (Au and NZ) – By Victoria Berezowski, Lecturer, Forensic Science, Deakin University

    Kyle Towns/Shutterstock

    To avoid being caught, murderers often attempt to hide bodies using various methods. This can include shallow or deep burials, submersion in water, encasing in concrete or even disposing of remains in rubbish bins and suitcases.

    Finding the body is a key part of any murder investigation, as it helps to identify, prosecute and charge the killer. Unfortunately, the task can be immensely difficult.

    To help tackle the problem of locating hidden graves, we have trialled two innovative techniques for searching underground: ground-penetrating radar and electrical resistivity tomography, or ERT. Our results are now published in the journal Remote Sensing.

    Borrowing tools from geology

    The tools we used are known as geophysical methods because they measure the physical properties of materials in the soil under the surface.

    The use of geophysical techniques for peering under Earth’s surface is not new – engineers, geologists and archaeologists have used the tools we tested for decades.

    But geophysical techniques are not typically used for forensic investigations because directly finding a body with these methods is very difficult.

    However, both of the tools we tested can help to locate a grave indirectly – by looking at the differences between the disturbed soil of the grave and the undisturbed soil around it. When the techniques encounter disturbed soil and/or the presence of body fluids, the resulting data will show as an anomaly – something different to the areas surrounding it.

    To figure out whether the identified anomaly is a grave, researchers can then consider the size, shape and depth of the anomaly to make sure it correlates with a human body.

    Tori Berezowski using a ground penetrating radar to survey the ‘hidden’ graves.
    Author provided

    Pigs at the ‘body farm’

    At the Australian Facility for Taphonomic Experimental Research (AFTER), Australia’s only “body farm” – a facility that uses donated bodies for forensic research – we buried five pigs in various configurations to mimic clandestine graves.

    This included two single graves (a “shallow” grave of just half a metre, and a “deep” grave of almost two metres) and a mass grave with three pigs at one metre deep. We used pigs as they are a good body analogue in terms of size and mass to humans.

    We surveyed the graves with ground-penetrating radar and ERT before and directly after burial, and then one, eight, 14, and 20 months later.

    In forensic research, pig cadavers are a suitable proxy for human bodies, as they have a similar size and mass.
    Author provided

    Our findings revealed that geophysical imaging of hidden graves can work, but with varying results. This depended on the size, depth and age of the burial, and the amount of rainfall before the survey.

    The grave containing the three pig cadavers was the easiest to observe due to its larger size and volume. This indicates geophysical techniques may be particularly useful in humanitarian investigations that involve searching for mass graves.

    A shallow single grave was the next most observable. This is also an encouraging finding because most graves of hidden victims are only around half a metre deep. For both techniques, the two-metre-deep single grave was the most difficult to image.

    Although both tools could detect some graves on some occasions, neither located all of the graves during the entire length of our survey. This was likely due to a combination of factors, including the soil type at the site and unprecedented weather conditions during the research period – La Niña flooded the research site multiple times.

    We did, however, confirm that pig cadaver graves are good proxies to human donor graves when investigating geophysical techniques for finding them.

    To do this, we compared the ground-penetrating radar and the ERT responses of the pig burials to those of human burials (all part of existing research projects at AFTER). We found no obvious differences between the two.

    This is a very important result, because it means we can further test these tools in Australia and worldwide without being constrained by highly limited access to human donors.




    Read more:
    Secrets wrapped in fabric: how our study of 100 decomposing piglet bodies will help solve criminal cases


    More work needed

    Similar studies have been done in the United Kingdom, the United States and South America. However, ours is the first systematic, multi-technique, geophysical survey of covert graves in an Australian environment. The only other similar Australian study was in 2004, however, it only used ground-penetrating radar and didn’t check back on the graves at multiple time points.

    Our results clearly demonstrate that geophysical methods can be effective for locating unmarked graves under some circumstances, but don’t always work. To try and work out why, we will continue our research using the latest geophysical instruments and monitoring the moisture conditions inside the graves.

    Ultimately, we believe using these tools can increase the chances of locating missing and murdered victims. Then, we can finally provide answers to their families and loved ones, and increase the chances of prosecuting their killers.


    The team would like to thank Justin Ellis, Gabriel C Rau, Dilan Seckiner, and Isabella Crebert for their contributions to this research. Additionally, we would like to thank AFTER for the space to conduct the research and to Soren Blau and Jon Sterenberg for allowing us to scan your graves.

    Victoria Berezowski receives funding from the Social Sciences and Humanities Research Council of Canada. This work was also funded by a Vice Chancellor Higher Degree by Research PhD Training Scholarship from the University of Newcastle.

    Ian Moffat receives funding from the Australian Research Council, the Australian Nuclear Science and Technology Organisation and Flinders University.

    Xanthe Mallett has received funding from the Australian Research Council.

    ref. Can we find hidden graves of murder victims with soil imaging? New Australian study gives it a try – https://theconversation.com/can-we-find-hidden-graves-of-murder-victims-with-soil-imaging-new-australian-study-gives-it-a-try-224274

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Fostering a love of stories in a child’s first years is key to lifelong reading

    Source: The Conversation (Au and NZ) – By Elaine Reese, Professor of Psychology, University of Otago

    Children’s literacy rates are falling around the globe. In response, a number of governments, including New Zealand’s, are overhauling the way reading is taught in primary school.

    One key change is a renewed focus on phonics (mapping sounds to letters).

    But an overemphasis on phonics could dampen children’s motivation to read for enjoyment and understanding.

    In my new book, I show how important it is to foster a love of books and stories in young children if they are to become lifelong readers.

    The science of reading

    Reading isn’t natural for humans. Instead, it is a recent skill in our evolutionary history.

    Today, children’s lifelong academic and occupational success depends on becoming literate.

    Learning to read in English is devilishly difficult. Many words that sound the same are spelled differently (team and teem, for example) and the same group of letters can be pronounced differently (dough versus through).

    Most reading scientists and teachers agree direct instruction in letter-sound relationships (phonics) is necessary for children to become readers. Skilled reading also involves comprehending the meaning of words.

    But because reading is difficult and requires practice, children must also want to put in the time and effort needed to become a fluent reader.

    This motivation to read begins much earlier than the first day of school.

    Reading instruction needs to connect with the ingrained human love of oral stories if it is to turn into a love of reading.

    Growing a love of books

    Children’s love of the sounds, melodies and emotions in stories is innate and has existed throughout human history. Hunter-gatherer tribes with a higher per capita rate of storytellers were more likely to thrive.

    In my book, I drew on findings from Growing Up in New Zealand, Aotearoa’s largest longitudinal study of child health and wellbeing. I also included the latest data from Origins of Language and Memory of New Zealand children – the longest-running study in the world of children’s story development.

    My findings highlight the critical role that families play in turning a love of oral stories into a love of books.

    Although a love of stories starts in the womb, most parents wait until their babies are born to start reading books to them.

    To successfully share a picture book with a baby, the adult needs to follow the infant’s gaze and react to what is on the page, then wait to let the baby take a turn – whether through a coo, a look or a smack of the book.

    At this tender age, the goal is to establish a book-sharing routine and enjoy back-and-forth “stories” rather than to get through a whole book.

    In the toddler years, stories begin to flow more fluidly. Toddlers who have experienced stories from books and conversations will initiate stories readily with an adult, either by talking about a recent event or by bringing their favourite book to read together.

    If these conversations are responsive, both types of stories strengthen children’s language, literacy, and social and emotional development.

    In the preschool years, children with consistent book-sharing and reminiscing routines will acquire advanced skills including abstract vocabulary, print concepts, awareness of the sounds of words and understanding of characters’ emotions and actions. They are also able to link stories from books to their own lives.

    All these skills are critical for their later reading success.

    Time to read

    Even children with this solid foundation may find it challenging to learn to read in the first year of school.

    The goal is to help them “crack the code” (mapping sounds to letters) as quickly as possible. Only then will a child be able to integrate their knowledge and love of stories with the sounds of words on a page.

    For this leap to happen, a child must want to read on their own. Children with a rich story bank will be able to push past the difficulty of decoding to reading for understanding and enjoyment.

    Phonics is a necessary step in the lifelong timescale of literacy development. Yet, according to reading expert Sebastian Suggate, early reading instruction with a child who doesn’t love stories or books is like sowing seeds on parched earth.

    For children to become successful readers, we need to enrich the soil by instilling a love of stories and books in the first five years of life and beyond — long after the phonics work is finished.

    Elaine Reese has received funding from the Marsden Fund of the Royal Society of New Zealand.

    ref. Fostering a love of stories in a child’s first years is key to lifelong reading – https://theconversation.com/fostering-a-love-of-stories-in-a-childs-first-years-is-key-to-lifelong-reading-239495

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Octopuses work together with fish to hunt – and the way they share decisions is surprisingly complex

    Source: The Conversation (Au and NZ) – By Culum Brown, Professor, Macquarie University

    Karen Willshaw/iNaturalist, CC BY-NC

    A new study published in Nature Ecology & Evolution lifts the veil on what happens when octopuses and fish hunt together. As it turns out, this cross-species relationship is more complex than anyone expected.

    Animals of the same species often cooperate – work together to reach some kind of goal. But it’s relatively rare to find cooperation between individuals from different species.

    A classic example you’ll be familiar with is the close relationship between dogs and humans, whether in the context of herding sheep or hunting. In these situations, the dog and the human work together to achieve a goal.

    That’s mammals. But underwater species also sometimes cooperate. A nice example is the joint hunting behaviour of moray eels and grouper. The grouper approaches the moray and signals that it wishes to hunt. The eel responds in kind, and off they go.

    During these hunting forays, the grouper uses signals to indicate where prey may be hidden in the coral matrix. It’s a synergy made in heaven: the eel can scare the prey fish from hiding places among the coral, while the grouper patrols over the top. There is literally no place for prey to hide.

    For the eels and grouper, the chances of catching their dinner are greatly improved when hunting together compared to hunting on their own.

    Who’s in charge here?

    While researchers have described these behaviours before, one question remains unanswered. Who, exactly, is in charge of these cross-species interactions?

    Who decides what they are going to do, where and when? Are the different players “democratic”, in that they come to some form of compromise, or does one species take the lead and the other simply follows (that is, they are “despotic”)?

    In an international collaboration, biologist Eduardo Sampaio and colleagues have investigated cross-species interactions between the usually solitary day octopus (Octopus cyanea) and several fish species, such as goatfish and groupers.

    A day octopus hunting with a blacktip grouper and a gold-saddle goatfish.
    Eduardo Sampaio and Simon Gingins

    The fish and the octopus share a common goal – to increase their hunting efficiency. The traditional view of octopus-fish hunting groups assumed that the octopus is the producer, and the fish simply follow along and opportunistically pick up the scraps.

    With its long, flexible arms, the octopus explores all the nooks and crannies of the hunting ground, flushing out prey the fish can then take advantage of. In this scenario, the octopus would be solely in charge of decisions and the fish just follow (that is, it’s an exploitative, despotic relationship).

    However, when researchers took a closer look, it appeared perhaps this relationship is not as simplistic as previously believed. But without fine-scale analysis providing hard evidence, it is difficult to work out the precise details of how this cooperation works.

    A day octopus hunting with a blue goatfish, while a blacktip grouper waits.
    Eduardo Sampaio and Simon Gingins

    What did the new study find?

    Using sophisticated behavioural analyses of 3D videos captured from 120 hours of diving, Sampaio and team found that each partner in the interaction plays a specific role. There was, in fact, no true leader – they are democratic.

    The fish were responsible for exploring the environment and deciding where to move, while the octopus would decide if and when to move. Interestingly, controlled experiments showed the octopuses were guided by social information provided by the fishes.

    When partnered with blue goatfish, the octopus foraging tactics where more focused and efficient. When partnered with blacktip groupers, they were less so. So, the nature of the hunting relationship varied depending on who’s involved.

    The researchers concluded that, overall, success rates for capturing prey were higher for the octopus when foraging with fishy partners.

    The details revealed by this study suggest this relationship is far more sophisticated than other cross-species hunting associations examined to date.

    Despite the huge evolutionary gap between these animals (the equivalent of about 550 million years), both fish and octopus show clear signs of social competence and advanced cognition.

    Culum Brown 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. Octopuses work together with fish to hunt – and the way they share decisions is surprisingly complex – https://theconversation.com/octopuses-work-together-with-fish-to-hunt-and-the-way-they-share-decisions-is-surprisingly-complex-239723

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: How do women with disability and LGBTQIA+ people experience menopause?

    Source: The Conversation (Au and NZ) – By Kate O’Reilly, Director International (Programs & Engagement) | Lecturer School of Nursing and Midwifery, Western Sydney University

    pikselstock/Shutterstock

    After hearing about the experiences of the diverse spectrum of people across Australia, the Senate inquiry into issues relating to menopause and perimenopause has released its final report with 25 recommendations.

    The first recommendation is to establish a comprehensive evidence base to better understand the experiences of under-served groups, including LGBTQIA+ people and women with disability.

    Gaps in knowledge of menopause can be significant barriers to diagnosis and treatment. More than 85% of people with distressing menopause symptoms do not receive appropriate care. These barriers can be compounded for people, women and those presumed female at birth who have a disability and/or are LGBTQIA+.

    Here’s what we know so far about how people from diverse groups experience menopause and the health-care gaps they face.

    Remind me, what is menopause?

    Generally menopause is experienced across three phases.

    Perimenopause (meaning around menopause) starts when hormones, particularly oestrogen, fluctuate.

    Menopause occurs when a person has their final menstrual period. These stop because the person’s ovaries no longer release eggs. This definition reflects the different ways menopause can occur (natural menopause, premature ovarian insufficiency, surgery or cancer treatment).

    Post-menopause is the stage after menopause marking the end of the reproductive stage.

    We experience it differently

    Everyone’s experience of menopause is different. People living with disability can experience unique symptoms and challenges.

    Autistic people, for example, may describe the experience of menopause as turbulent or catastrophic. Symptoms for this group include intensified sensory stimuli and increased difficulty with:

    • executive functioning (planning, concentrating and multitasking)
    • recognising or regulating emotions and internal body cues
    • communication
    • socialising.

    As one research participant explained:

    [O]ur society doesn’t talk about, address, understand women our age (menopausal onset) in general very well. And so when you have the added dimension of autism […] there’s no resource […] to tell me how to handle that. And there’s no room in society for it either […] we don’t talk about menopause, let alone autistic menopause.

    LGBTQIA+ experiences of menopause and ageing are diverse and are often absent in media, health care and research.

    For some trans and gender diverse people, menopause can be positive and affirming. For others, the distress can be profound. As one research participant explained:

    Personally I was fine (gender-identity-wise) with experiencing periods and pregnancy/childbirth, but I have found menopause much more conceptually difficult. I think in large part because the social narrative is so much about ‘menopausal women’ and also often denigratory or shame-laden.

    Barriers to menopause diagnosis and care

    LGBTQIA+ people and people with a disability can face assumptions about their gender, sexuality or anatomy which interfere with the care they require.

    When people have had prior negative experiences of health care, and have experienced stigmatisation and pathologising of their disability, intersex variations, diverse gender or their sexuality, they may delay accessing care for menopause. Such a delay can result in poorer physical and mental health outcomes.

    People with disability can experience earlier menopause with more profound symptoms. And as Women with Disabilities Australia highlighted, when there are pre-existing health concerns, impairments, or other support needs, as is the case with disability, menopause symptom management can be particularly complex.

    Women living with a disability in Australia are far less likely to access health care due to stigma and lack of specialist care. They are not always screened for or routinely asked about their reproductive or menopausal health experiences.

    Lack of clinician education and provider bias can result in a tendency to either ignore menopausal symptoms or attribute them to mental health concerns. This can lead to misdiagnosis, inappropriate treatment or a complete denial of care for cisgender women and people who live with disability, and LGBTQIA+ folk.

    The absence of inclusive, accurate language in health promotion information that does not recognise the diversity of experiences of menopause for people who identify as LGBTQIA+ or live with disability can make them more vulnerable to misinformation and contribute to increased health-care disparities.

    What can we do about it?

    Policy responses to reducing health-care disparities must be led by those with lived experience, and focus on:

    Inclusive and accurate language

    Language around menopause should reflect the diverse populations who experience it. Terms such as women and those presumed female at birth can be used to acknowledge trans and gender diverse folk, however all identities should be listed where possible.

    Education

    Undergraduate and postgraduate university and clinical education on menopause and perimenopause is lacking and should include the lived experience of menopause among diverse groups. This may reduce provider bias and prevent assumptions that could result in missed care and poor health outcomes.

    At the individual level, content on menopause should be included in sexual health education programs in schools. This education should reflect the diverse experiences of menopause and use age-appropriate language.

    Affirming and specific care

    Welcoming clinical environments for LGBTQIA+ people who may have had prior negative experiences can ease past concerns. Peer-led credentialed online support networks can provide alternative and complementary safe spaces to seek care.

    For people living with disability specific information for support workers and family carers can help facilitate ongoing affirming care.

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

    ref. How do women with disability and LGBTQIA+ people experience menopause? – https://theconversation.com/how-do-women-with-disability-and-lgbtqia-people-experience-menopause-239485

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: With The Puzzle, David Williamson shows his continual capacity to satirise the middle-class

    Source: The Conversation (Au and NZ) – By Russell Fewster, Lecturer in Performing Arts, University of South Australia

    Matt Byrne/State Theatre Company South Australia

    Fun, sex, Renoir and a reckoning might be a succinct way to introduce the new play by David Williamson, The Puzzle. As Williamson noted to me in the foyer, “life would be pretty boring without sex”. However, he writes, in the production program that this comes with a proviso that licentiousness without any moral grounding can lead to human beings inadvertently “upending their lives”.

    In other words: be grateful for what you’re got.

    Just last month New Wave Australian playwright Jack Hibberd passed away. Hibberd, in writing one of his best-known works, Dimboola (that Williamson directed for the Pram Factory in 1973), spoke of needing to find a human ritual by putting two competing families together in his rural comedy.

    Williamson, of the same generation of playwrights, similarly has pointed out “the essence of drama – [is] you put people in a room that should never be in a room together and things happen”.

    While Hibberd found this in a country wedding, Williamson has found it, in this instance, in a holiday cruise that appeals as a “lifestyle” change.

