Category: Academic Analysis

  • MIL-Evening Report: Australia wants more foreign investment. That’s why a $29 billion bid for Santos puts the Treasurer in a tricky position

    Source: The Conversation (Au and NZ) – By Shumi Akhtar, Associate Professor, University of Sydney

    Marlon Trottmann/Shutterstock

    The Australian origins of Santos have made an indelible mark on the company’s very name. The energy giant was first incorporated in 1954 under the acronym for “South Australia Northern Territory Oil Search”. It was publicly listed on the Adelaide Stock Exchange that same year.

    Fast forward to today, there are pressing questions about whether Santos could serve Australia’s national interest if it was largely in the hands of a foreign government.

    This week, it was announced a consortium led by the investment division of state-owned Abu Dhabi National Oil Company (ADNOC) had made an all-cash takeover bid of almost A$29 billion for Santos. This would value the company at $36.4 billion (including its debt).

    Santos’ board has said it will support the deal if there isn’t a better offer on the table. But it will first have to clear a raft of regulatory approvals – not only in Australia but also Papua New Guinea and the United States, where Santos has operations.

    The acquisition would be a monumental event in Australia’s corporate history. Key elements of this country’s critical energy infrastructure are at stake.

    But it’s set to put a difficult decision before the Foreign Investment Review Board (FIRB) and Treasurer Jim Chalmers. On the FIRB’s advice, Chalmers will have to balance Australia’s stated desire to attract foreign investment with the need to protect national interests.

    Who’s trying to buy – and why?

    Also in the ADNOC-led consortium of prospective buyers are US private equity firm Carlyle and a sovereign wealth fund of the United Arab Emirates, Abu Dhabi Development Holding Company (ADQ). There are a few key reasons for their interest.

    First, ADNOC is keenly interested in expanding its footprint in gas and liquefied natural gas (LNG). Acquiring Santos would give it a stake in much of Australia’s gas production and established LNG export facilities. This includes major operations at Gladstone and Darwin.

    They would also gain a share in two important Papua New Guinean projects: PNG LNG and the yet-to-be-developed Papua LNG. These assets are particularly attractive because they offer direct access to the growing Asian LNG markets, where future demand is projected to be strong.

    Second, the acquisition would allow ADNOC to diversify its portfolio and gain control of export capacity from Australia and PNG to the Asia Pacific region. Santos’s Gladstone LNG plant, for example, has significant export capacity. Much of Santos’ LNG capacity is under medium and long-term contracts.

    And third, the timing of this bid is strategic. Santos has recently been in a period of high capital expenditure. A number of major projects are nearing completion. A successful takeover could free up funding for further development.

    ADNOC is the state-owned oil company of Abu Dhabi in the United Arab Emirates.
    Marco Curaba/Shutterstock

    Defining national interest

    For regulators assessing the move, the potential takeover touches upon many national security, energy supply, and economic concerns for Australia.

    One of the primary concerns is the potential loss of control over critical energy infrastructure.

    Foreign ownership, especially by a state-linked investor such as ADNOC, raises questions about whose interests will ultimately shape strategic decisions about Australia’s essential gas flows, pricing, or even the integrity of operational technology systems.

    There’s also concern that a foreign owner could prioritise LNG exports over domestic supply. That could potentially exacerbate domestic gas shortages and price hikes. In the eastern states of Australia, such issues are already a concern.

    This is not the first time the Australian government has faced a tough decision on a foreign takeover bid in the oil and gas sector. In 2018, the Morrison government blocked a $13 billion Chinese bid for gas pipeline operator APA Group. It said a single foreign owner should not control Australia’s largest pipeline business.

    And the then-Treasurer Peter Costello blocked Royal Dutch/Shell’s $10 billion blockbuster offer for Woodside Petroleum in 2001, also in the national interest.

    The national interest checklist

    On the other hand, Australia generally welcomes foreign investment. It brings capital, creates jobs, and supports economic growth.

    If this deal proceeds to final stages, the decision could become a “test case” for Australia. Can we still attract global capital while also diligently safeguarding our sovereign interests?

    The consortium has made commitments to maintain Santos’s headquarters in South Australia, preserve jobs and invest in growth and decarbonisation initiatives. But this is only part of the picture.