    Post-COVID has seen an increase in holiday cruises. Though there are comparatively small offerings of adult only cruises euphemistically titled “lifestyle cruises” (or, to be blunter, swingers cruises), they are subject to increasing demand from both young and old.

    A lively production

    The play’s title is taken from the large Renoir jigsaw puzzle found in the games room of a cruise ship that brings together those wanting to shake up their monotonous lives.

    Of course, this becomes a metaphor for how the middle-aged negotiate themes of sexual boredom, polygamy and parenthood. With shades of Williamson’s earlier satirical get-together Don’s Party (1971), the ensemble expertly navigate the promises that “swinging” might do to enliven their character’s sex lives, trapped as they are in close proximity to each other.

    This is a lively production with uniformly good performances.
    Matt Byrne/STCSA

    This is a lively production with uniformly good performances. Erik Thomson plays Drew, the father trying to improve his relationship with his daughter and provides a solid anchor for the promiscuousness that occurs around him. Ahunim Abebe brings rhythmic physicality to his daughter Cassie as she shocks the father with her own sexual adventures.

    The two would-be swinging couples bring verve and vivacity to their performances. Chris Asimos delights as Brian who flips from depression to reinforced post coital vitality. Anna Lindner brings a refreshing groove as she sashays around the cruise ship as Brian’s wife, Michele.

    Williamson has found the drama in a holiday cruise that appeals as a ‘lifestyle’ change.
    Matt Byrne/STCSA

    Ansuya Nathan’s Mandy provides a moral counterpoint as her character struggles with the concept of swinging, while her onstage partner Craig, played by Nathan O’Keefe, provides both earnestness and excellent comic timing. At one point during the night O’Keefe toasts his glass too hard and loses his slice of lemon on the floor – which he promptly sucks on to the great amusement of the audience. Clearly an accident, but perhaps worth keeping.

    Steady chuckles

    Shannon Rush directs with panache, providing some excellent moments of physical vignettes interlaced with the increasing sexual frisson, accompanied by brisk and sharp lighting from Mark Shelton. This in turn is ably supported by the 70s-style guitar soundtrack from composer Andrew Howard and sound designer Patrick Pages-Oliver.

    Williamson alludes to the garish décor found aboard cruise ships and Ailsa Paterson’s design doesn’t disappoint. She makes spectacular use of colour and proportion that beckons with promises of a new adventure.

    The multi-layered set features tables and chairs with retro 70s/80s feel. The backdrop is a stylised view of the horizon changing with time passing – this is in the form of the Renoir style of brush stroke, neatly linking it to the jigsaw we see being slowly completed.

    Williamson alludes to the garish décor of cruise ships, and Paterson’s design doesn’t disappoint.
    Matt Byrne/STCSA

    The play draws steady chuckles and the occasional guffaw as Williamson builds the expectations of the passengers. In the second half, naturalism gives way to farce as the characters experience both comic and life changing reversals. This comes with the moral reckoning of the unintended consequences intercouple sex may bring.

    Williamson’s capacity to introduce ideas and return to them in new ways in the dialogue demonstrates his expert craft in constructing witty and challenging dialogue.

    This grand old man of Australian theatre shows his continual insight and capacity to satirise the middle-class.

    Kudos should also go to outgoing artistic director Mitchell Butel who had the foresight to see the potential in the finished script submitted by Williamson, followed by further development between playwright and company to bring the play to the stage.

    The playwright, actors and director gain much from being able to work together over a period of time.

    Like the new wave of the 1970s, artists don’t grow in isolation but blossom within a supportive community. In this instance a community Butel has fostered, evident in another fine offering.

    The Puzzle is at the State Theatre Company South Australia, Adelaide, until October 12.

    Russell Fewster co-ordinates the 2nd year course: State Theatre Masterclass in the Performing Arts Major at the University of South Australia. This is a collaboration between the State Theatre of SA and the University of South Australia.

    ref. With The Puzzle, David Williamson shows his continual capacity to satirise the middle-class – https://theconversation.com/with-the-puzzle-david-williamson-shows-his-continual-capacity-to-satirise-the-middle-class-239195

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Why is the Reserve Bank independent from government, and why does it matter?

    Source: The Conversation (Au and NZ) – By Henry Maher, Lecturer in Politics, Department of Government and International Relations, University of Sydney

    Negotiations over reforms to the Reserve Bank of Australia this week took an unprecedented turn when the Greens demanded the government use its reserve powers to immediately cut interest rates.

    Labor had initially hoped to pass the reforms with the support of the Coalition. However, after a year of negotiations, they decided against it. Labor’s attempts to salvage the reforms by negotiating with the Greens now seem doomed to failure.

    The Greens’ proposal that the government immediately cut interest rates might sound attractive, especially to the millions of mortgage holders struggling to service loans amid a cost-of-living crisis.

    Yet government taking direct control of setting interest rates would run contrary to both long-standing historical trends and international financial norms, including the independence of the central bank.

    Where did this independence come from?

    The idea of central bank independence has a long history.

    The classical political economist David Riccardo warned as early as 1824 that:

    government could not be safely entrusted with the power of issuing paper money; that it would most certainly abuse it.

    Even the authoritarian French emperor Napoleon Bonaparte claimed in creating the Banque de France that:

    I want the bank to be more in the hands of the government but not too much.

    However, for most of the 20th century, the commonsense view was that monetary policy was an important tool for government management of the economy. According to the Keynesian worldview of the time, it would be absurd for governments to give up such an important economic lever as control over interest rates.

    Even Napoleon Bonaparte thought some degree of separation between the central bank and the government was a good idea.
    Shutterstock

    The prevailing wisdom began to change following the stagflation crisis of the 1970s. Stagflation is the term for high inflation at the same time as high unemployment.

    Neoclassical economists such as Milton Friedman argued that only repeated and long-term increases to interest rates could end the stagflation crisis.

    However, Friedman suggested governments could not be trusted to maintain high interest rates because they would also cause unemployment. Accordingly, an independent central bank was needed. It would be insulated from partisan political control and could do what was necessary to stabilise the economy.

    What about in Australia?

    In Australia, central bank independence emerged slowly and informally.

    The Reserve Bank of Australia was separated from the Commonwealth Bank and started independent operations in 1960. It set up its headquarters in Sydney to increase its autonomy from politicians in Canberra.

    The RBA gained de facto independence from the government following financial deregulation under the Hawke government in the early 1980s. Subsequent declarations from federal treasurers Peter Costello and Wayne Swan affirmed the government’s recognition of RBA independence.

    The government still maintains the power to overrule the RBA on interest rates, but this “emergency power” has never been exercised.

    Why independence matters

    Though central bank independence is generally associated with lower inflation, the historical performance of independent central banks is not without blemish.

    For example, unemployment rates in Australia were historically lower prior to RBA independence. This reflects the willingness of the RBA to use higher unemployment as an inflation-busting mechanism.

    Independent central banks were also partly responsible for the outbreak of the global financial crisis in 2007. Many commentators have suggested the then US Federal Reserve Governor Alan Greenspan’s decision to hold interest rates at artificial lows was responsible for the US sub-prime housing bubble. That eventually unravelled into a global recession.

    However, the Greens’ attempt to use an interest rate cut as a negotiating chip ironically reinforces the importance of central bank independence. Were governments to take direct control of setting interest rates, we might expect monetary policy to be influenced by short-term electoral concerns, rather than the long-term health of the economy.

    Creating a precedent that interest rates could be cut to suit the government of the day would also have long-term inflationary effects.

    Further, it would likely continue to drive up house prices. This would exacerbate the housing crisis.

    In contrast, the initial reforms proposed by Labor look to strike a balance. They recognise the competing political interests involved in the development of monetary policy while avoiding partisan interference in the day-to-day running of the RBA.

    Though the Coalition has raised concerns about Labor using the reforms to stack the RBA board, both the governor and board are already appointed by the government of the day, acting on the advice of the RBA.

    Finding a workable compromise that improves the bank while preserving political independence should be possible.

    If the alternative is the complete abrogation of central bank independence, the Coalition would do well to return to the negotiating table.

    Henry Maher 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 is the Reserve Bank independent from government, and why does it matter? – https://theconversation.com/why-is-the-reserve-bank-independent-from-government-and-why-does-it-matter-239717

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: What are ‘rent tech’ platforms? Action on reining in these exploitative tools is long overdue

    Source: The Conversation (Au and NZ) – By Linda Przhedetsky, PhD Candidate, Faculty of Law, University of Technology Sydney

    Bernard Hermant/Unsplash

    This week the New South Wales government announced it would introduce legislation that ensures renters are offered convenient, fee-free options to pay their rent.

    The announcement is just one of many state and territory reforms that aim to address issues arising from the use of rental technology platforms.

    In recent years these platforms and the landlords who use them have come under fire for intruding on renters’ privacy and charging additional fees. While practices such as “rent bidding” have already been outlawed around Australia, governments are now starting to turn their attention to other harmful practices facilitated by new technologies.

    Action on these issues is long overdue, and there’s much more that needs to be done to ensure rental technology platforms actually benefit consumers.

    An expanding industry

    A wide range of digital technology platforms are used to facilitate the use, trading, operation and management of real estate assets. A well-known example is AirBnb, a technology platform that facilitates short-term rentals by connecting hosts with guests.

    The property technology industry in Australia is rapidly expanding. In 2023, there were more than 478 products, start-ups and established companies ranging from marketing tools to data analytics platforms. This was up from 188 in 2019.

    A portion of these companies make services typically designed to be used by renters, real estate agents or landlords.

    A major selling point of rental technology platforms is that they promise to streamline a range of processes. To renters, these technologies are billed as quick, easy and effective ways to submit property applications, request maintenance or pay rent.

    If designed well, these platforms can certainly offer convenience. But many have expressed dissatisfaction with rental technology businesses that pressure renters to pay for costly background checks, collect too much personal data, or use opaque algorithms to “score” applicants.

    People who struggle to access or use technologies may also find these platforms difficult to use. This makes it harder for them to access an essential service.

    Some 41% of renters report feeling pressured to use a third-party rental technology platform to apply for a property. And 29% say they have opted not to apply for particular rentals because they do not trust rental technology platforms. This suggests that the use of these technologies may sometimes deter, rather than attract, applicants.

    Additional fees

    Over 30% of Australians rent their homes, a figure that continues to grow as people find themselves priced out of home ownership. Rising rents and the overall increase in the cost of living have put many renters under substantial financial pressure.

    With this in mind, it’s concerning that some renters have found themselves with little choice but to use rental technology platforms that charge fees to process rental payments.

    For example, renters using a popular platform called Alio are typically charged between 0.25% to 1.50% to make automated rental payments, depending on the method of payment they use. A rough estimate shows that a household paying the median weekly rent (A$627 per week) on a fortnightly basis might see themselves paying between $81.51 and $489.06 in additional fees each year.

    As required by law, Alio does offer a fee-free option to pay rent. But this option is highly inconvenient: it requires renters to enter their bank details anew every month.

    The fee-free options offered by some other rental technology platforms are equally inconvenient. They include paying rent in cash at the local post office.

    For renters who have been asked to use a rental payment platform, this may mean spending additional time and effort every time they pay their rent to avoid paying additional fees.

    The NSW government already requires lessors to offer fee-free ways to pay rent (similar protections are legislated in other states and territories). However, the key element of this week’s announcement is a commitment to making sure these fee-free methods are actually convenient. This should hopefully close the legislative loophole that is enabling these rental technologies to unfairly profit at renters’ expense.

    While the draft legislation is yet to be seen, these reforms might see renters reverting to tried and tested payment methods such as bank transfers and bypassing rental technology payment platforms altogether.

    Effective enforcement

    Introducing laws that ensure renters have access to convenient, fee-free ways to make rental payments is a no-brainer. The next step is ensuring these laws are enforced effectively.

    To achieve this, the regulator must be well resourced to carry out compliance and enforcement activities that ensure lessors and rental technology businesses comply with these protections.

    Beyond these reforms, there is more work to be done to ensure renters are effectively protected from a range of harms that are created or exacerbated by rental technology platforms.

    Issues such as discrimination and unfair treatment through rental technology platforms warrant further attention.

    The key challenge for governments and regulators is to keep up with technological developments so they can identify and address issues as they arise.

    Linda Przhedetsky is a Board Member at the NSW Tenants’ Union, and is a member of the NSW Fair Trading’s Industry Reference Group on Protecting Renter Information. She receives funding from the Australian Housing and Urban Research Institute.

    ref. What are ‘rent tech’ platforms? Action on reining in these exploitative tools is long overdue – https://theconversation.com/what-are-rent-tech-platforms-action-on-reining-in-these-exploitative-tools-is-long-overdue-239602

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: At 2.7%, Australian inflation is back within the RBA zone. Here’s why that matters

    Source: The Conversation (Au and NZ) – By John Hawkins, Senior Lecturer, Canberra School of Politics, Economics and Society, University of Canberra

    Jeremy Ng/Shutterstock

    A closely watched measure of Australian inflation dived in the month of August, plunging from 3.5% in July to just 2.7%.

    The dip below 3% puts the monthly measure of annual inflation back within the Reserve Bank’s target band of 2-3% for the first time since August 2021.

    The longer-running quarterly measure of annual inflation is also likely to be back within the 2-3% band when the September-quarter figure is released next month.



    The dramatically lower inflation rate puts Australia in the same league as the United States, whose inflation rate is 2.5%, and the United Kingdom, whose inflation rate is 2.2%.

    The US and the UK have inflation targets of 2%, meaning their inflation rates are still somewhat above target. Australia’s monthly measure of inflation is on target, close to the middle of the band.



    Electricity prices down 17.9%

    Inflation has been trending down since late 2022, as shown on the graphs, but the sharp drops in the past two months are largely due to electricity rebates offered by the federal and state governments.

    The rebates will be applied automatically to electricity bills in this and each of the next three quarters. A staged rollout means they hit bills in only Queensland and Western Australia in July and hit other states in August.

    The Bureau of Statistics says these rebates took 6.4% off the average national power price in July and a further 14.6% off in August.

    Household electricity prices were down 17.9% over the year to August. The Bureau of Statistics describes this as the largest annual fall on record.

    Also helping bring down inflation were lower petrol prices and cheaper public transport, aided by Brisbane’s pre-election six-month trial of 50 cent fares.

    The jump in the monthly measure to 4% in May, which had excited some commentators, now looks like a misleading blip.

    A takeaway is to be cautious in interpreting the less-comprehensive monthly indicator, as is the Reserve Bank, which puts it in small print at the top of its website under the quarterly index, which it headlines in big print.

    For what it’s worth, I am expecting the quarterly index to show annual inflation of 2.8% in the year to September, down from 3.8% for the June quarter.

    Governor Bullock isn’t impressed

    Reserve Bank Governor Michele Bullock says that at the moment she is paying more attention to the “underlying” rate of inflation, which looks through temporary measures such as subsidies.

    But the Reserve Bank’s preferred measure of underlying inflation, the so-called trimmed mean, also fell in August, to 3.4%, down from 3.8% in July.

    Australia’s weak economy – right now it’s the weakest outside of a recession – means the underlying measure of inflation is likely to continue to fall, unless the tax cuts that started in July have a big effect.

    Why do we target 2-3% anyway?

    Reserve Bank set its target of 2-3% inflation in the early 1990s without a lot of science. It was about where inflation was, close to the targets adopted by other countries, and was a range rather than a specific number in order to give the authorities some flexibility.

    But it happens to be a sensible target, as last year’s independent review of the Reserve Bank confirmed.

    The bank wants to target an inflation rate low enough to not be noticed much and to not much distort decisions.

    Evidence from Google searches suggests that when inflation is around the 2-3% range, people don’t much notice it, but when it climbs up to 4% or 5%, they notice it a lot and search for the word a lot.



    Although zero is (literally) a round number, zero inflation would be too low a target. It would mean deflation (prices falling) as often as not to balance out the prices that were climbing. Deflation is associated with recessions and poor economic performance.

    An inflation rate of 2-3% also allows some real wages to fall (because they can increase by less than the inflation rate), which can be useful in encouraging workers out of declining industries into ones that are expanding.

    In particularly bad times, the Reserve Bank might want to push interest rates down below the inflation rate. This is hard to do if the inflation rate is zero.

    In theory, there is a case for increasing Australia’s inflation target to about where inflation is at the moment, but if that happened, Australia’s inflation target and future inflation targets would have less credibility.

    And in any event, we are moving quickly back towards the target, and on Wednesday’s measure have already hit it.




    Read more:
    No RBA rate cut yet, but Governor Bullock is about to find the pressure overwhelming


    John Hawkins was formerly a senior economist and forecaster in the Reserve Bank and the Australian Treasury.

    ref. At 2.7%, Australian inflation is back within the RBA zone. Here’s why that matters – https://theconversation.com/at-2-7-australian-inflation-is-back-within-the-rba-zone-heres-why-that-matters-237650

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Swing and a miss? Why golf in Australia is struggling to attract women and girls

    Source: The Conversation (Au and NZ) – By Michelle O’Shea, Senior Lecturer, School of Business, Western Sydney University

    kasakphoto/Shutterstock

    Prestigious Victorian golf club 13th Beach Golf Links, famed for award-winning courses and hosting the Victorian Open, has found itself in the middle of a controversy.

    In a bid to bolster membership, diversity and revenue, the club has introduced additional membership categories for women. These memberships form part of a dedicated campaign to get more women on the greens, following a member and board supported strategic plan to grow women’s membership from 18% to 30% by 2027.

    Despite the club’s commitment to gender representation, its status as a signatory to The Royal & Ancient Golf Club of St Andrews (R&A)’s Women in Golf Charter and recognition as a 2023 Visionary of the Year by Golf Australia for its “whole-club approach to gender equity”, support among some members remains wanting.

    A stunt that made waves

    Controversy erupted at 13th Beach after its new women’s memberships were launched.

    One male member, wearing a blonde wig and skirt, was captured approaching club staff to inquire about the new women’s membership options, remarking:

    I’m identifying as a female now and I’m just about to inquire about the new membership deal.

    The male member, and two others who filmed and shared the footage, were temporarily suspended from the club.

    A key element to the controversy is the discounted membership compared to male golfers.

    After the stunt, some men and women claimed:

    [The club] openly discriminates against males […] it is both fair and just for female members to pay the same subs as their male counterparts, as equality is a fundamental principle that we should uphold.

    However, this statement conveniently denies the sport’s current and past issues with gender, race and class.