    The FIRB and the Treasurer will need to consider how the deal would affect:

    • national security and critical infrastructure, including ownership and control risk, system integrity and supply chain vulnerability
    • the economy (such as on jobs and investment, tax revenues)
    • energy security and domestic gas supply
    • other Australian government policies, such as climate targets
    • the character of the investor
    • the complexity of regulation.

    The FIRB and the Treasurer must be acutely aware that few other nations have extended the same generosity to foreign investors as Australia has over recent decades.

    This generosity, while attracting capital, has also raised concerns about the nation’s control over its vital assets.

    The SA government has already signalled it won’t stand idly by if the deal is “not in the interests of South Australians”.

    All of this sits in the context of ongoing questions about how little tax is being paid by some multinationals while exploiting Australia’s natural resources.

    It is paramount the Australian government makes a forward-looking, informed decision. This should serve Australia’s best interests, rather than those of foreign entities.

    Associate Professor Akhtar has been invited to make several submissions to national Senate inquiries on tax, trade, and investment, and some of the material from those submissions has been drawn upon in writing this article.

    ref. Australia wants more foreign investment. That’s why a $29 billion bid for Santos puts the Treasurer in a tricky position – https://theconversation.com/australia-wants-more-foreign-investment-thats-why-a-29-billion-bid-for-santos-puts-the-treasurer-in-a-tricky-position-259153

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Australia wants more foreign investment. That’s why a $29 billion bid for Santos puts the Treasurer in a tricky position

    Source: The Conversation (Au and NZ) – By Shumi Akhtar, Associate Professor, University of Sydney

    Marlon Trottmann/Shutterstock

    The Australian origins of Santos have made an indelible mark on the company’s very name. The energy giant was first incorporated in 1954 under the acronym for “South Australia Northern Territory Oil Search”. It was publicly listed on the Adelaide Stock Exchange that same year.

    Fast forward to today, there are pressing questions about whether Santos could serve Australia’s national interest if it was largely in the hands of a foreign government.

    This week, it was announced a consortium led by the investment division of state-owned Abu Dhabi National Oil Company (ADNOC) had made an all-cash takeover bid of almost A$29 billion for Santos. This would value the company at $36.4 billion (including its debt).

    Santos’ board has said it will support the deal if there isn’t a better offer on the table. But it will first have to clear a raft of regulatory approvals – not only in Australia but also Papua New Guinea and the United States, where Santos has operations.

    The acquisition would be a monumental event in Australia’s corporate history. Key elements of this country’s critical energy infrastructure are at stake.

    But it’s set to put a difficult decision before the Foreign Investment Review Board (FIRB) and Treasurer Jim Chalmers. On the FIRB’s advice, Chalmers will have to balance Australia’s stated desire to attract foreign investment with the need to protect national interests.

    Who’s trying to buy – and why?

    Also in the ADNOC-led consortium of prospective buyers are US private equity firm Carlyle and a sovereign wealth fund of the United Arab Emirates, Abu Dhabi Development Holding Company (ADQ). There are a few key reasons for their interest.

    First, ADNOC is keenly interested in expanding its footprint in gas and liquefied natural gas (LNG). Acquiring Santos would give it a stake in much of Australia’s gas production and established LNG export facilities. This includes major operations at Gladstone and Darwin.

    They would also gain a share in two important Papua New Guinean projects: PNG LNG and the yet-to-be-developed Papua LNG. These assets are particularly attractive because they offer direct access to the growing Asian LNG markets, where future demand is projected to be strong.

    Second, the acquisition would allow ADNOC to diversify its portfolio and gain control of export capacity from Australia and PNG to the Asia Pacific region. Santos’s Gladstone LNG plant, for example, has significant export capacity. Much of Santos’ LNG capacity is under medium and long-term contracts.

    And third, the timing of this bid is strategic. Santos has recently been in a period of high capital expenditure. A number of major projects are nearing completion. A successful takeover could free up funding for further development.

    ADNOC is the state-owned oil company of Abu Dhabi in the United Arab Emirates.
    Marco Curaba/Shutterstock

    Defining national interest

    For regulators assessing the move, the potential takeover touches upon many national security, energy supply, and economic concerns for Australia.

    One of the primary concerns is the potential loss of control over critical energy infrastructure.

    Foreign ownership, especially by a state-linked investor such as ADNOC, raises questions about whose interests will ultimately shape strategic decisions about Australia’s essential gas flows, pricing, or even the integrity of operational technology systems.