    Historical and current barriers

    Globally year-on-year, the growth of male golf participation outnumbers women, with women making up 23% of adult registered golfers worldwide.

    In Australia, golf participation rates continue to rise. Among women and girls, Golf Australia reported a near 13% increase from 2022–23.

    Despite this rise, access issues and barriers to full participation for women and girls run deep.

    A lack of visibility of female golfers can reinforce stereotypes of golf as a men’s game, while women can struggle with amenities and equipment designed for men.

    Golf is steeped in gendered, raced and classed exclusion, and was traditionally a sport for men of similar social standing.

    Women were confined to secret games or putting activities, away from the “real” golf played by men.

    Women were banned from golf’s spiritual home, St Andrews in Scotland, for 260 years – until a 2014 vote when female membership was finally permitted.

    Two years earlier, premier United States course Augusta National welcomed its first women members.

    Golf Australia is trying to attract more women and girls to the sport.

    An uneven playing field

    Despite recent improvements, women’s golf participation and membership access frequently remain conditional.

    Traditionally in Australia, women and girls have been restricted to “associate” or “lady” memberships – which often have lower status and fewer benefits.

    Course access can also be problematic, with Saturdays often reserved for male players.

    At many Australian clubs, Tuesdays are often referred to as “ladies day” which assumes women don’t have work or other commitments.

    A poster on the Reddit forum, r/WomenGolf, has queried the different options for men and women’s golfers.
    Reddit

    Women members are often allotted less popular tee times while overall, some club cultures can render golf courses chilly climates for women.

    Being scrutinised and surveilled on the greens by male golfers is reported by women as a barrier – feelings of hyper-visibility, being mocked for their play and their bodies frequently undermines women’s enjoyment.

    At the professional level, while the women’s game is increasing in prize money, media coverage and sponsorship, there is still significant room for change.

    For female professional golfers, research also highlights a male-dominated and “sexist environment”.

    Inclusivity is good for everyone

    In a bid to increase participation among more diverse groups, Golf Australia is inspiring people to “go play and enjoy golf in their own way”.

    As part of its “own way campaign,” programs have been designed for seniors, women and disabled players.

    Recognising how differences such as race and culture shape golf participation, more community-facing programs are targeting improved diversity.

    Off the greens, golf leadership and administration is also under the spotlight.

    Including women’s voices in decision making is key to realising meaningful change – research clearly finds boards with diversity of thought and representation perform better.

    Beyond the important inclusivity debates, there are clear commercial reasons to enable women’s participation.

    Very recent industry research states there are an estimated 36.9 million latent women golfers around the world, and this group may be worth up to US$35 billion (A$51 billion) to the golf industry should they take up the sport more permanently.

    Golf has a lucrative opportunity.

    Valuing and enabling diversity in all areas should fill the coffers and genuinely position golf as a sport for all.

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

    ref. Swing and a miss? Why golf in Australia is struggling to attract women and girls – https://theconversation.com/swing-and-a-miss-why-golf-in-australia-is-struggling-to-attract-women-and-girls-239202

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Global: War affects girls and boys differently: what we found in our study of children in the DRC

    Source: The Conversation – Africa – By Roos van der Haer, Assistant professor of International Relations at the Institute of Political Science, Leiden University

    War has become a regular part of life for many children. Millions are victims and witnesses to the horrors of war. Recent estimates by researchers at the Peace Research Institute Oslo show that one in six children globally lives in a conflict zone, and Africa has the highest number of conflict-affected children.

    Many children are forced to become child soldiers. In other cases, such as during the 1994 genocide in Rwanda, violence is aimed at children.

    In recent years, researchers from various fields have been studying the impact on children of growing up in war zones. Psychologists, for example, have been researching how conflict affects children’s mental health and behaviour. Economists have examined, among other issues, how growing up in these environments can limit future earning capabilitites. Other scholars have investigated how war shapes the long-term (political) attitudes of these children.

    Despite this growing body of research, we – a group of researchers who look into the causes and consequences of armed conflict for children – spotted two key gaps.




    Read more:
    Why some rebel groups force kids to fight: it depends on how they are funded


    First, much of the literature treats children’s experiences as if they were the same across different contexts. Few studies have considered the distinct experiences of girls as soldiers or how these differ from boys’ experiences.

    Second, while some research does explore these gender differences, it often focuses only on what happens during the conflict. It doesn’t consider how these experiences affect social relationships when the conflict ends. This is despite scholars and policymakers highlighting that girls’ experiences in war are fundamentally different from those of boys due to their different status and role in society.

    To address these gaps, we conducted an exploratory study from 2018 to 2019 on the experiences of boys and girls during conflict in the Democratic Republic of Congo (DRC). We studied how these gendered experiences might have affected their social relationships after the war. We interviewed 315 children aged between 12 and 18, with different levels of exposure to conflict. This included 186 respondents who had been involved in armed groups.

    Our recently published analysis revealed, as expected, that many children had witnessed or experienced various conflict-related events during their life-time. Most children reported seeing homes and property destroyed, and many had witnessed people being beaten or tortured by armed forces. Fewer children reported being sexually assaulted or raped or injured by weapons such as gunshots or stabbings, though sadly these were not rare occurrences either.

    We found that boys were generally more exposed to conflict than girls. This difference is largely due to boys being more involved with armed groups and more likely to perpetrate violence.

    These experiences of conflict can have lasting effects on children’s relationships with their families, friends, teachers and other important social groups. These connections are crucial for a child’s development and wellbeing.

    The differences between how boys and girls are affected are important considerations in building appropriate and effective psychosocial support programmes, with tools that address gender-specific needs in conflict or post-conflict situations.

    The study

    We gathered information from 315 structured interviews with Congolese children. Some of these boys and girls had been actively involved with armed groups in the eastern provinces of the DRC, while others had less direct exposure to the conflict.

    Conflict and human rights violations are widespread in the DRC. World Vision has called the decades-long conflict in the country “one of the worst child protection crises in the world”. Further, in a recent UN report on children and armed conflict, 3,377 verified grave violations against children in the DRC were identified. Of these, 46% involved the recruitment of children – some as young as five – by armed forces or groups.

    To examine how the armed conflict has affected Congolese boys and girls, we collected data between 2018 and 2019 in the South Kivu province of eastern DRC. We selected our participants with the help and consent of five local child protective organisations.

    Our analysis first explored what the boys and girls had experienced during conflict. Then we associated these gendered experiences with differences in social behaviour. We looked at whether there were gender differences in the children’s key relationships with family, friends (and other social groups) and their teachers.




    Read more:
    War devastates the lives of children: what the research tells us, and what can be done


    First, we found that war disrupted the family’s ability to provide safety and security, and both children and their caregivers might suffer from the emotional and psychological toll of the conflict. Our study found that girls tended to have a stronger relationship with their family and caretakers compared to boys after conflict. This aligns with previous research suggesting boys may face more challenges in maintaining family relationships. This is particularly the case for those that were active as child soldiers.

    Second, our analysis found that boys tended to have more diverse friendship networks than girls, even when comparing former boy soldiers to girl soldiers. Friendships are vital for a child’s wellbeing. Strong and diverse friendships are linked to better mental health, tolerance and understanding.

    Lastly, we looked at how gender and war experiences might affect relationships between students and teachers. Armed conflict can have devastating effects on the educational attainment of children. Education, however, supports war-affected children and adolescents in several important ways. Structured school rules, regulations and activities establish a sense of normality, which is crucial to the healing process and wellbeing of children. Overall, the children interviewed had a very positive view of their schools or training programmes. They felt safe, enjoyed spending time with their classmates and viewed their teachers as helpful and caring. However, girls – especially former girl soldiers – were significantly more likely than boys to report that their teachers were sympathetic and supportive.

    Why the findings matter

    Our research is one of the first to highlight significant differences in how boys and girls experience war, and how these experiences shape their social relationships.

    Addressing the differences in the needs of boys and girls after conflict not only improves their wellbeing, but is also likely to positively affect entire households, post-conflict regions and post-conflict countries. While our study sheds light on these differences, more research is needed to understand them in greater depth and, most importantly, to explain why they occur.

    Are these differences the result of psychological trauma, behavioural changes, or specific events that happened before or during the conflict? Moreover, we know very little about the long-term effects of war exposure – do these differences fade over time, or do they persist? And how can communities play a role in helping children to overcome these challenges? Do we also observe these differences in other conflicts at other periods?

    Understanding these differences is key for policymakers working to develop effective support programmes. Developing and increasing the availability of gender-responsive approaches can help strengthen the resilience of children after conflict. It may also work to strengthen their agency and resilience before conflict.

    We would like to thank the Gerda Henkel Stiftung for their extensive support of this research.

    Kathleen J. Brown 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. War affects girls and boys differently: what we found in our study of children in the DRC – https://theconversation.com/war-affects-girls-and-boys-differently-what-we-found-in-our-study-of-children-in-the-drc-238789

    MIL OSI – Global Reports

  • MIL-OSI Global: Ludwig: in this comic BBC detective drama, puzzles are key to solving a murder – and understanding other people

    Source: The Conversation – UK – By Deborah Klika/Klikova, Academic Portfolio Lead in Film & Television Production, University of Greenwich

    “It makes no sense. It’s impossible to solve” – so decries John “Ludwig” Taylor (David Mitchell) when trying to solve a murder using puzzle techniques in the new six-part BBC detective series, Ludwig.

    Each week puzzle designer John uses his skill to solve a crime. The show, also starring Anna Maxwell Martin, is guided by the thematic question: “how do we solve life’s puzzles?”

    John’s twin brother James (also portrayed by Mitchell) has suddenly gone missing. Enlisted by his sister-in-law Lucy (Maxwell Martin) to help find James, John reluctantly moves in with her and her son, leaving behind his ordered and self-contained (but lonely) world. Lucy wants John to pose as his brother to get some information from James’ office about a case that he was working on, which she suspects is related to his disappearance.

    What begins as a benign task very quickly escalates into John taking on James’ role as DCI James Taylor with Cambridge’s Major Crime Squad. John is swept along to crime scenes wherein he proceeds to solve murders using various puzzle techniques: logic puzzles, spot the difference, coincidences (three to be statistically relevant) and even reverse chess (where maths, probability and reason are used to determine prior moves in the middle of a chess game).

    The situation creates a bind plot. John wants the love of a family – specifically James’ family – but if he finds James, he will lose the “family” he has found. He is caught between his want (to have a family and Lucy) and his flaw (to learn to engage with people and the world).

    In my research, I posit that the bind plot is more prevalent in comedy than in drama. The tension between the want and the flaw is what underpins the comedy.

    John is navigating life on two levels: as an imposter detective and as a lonely man with signs of neurodiversity, such as an inability to understand and express feelings, and the need to follow certain rules. This results in misunderstanding and confusion for some of those around John, but not for John himself.

    The trailer for Ludwig.

    This duality is a common technique in comedy writing. As comic writer Steve Kaplan notes in The Hidden Tools of Comedy (2013), comedy emerges in the gap between the wavy-line character (the confused one) and the straight-line character (with a fixed view on life).

    What is interesting in Ludwig is John’s character arc. He begins as a straight-liner, but both his interactions with Lucy and her determination to find her husband force him to question his own life. His increasing confusion about, and interaction with, other people result in him becoming a wavy-line character.

    In my book Situation Comedy, Character, and Psychoanalysis (2019) I label the straight-liner as “echo characters”. That’s because they echo the unconscious fear of the main character, while maintaining their own fixed view of the world. It is because the main character is unconscious of this behaviour in themselves that such characters become “trapped” in their dynamic.

    These kinds of relationships define the sitcom. Think Phoebe in Friends, who echoes Rachel’s fear of commitment. In the first episode of Friends, Rachel is a runaway bride and Ross is recovering from a failed marriage, setting both these characters up as commitment-phobic. Phoebe, however, embraces life and all its alternatives, no matter how kooky or off-beat.

    Moss in The IT Crowd, echoes in a different way. His attention to detail and focus are the antithesis of Roy’s approach to work and Jen’s lack of knowledge of anything to do with IT. Roy fears work and Jen fears being exposed as ignorant, making Moss their perfect echo character.

    Maintaining the pretence

    The challenge for Ludwig’s head writer and creator, Mark Brotherhood, is to ensure that John can keep up the pretence of being his twin brother, while at the same time ensuring the pretence is believable.

    Brotherhood’s previous credits (Father Brown, Death in Paradise, Benidorm and Mount Pleasant) have shown his ability to merge genres such as crime and drama with comic moments.

    Set-ups such as characters having recently joined the crimes unit (who did not know James), and fleeting interactions with other characters (who do know James), save John from exposure. But they also distract the audience from the central question – “why don’t other people see that John is a different person?”. Instead we are drawn into the world of puzzles and how they can help solve crimes – and maybe help us solve problems in our own lives.

    Dramatic irony enables the audience to be in on the conceit. We know John is not James, but we also know that John is a puzzle master, and we revel in his ability to solve crimes. However, being in on the deception prompts the question: what will happen when John is exposed?

    In the vein of Poirot or Miss Marple, John is dedicated to solving murder through reasoned logic as well as increasingly astute observations of human behaviour – something he has avoided until now.

    Ludwig is an engaging (and at times puzzling) drama with comic moments, governed by a thematic premise – to understand puzzles is to understand life.



    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.


    Deborah Klika/Klikova 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. Ludwig: in this comic BBC detective drama, puzzles are key to solving a murder – and understanding other people – https://theconversation.com/ludwig-in-this-comic-bbc-detective-drama-puzzles-are-key-to-solving-a-murder-and-understanding-other-people-239626

    MIL OSI – Global Reports

  • MIL-OSI Global: The rise of the ‘megapub’: is bigger really better?

    Source: The Conversation – UK – By Rachael. E. Rees-Jones, Lecturer in Strategy, University of South Wales

    shutterstock niksdope/Shutterstock

    Wetherspoons has unveiled its latest venture at London’s Waterloo Station – a vast new pub called The Lion & The Unicorn. This so-called “Superspoons” is part of a growing trend in the UK’s hospitality industry, where ever-larger venues are reshaping traditional experiences.

    With its prime location and expansive layout of 5,000 sq ft and almost 600 seats, the venue’s opening marks what some business commentators are describing as the dawn of the “megapub” era, where bigger seems to mean better for chains like Wetherspoons.

    Megapubs are designed to offer more than just a quick pint. These vast, multi-purpose venues aim to cater to a variety of needs throughout the day, from morning coffee and business lunches to evening meals and live entertainment. The inclusion of extensive seating, diverse menus and designated zones for different activities – such as socialising or working on a laptop – aim to attract a broad range of customers.

    By offering an all-in-one experience, they are deliberately designed to stand apart from the traditional pub model. And they are positioning themselves as destinations rather than typical pubs.

    True to Wetherspoons’ business model, the new megapub promises competitive prices on food and drink, which may make it an attractive option for budget-conscious customers. By offering a variety of experiences under one roof, megapubs are attempting to tempt customers inside with convenience, variety and affordability all in one package, while also feeling part of a community.

    What could it mean for the hospitality sector?

    One major concern over the onset of the megapub is the potential impact on smaller, independent pubs and restaurants. Over the last ten years, pubs have been closing at an alarming rate, as publicans struggle with rising supply costs and overheads. A growing number of young people are also choosing to abstain from alcohol. Such factors have reduced the demand for traditional pubs.

    Megapubs, with their size and pricing power, could exacerbate these challenges by drawing customers away from independent venues that struggle to compete on price or scale. This may be especially true of those relying on niche markets or unique experiences.

    While it is still early days, and the effects of the megapub are yet to unfold, experts are already questioning whether this could change the way we socialise. By combining affordability with a range of amenities, megapubs like the new “Superspoons” may set new expectations for what a pub experience should be. Instead of visiting multiple locations for different activities, people may prefer to spend their leisure time in a single, multi-functional venue where they can socialise, dine and work.

    Wetherspoons is not the only company experimenting with this new model. Across the hospitality and retail sectors, businesses are increasingly seeking to create more versatile spaces to attract a broader customer base.




    Read more:
    Youth drinking is declining – myths about the trend, busted


    So, could we see more companies following Wetherspoons’ lead? Given the current economic conditions, where many consumers are tightening their belts, it seems probable. This could be the beginning of a long-term shift towards larger, multi-functional venues. Of course, it may just be a temporary response to the challenges of the present market.

    Economically, this concept appears to be well-suited to the financial challenges and uncertainty of our current times, as increasingly isolated people look for cost-effective ways to dine and socialise. Offering both affordability and a wide range of options, these venues could thrive during economic downturns by drawing in budget-conscious consumers.

    Whether you’re a fan of the traditional pub or intrigued by new concepts like the “Superspoons”, it’s clear that the way we socialise is evolving. As hospitality businesses continue to push boundaries, we may see a significant change in how we spend our leisure time and money.

    Rachael. E. Rees-Jones 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 rise of the ‘megapub’: is bigger really better? – https://theconversation.com/the-rise-of-the-megapub-is-bigger-really-better-238629

    MIL OSI – Global Reports

  • MIL-OSI Global: His Three Daughters: an honest reflection on death and the meaning of family

    Source: The Conversation – UK – By Shelley Galpin, Lecturer in Culture, Media and Creative Industries, King’s College London

    How do you communicate death? This is the question posed towards the end of His Three Daughters – a rather audacious move considering that it revolves around the last days of a father whose titular daughters have all gathered to be present for his passing.

    Set almost entirely within the apartment that is home to dying Vincent and daughter Rachel, the film captures a palpable sense of claustrophobia. Here, controlling, uptight Katie (Carrie Coon playing the modern-day equivalent of her character from The Gilded Age), emotional Christina (Elizabeth Olsen) and slacker Rachel (Natasha Lyonne) are unwillingly thrown together, all with their own personal but conflicting senses of duty to their father.

    With its restricted setting and small cast of characters, the film by writer and director Azazel Jacobs, risks feeling stagey at times, as the small dramas play out in the crucible of the apartment. However, the striking camera work, in which the three women are frequently shot in direct, single mid-shots, almost as if they are talking heads in a documentary, creates an uncomfortable sense of isolation.

    The family dynamics are immediately clear. Katie and Christina have moved into Rachel’s home and have instantly dominated the space. Katie doesn’t attempt to conceal her judgment of weed-smoking, professional gambler Rachel, literally forcing her out of her own home in order to smoke. Frequently, scenes play out for some time before it’s clear that Rachel is even in the room. This is due to the fragmenting camera work that creates a confessional tone but denies the intimacy of showing the sisters together – an intimacy it is clear these women so desperately crave.