    There’s also concern that a foreign owner could prioritise LNG exports over domestic supply. That could potentially exacerbate domestic gas shortages and price hikes. In the eastern states of Australia, such issues are already a concern.

    This is not the first time the Australian government has faced a tough decision on a foreign takeover bid in the oil and gas sector. In 2018, the Morrison government blocked a $13 billion Chinese bid for gas pipeline operator APA Group. It said a single foreign owner should not control Australia’s largest pipeline business.

    And the then-Treasurer Peter Costello blocked Royal Dutch/Shell’s $10 billion blockbuster offer for Woodside Petroleum in 2001, also in the national interest.

    The national interest checklist

    On the other hand, Australia generally welcomes foreign investment. It brings capital, creates jobs, and supports economic growth.

    If this deal proceeds to final stages, the decision could become a “test case” for Australia. Can we still attract global capital while also diligently safeguarding our sovereign interests?

    The consortium has made commitments to maintain Santos’s headquarters in South Australia, preserve jobs and invest in growth and decarbonisation initiatives. But this is only part of the picture.

    The FIRB and the Treasurer will need to consider how the deal would affect:

    • national security and critical infrastructure, including ownership and control risk, system integrity and supply chain vulnerability
    • the economy (such as on jobs and investment, tax revenues)
    • energy security and domestic gas supply
    • other Australian government policies, such as climate targets
    • the character of the investor
    • the complexity of regulation.

    The FIRB and the Treasurer must be acutely aware that few other nations have extended the same generosity to foreign investors as Australia has over recent decades.

    This generosity, while attracting capital, has also raised concerns about the nation’s control over its vital assets.

    The SA government has already signalled it won’t stand idly by if the deal is “not in the interests of South Australians”.

    All of this sits in the context of ongoing questions about how little tax is being paid by some multinationals while exploiting Australia’s natural resources.

    It is paramount the Australian government makes a forward-looking, informed decision. This should serve Australia’s best interests, rather than those of foreign entities.

    Associate Professor Akhtar has been invited to make several submissions to national Senate inquiries on tax, trade, and investment, and some of the material from those submissions has been drawn upon in writing this article.

    ref. Australia wants more foreign investment. That’s why a $29 billion bid for Santos puts the Treasurer in a tricky position – https://theconversation.com/australia-wants-more-foreign-investment-thats-why-a-29-billion-bid-for-santos-puts-the-treasurer-in-a-tricky-position-259153

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: ‘I was in a semi-breaking-down sort of place’: new study sheds light on the emotional toll for emergency volunteers

    Source: The Conversation (Au and NZ) – By Natalie Roche, PhD Candidate, Centre for Ergonomics and Human Factors, La Trobe University

    Sergey Dolgikh/Getty Images

    In Australia, there are around 235,000 emergency service volunteers who help communities respond and recover after natural disasters and other traumatic events.

    These include volunteers with metropolitan and rural fire services and other rescue organisations.

    As natural disasters grow more frequent and severe with climate change we rely on these volunteers now more than ever. Yet volunteer numbers are shrinking.

    Our new research reveals an important but often hidden toll from natural disasters – the mental health of emergency service volunteers, who risk physical and emotional burnout.

    In our study, we interviewed 32 Victorian State Emergency Service (SES) and Country Fire Authority (CFA) volunteers. They told us they’re often not getting adequate support.

    Exposure to death

    Death is something commonly hidden behind clinical curtains. But for emergency service volunteers, exposure to dying and death is just part of the job. Death on jobs arrives unpredictably – on roads, in burned homes, after storms, floods and suicides.

    Given their work often takes place in the local community, victims are frequently known to the volunteer, which can further complicate grief. As one participant told us:

    You’re bound to come across someone you know, or someone you love at some point […] in a bad situation.

    Another recounted a colleague’s experience:

    It wasn’t until the next day that she found out that she actually knew the deceased person, but didn’t recognise them.

    Volunteers described often being first on scene to assist but not fully prepared for what they find. They recounted experiences including retrieving children who had drowned, watching people dying on the roadside, and finding burnt and maimed human remains.

    These encounters provoke intense emotional responses, from shock and sadness to feeling powerless and vulnerable. For many, feelings of helplessness and grief reverberate into everyday life. As one volunteer told us:

    I was in a semi-breaking-down sort of place […] having flashbacks […] struggling to hold emotions and do my day job.

    A lack of formal support

    We identified over-reliance on informal team support and individual resilience to cope with difficult emotions.

    Structured debriefs depended on leadership and team dynamics. Leaders with “tough it out” mindsets unintentionally perpetuated stigma around seeking help. One participant explained:

    People generally will just sit there and not talk about how they feel […] They’re feeling ashamed or embarrassed.

    The mindset of some teams seems to be that those who can’t manage the demands of the job should leave. One volunteer said:

    It’s mostly very hard and tough. But if you’re going to survive in the game, you gotta be hard.

    Support programs exist, but often focus on major disasters rather than the more everyday jobs. Referral depends on leaders flagging those seen as at-risk or individual volunteers asking for support. One participant explained:

    We do a debrief with peer support, but some people put on a brave face […] There needs to be more follow up.

    What’s more, support is sometimes difficult to access. One participant, a team leader, explained what happened when a volunteer in their team wasn’t coping:

    I called the mechanisms that [we] were told that we need to access. I’ve got somebody here that’s suicidal, nobody escalated it. I still hadn’t heard back six hours later.

    Importantly, our findings also highlighted that a one-size-fits-all approach doesn’t work. For some, peer support is a lifeline for processing experiences and building resilience, but not for others.

    Five women killed. And the peer support was all over us. You know, we got to the stage where it was ridiculous. We’ve had enough, we don’t want this. It re-traumatises people who want to move on.

    Support for emergency service volunteers isn’t one-size-fits-all.
    Ground Picture/Shutterstock

    Protecting those who protect us

    Talking to emergency service volunteers from only two organisations in one jurisdiction may limit the extent to which we can generalise our findings to other regions, countries or cultures.

    However, Victoria does have the second largest number of emergency service volunteers in Australia (behind New South Wales).

    Emergency service volunteers are extremely proud and passionate about serving their community and show up with care, calm and strength. But our findings show this comes at a personal cost, especially without the right supports.

    Volunteer exposure to death and dying must be recognised as a serious occupational health and safety issue, not just an emotional side effect of the job. We need proactive, not reactive reform if we want to recruit, retain and protect the people we count on in a crisis.

    Legislators and organisations should work collaboratively with emergency service volunteers to develop and implement responsive and consistent support services, culture and leadership.

    Without targeted, systemic and consistent support, we risk the future of our community-based emergency response. It’s time to protect those who protect us.


    If this article has raised issues for you, or if you’re concerned about someone you know, call Lifeline on 13 11 14 or Beyond Blue on 1300 22 4636.

    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. ‘I was in a semi-breaking-down sort of place’: new study sheds light on the emotional toll for emergency volunteers – https://theconversation.com/i-was-in-a-semi-breaking-down-sort-of-place-new-study-sheds-light-on-the-emotional-toll-for-emergency-volunteers-259145

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Britain’s support for AUKUS is unwavering – but its capacity to deliver is another matter

    Source: The Conversation (Au and NZ) – By Tom Howe, PhD candidate in International Relations, Monash University

    A recently announced Pentagon review of the AUKUS pact has sparked a renewed bout of debate in Australia. Led by the “AUKUS-agnostic” US Undersecretary of Defense Elbridge Colby, the review raises serious questions over whether Australia will receive its US-made Virginia-class submarines on schedule from 2032.

    AUKUS supporters suggest the review is not overly concerning – they point out governments typically review major programs after taking office. As they note, the UK Labour government did the same when it commissioned Sir Stephen Lovegrove to review AUKUS in 2024. Moreover, the House of Commons Defence Select Committee is currently reviewing AUKUS.

    Crucially, however, not all reviews are created equal. Given the US assessment is, according to US officials, being conducted to ensure alignment with the imperatives of “America first”, there is a risk the US will not supply Australia with the Virgina-class submarines it feels it requires to deter China. The UK reviews, on the other hand, did not and do not carry such risks.

    The findings of the Lovegrove review remain confidential, but have been shared with Canberra and were incorporated into the UK government’s recent Strategic Defence Review (SDR). The Defence Select Committee is yet to report, but being public, its findings are likely to generate further debate in Australia.

    Why are the UK reviews different?

    The Defence Select Committee review, launched independently of the government, is an accountability mechanism that scrutinises progress but lacks the power to set policy.

    Meanwhile, the Lovegrove review was never intended to question AUKUS, as its terms of reference made clear. Instead, its focus was more on what progress has been made so far and any barriers that might inhibit future success.