    The character work is not subtle. Katie’s obsession with obtaining a “do not resuciate” form for her dying father is controlling bordering on the macabre. Her turning to alcohol while still pouring judgment on Rachel’s substance use highlights her hypocrisy, while also hinting that these two apparently different women have more in common than it would seem.

    Despite Christina’s self-appointed role as peacemaker and emotional support, she also uncomfortably goes along with Katie’s exclusionary behaviour. The two sisters occasionally fall into their own (slightly bizarre) language, and routinely refer to Rachel as “she”. As the film progresses the reason for this is gradually revealed, with the title taking on extra resonance when it becomes clear that Rachel is Vincent’s step-daughter.

    At its heart, the film is an exploration of family, blended or otherwise. Through the laboured task of attempting to write a eulogy for their father, the three women realise that despite coming from the same home, their experiences of it have been very different.

    The character arcs, as each wrestles with the person they have become and the past that made them that way, are not original, with the emotional journeys following well-trodden tracks. However, the cast give it their all. Natasha Lyonne is excellent as the silent heart of the family and Elizabeth Olsen captures Christina’s suppressed fragility nicely. Carrie Coon also fulfils her role in the mismatched triumvirate well, suitably scary as the micro-managing Katie, although the role hardly feels like a stretch for her considerable talents.

    In answer to the question of how one communicates death, the film proposes that this is most effectively done through absence. In one of the more “on the nose” moments this is unnecessarily stated through the sisters’ dialogue. Infinitely more effective, though, is the film’s conceit of having the father almost entirely off-screen, both dominant and absent at the same time.

    Yet this absence also manifests itself in the sister’s relationships with each other, as they frequently comment that each other’s lives are “not my business” and converse as you would with a vague acquaintance. Ultimately, the film is a refreshingly downbeat and honest reflection on the nature of families, and what being part of a family even means when all members have matured into diverse and full adult lives.

    When the inevitable finally happens, the film attempts a brave rug pull with real emotional heft. Characters, and viewers, are left reflecting on what it really means when the time, which had felt like it could go on forever, finally runs out. Although it is sometimes a little heavy-handed, His Three Daughters will get you at the end, which, given the film’s subject matter, feels entirely fitting.



    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.


    Shelley Galpin 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. His Three Daughters: an honest reflection on death and the meaning of family – https://theconversation.com/his-three-daughters-an-honest-reflection-on-death-and-the-meaning-of-family-239664

    MIL OSI – Global Reports

  • MIL-OSI Global: Exploding pagers and walkie-talkies are a reminder of how easily your devices can be hacked – here’s how to make sure they are safe

    Source: The Conversation – UK – By Nick Hajli, AI Strategist and Professor of Digital Strategy, Loughborough University

    Quality Stock Arts/Shutterstock

    The recent attacks on walkie-talkies and pagers in Lebanon have highlighted the hidden vulnerabilities in everyday technology. These incidents underscore the need for individuals to understand the potential risks associated with their devices and to take proactive steps to protect themselves in an increasingly digital world where safety can be compromised.

    Research shows that many people have significant concerns about security and privacy as technology advances. Statistics reveal an alarming rise in cyber threats and privacy breaches, underscoring the urgency of addressing these issues. According to IBM, the average cost of a data breach worldwide reached US$4.88 million (£3.65 million) in 2024, demonstrating the severe consequences of technological vulnerabilities.

    So, are our smartphones and devices truly safe? With numerous reports of data breaches and privacy violations linked to technological development – especially concerning artificial intelligence (AI) – the recent attacks in Lebanon raise new concerns about the security of technology in an era where AI introduces complex challenges.

    The pressing question for consumers is whether any of our devices can genuinely be deemed safe. If Israel can launch such an attack (and it has not confirmed it was behind the device attacks – but neither has it denied widespread reports insisting it was) other states may very well follow suit.

    The Lebanon device attacks should serve as a crucial wake-up call regarding the vulnerabilities in devices we often take for granted. Part of the challenge lies in the less discussed impact of AI, which can track, analyse, and act on information in ways that pose risks to privacy and security. While AI brings substantial benefits to society, it also creates complex challenges, particularly in terms of democratic integrity and personal safety.

    As technology increasingly becomes an indispensable part of our everyday lives – through smartphones, tablets, and smart home devices – it’s really important to understand the risks associated with our dependency on this tech. There are some practical steps that we can all take to enhance our security and take control of our digital lives.

    What you can do

    1. Be careful who you buy from: One critical lesson is to be mindful of where you purchase your products. As technology advances, consumers often turn to price comparison apps to find cheaper options. But these less expensive products frequently originate from distant countries with complex supply chains. For example, in 2020, it was revealed that some Huawei and ZTE devices used in telecom infrastructure contained back doors, which led to allegations of espionage and resulted in some countries banning or limiting their use.

    It’s worth thoroughly researching the manufacturer before making a purchase. Before buying, check reviews and security certifications, and find out if the company has a history of security breaches or privacy concerns. Ensuring the manufacturer is reputable adds an extra layer of protection.

    It’s vital to ensure the security of your mobile device is not compromised.
    OLE.cnx/Shutterstock

    2. Understand potential risks: Older devices, such as pagers, often lack modern security features such as regular updates, making them more vulnerable to interception. Additionally, recent advances in AI raise concerns about the security of newer devices. For instance, AI algorithms used in smart home devices can learn user patterns and behaviours.

    If these devices are compromised, hackers could use this information to orchestrate targeted attacks or gain unauthorised access to homes. It’s crucial to assess the risks associated with both old and new technologies – and if you think them unsafe, it’s best to just not use them.

    3. Update devices regularly: Ensure you regularly update your software and firmware to benefit from the latest security patches. Stick to devices that are still supported by their manufacturers, as unsupported devices may stop receiving vital security updates, leaving them vulnerable.

    4. Keep your eyes on your tech: Anyone who is able to gain physical access to your device could tamper with it. Always store your devices securely when not in use, minimising the risk of unauthorised access.

    5. Stay informed on cybersecurity issues: Keep yourself updated on the latest cybersecurity threats and learn how attackers exploit various technologies. Familiarise yourself with basic defensive practices, such as using strong, unique passwords and enabling two-factor authentication. Remember that many modern devices are interconnected, making them potential gateways for attacks. For example, a compromised smartphone could potentially infect your laptop or other devices on the same network.

    Exercise caution with smart devices such as speakers, cameras, and wearables by ensuring they are properly configured, using encrypted connections, and limiting unnecessary data sharing.

    By taking these steps, you can enhance your security and navigate the complexities of our technology-driven world with greater confidence.

    Nick Hajli 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. Exploding pagers and walkie-talkies are a reminder of how easily your devices can be hacked – here’s how to make sure they are safe – https://theconversation.com/exploding-pagers-and-walkie-talkies-are-a-reminder-of-how-easily-your-devices-can-be-hacked-heres-how-to-make-sure-they-are-safe-239657

    MIL OSI – Global Reports

  • MIL-OSI Global: ‘Russians at War’ documentary: From the Crimean to the Iraq War, soldier images pose questions about propaganda

    Source: The Conversation – Canada – By Martin Danahay, Professor, English Language and Literature, Brock University

    A British publisher commissioned photographs of the army in the Crimean War to be used as the basis for oil paintings. Cornet Wilkin, 11th Hussars, by Roger Fenton. (Roger Fenton/Library of Congress)

    Questions surrounding the film Russians at War linger following controversy surrounding it at the Toronto International Film Festival (TIFF).

    TIFF faced protesters at a Sept. 17 screening of the “first person” documentary by Russian Canadian filmmaker Anastasia Trofimova. The festival had “paused” public screenings following an earlier media and industry screening, as festival staff reported receiving “significant threats” to festival operations and safety. Protesters said the film was pro-Russian propaganda.

    Trofimova told CBC her film was an attempt to humanize Russian soldiers as a way to combat further anger and violence.

    I have not seen the film, but as a researcher who has long examined the ambiguous meanings of soldier images, I’m not surprised the film has been criticized as propaganda. In my book War without Bodies: Framing Death from the Crimean to the Iraq War, I examined how images that omit their political context can be viewed as implicitly supporting the war effort.

    First photographs: Crimean War

    This ambiguity can be found in the first photographs of the British army at war. These were taken by photographer Roger Fenton during the 1853-56 Crimean War, in which British, French and Ottoman military attacked Russia and besieged Russian forces on the Crimean Peninsula.

    Fenton was commissioned by a Manchester, U.K. publisher, Thomas Agnew and Sons, to photograph the British army in Crimea, focusing on officers and any other participants he found interesting.

    His photographs were to be used as the basis for oil paintings by the artist Thomas Barker. The publisher didn’t reproduce photographs, but made them into woodcuts or as source material for paintings.

    Fenton also photographed the landscape and foreign fighters like French Zouaves — French military units originally formed from the Zouaoua Berber tribe from the coastal mountain Djurdjura region of North Africa after the French invaded and conquered Algeria — but the majority of his subjects were British officers.

    Shared social class

    Fenton wasn’t commissioned by the government, but he had a letter of introduction from Prince Albert, husband of Queen Victoria. He was of the same social class as the officers he photographed, and dined with high-ranking officers such as Lord Raglan.

    Fenton’s photographs gave the appearance of a competent and functioning military led by skilled officers. Photographs such as one taken of Cornet Wilkin looking smart and capable on his horse suggest the traditional posed style of military portraiture seen in commissioned tribute paintings.

    The photograph His Days’ Work Over: Lieut.-Colonel Hallewell and Servant shows a reclining officer being waited on by his manservant. The image indicates the class status of the officer and depicts leisure rather than war.

    ‘His Days’ Work Over: Lieut.-Colonel Hallewell and Servant,’ photograph by Roger Fenton.
    (Library of Congress)

    The Cookhouse of the 8th Hussars similarly shows a group of cavalry with one reclining and others grouped around a man serving food.

    ‘The Cookhouse of the 8th Hussars,’ photograph by Roger Fenton.
    (Library of Congress)

    The photograph omits any visual evidence that would acknowledge that these are the survivors of an infamous British military blunder, the Charge of the Light Brigade, where cavalry were mistakenly ordered to charge directly at Russian artillery and suffered disastrous casualties.

    Long exposure, composed photographs

    Fenton could not photograph combat given the amount of time needed to capture an image using the wet collodion process, which required a long exposure.

    He could, however, have documented other aspects of the situation in Crimea which were covered by reporter William Howard Russell, who Fenton also photographed in 1855.

    Russell’s dispatches on the terrible conditions suffered by British troops and the ravages diseases like cholera combined with letters published by the soldiers caused a scandal in Britain. These reports led to the downfall of a government and to Florence Nightingale organizing a cohort of nurses to tend to the sick and wounded.

    Russell’s reporting revealed what was omitted from Fenton’s photographs of the war. The photographs served as the first demonstration of how such images could present positive images of war that belied the reality of death and suffering.

    Fenton’s photographs indirectly supported the war effort by showing only positive images of individual soldiers.

    Vietnam, Iraq War

    Media coverage of the American war in Vietnam, often referred to as the “first television war,” is often credited with turning public opinion against the conflict.

    Images of dead soldiers and civilians were transmitted to the viewing public. The “Saigon execution” photograph of a man being shot in the head was particularly shocking.

    To avoid mages such as this, according to Jessica M. Fishman, a behavioural scientist who has examined how media censors and displays the dead, major networks like CNN, Fox News and NBC largely followed an informal agreement to avoid showing graphic images of dead American soldiers during the Iraq War. In addition, reporters were embedded in military units and formed close relationships with the troops who were the subject of their reports.




    Read more:
    Three images that show wartime photographs can have greater impact than the written word


    The result was sanitized coverage of the war which, at least initially, helped maintain public support for the conflict. Images of drone strikes in particular suggested that the military was using precision weapons and “surgical” strikes that did not include civilian casualties.

    Just as reporting by Russell contradicted Fenton’s images of a competent military, photographs of the torture of prisoners in Abu Ghraib prison by American solders in 2004 helped change public perception of it as a “just war.

    Trust with soldiers, personal ties

    Trofimova, in an interview with CBC, said she does not support the war and wanted to break stereotypes of Russian soldiers as motivated by hate.

    She pointed out that Russia has conscription and that many soldiers may have been drafted and are not supportive of the war. She also stated that she had no support from the Russian government and gained access to soldiers because she built up trust with them.

    The parallels with Fenton are instructive because he did not have support from the British government, and relied on personal connections to obtain his portraits.

    Excluding crucial information

    As with Fenton, the image of the Russian army conveyed by the interviews with soldiers may be as significant for what it leaves out about the war as much as what it tells us about them as individuals.

    When the CBC interviewer asked Trofimova about a statement made by a Russian soldier that they were incapable of committing war crimes, which Tromifova did not correct,
    she replied that “once you start trying to make this an analytical documentary that is going to provide you with stories that you have not documented yourself, then this becomes something else.” In March 2024, the Independent International Commission of Inquiry on Ukraine announced it had new evidence Russian authorities have committed violations of international human rights and international humanitarian law, and corresponding war crimes.




    Read more:
    Putin’s war on history is another form of domestic repression


    Both Fenton’s photographs and a documentary that focuses on Russian soldiers’ perspectives exclude crucial information that would help lead the viewer to question the conduct of the war or how it is being justified.

    Martin Danahay receives funding from Social Sciences and Humanities Research Council

    ref. ‘Russians at War’ documentary: From the Crimean to the Iraq War, soldier images pose questions about propaganda – https://theconversation.com/russians-at-war-documentary-from-the-crimean-to-the-iraq-war-soldier-images-pose-questions-about-propaganda-239340

    MIL OSI – Global Reports

  • MIL-OSI Global: Can cryptocurrencies ever be green?

    Source: The Conversation – UK – By Jean Bessala, Lecturer in Finance, Salford Business School, University of Salford

    Mabeline72/Shutterstock

    Cryptocurrencies have been condemned over their environmental record at a time when
    traditional investments have been rapidly moving towards greener environmental, social and governance (ESG) values. So how long will it be until crypto earns its green credentials?

    Green investments are assets like bonds that pay for projects with positive environmental and social outcomes. Green bonds for example, contribute to cuts in greenhouse gas emissions, an increase of renewable energy capacity and uptake in clean transport infrastructures.

    Crypto investments on the other hand are widely seen as environmentally unfriendly, mainly because of crypto mining and the huge energy it demands. Mining in the context of crypto refers to a mechanism called “proof of work” (POW) where crypto “miners” use specialised computers to solve complex mathematical equations to secure transactions and create new coins. This is where the energy use comes in.

    Agencies and organisations like the International Energy Agency and the United Nations have raised concerns about the effects of crypto mining – particularly Bitcoin, the best-known crypto asset.

    The environmental footprint of crypto

    The United Nations University Institute for Water, Environment and Health estimated that in 2020-2021, Bitcoin networks had significant carbon, water and land footprints. Bitcoin’s carbon footprint was equivalent to burning 38 billion tonnes of coal, while its water footprint (mainly used for cooling systems) would have met the domestic water needs of more than 300 million people in sub-Saharan Africa.

    The Cambridge Blockchain Network Sustainability Index puts the electricity consumption of Bitcoin networks above those of several developed countries, including Norway and Sweden. For investors who are serious about achieving ESG goals, this aspect of crypto would likely be a deal-breaker.

    It is also made difficult by the lack of regulations around crypto activities. After years of being on the fringes of financial markets and being considered a “get-rich-quick” venture, crypto investments are becoming mainstream. But there is still little regulation to protect investors and ensure participants adopt practices that are in line with ESG values.

    Sceptics point out the major issues plaguing these markets including the use of cryptocurrencies and platforms for money-laundering, scamming, and price manipulation.

    So it is certainly hard to make a green case for crypto. But at the same time, it would be misleading to look only at one side of the coin. The fact is that crypto has a challenging but reachable path towards being widely accepted as green.

    Decarbonising the crypto industry

    First and foremost, the industry itself has recognised the need to change practices and processes to become more sustainable. In 2021, a significant number of players in the crypto industry signed the crypto climate accord (CCA) with the long-term target of decarbonising the global crypto industry by 2040.

    The CCA set two interim objectives. The first was the development of standards and technologies to have 100% renewably powered blockchains as soon as 2025. The second aim states that signatories should achieve net-zero emissions from electricity consumption by 2030.

    Recent developments in technology suggest the industry has started putting plans into action, with the appearance of sustainable tools and infrastructures.

    Several companies such as Mara and Argo are working on technologies like energy-efficient immersion cooling systems that significantly reduce the energy consumption required for mining.

    When cryptocurrency Ethereum changed its processes, it cut its energy use by close to 100%.
    rafapress/Shutterstock

    These companies are also developing systems that can recycle heat produced by digital assets and from data centres, and redirect it to provide energy to communities. The implementation of these technologies is facilitated by the relative mobility of crypto miners and the opportunities that some governments and regions offer to them.

    In addition, the crypto industry has seen the emergence of self-proclaimed environmentally friendly cryptocurrencies, such as Cardano public blockchain and Powerledger. These currencies use a less energy-intensive mechanism called “proof-of-stake” (POS) rather than POW.

    Unlike POW, POS miners must stake their holdings (the amount of cryptocurrency) when validating and verifying transactions and records. So if a miner tries to falsify records, they could potentially lose their stake. The process removes the need for the complex computer calculations and so cuts the energy use dramatically. In fact, in 2022, the cryptocurrency Ethereum transitioned from POW to POS, reducing its energy consumption by nearly 100%.

    The path towards green crypto is being eased by institutions like the Financial Stability Board, which is taking steps to provide frameworks for understanding, compliance and achievements of ESG goals and values.

    Together, these elements could open the door to a future where conscious investors can take a chance on cryptocurrencies.

    Jean Bessala 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. Can cryptocurrencies ever be green? – https://theconversation.com/can-cryptocurrencies-ever-be-green-238359

    MIL OSI – Global Reports

  • MIL-OSI Global: A Soldier’s Journey: new first world war memorial in Washington revitalises classic image of the ‘American doughboy’

    Source: The Conversation – UK – By Alice Kelly, Assistant Professor of Literature and History, University of Warwick

    America’s inaugural national memorial marking the first world war was unveiled this month in Washington DC, on the birthday of war commander General John J. Pershing – 106 years after the end of the war. We don’t often get to see a new memorial to a century-old war, especially one that has been deliberately designed in a century-old style.