    There was never any real chance the Lovegrove review would end or amend the UK’s participation in AUKUS, because it has widespread support across mainstream British politics. In foreign and security policy terms, cross-party consensus is the norm in the UK.

    However, in the case of AUKUS, two specific factors stand out.

    First, AUKUS provides a welcome means to share the burden on a project the UK was already pursuing. Even before AUKUS was announced, the UK had initiated plans for its next generation of nuclear-powered attack submarines, awarding initial design contracts to BAE Systems and Rolls-Royce worth £85 million (A$170 million).

    Considering this, AUKUS – and specifically Australia’s £2.4 billion (A$4.6 billion) investment into Rolls-Royce’s reactor production line – was a welcome boon for the cash-strapped British government.

    Second, AUKUS has been a crucial component of the UK’s post-Brexit re-emergence. Coming after a period in which Brexit negotiations consumed the British government, it provided important substance to “Global Britain” and its Indo-Pacific tilt.

    AUKUS’s cross-party appeal might initially seem strange, given its close association with Boris Johnson’s Brexiteer government. After all, with its “Britain Reconnected” plan, Prime Minister Keir Starmer’s government has been keen to demonstrate how it differs from its Conservative predecessors. This most recent example comes with the SDR’s NATO-first approach, which some interpreted as a sharp break.

    However, this is a difference in style rather than substance. Rishi Sunak’s Conservative government had announced Britain had delivered the tilt and would focus on consolidating its position.

    In other words, it was making no new commitments. The SDR does not amend this position. It makes clear that “NATO first does not mean NATO only”. This means continuing support for agreements such as AUKUS, which, according to the review, are crucial to shaping the global security environment.

    Whether Britain has the capability to shape the global security environment is a question the SDR addresses, if implicitly, by acknowledging the “hollowing out” of the UK’s armed forces. Reconstituting Britain’s armed forces is consequently a key focus of Starmer’s government, which sees rearmament as a route to reindustrialisation.

    Militarisation as central to ‘rebirth’

    In this rebirth, the government is focusing heavily on the arms industry as a means to bring well-paid, high-skilled jobs to post-industrial parts of the country. There is debate about whether this is the best way to create jobs and growth, but the Starmer government has gone all-in on the strategy.

    Indeed, one of the most notable outcomes of the SDR is that the UK plans to invest substantial sums in its fleet of attack submarines, as it plans to go from seven Astute-class boats to 12 AUKUS-class ones.

    This ambition may provide some comfort to Australian observers as it indicates the scale of the UK’s commitment to AUKUS. Still, achieving the goal will require a significant increase in industrial capacity, as Britain will need to produce a new submarine every 18 months. The record of the UK government on major capital projects suggests this is a heroic ambition.

    For example, the last three Astute-class boats to be commissioned took between 130 and 132 months to build. The sixth and seventh boats of the nearly 25-year-old program are yet to enter service. Moreover, even the active Astute boats are beset by problems; in the first half of 2024, none of the five in-service boats completed an operational deployment due to maintenance issues.

    So, while in the context of the US review, Britain’s commitment is likely welcomed, any comfort must be tempered by the expectation that problems will also likely emanate from Britain.

    Tom Howe is a Young Professionals Member of the AIIA.

    ref. Britain’s support for AUKUS is unwavering – but its capacity to deliver is another matter – https://theconversation.com/britains-support-for-aukus-is-unwavering-but-its-capacity-to-deliver-is-another-matter-259266

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Global: Who are Iran’s allies? And would any help if the US joins Israel in its war?

    Source: The Conversation – Global Perspectives – By Ali Mamouri, Research Fellow, Middle East Studies, Deakin University

    As Israel continues its attacks on Iran, US President Donald Trump and other global leaders are hardening their stance against the Islamic Republic.

    While considering a US attack on Iran’s nuclear sites, Trump has threatened Iran’s supreme leader, claiming to know his location and calling him “an easy target”. He has demanded “unconditional surrender” from Iran.

    Meanwhile, countries such as Germany, Canada, the UK and Australia have toughened their rhetoric, demanding Iran fully abandon its nuclear program.

    So, as the pressure mounts on Iran, has it been left to fight alone? Or does it have allies that could come to its aid?

    Has Iran’s ‘axis of resistance’ fully collapsed?

    Iran has long relied on a network of allied paramilitary groups across the Middle East as part of its deterrence strategy. This approach has largely shielded it from direct military strikes by the US or Israel, despite constant threats and pressure.

    This so-called “axis of resistance” includes groups such as Hezbollah in Lebanon, the Popular Mobilisation Forces (PMF) in Iraq, the Houthi militants in Yemen, as well as Hamas in Gaza, which has long been under Iran’s influence to varying degrees. Iran also supported Bashar al-Assad’s regime in Syria before it was toppled last year.

    These groups have served both as a regional buffer and as a means for Iran to project power without direct engagement.

    However, over the past two years, Israel has dealt significant blows to the network.

    Hezbollah — once Iran’s most powerful non-state ally — has been effectively neutralised after months of attacks by Israel. Its weapons stocks were systematically targeted and destroyed across Lebanon. And the group suffered a major psychological and strategic loss with the assassination of its most influential leader, Hassan Nasrallah.

    In Syria, Iranian-backed militias have been largely expelled following the fall of Assad’s regime, stripping Iran of another key foothold in the region.

    That said, Iran maintains strong influence in Iraq and Yemen.

    The PMF in Iraq, with an estimated 200,000 fighters, remains formidable. The Houthis have similarly sized contingent of fighters in Yemen.

    Should the situation escalate into an existential threat to Iran — as the region’s only Shiite-led state — religious solidarity could drive these groups to become actively involved. This would rapidly expand the war across the region.

    The PMF, for instance, could launch attacks on the 2,500 US troops stationed in Iraq. Indeed, the head of Kata’ib Hezbollah, one of the PMF’s more hardline factions, promised to do so:

    If America dares to intervene in the war, we will directly target its interests and military bases spread across the region without hesitation.

    Iran itself could also target US bases in the Persian Gulf countries with ballistic missiles, as well as close the Strait of Hormuz, through which about 20% of the world’s oil supply flows.

    Will Iran’s regional and global allies step in?

    Several regional powers maintain close ties with Iran. The most notable among them is Pakistan — the only Islamic country with a nuclear arsenal.

    For weeks, Iranian Supreme Leader Ali Khamenei has tried to align Iran more closely with Pakistan in countering Israel’s actions in Gaza.

    In a sign of Pakistan’s importance in the Israel-Iran war, Trump has met with the country’s army chief in Washington as he weighs a possible strike on its neighbour.

    Pakistan’s leaders have also made their allegiances very clear. Prime Minister Shehbaz Sharif has offered Iran’s president “unwavering solidarity” in the “face of Israel’s unprovoked aggression”. And Pakistani Defence Minister Khawaja Asif recently said in an interview Israel will “think many times before taking on Pakistan”.

    These statements signal a firm stance without explicitly committing to intervention.

    Yet, Pakistan has also been working to de-escalate tensions. It has urged other Muslim-majority nations and its strategic partner, China, to intervene diplomatically before the violence spirals into a broader regional war.

    In recent years, Iran has also made diplomatic overtures to former regional rivals, such as Saudi Arabia and Egypt, in order to improve relations.

    These shifts have helped rally broader regional support for Iran. Nearly two dozen Muslim-majority countries — including some that maintain diplomatic relations with Israel — have jointly condemned Israel’s actions and urged de-escalation.

    It’s unlikely, though, that regional powers such as Saudi Arabia, Egypt, the United Arab Emirates and Turkey would support Iran materially, given their strong alliances with the US.

    Iran’s key global allies, Russia and China, have also condemned Israel’s strikes. They have previously shielded Tehran from punitive resolutions at the UN Security Council.

    However, neither power appears willing — at least for now — to escalate the confrontation by providing direct military support to Iran or engaging in a standoff with Israel and the US.

    Theoretically, this could change if the conflict widens and Washington openly pursues a regime change strategy in Tehran. Both nations have major geopolitical and security interests in Iran’s stability. This is due to Iran’s long-standing “Look East” policy and the impact its instability could have on the region and the global economy.

    However, at the current stage, many analysts believe both are unlikely to get involved directly.

    Moscow stayed on the sidelines when Assad’s regime collapsed in Syria, one of Russia’s closest allies in the region. Not only is it focused on its war in Ukraine, Russia also wouldn’t want to endanger improving ties with the Trump administration.

    China has offered Iran strong rhetorical support, but history suggests it has little interest in getting directly involved in Middle Eastern conflicts.