    Its sculptor, Sabin Howard – who was recently referred to as a “self-appointed bulwark against the scourge of modern art” – rejects the vogue for abstract commemorative art seen in memorials such as Maya Lin’s Vietnam Veterans Memorial (1982). The centrepiece of the new memorial is Howard’s 58-foot panoramic sculpture, A Soldier’s Journey. Five connected scenes tell the story of an American everyman who enlists as a volunteer, fights in Europe, then returns home.

    The 38 realist figures were painstakingly sculpted from costumed models before being cast in 25 tonnes of weather-resistant bronze. Howard wanted to “tell a story” about the first world war and how it affected Americans, to make the conflict more visible to viewers today and in the future.

    In an episode of Cheers from 1983, when a first world war veteran comes into the bar, Coach asks: “Is that the war with Clark Gable or Gary Cooper?” I’m not sure American knowledge of the war has come much further in the past 40 years.

    In every other participating nation, the centenary of the war was marked by a pageant of commemorative activity – think of the 5 million people who went to see the ceramic poppies at the Tower of London. But in the US, despite having a culture of venerating veterans, the first world war is notoriously a “forgotten” war. It tends to be overshadowed by the civil war on one side, and the second world war on the other.

    Perhaps this blindspot is because the American experience of the first world war was much shorter. For the US, it lasted just 19 months from the declaration of war in April 1917 to the signing of the armistice in November 1918. And the fighting – as the song goes – was “over there” rather than on the home front, as it was in Europe. American losses, although high at 116,516 men (plus several hundred women who lost their lives while serving as nurses), were much lower than those of European nations. Britain, for example, lost 880,000 servicemen – 6% of the adult male population at the time.

    But the role this war played in the development of the “American century” is incomparable. The first world war destabilised the European powers – already in imperial decline – to the extent that the US grew to become the pre-eminent financial and military power after the war.

    The sacred and the dead

    The first world war hasn’t always been forgotten in the US. Indeed, in the 1920s and ’30s, American commemoration of the war was at its most “supercharged”, as scholar Steven Trout has shown. The Tomb of the Unknown Soldier in Arlington National Cemetery, Virginia, was interred in 1921 – a commemorative form borrowed from Europe after the first “unknowns” were interred in London and Paris in November 1920.

    Arlington is now the site for national memory of all wars, woven into the fabric of US political life. The recent controversy over a confrontation between Donald Trump staffers and cemetery officials demonstrates its continuing role in ensuring the sacred place of war dead in American culture.

    Across the nation, Americans have sought to remember their war dead in myriad forms, including memorial halls, parkways, plazas, opera houses, arches, gymnasiums, parks, trees and bell towers. There were so many memorials erected in New York City in the 1920s and ’30s – including parks, sculptures and the planting of memorial trees – that after the second world war, New York City’s commissioner for parks and recreation, Robert Moses, effectively banned new monuments being built, considering them “monstrosities”.

    Many memorials are still peppered across America, hidden in plain sight but instantly recognisable, even if viewers don’t know the context. The Spirit of the American Doughboy, designed by sculptor E.M. Viquesney and copyrighted in 1920, features a “doughboy” (recruit) holding his rifle with fixed bayonet and a grenade in his other hand – deliberately echoing the Statue of Liberty.

    ‘American doughboy’: a memorial to the Americans who served in the first world war, designed by E.M. Viquesney.
    Rosemarie Mosteller/Shutterstock

    Advertised as an affordable tribute that could be bought by towns as their local memorial, there are currently 135 originals and replicas on public display across the US. I find it impossible not to think of those doughboys when I look at the soldiers in Howard’s memorial.

    Commentators may well criticise Howard’s figurative sculpture as old-fashioned, but the debate over appropriate memorial forms and the question of “taste” is not new. In fact, it was a very live debate in the first world war’s immediate aftermath.

    In attempting to correct the historical omission of a national memorial, it seems appropriate that Howard’s figurative sculpture looks like – and recalls – first world war sculpture of the time.

    Will it earn the war its place in American memory that it deserves? I’m not sure. But in giving old form to an old war, it will make it visible to generations of Americans unfamiliar with it – and help the rest of us remember it anew.

    Alice Kelly 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. A Soldier’s Journey: new first world war memorial in Washington revitalises classic image of the ‘American doughboy’ – https://theconversation.com/a-soldiers-journey-new-first-world-war-memorial-in-washington-revitalises-classic-image-of-the-american-doughboy-239757

    MIL OSI – Global Reports

  • MIL-OSI Global: UK oil and gas workers risk becoming the ‘coal miners of our generation’

    Source: The Conversation – UK – By Freddie Daley, Research Associate, Centre for Global Political Economy, University of Sussex

    Grangemouth oil refinery is set to close in 2025 with the loss of 400 jobs. orxy / shutterstock

    At the end of September, the UK’s last remaining coal power plant, Ratcliffe-on-Soar in Nottinghamshire, will be retired. The closure of the plant should – and will – be celebrated by environmentalists, as the move away from coal has made Britain’s electricity much cleaner over the past decade. It is on this basis that the UK claims climate leadership.

    In the 1950s, coal provided the overwhelming majority of British energy, and as recently as 2012 it still generated 40%. By 2022, it was less than 2%. In a month’s time, it will be zero.

    Phasing out coal was a brutal and profound process. Organised labour was decimated, entire regions were forced into decline, and communities were left with sustained economic, social and health problems. The towering ghosts of power stations like Ratcliffe-on-Soar will haunt Britain’s ongoing effort to phase out North Sea oil and gas and replace it with clean energy.

    Towering ghosts: Ratcliffe-on-Soar power station.
    The Exposure / shutterstock

    And we are witnessing this haunting in real-time. After the Labour government announced its plans to end new licenses for oil and gas in British waters – necessary to meet the Paris Agreement – workers and trade unions feared history would repeat itself in terms of job losses and blighted communities.

    The general secretary of Unite, Sharon Graham, noted that without a more thorough plan, the policy risked creating “the coal miners of our generation”. A recent motion at the Trades Union Congress (TUC) gathering in Brighton called for no ban on oil and gas licensing before a fully funded jobs guarantee is agreed. The motion narrowly passed.

    Workers and unions are demanding a “just transition” from polluting industries into the clean industries of the future. But to achieve this, the UK government must learn from what happened with coal.

    Many places still rely on oil and gas jobs

    Although oil and gas are not as embedded throughout British life as coal once was, there are many settlements and larger areas still dependent on energy jobs. Grangemouth in central Scotland is a good example. In November 2023, the owner, Petroineos, announced plans to close the town’s oil refinery in 2025, bringing a century of production to an end at the cost of 400 jobs.

    Even if the UK government did issue new oil and gas licences, the North Sea faces structural decline. Production peaked around the turn of the century. Since 2014, as many as 200,000 jobs have been lost either offshore or along the supply chain onshore.

    From gas to wind?

    Planning for the end of fossil fuels is therefore an urgent endeavour. The dominant strategy for protecting skilled jobs is to transition workers into the industries set to replace North Sea production: wind energy and other low-carbon technologies.

    However, though Britain has developed a large wind power sector, it remains a major importer of turbines. Domestic manufacturing makes only a small contribution, and developers are not required to use British-made turbines or other parts, despite the jobs this would create.

    This has left Grangemouth workers discontented. When one of us (Ewan Gibbs) and Riyoko Shibe interviewed young refinery workers at Grangemouth earlier this year, many commented that there were relatively few jobs in renewables. When jobs were visible on LinkedIn and comparable job sites, one told us that “you’ll see there’s a big difference in terms and conditions”.

    Wind farms are relatively easy to run once installed, so most jobs are in building them.
    Kevin Shipp / shutterstock

    In its current form, the UK wind industry will find it hard to provide the types of secure ongoing employment that oil and gas historically has. Most jobs are in the construction and maintenance of wind farms, with the latter threatened by automation. Without public investment and a targeted industrial policy, Britain will remain a net importer of wind technology, and the phasing out of North Sea oil and gas will prove costly in job terms.




    Read more:
    Grangemouth job losses are a stark reminder of the cost of a greener industrial future


    More investment needed

    Britain’s lack of state intervention is not the norm. After all, more than half of British wind farms are state-owned, though less than 1% are owned by the UK government. Swedish, Norwegian, French, Irish and German state-owned entities are major players, but the biggest is Denmark’s Ørsted, a former oil company turned renewables giant which is mostly state-owned. In the UK’s most recent offshore wind auction, 70% of the projects were awarded to Ørsted.

    The newly launched Great British Energy could give the state a foothold in the North Sea once more. This publicly owned company plans to focus on domestic manufacturing and will invest in ports and other infrastructures to “unlock strategic bottlenecks”.

    But if such projects are to be meaningfully incorporated into a just transition, they will need to offer continuity and security to oil and gas workers. As one Grangemouth worker put it, referring to his colleagues facing the choice of either remaining unemployed locally or relocating to use their skills:

    They’re moving to the Middle East, they’re moving to the north-east of Scotland. They’re moving offshore, they’re moving to the Shetlands, and therefore it’s not a just transition, in my view, if we’re moving to these jobs.

    Another worker highlighted the risks that Grangemouth could join the coalfields in becoming “stranded” communities:

    We’ve got a community that’s been built round the site, we’ve got skills and we’ve got people that work there, we’ve got the infrastructure there – why should we not have these jobs when the time comes to move to these industries? Why can we not have it at Grangemouth?

    Britain’s push to phase out oil and gas is urgent and necessary, but it cannot follow the same trajectory as Britain’s exit from coal – lessons must be learned. The opportunities presented by the transition away from fossil fuels will only be fully realised if workers are at its centre.

    Freddie Daley receives funding from UKRI for the SUS-POL project at the University of Sussex, which explores fossil fuel phase-outs around the world. Freddie also campaigns on demand reduction with Badvertising.

    Ewan Gibbs received funding from a British Academy Wolfson Fellowship that supported this research (grant number: WF21210099).

    ref. UK oil and gas workers risk becoming the ‘coal miners of our generation’ – https://theconversation.com/uk-oil-and-gas-workers-risk-becoming-the-coal-miners-of-our-generation-239262

    MIL OSI – Global Reports

  • MIL-OSI Global: Keir Starmer’s party conference speech – what he said and what it meant

    Source: The Conversation – UK – By Ben O’Loughlin, Professor of International Relations, Royal Holloway University of London

    Prime Minister Keir Starmer was under immense pressure to announce some big policies in his 2024 party conference speech. Those who felt the agenda had been captured by stories of scandal and discontent in Number 10 saw a major new offering as a potential way to distract. But Starmer chose a different path – one that he overtly described as the more difficult one.

    This, for him, is not about policies. Starmer is offering Britain a choice about how it thinks about politics. In his speech, he rejected what he called a politics of “easy answers” offered in the “cowardly fantasy” of populists. He asked the British public to ignore the “whims of Westminster” that see a politician stirring uproar to hide their lack of action.

    Looking back at the last government, he said: “Take Rwanda, a policy they knew from the beginning would never work, was never supposed to work. £700 million of your money, frittered away on something that was never a credible option because politically it was an easier answer.”


    Want more politics coverage from academic experts? Every week, we bring you informed analysis of developments in government and fact check the claims being made.

    Sign up for our weekly politics newsletter, delivered every Friday.


    What is required is for politicians to address difficult challenges directly, not duck them, he said, adding: “If this path were popular or easy we would have walked it already.” The public must therefore be prepared to debate difficult challenges. This is a difficult version of politics.

    Will people like it?

    Easy-answers politics is quick and based on the performance of utter certainty. X is wrong, Y will fix it. If government doesn’t do Y, it is betraying the country. A flight to Rwanda will solve global migration patterns caused by climate, conflict and the way the world economy works. We don’t want to even think about climate, conflict and the way the world economy works. This is how Starmer characterised the Conservative government of the last 14 years.

    Take the rough with the smooth

    Starmer is offering a performance of seriousness and trying to create an expectation he will deliver a serious politics. He called this a “renewal” because Britain has done serious politics before, generations ago, and it is in British people’s blood: “We will turn our collar up and face the storm,” he said. British people will all contribute, all participate in that renewal, because “this is a country with fairness in the water”.

    This entails being open to debate with other citizens who we disagree with, in a spirit of collective endeavour, not self-interest. You want security? Prisons may be built near you, he said. You want cheaper electricity? Then we’ll build pylons overground. You want government to have some control in the immigration process? We’ll make it function properly. But you must accept that in that fair and proper process, some people will be granted asylum. Agree to disagree, but, more fundamentally, agree that disagreement is OK, because we are equal citizens.




    Read more:
    Know your place: what happened to class in British politics – a new podcast series from The Conversation Documentaries


    The British public must be persuaded to trust this government and this renewal project because they understand government not as aloof partying liars. Look to my government, Starmer said, to see politicians in service to the country of Britain and the British “working people”. But for government to show it thinks it is in the service of the public, it struck me that it can’t be accepting free tickets to watch Arsenal.

    Do we have a narrative yet?

    Starmer addressed the question of whether he has a story to tell about the country. Since he came to government, it has felt as though he lacks one. He said Britain’s dilemma is “our story is uncertain. Hope is beaten out of us.”

    Yet the world thinks of Britain as a great nation, he said, of scientific genius, the industry of its working people, and pragmatism about the complexity of global relations. He said this shows Britain was capable of writing “our own story and that of the world”. He called for Britain to do this again.

    For this to happen, citizens need to be able to see a connection through time. It begins with the government saying it is serious and trustworthy. Then, at a certain point in time, the public needs to be able to look back and see the actions that government has taken. Finally, at a later time, citizens decide whether they’ve seen the results of those actions in their lives.

    This is how the story of a nation is built. But it is where enormous patience is needed. And while his narrative was more successful than previous attempts, there was a piece missing from the puzzle. Will building prisons or electricity pylons provide conditions that allow companies to create economic growth?

    This is not a fully coherent story based on a clear plan – at least not one that has been made public. It is more a wager Starmer is calling on Britons to make. Bet now, and wait. And that’s a lot to ask.

    Ben O’Loughlin 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. Keir Starmer’s party conference speech – what he said and what it meant – https://theconversation.com/keir-starmers-party-conference-speech-what-he-said-and-what-it-meant-239766

    MIL OSI – Global Reports

  • MIL-OSI Global: Hockey in Canada: Can it still bridge divides in an era of political polarization?

    Source: The Conversation – Canada – By Joseph Dick, PhD Student in Sport Management, University of Guelph

    Contemporary ice hockey was pioneered in Canada, and the sport has historically been watched and played by Canadians. (Shutterstock)

    Hockey has played a significant role in shaping Canada’s culture and identity over the years. As sport scholar Tony Patoine once put it, “hockey has become more than a simple pasttime: it is a true Canadian tradition, a quasi-religion.”

    This deep attachment to the game is reflected in Bill C-212, which acknowledges hockey as Canada’s official winter sport. Modern ice hockey was, after all, pioneered in Canada, where it has historically been watched, played and been perceived as a unifying force that transcends linguistic and ethnic divides.

    Despite these perceptions, however, we question the strength of such unification potential amidst recent changes to hockey culture. Can hockey continue to unify all of Canada?

    ‘Communitas’

    Hockey’s purported sense of unity closely relates to the concept of “communitas,” coined by anthropologist Victor Turner, which describes the strong bonds of comradery that form between members of a group — and sometimes between members of disparate groups — where rank and status disappear.

    However, not everyone experiences this sense of unity equally. Since social groups establish behaviours required for group membership, those who don’t align with these norms may feel excluded.

    Former Hockey Night in Canada commentator, Don Cherry, was once praised for upholding values characteristic of hockey, including the promotion of violence, hyper masculinity and an overall adherence to “ideas of loyalty, fraternity, and mutual respect.” These values, once normalized within the hockey community, shaped how both players and fans were expected to act.

    But as the game continues to evolve and these values are increasingly considered archaic and out of sync with the broader political culture fostered within Canada, we as Canadian sport and political science researchers, respectively, question if hockey still provides that sense of communitas for all of Canada.

    Hockey in French Canada

    Although Canadians often view hockey as a monolithic, universally adopted sport across Canada, a closer look reveals patterns of non-uniformity. Nowhere are such differences more apparent than in the historical development of the sport in Québec versus the rest of Canada.

    As historian Emmanuel Lapierre wrote, “French Canadians appropriated hockey in their own manner and used it to tell a story about themselves,” a story that is, like the province of Québec itself, unique within the Canadian federation.

    For much of Canadian history, Anglophone hockey players represented the in-group, while Francophone hockey players were often seen as outsiders. In the 1950s, for example, Francophone players in the NHL believed they were treated more harshly when it came to suspensions and fines.

    Québec society, during this time, faced an endemic struggle of oppression against an Anglophone-dominated society controlled by the Catholic Church. Francophone resistance to this was linked to the Richard Riot that occurred during the 1954-55 NHL season.

    Maurice Richard scoring his 500th goal on Oct. 19, 1957. At the time, he was the first and only professional NHL player to achieve such a feat.
    (Wikimedia Commons)

    After Montreal Canadiens’ player Maurice “Rocket” Richard was suspended from the playoffs in March 1955 for punching an official, a massive riot broke out among fans. They raged through downtown Montréal, targeting Anglophone-owned buildings. This riot became a symbol of Francophone resistance to Anglophone dominance, serving as a stepping stone towards the Quiet Revolution and renewed French Canadian nationalism.

    This, in turn, strengthened the sense of unity around hockey in Canada. Francophone hockey players began to be viewed as more equal to, and at the very least not controlled by, Anglophone players. Hockey was used to forge a sense of communitas amongst French Canadians, serving as a transcendent unifier in Canada.

    But that was then, and it occurred within the context of a province historically rich with connections to French Canadian culture, where hockey’s unification potential was, therefore, heightened. Does this similar sense of communitas still exist in the rest of Canada with respect to hockey? Or has the sport’s ability to unite the nation become weakened in an era of unprecedented political polarization?

    Hockey today

    Hockey fandom remains strong in Canada, with about 31 per cent of Canadians still following the sport — the highest of any sport in the country. This is re-enforced by the recent success of the Professional Women’s Hockey League and the near-record Canadian viewership of the most recent Stanley Cup finals.