    Ali Mamouri 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. Who are Iran’s allies? And would any help if the US joins Israel in its war? – https://theconversation.com/who-are-irans-allies-and-would-any-help-if-the-us-joins-israel-in-its-war-259265

    MIL OSI – Global Reports

  • MIL-OSI Global: Who are Iran’s allies? And would any help if the US joins Israel in its war?

    Source: The Conversation – Global Perspectives – By Ali Mamouri, Research Fellow, Middle East Studies, Deakin University

    As Israel continues its attacks on Iran, US President Donald Trump and other global leaders are hardening their stance against the Islamic Republic.

    While considering a US attack on Iran’s nuclear sites, Trump has threatened Iran’s supreme leader, claiming to know his location and calling him “an easy target”. He has demanded “unconditional surrender” from Iran.

    Meanwhile, countries such as Germany, Canada, the UK and Australia have toughened their rhetoric, demanding Iran fully abandon its nuclear program.

    So, as the pressure mounts on Iran, has it been left to fight alone? Or does it have allies that could come to its aid?

    Has Iran’s ‘axis of resistance’ fully collapsed?

    Iran has long relied on a network of allied paramilitary groups across the Middle East as part of its deterrence strategy. This approach has largely shielded it from direct military strikes by the US or Israel, despite constant threats and pressure.

    This so-called “axis of resistance” includes groups such as Hezbollah in Lebanon, the Popular Mobilisation Forces (PMF) in Iraq, the Houthi militants in Yemen, as well as Hamas in Gaza, which has long been under Iran’s influence to varying degrees. Iran also supported Bashar al-Assad’s regime in Syria before it was toppled last year.

    These groups have served both as a regional buffer and as a means for Iran to project power without direct engagement.

    However, over the past two years, Israel has dealt significant blows to the network.

    Hezbollah — once Iran’s most powerful non-state ally — has been effectively neutralised after months of attacks by Israel. Its weapons stocks were systematically targeted and destroyed across Lebanon. And the group suffered a major psychological and strategic loss with the assassination of its most influential leader, Hassan Nasrallah.

    In Syria, Iranian-backed militias have been largely expelled following the fall of Assad’s regime, stripping Iran of another key foothold in the region.

    That said, Iran maintains strong influence in Iraq and Yemen.

    The PMF in Iraq, with an estimated 200,000 fighters, remains formidable. The Houthis have similarly sized contingent of fighters in Yemen.

    Should the situation escalate into an existential threat to Iran — as the region’s only Shiite-led state — religious solidarity could drive these groups to become actively involved. This would rapidly expand the war across the region.

    The PMF, for instance, could launch attacks on the 2,500 US troops stationed in Iraq. Indeed, the head of Kata’ib Hezbollah, one of the PMF’s more hardline factions, promised to do so:

    If America dares to intervene in the war, we will directly target its interests and military bases spread across the region without hesitation.

    Iran itself could also target US bases in the Persian Gulf countries with ballistic missiles, as well as close the Strait of Hormuz, through which about 20% of the world’s oil supply flows.

    Will Iran’s regional and global allies step in?

    Several regional powers maintain close ties with Iran. The most notable among them is Pakistan — the only Islamic country with a nuclear arsenal.

    For weeks, Iranian Supreme Leader Ali Khamenei has tried to align Iran more closely with Pakistan in countering Israel’s actions in Gaza.

    In a sign of Pakistan’s importance in the Israel-Iran war, Trump has met with the country’s army chief in Washington as he weighs a possible strike on its neighbour.

    Pakistan’s leaders have also made their allegiances very clear. Prime Minister Shehbaz Sharif has offered Iran’s president “unwavering solidarity” in the “face of Israel’s unprovoked aggression”. And Pakistani Defence Minister Khawaja Asif recently said in an interview Israel will “think many times before taking on Pakistan”.

    These statements signal a firm stance without explicitly committing to intervention.

    Yet, Pakistan has also been working to de-escalate tensions. It has urged other Muslim-majority nations and its strategic partner, China, to intervene diplomatically before the violence spirals into a broader regional war.

    In recent years, Iran has also made diplomatic overtures to former regional rivals, such as Saudi Arabia and Egypt, in order to improve relations.

    These shifts have helped rally broader regional support for Iran. Nearly two dozen Muslim-majority countries — including some that maintain diplomatic relations with Israel — have jointly condemned Israel’s actions and urged de-escalation.