    However, hockey participation has seen a notable decline, dropping 33 per cent since its peak in 2010 amidst high participation costs. Additionally, Hockey Canada has been accused of fostering a culture of misogyny and sexual assault.




    Read more:
    Hockey Canada scandal highlights toxic masculinity in sports


    In 2023, Hockey Canada’s former CEO acknowledged the need to address racism, sexism, and other forms of discrimination in hockey culture. “Each topic, or part of culture that we’re trying to get at, that will determine who the audience is as we move forward,” he said.

    As hockey navigates these changes, it must adapt to the growing emphasis on equity, diversity and inclusion, alongside the impacts of an increasing immigrant population and the globalization of the game.

    This evolution could mean the demise of “traditional” hockey values, and perhaps that is a good thing: misogynistic, “rock ‘em and sock ’em” mentalities don’t align with the values of a modern liberal democracy like Canada.

    Still, for communitas to transcend division, hockey must also find a way to bring traditional fans along, who may have enjoyed the undertones of violence and masculinized definitions of loyalty, fraternity and respect, without alienating them.

    Where should hockey go now?

    Hockey’s role as a unifying force in Canada is well established. Not only is it still Canada’s official winter sport, but as outlined above, it has also served as a unifier for French and English Canada. Hockey has, moreover, unified Canadians during other key moments, such as Canada’s victory over the USSR in the 1972 Summit Series, which symbolized democracy’s triumph over communism.

    However, hockey’s role as a unifying force has diminished over the years. For many Canadians, hockey is no longer “the best game you can name,” as Stompin’ Tom Connors once sang.

    If hockey is to maintain its historic place as a contributor to Canadian nationalism and communitas, the sport must evolve. While some traditional values — such as teamwork, loyalty and respect — should be preserved, outdated notions like hyper masculinity and aggression no longer align with today’s values.

    As Canada changes, so too must hockey. Canadian hockey culture and policies must better adapt to meet contemporary Canadian values like diversity and inclusivity.

    The question for Canadians isn’t just the future of hockey, but what can unite us in today’s world. Communitas need not be confined to hockey, let alone a sport. Hockey has traditionally filled this unification role, but if it fails to keep up, what will take its place?

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

    ref. Hockey in Canada: Can it still bridge divides in an era of political polarization? – https://theconversation.com/hockey-in-canada-can-it-still-bridge-divides-in-an-era-of-political-polarization-238277

    MIL OSI – Global Reports

  • MIL-Evening Report: NZ’s government plans to lift a ban on gene tech outside the lab – here’s what people think

    Source: The Conversation (Au and NZ) – By Marie McEntee, Senior Lecturer, School of Environment, University of Auckland, Waipapa Taumata Rau

    Getty Images

    The government’s recently announced plan to end New Zealand’s effective ban on the use of gene technologies outside the laboratory has reignited debate about this historically contested topic.

    While the government aims to pass legislation and introduce a gene tech regulator before 2026, opposition parties want broad conversations with New Zealanders to gauge their opinions.

    As our research shows, such conversations are complex. They must include a diverse range of people because discussions about gene technology bring strong reactions based on people’s values and beliefs.

    We found this to be especially pointed when talking about the use of these technologies in conservation, environmental protection and food.

    But participants valued the opportunity to have open conversations and to discuss potential scenarios when provided with clear and accessible information. Our research gives insights into what safe and responsible environmental genetic innovation means for New Zealanders.

    Genetic innovation isn’t only a technology issue

    Our research was conducted over 18 months before the government’s announcement and supported by the now defunded Biological Heritage National Science Challenge. It was carried out in two streams. The Māori Biodiversity Network Te Tira Whakamātaki engaged with Māori thought leaders, while social scientists engaged with the wider public and interest groups.

    Both streams used processes that enabled participants to deliberate in groups about specific environmental contexts where genetic tools could be applied. We considered a range of technologies, from gene editing to gene silencing, and a range of possible uses.

    The research used potential scenarios to give context to public deliberations.
    Author provided, CC BY-SA

    Many participants saw the potential of gene technologies. However, deliberations did not result in simple yes or no responses, nor was people’s decision-making primarily focused on the technologies. Instead, it was careful, considered, contextual and connected to personal values.

    Public participants were presented with scenarios that included chromosomal changes (reducing wilding pines and eradicating rats) and scenarios using gene silencing that does not alter chromosomal DNA (management of the plant pathogen myrtle rust and the bee parasite varroa mite). But they did not simply favour the latter. Instead, the scenario context was a significant driver in the deliberations.

    The management of the bee parasite varroa is one scenario for which gene technologies could be considered.
    Sebastian Gollnow/dpa via Getty Images

    The use of gene silencing to control the varroa mite raised considerable concerns about human health because of the connection to honey production and food consumption. Genetic engineering for myrtle rust was greeted more favourably due to a dislike of the fungicides used currently.

    When presented with a scenario to make kūmara more resistant to insects, Māori participants strongly opposed any modification. They were cautiously more supportive of gene technologies used on invasive rather than native species, but only with strong regulation.

    Participants in the public stream were generally more supportive of gene technologies to manage plants compared with animals. But people’s decisions were affected by their acceptance of the problem.

    While rats were perceived as a significant ecological threat, this was not always the case for wilding pines. Some people thought of them as an economic opportunity or environmental benefit to offset carbon emissions.

    Gene technologies could be used to control wilding pines, but some see them as an opportunity to offset emissions.
    Flickr/Jon Sullivan, CC BY-SA

    For Māori, whakapapa (genealogy) and tikanga (customs) formed the core of any discussion about genetic technologies. The potential for unforeseen consequences required tikanga-based processes to guide discussions, although this did not necessarily guarantee acceptance of use.

    Māori participants preferred processes rooted in local tikanga that have successfully guided decision making for generations. Such processes needed significant resourcing into education about tools and the inclusion of Te Tiriti o Waitangi in any regulations proposed by the Crown.

    High levels of caution

    Participants in both streams openly discussed inherent risks and unknowns of gene technologies. Public participants saw the technologies’ potential to address the challenges of current environmental management, such as animal welfare concerns around toxins used in predator control.

    However, they sought high levels of regulation and oversight, especially where there are significant unknowns and ethical concerns. In all contexts, people sought more and continuous research, particularly in contained environments, to monitor and evaluate the impacts of genetic technology.

    The further away and more uncertain the technology was, the more regulation mattered. Participants sought considerable controls, regulation and governance throughout the entire cycle of development. Many public participants also wanted Māori representation at all levels of governance.

    Who do people trust?

    Among public participants, there was widespread trust in the methods of science. But when it came to institutions and specific scientists, trust became more nuanced. In communities where trust was low, complex science became contested science.

    A survey undertaken by Te Tira Whakamātaki found Māori trusted scientists the most to provide information about genetic tools, followed closely by iwi leaders or authorities. Elected officials and the media were trusted the least.

    Public participants expressed concern about the influence of commercial interests on science innovation and the governance of technologies. There was widespread concern over who might own and control the technologies.

    People sought more information about gene technologies to come to an informed view. They wanted science organisations engaging in genetic research to be more visible and transparent.

    Scientists and policymakers need to understand that this request for more information is not about educating the community towards a pre-determined outcome. It is about undertaking innovation responsibly. This means allowing the broader community to have a say in decision making and a responsible approach to innovation as technologies are developed.

    Our research demonstrates that discussions about the liberalisation of rules governing genetic technology in New Zealand are complex. However, they need not be marked by conflict, if people’s views and values are genuinely considered.

    The authors received funding for this work from the now defunded Biological Heritage National Science Challenge.

    ref. NZ’s government plans to lift a ban on gene tech outside the lab – here’s what people think – https://theconversation.com/nzs-government-plans-to-lift-a-ban-on-gene-tech-outside-the-lab-heres-what-people-think-239707

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Global: How professional sports leagues that embrace social justice causes could influence politics

    Source: The Conversation – Canada – By Noah Eliot Vanderhoeven, PhD Candidate, Political Science, Western University

    Given that 77 per cent of people in Canada and 57 per cent of people in the United Kingdom watch a sports team regularly — compared to the 60 per cent of people who turn out to vote in Canada and the U.K. — it’s clear sports has an important and persistent influence on people’s lives.

    Sports can serve as a beacon to provide societal leadership or reflect changes in wider society in significant ways. A historic example would be how the integration of sports leagues in North America paralleled the Civil Rights Movement.

    But how can sports influence politics today?

    Similar to supporting a political party, sports fandom aids in the formation of social identity. This happens when people look to form attachments with other individuals who they believe are similar to them in some way to cultivate positive self-esteem.

    Men’s professional sports teams have historically engaged with certain political causes, namely the military and law enforcement, while neglecting others, such as the plight of marginalized members of local communities. Sports engagement with the military has been shown to boost military enrolment and support for government spending on the military in peace times.

    Women’s professional sport, meanwhile, has drawn positive attention through its engagement with marginalized community members. The Women’s National Basketball League, for example, has engaged with the LGBTQ+ community to create safe fan spaces for the league.

    Men’s sports protests

    My preliminary research into these issues has shown that in men’s professional sports, there has often been hostility towards the introduction of newer, more inclusive causes into sporting events. In the National Hockey League, for example, some players refused to participate in Pride Night events on religious grounds.

    Former professional quarterback Colin Kaepernick’s non-violent protest of police brutality in the United States resulted in his exile from the National Football League for the apparent “distraction” it created. A crucial element of the backlash against Kaepernick was allegations by conservatives that he disrespected the military and the American flag.

    Former San Francisco 49ers quarterback Colin Kaepernick (7) and outside linebacker Eli Harold (58) kneel during the playing of the national anthem before an NFL football game against the Atlanta Falcons in Atlanta.
    (AP Photo/John Bazemore)

    The power of this backlash was surprising given that in the U.S., Democrats and Republicans are equally likely to be avid sports fans, with no meaningful differences in the strength of their fandom. However, Republican sports fans tend to be more vocal about what causes should receive representation in sports.

    Essentially, that means those who say athletes should “stick to sports” or “shut up and dribble” aren’t suggesting they don’t want any politics in sports. What they’re really saying is that they don’t want to see political views they oppose being represented in professional sports.

    The patriotic causes that have routinely been championed by sports leagues and used for nation-building, such as the military, are viewed as apolitical and therefore appropriate in sports settings. Conversely, messages that are critical of a country or focus on historic inequalities have been deemed “inappropriate” and are excluded by sports because of potential fan backlash.

    Can sports influence politics?

    More recently, however, sports leagues and teams have begun to engage with social justice causes, such as LGBTQ+ rights in the U.K., Canada and the U.S..

    These causes also include Indigenous rights and anti-racism messaging.

    As sports organizations adapt to changing social norms and embrace newer social causes, they hold tremendous potential to impact political attitudes. They can showcase the acceptance of marginalized groups in previously hostile spaces, and provide valuable representation.

    Furthermore, sports fandom identity has been shown to hold a strong psychological connection that can create feelings of inclusion which, in turn, can boost self-esteem.

    This is why athletes make easy role models for children, and why watching sports events is a valued leisure activity for many people of all ages. Finally, sports fandom can also teach people how to cope with negative emotions or feelings of disappointment over time through emotional regulation.

    How sports could influence attitudes

    The representative and psychological value of sports fandom suggests sport is an understudied area of political science, one I hope to build on in my future research.

    For example, we do not yet fully understand the impact that sports teams holding Pride Nights has on attitudes towards the LGBTQ+ community.

    Nor do we know how soccer clubs in England, as local symbols of a migrant workforce, may impact immigrant attitudes.

    Finally, we do not know why certain women’s national soccer teams, like Canada, have been successful in protesting for equal pay while others, like the Spanish team, have failed.

    Sport could have a valuable role to play in unpacking these political questions about protest and identity — and represents an exciting emerging research area in political behaviour.

    Noah Eliot Vanderhoeven 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. How professional sports leagues that embrace social justice causes could influence politics – https://theconversation.com/how-professional-sports-leagues-that-embrace-social-justice-causes-could-influence-politics-239266

    MIL OSI – Global Reports

  • MIL-OSI Global: Lebanese civilians are fleeing the south, fearing an Israeli invasion − a look back at 1982 suggests they have every reason to worry

    Source: The Conversation – USA – By Mireille Rebeiz, Chair of Middle East Studies & Associate Professor of Francophone & Women’s, Gender & Sexuality Studies, Dickinson College

    Israeli soldiers in armored vehicles drive through a Lebanese village in 1982. Bryn Colton/Getty Images

    Lebanese families have been fleeing the country’s south in the thousands amid escalating tensions and an Israeli bombardment that has so far killed hundreds.

    Their fear, echoed by many onlookers, is that Israel will accompany the airstrikes with something that has the potential to have far worse consequences: a ground invasion of south Lebanon.

    The rational behind such a move, from the Israeli government’s perspective, is that a ground offensive may be its best chance to push Hezbollah fighters beyond the Litani River in the middle of the country. This would achieve an Israeli war goal of securing its northern borders and allowing an estimated 60,000 residents who have been forced to flee northern Israel to go back to their homes.

    Irrespective of motive, a ground invasion and potential occupation is more than wild speculation. Israel has placed thousands of soldiers on standby close to the Lebanon border for such an eventuality.

    Nor is such a move without precedent.

    As a scholar of Lebanese history, I know Israel and Lebanon have been here before. In 1982, Israel invaded Lebanon in the middle of the latter’s civil war, imposing a siege on the capital Beirut. The results were catastrophic for the whole region. Not only did the ground invasion result in the death of thousands of civilians, the occupation of Lebanon plunged an already fragile nation into lasting political and economic chaos and led to the birth of Hezbollah, the very group that threatens northern Israel today.

    Refuge and armed resistance

    The Israeli invasion of Lebanon in June 1982 had its roots in the Palestinian–Israeli conflict, much as the fighting between Hezbollah and Israel does today.

    The creation of the state of Israel in 1948 was accompanied by the Nakba, or “catastrophe,” for the Palestinians. In the violent birth pangs of a Jewish state on land inhabited by, among others, Arab populations with deep ancestral ties to villages, more than 750,000 Palestinians were expelled or fled.

    Many refugees entered Lebanon, where in 1964 the Palestine Liberation Organization was born. By the mid-1970s, the armed resistance group had recruited and trained over 20,000 fighters who actively participated in launching attacks on Israel from Lebanese soil.

    By 1982, Lebanon was already seven years into its civil war, with violence flaring between Lebanese Christians and Lebanese and Palestinian Muslims. On June 6, 1982, Israeli Defense Minister Ariel Sharon, a future leader of the country, launched Operation Peace for Galilee and invaded Lebanon with the purpose of eliminating the PLO.

    More than 40,000 Israeli troops with hundreds of tanks entered Lebanon from three points: by land across the border into south Lebanon; by sea from the coast of Sidon; and by air as the Israeli forces bombed the Beqaa Valley, Beirut and its Palestinian refugee camps.

    For two months, Beirut was under siege, with water and electricity cut off. As a result of the heavy bombardment and lack of access to basic needs, an estimated 19,000 Lebanese, Syrian and Palestinian civilians and combatants died, of which 5,500 were civilians from West Beirut.

    The Lebanese authorities appealed to the United States, France, Italy and the United Kingdom for help. These countries formed the multinational peacekeeping force, which was designed to restore peace in Lebanon, assist the Lebanese armed forces and evacuate PLO fighters to Tunisia.

    By August 1982, the multinational force had successfully relocated PLO fighters and began pulling out of Lebanon. They were called back, however, as violence flared.

    After the assassination of Lebanese President-elect Bashir Gemayel on Sept. 14, 1982, the Christian Phalangist militia entered the two Palestinian refugee camps of Sabra and Shatila and killed over 2,000 Palestinian civilians. The Israeli government later set up the Kahan Commission of Inquiry to look into the killings, which concluded that Israel was indirectly responsible for the massacres.

    The birth of Hezbollah

    All of this history remains relevant to the current situation in the region. Israel’s invasion and occupation of Lebanon, its siege on Beirut and the massacres that followed all led to the birth of Hezbollah.

    While members of Lebanon’s marginalized Shiite community in the south had long sought to mobilize through pan-Arab political parties and militias, it was Israel’s invasion that galvanized members of the community to ultimately create Hezbollah in 1985. As former Israeli Defense Minister and Prime Minister Ehud Barak noted in a 2006 interview: “It was our presence there that created Hezbollah.”

    Israel’s invasion also soured Lebanon’s relations with the West. Many Lebanese and Palestinian Muslims considered the multinational force – especially the United States – to be a failure and even an accomplice to Israel.

    From 1982 onward, Americans and other Westerners became a target. In the following decade, more than 80 Americans and Europeans were taken hostage by Hezbollah fighters. Some were tortured for months; others died in custody.

    And on Oct. 23, 1983, a terrorist attack targeted the American barracks in Beirut, killing over 300 people, including 220 Marines, 18 sailors and three soldiers. Minutes later, a second suicide attack killed 58 French paratroopers. The Islamic jihad claimed responsibility for the two attacks; some of its members are thought to be among those who officially founded Hezbollah in February 1985.

    Aiding Hezbollah recruitment

    Israel’s 1982 invasion of Lebanon failed to accomplish its goals of stemming attacks on Israel from southern Lebanon. If anything, it had the opposite effect by turning many Lebanese against Israel and creating the conditions in which Hezbollah could recruit.

    Although Israel retreated from Beirut in August 1982, it continued to occupy south Lebanon until 2000. During that period it unlawfully detained many Lebanese suspected of resisting the Israeli occupation. Some were detained without charges in inhumane conditions, while others were illegally transferred into Israel.

    The debris at the site of an overnight Israeli strike in the southern Lebanese village of Akbiyeh on Sept. 24, 2024.
    Mahmoud Zayyat/AFP via Getty Images

    With such a backdrop, Hezbollah’s legitimacy in the eyes of many Lebanese grew – as did its support. So much so that in 1989, at the end of the Lebanese civil war, the authorities signed an agreement that, although not referencing Hezbollah directly, asserted Lebanon’s right to resist the Israeli occupation in the south.

    This clause was interpreted by Hezbollah as legitimizing its armed fight against occupation.

    After occupation ended in 2000, Hezbollah had to reinvent its role, claiming that it would continue fighting against Israel until the liberation of the disputed Shebaa Farms, the Golan Heights and occupied Palestine.

    In 2006, Hezbollah entered Israeli territory for the first time, killing three soldiers and kidnapping two, demanding the release of Lebanese prisoners in exchange. In retaliation, the Israel Defense Forces attacked Lebanon by air, sea and land, with Israeli ground forces entering Lebanon and carrying out a number of operations on Lebanese territory. A subsequent war saw no such prisoner swap but resulted in the deaths of about 1,100 Lebanese civilians and 120 Israelis, mostly soldiers.

    History repeating?

    Until Hamas attacked Israel on Oct. 7, 2023, there had been hopes that decades of hostilities between Lebanon and Israel could be on the cusp of turning. In October 2022, Lebanon and Israel signed a maritime border agreement brokered by the U.S – interpreted as the beginning of normalizing relations between two countries technically at war.

    But the magnitude of the human crisis in Gaza and the series of events that followed in Lebanon have ended such hopes for now. Hezbollah’s vow of solidarity with Hamas has resulted in a running series of tit-for-tat attacks with Israel that have escalated over the past year.

    The attack using booby-trapped pagers that targeted Hezbollah fighters and killed several civilians across Lebanon on Sept. 17, 2024, has set off a chain of events that have now seen nearly 500 Lebanese killed and Hezbollah extend the geographical scope of its missile attacks in Israel. Its long-range ballistic missiles can reach 250-300 kilometers (155-186 miles) and have reached Haifa and the city’s Ramat David Airbase.

    The next step in this deadly escalation could well be a ground invasion. But in 1982, such an operation resulted only in catastrophic results for all concerned – and set in place the conditions for decades of hostilities across the Lebanon-Israel border. A similar offensive today would almost certainly have similar results – especially for the people of Lebanon.

    Mireille Rebeiz is affiliated with American Red Cross.

    ref. Lebanese civilians are fleeing the south, fearing an Israeli invasion − a look back at 1982 suggests they have every reason to worry – https://theconversation.com/lebanese-civilians-are-fleeing-the-south-fearing-an-israeli-invasion-a-look-back-at-1982-suggests-they-have-every-reason-to-worry-239653

    MIL OSI – Global Reports

  • MIL-OSI Global: Know your place: what happened to class in British politics – a new podcast series from The Conversation Documentaries

    Source: The Conversation – UK – By Laura Hood, Host, Know Your Place podcast, The Conversation

    Even in the 21st century, social class is a part of being British. We talk of living in a post-class era but, in reality, our backgrounds affect our life chances and even just the way we interact with each other. We have a sense of our own class and make assumptions about others with class in the back of our minds.

    In a recent documentary about their rise to fame, David and Victoria Beckham squabbled about the latter’s claim to come from a working class family. She was derided across the internet for the claim, too.

    Is Victoria Beckham working class? You may scoff at the very thought. But then consider when she stopped being working class and you start to see the problem. If a wealthy British person who owns her own business is not working class, when did she cease to be so? Are her parents still working class if she is not?

    For much of the 20th century, class identities were clearer. There was also a strong, clear relationship between class and political preference. After all, one of the two main parties was established explicitly to represent the labour movement. It was loudly and proudly a political manifestation of the working class.

    There were of course exceptions but, by and large, if someone knew your class, they could make a fairly safe guess as to how you would vote. That is no longer true.

    This is what I’m exploring in a new podcast series Know your place: what happened to class in British politics on The Conversation Documentaries. Listen to the trailer now ahead of the series launch on October 7.

    Over the course of five episodes, I’ll be speaking to leading politics experts across the UK to find out why Labour can no longer take the working class vote for granted but also why the Conservatives can’t either.

    We’ll find out the truth behind the Liberal Democrats’ “Gail’s strategy” to capture the middle classes. We’ll explore how class is even defined in the 21st century and pinpoint when it stopped being the case that your background shaped your politics.

    And as the UK ushers in ostensibly the most working-class parliament that has been seen in years, we’ll investigate what difference it makes when people from working-class backgrounds hold the levers of power.

    Follow The Conversation Documentaries to listen to Know Your Place: what happened to class in British politics from October 7. The Conversation Documentaries, formerly called The Anthill, is the home for in-depth documentary podcast series from The Conversation.


    Know Your Place: what happened to class in British politics is produced and mixed by Anouk Millet for The Conversation. It’s supported by the National Centre for Social Research.

    Newsclips in the trailer from Keir Starmer, ITV News, PoliticsJOE and Angela Rayner MP.

    Listen to The Conversation Documentaries via any of the apps listed above, download it directly via our RSS feed or find out how else to listen here.

    Know Your Place: what happened to class in British politics is supported by the National Centre for Social Research.

    ref. Know your place: what happened to class in British politics – a new podcast series from The Conversation Documentaries – https://theconversation.com/know-your-place-what-happened-to-class-in-british-politics-a-new-podcast-series-from-the-conversation-documentaries-239451

    MIL OSI – Global Reports

  • MIL-OSI Global: Sri Lanka’s new leftist president marks departure from political family rule

    Source: The Conversation – UK – By Amalendu Misra, Professor of International Politics, Lancaster University

    Sri Lanka has sworn in 55-year-old leftist politician Anura Kumara Dissanayake as its new president. There was no clear winner after the first round of votes from Saturday’s election had been counted. But Dissanayake, who is commonly known by his initials AKD, emerged victorious after a count of the second-choice votes.

    His election is something of a watershed. It was the first time since Sri Lanka gained independence in 1948 that the presidential race was decided by a second round of counting after either of the top two candidates failed to win the mandatory 50% of the vote. And it was also the only time that voters have elected a candidate who does not belong to the country’s traditional ruling elite.

    Sri Lanka has long been held in the tight grip of a handful of powerful political families. The Rajapaksa dynasty, for example, had dominated Sri Lankan politics for well over two decades before mass protests over a severe economic crisis unseated the country’s leader, Gotabaya Rajapaksa, in 2022.

    AKD’s campaign rhetoric centred largely around corruption as the key culprit in the economic woes facing the country. Previous governments have been linked not only to corruption, but also to human rights abuses and the military’s encroachment on the civilian space. Persuaded by his logic of openness and transformation, voters saw AKD as an opportunity to change Sri Lanka’s stale political system.

    Following his election, AKD declared in characteristic Marxian mode: “This victory belongs to all of us.” Assuaging the demands of the masses for change will be a priority.

    Voters have chosen a new president for the first time since mass protests unseated Sri Lanka’s leader in 2022.
    Color Collector / Shutterstock

    AKD comes from a strong leftwing ideological background. He leads a political outfit called the Janatha Vimukti Peramuna (JVP), which is by no means a heavyweight party. It has only three members in the country’s 225-member parliament, and does not come with an attractive pedigree.

    The JVP is seen in Sri Lanka as a fringe reactionary party due to its involvement in violent insurrections and targeted assassinations that left thousands dead in the 1980s. Given Sri Lanka’s fractious ethno-nationalist politics, how the JVP and its new national leader carry the masses forward on a national regeneration project would be anybody’s guess.

    But AKD has shown himself to be aware of the underlying tensions in the country and, since becoming the JVP’s leader in 2008, has apologised for the party’s past violence. In his swearing-in speech, AKD declared: “We need to establish a new clean political culture … We will do the utmost to win back the people’s respect and trust in the political system.”

    The road ahead

    There are several critical challenges that AKD needs to face head on – the most important of which concerns the country’s failing economy. After all, it was acute economic hardship that drove the citizenry to vote for political change.

    In the past, a substantial portion of whatever Sri Lanka managed to procure through its two main sources of income, tourism and remittances sent home by citizens living abroad, went towards settling its external debts. However, these earnings were hit badly by the pandemic and the country’s economic woes spiralled out of control.

    The rate of inflation soared and dwindling reserves of foreign currency resulted in acute shortages of essential goods and services. Then, in May 2022, Sri Lanka defaulted on its foreign debt for the first time in its history.

    This scenario quickly led to a national emergency. Faced with the most devastating economic crisis since independence, a countrywide uprising (colloquially known as the aragalaya) ousted Gotabaya Rajapaksa from office.

    The removal of Rajapaksa secured an uneasy peace, and things have since tentatively improved on the economic front. Ranil Wickremesinghe took over as the interim president in 2022 and his administration managed to secure a loan worth US$3 billion (£2.2 billion) from the International Monetary Fund.

    The economy now appears to be on a slow path of recovery. It is expected to grow in 2024 for the first time in three years, supported by a narrower trade deficit and growing remittances.

    Sri Lanka’s interim president, Ranil Wickremesinghe, has congratulated Dissanayake on winning the election.
    Ruwan Walpola / Shutterstock

    AKD is aware of the enormity of the burden he carries. As he admitted while accepting the role of president: “I have said before that I am not a magician – I am an ordinary citizen. There are things I know and don’t know. My aim is to gather those with the knowledge and skills to help lift this country.”

    His pro-working class and anti-political elite campaigning without doubt made AKD popular among youth, and helped him secure victory. But his ideology may well be at odds with the foreign lenders who have kept the economy afloat for past two decades.

    Sri Lanka’s new president faces a precarious balancing act to satisfy both a population high on hopes of populist subsidies and the demands of external lenders to tighten the country’s belts.

    Amalendu Misra is a recipient of British Academy and Nuffield Foundation Fellowships.

    ref. Sri Lanka’s new leftist president marks departure from political family rule – https://theconversation.com/sri-lankas-new-leftist-president-marks-departure-from-political-family-rule-239631

    MIL OSI – Global Reports

  • MIL-OSI Global: Loneliness may not make you ill after all, says new study – but that doesn’t mean we shouldn’t tackle it

    Source: The Conversation – UK – By Louise Arseneault, Professor in Developmental Psychology at the Institute of Psychiatry, Psychology and Neuroscience, King’s College London

    Magdalena kluczny/Shutterstock

    When was the last time that you felt lonely? It’s an uncomfortable question, but for 3.83 million people in the UK, 7.1% of the population, the answer is probably “right now”.

    Loneliness has become a worrying public health matter because it is common and is often associated with people experiencing physical and mental health problems. There is now taxpayers’ money being spent at the local, national and international levels on initiatives to minimise loneliness and the harmful effect it can have on people’s health. But are those investments misjudged?

    New research from Guangzhou Medical University in China has challenged the notion that loneliness can cause ill health. Instead, the findings suggest that loneliness might be considered an associated feature for many diseases (a so-called “surrogate marker”) as it was shown to not be a root cause for poor physical and mental health.

    The researchers used data from the UK Biobank in which over half a million people aged 37 to 73 were asked to report how often they felt lonely. They conducted analyses based on the distribution of genetic variants in the population (known as “Mendelian randomisation”) to test the causal effect of loneliness on a wide range of diseases, including physical and mental health problems.

    This is certainly an interesting study; however, there are several points we must consider when reflecting on the findings. It is important to note that UK Biobank data isn’t the best for testing the causal effects of loneliness on health.

    Although many participants have taken part in UK Biobank, they are volunteers who tend to be white, older and have higher levels of education than the general population in the UK. Many of the participants also follow a healthier lifestyle than the population as a whole.

    Although loneliness doesn’t discriminate and can affect anyone, at all ages, and from all walks of life, this participation bias can influence the findings as it may conceal important associations.

    The study also captured a snapshot of loneliness from a single time in adulthood. We all experience loneliness from time to time, but its effect on health depends at what age a person feels lonely, why they feel lonely and for how long. This detail isn’t captured in this data.

    Some of our own research in this area shows that mental health difficulties and poor general functioning are often experienced alongside feelings of loneliness. However, our findings also show that loneliness in early adolescence can have long-lasting effects, especially related to education and employment prospects –– so-called “socioeconomic outcomes”.

    This study also measured loneliness in participants in their late 30s and older. Again, previous research has shown that loneliness can start early in life and is associated with later depression and poor socioeconomic outcomes, both of which are shown in this paper to be important factors associated with health.

    The ideal is to conduct analyses with data from studies that observe people from childhood to old age, and which have measured loneliness earlier in life and health in later life to best understand the links between loneliness and health.

    Also, this study used hospitalisation data to determine health outcomes. While this type of data is valuable, it captures information only from participants who seek treatment and represents the tip of the iceberg when it comes to diseases. Loneliness may affect health in more subtle ways that won’t be caught here.

    This is not to be over-critical of the study, however. The importance of depression and socioeconomic status as mechanisms through which loneliness translates into poor health is an essential message from this study. For example, loneliness may result in difficulties at work or worsening mental health, which could in turn increase a person’s risk of physical disease.




    Read more:
    The loneliness myth: what our shared stories of feeling alone reveal about why you can’t ‘fix’ this very human experience


    Identifying surrogate markers of poor health is also valuable as it opens the door to better and earlier ways to support vulnerable people. For example, someone may not feel comfortable revealing that they experience symptoms of depression, but they are fine with talking about their feelings of loneliness. Loneliness may act as a red flag in some circumstances. This is especially important when diseases are accompanied by stigma, such as many mental health conditions.

    Loneliness is intertwined with a range of health conditions throughout life and is considered both a contributing factor to and an outcome of poor health. This study acknowledges that.

    Loneliness has a complex relationship with health

    To measure the importance of loneliness for public health relevance solely as a causal factor oversimplifies its complex and intricate relationships with health. This is where further research using data that is representative of the general population is needed. It would allow researchers to unpick the pervasive role of loneliness in shaping health and wealth for all people.

    What this study cannot answer is an important question: should we continue to invest in initiatives designed to tackle loneliness as a means of improving population health? As ever, the answer is not a binary one.

    While this study may not report a causal relationship between loneliness and diseases, ample evidence indicates that it precedes, accompanies and results from poor health. Current strategies have proven to be limited in their effectiveness, particularly for people with lower incomes and less education.

    If we consider the occurrence of loneliness alongside mental health difficulties and low socioeconomic status, and a better understanding of the mechanisms that underpin loneliness, we might find these initiatives become more effective.

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

    ref. Loneliness may not make you ill after all, says new study – but that doesn’t mean we shouldn’t tackle it – https://theconversation.com/loneliness-may-not-make-you-ill-after-all-says-new-study-but-that-doesnt-mean-we-shouldnt-tackle-it-239436

    MIL OSI – Global Reports

  • MIL-OSI Global: Sally Rooney’s new novel, Intermezzo, is her longest and best consideration of “idiotic desire and love” yet

    Source: The Conversation – UK – By Orlaith Darling, PhD Candidate, Contemporary English Literature and Critical Theory, Trinity College Dublin

    On the level of theme, the Irish writer Sally Rooney is firmly in her wheelhouse in her new novel Intermezzo. We find Peter and Ivan Koubek having just lost their father and trying to forge a life through and past this bereavement by way of intimate relationships.

    Peter, a barrister in his early 30s, is embroiled in a semi-secret situation-ship with a much younger college student and former sex worker, Naomi. He balances this with his longstanding and largely chaste relationship with a former long-term girlfriend, Sylvia.

    Ivan, a decade younger and aeons less suave than his older brother, has meanwhile taken up with Margaret, a 36-year-old woman he meets while playing chess in Leitrim, a county in the north-west of Ireland.

    So far, so familiar. Anyone seeking plot-driven fiction without a romantic bent from Rooney should know better by now.

    The minor stylistic differences between Intermezzo and her other books reviewers have noted are all moderated by the manifest continuities in Rooney’s authorly concerns.

    We read Rooney because she is that unusual writer whose characters raise serious and abiding questions about the particular historical, social and economic moments they inhabit. Her characters manage to do so without ever feeling like anything less than fully developed, psychologically complex individuals.

    In Conversations with Friends and Normal People, the faltering of young relationships and first love tested the characters’ ideologies against their behaviours, their politics against their morals. In Beautiful World, emails allowed Alice and Eileen the space to describe what it feels like to live in a moment of historical crisis even as life (in the alternating chapters) carries on unchanged.

    This very Rooney-esque tension is, in Intermezzo, parlayed as a struggle between brothers, where Peter castigates various beliefs of Ivan’s and Ivan accuses Peter of privileging principle over conduct.

    Ivan thinks that “Peter is the kind of person who goes along the surface of life very smoothly.” This, for the record, is not at all reflected in Peter’s inner monologue, which proceeds via truncated sentence fragments and is peppered by wishes that he was dead.

    Life, for Peter, seems to be closing in, and is all the more claustrophobic given the seemingly total clarity with which he remembers “When life was perfect.” He at once envies and feels a great depth of compassion for those whose lives are constantly buffeted by the material forces from which his well-paying job shields him.

    Ivan has, at various times, felt himself existing outside of life. He can explain eloquently his opinions on the late capitalist economy (fake), he has a physics degree, a formidable reputation in competitive chess and a history of subscribing to questionable YouTube channels of a distinctly incel flavour. Yet, in Ivan, we see Rooney’s great optimism for people and how they might be redeemed.

    Ivan frequently confronts the difficulty of paying rent, of living in a world where a person cannot do something as prosaic as have a dog. But these problems are tempered by a feeling that the world is nevertheless beginning to open up for him. As he muses, it is surely better to face down these “never-ending struggle[s]” with optimism than be worn down by them. When he meets Margaret, he feels increasingly assured that the world does “make room for goodness and decency.”

    This newest book is perhaps Rooney’s most mature reflection on how relationships operate as exercises in optimism, both in each other and in the world itself. Intermezzo is remarkable and bracing on the exchange of promises that happens in relationships, on the currency of hope they run on, and mutual, voluntary emotional debts they create. These debts, of course, are not always repaid, and that is part of the point: the stakes of love are high, and we run the risk of defaulting and being defaulted on.

    And yet, for Rooney, this risk is always worth taking. It must be, because it is all there is. Rooney’s is a world in which relationships sustain us and in which small daily miracles make life seem more bearable than is proportionate. This might be as simple as the unthinking care enacted by such an everyday chore as “making up [a] packed lunch, Nutella sandwiches, an apple wrapped in kitchen roll” for someone else, or the unrationed totality of love a dog shows its owner after an absence.

    As with each of her novels before this, Rooney’s power as a writer is to focus attention on the crazy hope we place in other people’s ability to sustain us and the anxiety we feel about what we could possibly offer in return. And, against all suggestions of departure, this is the main point of continuity across Rooney’s oeuvre.

    Rooney appears to share the views of many of her characters. Like Frances in Conversations with Friends who says “[y]ou live through certain things before you understand them. You can’t always take the analytical position”. Like Marianne in Normal People who believes that “people can really change one another”. Like Eileen in Beautiful World who hopes that “the most ordinary thing about human beings is not violence or greed but love and care.” And, like Ivan in Intermezzo, she is an optimist.



    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.


    Orlaith Darling receives funding from the Irish Research Council.

    ref. Sally Rooney’s new novel, Intermezzo, is her longest and best consideration of “idiotic desire and love” yet – https://theconversation.com/sally-rooneys-new-novel-intermezzo-is-her-longest-and-best-consideration-of-idiotic-desire-and-love-yet-239535

    MIL OSI – Global Reports

  • MIL-OSI Global: Ancient DNA helped us uncover the Iberian lynx’s potential secret weapon against extinction

    Source: The Conversation – UK – By Johanna L.A. Paijmans, Postdoctoral research fellow in Zoology, University of Cambridge

    Many large mammals have lost genetic diversity, often thanks to the actions of people shrinking their populations. The implications can be severe because without genetic diversity, a population does not have a “genetic database” to fall back on to adapt to environmental change.

    The Iberian lynx (Lynx pardinus) is no stranger to this reduction in diversity. Human activity has driven populations to dangerously low numbers, leaving them with a shrinking genetic pool. This loss threatens the lynx’s ability to adapt to changing environments, putting their survival at risk.

    Our team’s research reveals how the Iberian lynx interbred with its cousin, the Eurasian lynx (Lynx lynx) over the past few thousand years. This mingling may have boosted the Iberian lynx’s genetic diversity. This is a crucial factor for its survival, especially as the species faces such an uncertain future.

    Low genetic diversity can lead to “inbreeding depression”, where closely related animals breed and produce offspring that are less fit for survival. In extreme cases, this can push entire populations, or even species, to the brink of extinction.

    To boost the genetic diversity of populations on the brink, conservationists sometimes turn to “genetic rescue”. This involves introducing individuals from different populations in the hope that they will breed with the local animals, reducing inbreeding and enhancing genetic diversity.

    While this strategy can be effective, it’s not without risks. Introducing animals that are too genetically different can disrupt or dilute beneficial traits, potentially harming the population’s ability to survive and reproduce. It’s a phenomenon known as “outbreeding depression”. Despite these risks, genetic rescue remains a valuable tool in conservation, though it’s often approached with caution.

    One of the most severe cases of reduced genetic diversity is the Iberian lynx, once the world’s most threatened cat species. It’s mostly found in parts of Spain and Portugal.

    Rescue and recovery

    Today, the Iberian lynx is recovering from near extinction. More than 400 reproductive females were reported in the 2023 census. This is a massive increase from just 25 in 2002. This turnaround is largely thanks to an ambitious conservation programme over the past two decades, involving coordinated breeding programmes and reintroductions.

    Part of this success is due to the “genetic rescue” effect, where mixing the two remaining genetically distinct populations helped boost the species’ genetic diversity. Despite this progress, the Iberian lynx still faces significant challenges. The population is far from reaching the minimum of 1,100 reproductive females needed to be considered genetically viable. So, its genetic diversity remains one of the lowest ever recorded.

    Further genetic rescue could be a solution to enhance diversity. But there’s a catch – no other Iberian lynx populations exist in the world that could serve as a source of new genetic material.

    The Eurasian lynx (Lynx lynx).
    Jaroslav Macenauer/Shutterstock

    Ancient DNA can be extracted from historical remains or subfossil (animals that are not ancient enough to be considered true fossils but are not considered modern either) samples. By studying these, scientists can gain valuable insights into the genetic past of species, offering a stark comparison with their present day counterparts.

    In 2015, our colleague Maria Lucena-Perez first visited the lab of another of our colleagues, Michael Hofreiter, in Germany to generate the very first whole genome data from ancient Iberian lynx bones. Extracting ancient DNA from bones is a highly specialised process that requires dedicated cleanroom facilities to prevent contamination from modern DNA.

    Working together, our team successfully extracted nuclear DNA from three ancient Iberian lynx specimens. Two of these were approximately 2,500 years old. The third dated back more than 4,000 years. This marked the first time nuclear DNA had ever been retrieved from ancient Iberian lynx. Maria’s achievement has significantly advanced our understanding of how the genetic makeup of the Iberian lynx has evolved over thousands of years.

    Our team analysed and compared the DNA with that of modern Iberian lynx. To our surprise, the ancient lynx showed even lower genetic diversity than their modern descendants. Given the sharp decline in their populations over the past few centuries, this finding was both unexpected and puzzling.

    Species interbreeding

    The missing piece of the puzzle came with the discovery that modern Iberian lynx populations share more genetic variants with the closely related Eurasian lynx than their ancient counterparts did. This suggests that the two species successfully interbred within the past 2,500 years, boosting the genetic diversity of today’s Iberian lynx.

    These findings align with extensive genomic evidence of ancient gene flow from Eurasian lynx into the Iberian lynx genome. While the two species don’t share the same habitats today, they once coexisted in the Iberian Peninsula, and possibly in southern France and northern Italy. This situation would have provided plenty of opportunities for interbreeding.

    The potential for these two species to naturally meet and breed is growing once more as their ranges continue to expand. This could open up new possibilities for genetic diversity in the future.

    The advent of whole nuclear genome analysis over the past 30 years has revealed numerous cases of cross-species interbreeding, such as between polar bears and brown bears. This suggests that the case of the lynx is not so unusual. But the Iberian lynx stands out as the first documented example where interspecies breeding significantly increased species-wide genetic diversity.

    We still don’t fully understand the exact effect of this genetic boost, particularly whether it improved the population’s fitness and survival. One intriguing possibility is that the Iberian lynx has managed to persist despite its extremely low genetic diversity, thanks to recurrent genetic rescues by the Eurasian lynx.

    While there’s more to learn, our research offers an unexpected but important case study for the broader discussion on genetic rescue. If we can better predict the chances of inbreeding and outbreeding depression when interbreeding happens, we could use genetic rescue more effectively as a conservation tool in the ongoing biodiversity crisis.

    Johanna L.A. Paijmans receives funding from Marie Skłodowska-Curie individual fellowship “RESOURCEFUL”.

    Axel Barlow receives funding from NERC, ERC.

    José A. Godoy receives funding from the Spanish Dirección General de
    Investigación Científica y Técnica through competitive research grants (projects CGL2013-47755-P, CGL2017-84641-P, PID2021-123358OB-I00) and from EU funded LIFE+ program (LIFE19 NAT/ES/001055 – LIFE LYNXCONNECT)

    ref. Ancient DNA helped us uncover the Iberian lynx’s potential secret weapon against extinction – https://theconversation.com/ancient-dna-helped-us-uncover-the-iberian-lynxs-potential-secret-weapon-against-extinction-237076

    MIL OSI – Global Reports

  • MIL-OSI Global: How to archive your photos in the digital age

    Source: The Conversation – USA – By Wasim Ahmad, Assistant Teaching Professor of Journalism, Quinnipiac University

    What’s the right choice for storing your photos? Wasim Ahmad, CC BY

    Taking photographs used to be a careful, conscious act. Photos were selective, frozen moments in time carefully archived in albums and frames. Now, taking a photograph is almost as effortless and common as breathing – it’s something that people do all the time in the age of smartphone cameras with seemingly endless digital film.

    But the downside to capturing every moment is that it creates a mountain of those moments to save for the future. Those photos can be easily lost if they’re not archived properly. All it can take is one accidental dip in the toilet for your phone, and all that data is lost forever.

    So what’s a practical backup strategy for the average person? Here are a few ways to make sure memories are never lost:

    Cloud storage

    The simplest way to archive your photos is cloud storage. For Apple users, there’s iCloud, which starts at US$0.99 per month for 50 gigabytes all the way to $59.99 per month for 12 terabytes with various tiers in between. With an average iPhone photo clocking in at 3 megabytes, that’s a little over 16,000 photos for the cheap plan and 4 million or so for the largest plan. Google’s Google One cloud storage is most cost effective for yearly plans, with 2TB going for $99.99 per year and 5TB going for $249.99 per year.

    The actual amount you can store in that space does vary greatly with how a file is shot. Video has larger file sizes than photos. HEIF files, a newer format on Apple phones, compresses files into smaller packages, but long-term compatibility is unknown since the format hasn’t been in use for as long as the standard JPG file, which has been around since 1992.

    Storing your photos in a cloud service like iCloud is probably the easiest method.
    Chris Messina/Flickr, CC BY-NC

    While cloud services from big providers generally provide the easiest way for most average folks to back up their photos, and operate with little to no intervention via apps that are already on the phone constantly uploading every photo taken, there are risks involved.

    Big companies often change their policies about how photos are saved. For instance, depending on what phone and when it was bought, Google’s cloud storage may have saved photos in a “storage saver” format that lowers the quality of images by sizing them down or compressing them differently. This affects your ability to make high-quality prints or view the photos on high-resolution screens down the road. Unless someone is astute enough to notice small text here and there that mentions it, most users won’t even realize it’s happening.

    And what happens to cloud services when things go badly wrong? Users of photo backup service Digital Railroad found out the hard way. In 2008, the company abruptly shut down and gave its users 24 hours to download everything before the servers were shut down. Photographers rushed for the exits, trying to grab their photos on the way out, only to strain the servers to the point where few were able to recover anything at all. If this was the only way photos were backed up, it’s a lost cause.

    So while the cloud is easy, costs can add up and terms of service can change at a moment’s notice. What are some ways for photographers to control their own fate?

    Hard drives and network-attached storage

    Manually taking photos off a phone may take some extra time, but the approach offers peace of mind that cloud services can’t necessarily match.

    Almost all phones can plug into a computer’s USB port and use the built-in photos app on both Windows or MacOS to download photos to a computer. Apple users can use a method called AirDrop to send photos wirelessly to other Apple devices as well, including laptop and desktop computers.

    Now loading photos onto a local hard drive built into the machine can fill it up quickly, but there is a cost-effective way to get around that – namely, external hard drives. Theses are storage devices that you can plug into your computer as needed. They can be of the older and less expensive type with spinning platters or more modern solid-state drives that can survive a drop and greater temperature changes than the older drives can.

    These are different than flash drives, more commonly known as thumb drives because of their small size, that are designed as temporary storage to shuffle photos from one place to another.

    It’s easy to buy more than one hard drive to have duplicate backups in case of failure or catastrophe, but the downside is that there’s no easy access from the internet to your photos, and backup is generally a process that users must remember to do.

    Network-attached storage is one way to solve the cloud storage problem while retaining the ability to access photos from the internet. These are essentially hard drives – sometimes multiple hard drives linked together for even greater or faster storage – that are connected to a router that allows for access to the internet through specialized software.

    While not as easy as most third-party cloud storage services, once it’s set up, a network-attached storage unit is a flexible way to store your photos safely and accessibly. There are even companies that specialize in fireproof and waterproof units for extra insurance in case of disaster.

    Printing photos

    If cloud storage and hard drives seem too complicated, there’s always the old-fashioned approach of printing. There’s still something magical about seeing a photo on a wall or in an album, and thankfully there are ways to print professional-quality archival prints without having to go to a drugstore.

    Desktop photo printers are a way to bring those digital photos into the physical world, ready for organizing in photo albums.
    Leksey/Wikimedia

    The easiest and most cost-efficient types of printers are dedicated 4×6 printers using a technology similar to professional labs called dye-sublimation. These yield high-quality, waterproof prints that cost about the same as what one would pay for drugstore developing. HP makes its popular Sprocket line of printers, though those require a phone and an app to print from, which makes plugging in a memory card from a professional camera out of the question. However, Canon’s Selphy lineup includes many models with screens and a card slot to make that possible.

    The rabbit hole goes very deep, and there are many professional printers that can print even larger sizes. Canon and Epson dominate this space, marketing a range of pigment- and dye-based printers that can emphasize archival needs or color saturation, respectively.

    Another option is ordering a photo book, which, as the name suggests, is a physical bound book of your photos. However, photo books are probably more appropriate for memorializing an event – trip, wedding, project – than general archiving, given the typical costs and number of photos involved.

    There’s little reason to not make some sort of backups of photos in 2024, whether that’s on printed media, hard drives or in the cloud. The important thing is not which method to use, but to do it at all.

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

    ref. How to archive your photos in the digital age – https://theconversation.com/how-to-archive-your-photos-in-the-digital-age-239175

    MIL OSI – Global Reports

  • MIL-OSI Global: Parents with disabilities have faced discrimination for years in the US, but new rules will help ensure that child welfare systems treat them more fairly

    Source: The Conversation – USA – By Elizabeth Lightfoot, Distinguished Professor of Social Policy, School of Social Work, Arizona State University

    Parents with disabilities have new legal protections. Westend61/Getty Images

    Parents with any kind of disability are much more likely to have some type of interaction with the child welfare system than other parents. This means they are more likely than other parents to be reported for child abuse and neglect and more likely to have abuse or neglect substantiated by child welfare workers. They are also more likely to have their children placed in foster care and more likely to permanently lose their parental rights.

    More than one-third of mothers with intellectual and developmental disabilities have an interaction with the child welfare system within four years of their child’s birth, and about one-fifth of all children in foster care have a parent with some type of disability.

    However, there is little evidence that parents with disabilities abuse or neglect their children at higher rates than anyone else. Instead, there’s evidence that many young adults raised by a parent with a disability have very positive childhood experiences.

    New rules that went into effect in July 2024 provide the first federal protections specifically for parents with disabilities. These new rules ban discrimination against parents and caregivers with disabilities throughout the child welfare system.

    Government is changing these rules

    I’m a social work policy researcher who has studied policies affecting parents with disabilities since 2007.

    In 2010, I found that three-quarters of states had laws which said that a parent’s disability could be used as the grounds for terminating their parental rights. Most of these state laws focused on parents with intellectual and developmental disabilities or mental health disabilities, though some listed physical disabilities and other types as well.

    Many of these laws were vague and used outdated language such as “mental deficiency.”

    Parental disability is the only grounds for termination of parental rights that focuses on a condition of the parent. The rest focus on behaviors. For example, parental poverty is not listed as grounds for termination of parental rights in any state, but neglect – a behavior – is.

    State laws were only one of the issues parents with disabilities encountered related to child protection. For years, there had been confusion as to how the Americans with Disabilities Act, the federal law banning disability discrimination, applied to parents in the child welfare system. Until 2015, most state courts denied ADA claims by parents with disabilities who believed they were discriminated against.

    In addition, most child welfare workers do not receive formal training on working with parents with disabilities. They are not trained in how to assess parenting skills or how to make accommodations to services that they typically provide, such as providing in-home parent training or conveying information in plain language. They might not know about the overwhelming evidence that parents with intellectual disabilities can learn parenting skills.

    This has historically led many child welfare workers to make decisions based on stereotypes or speculation.

    One of the main biases that parents with disabilities face is the “presumption of unfitness bias.” This is a widespread bias that parents are unable to parent solely because of their disability.

    This bias can lead child welfare workers to not consider that parents with disabilities can rely on “parental supports” to assist them in parenting, ranging from adaptive cribs and baby monitors to in-home helpers. It also can result in parents with disabilities being held to a higher standard than others.

    State laws specifically naming parental disability as a for termination of parental rights, the lack of federal protection, and widespread biases left parents with disabilities vulnerable in encounters with the child welfare system.

    Gaining national attention

    Two federal actions in the early 2010s brought national attention to parents with disabilities.

    First, the National Council on Disability, the independent federal agency that advises the federal government on disability issues, released a report in 2012 called Rocking the Cradle. That report focused on the widespread discrimination faced by parents with disabilities; highlighted and called for changing the state child protection laws; and called for the application of ADA protections in child welfare cases involving parents with disabilities.

    This report received a lot of media attention and led to more awareness of the plight of these parents.

    Then, in 2015, Justice Department and the Department of Health and Human Services released guidance directing child welfare agencies to protect parents with disabilities from discrimination. This was the first federal action indicating that the ADA and Section 504 of the Rehabilitation Act applied to child protection services.

    This guidance followed the departments’ investigation of the Massachusetts Department of Children and Families’ removal of a newborn baby from Sara Gordon, a new mother with a developmental disability, in 2012. The Department of Justice and the Department of Health and Human Services found that the state agency had made assumptions that Gordon was unable to take care of her child and unable to learn parenting skills. The state agency had also failed to take into account that Gordon had support systems in place. She lived with her parents, and her mother had quit her job to assist with parenting.

    Making progress for parents with disabilities

    The momentum for protecting parental rights has led to some positive changes.

    A few states changed their own child protection laws to address some of these problems before the federal government took action by providing new protections for parents with disabilities. In addition, the Department of Justice and Department of Health and Human Services have reached agreements with state agencies in Oregon, Georgia and Massachusetts related to discrimination against parents with disabilities.

    Despite this progress, parents with disabilities are still discriminated against by the child welfare system in many parts of the country.

    At the same time, I have no doubt that the federal government’s revision of the rules of Section 504 of the Rehabilitation Act is a major step forward for parents with disabilities.

    In particular, it is promising that Section  84.60 of the rule clarifies that disability discrimination is not allowed in any part of the child welfare process. Child welfare agencies throughout the United States now must ensure that they are not making decisions based on speculation, stereotypes or generalizations.

    Thanks to changes in the federal rule, when a child welfare agency evaluates how a child is being parented, the tools it uses must be backed by research. The evaluations must be conducted by a qualified professional and tailored to the needs of the individual parent. Agencies must ensure that parents with disabilities can participate in any services they provide. These services include parent-child visitation, parenting skills programs, family reunification services and child placements in foster care settings or in the care of another relative.

    Disability advocacy groups applauded this new rule when it went into effect in the summer of 2024.

    I believe these new rules will protect parents with disabilities when interacting with child protection authorities. They will also make it easier for child welfare agencies and state courts to recognize disability discrimination when it appears in their caseloads or on their dockets.

    Elizabeth Lightfoot receives funding from the National Institute on Disability, Independent Living, and Rehabilitation Research and the Arizona Developmental Disabilities Planning Council.

    ref. Parents with disabilities have faced discrimination for years in the US, but new rules will help ensure that child welfare systems treat them more fairly – https://theconversation.com/parents-with-disabilities-have-faced-discrimination-for-years-in-the-us-but-new-rules-will-help-ensure-that-child-welfare-systems-treat-them-more-fairly-238185

    MIL OSI – Global Reports