    It’s unlikely, though, that regional powers such as Saudi Arabia, Egypt, the United Arab Emirates and Turkey would support Iran materially, given their strong alliances with the US.

    Iran’s key global allies, Russia and China, have also condemned Israel’s strikes. They have previously shielded Tehran from punitive resolutions at the UN Security Council.

    However, neither power appears willing — at least for now — to escalate the confrontation by providing direct military support to Iran or engaging in a standoff with Israel and the US.

    Theoretically, this could change if the conflict widens and Washington openly pursues a regime change strategy in Tehran. Both nations have major geopolitical and security interests in Iran’s stability. This is due to Iran’s long-standing “Look East” policy and the impact its instability could have on the region and the global economy.

    However, at the current stage, many analysts believe both are unlikely to get involved directly.

    Moscow stayed on the sidelines when Assad’s regime collapsed in Syria, one of Russia’s closest allies in the region. Not only is it focused on its war in Ukraine, Russia also wouldn’t want to endanger improving ties with the Trump administration.

    China has offered Iran strong rhetorical support, but history suggests it has little interest in getting directly involved in Middle Eastern conflicts.

    Ali Mamouri 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. Who are Iran’s allies? And would any help if the US joins Israel in its war? – https://theconversation.com/who-are-irans-allies-and-would-any-help-if-the-us-joins-israel-in-its-war-259265

    MIL OSI – Global Reports

  • MIL-OSI Global: Friday essay: ‘my heart is full of sparks’ – as war escalates, can I hope for Iran’s liberation from a tyrannical regime?

    Source: The Conversation – Global Perspectives – By Hessom Razavi, Clinical Associate Professor of Ophthalmology, The University of Western Australia

    We are at a dinner party in suburban Perth, a home away from home for our diaspora. As guests arrive, a Persian ballad plays in the background: Morq-e Sahar (Dawn Bird), a freedom song, a century-old protest against dictatorships and tyranny in Iran. This version was sung by the late Mohammad-Reza Shajarian, Iran’s most decorated maestro.

    Dawn bird, lament!
    Make my brand burn even more.
    With the sparks from your sigh, break
    And turn this cage upside down.

    Shajarian’s virtuoso voice frames an old question. One I’ve heard, it seems, at every Iranian gathering since my childhood. It hangs in the air like a cloud, unanswered, as guests greet each other with customary bowing and rooboosi (cheek kissing). We settle around a table laden with âjil (trail mix), fruit and wine, the smell of saffron rice and ghorme sabzi (herb stew) all around.

    For me, the scene is both familial and familiar. As is the question, which circles back around. “When will this regime change?” someone asks. The “regime” is Nezâm-e Jomhuri-ye Eslâmi-ye Irân, or the Regime of the Islamic Republic of Iran.

    A missing voice

    Since the launch of Israel’s Operation Rising Lion against Iran last week, there has been a voice sometimes missing in the mainstream coverage – that of the Iranian people themselves.

    “Israel is not our enemy, the regime is our enemy,” chant many Iranians in Tehran and in the diaspora, a common sentiment in our community. They cite the regime that they have endured for 46 years since the 1979 Islamic Revolution: a government most of them oppose and reject, with the vast majority of Iranians preferring democratic, if not secular, reform.

    I hear some Iranians, on social media and in conversation with people who live there, commending Israel’s prime minister Benjamin Netanyahu for assassinating Iran’s top military brass. These are the leaders of the Sepah, or the Islamic Revolutionary Guards Corps (IRGC), the most powerful branch of the Iranian Armed Forces. Together with the mullahs – Iran’s Shia Muslim clerical class – they form the backbone of Iran’s government and economy.

    So far, Israel has assassinated Hossein Salami, the head of the Revolutionary Guards, as well as Mohammad Kazemi, its intelligence chief, plus senior nuclear scientists and dozens of other officers. Israel has also indicated an interest in killing Ayatollah Ali Khomenei, Iran’s supreme leader.

    Damet garm, aghayeh Netanyahu,” some Iranians are saying, literally “may your breath be warm”, or “good job, Netanyahu”. Amid the terror and confusion – not to mention the civilian deaths, so far, of over 200 Iranians – there is a rare and distinct sense of hope.

    State of corruption

    In view of Israel’s ongoing campaign in Gaza, this support for Israel may come as a surprise to many Australians, and Western liberals in general. Certainly, reconciling Israel’s role in Gaza versus Iran is jarring.

    But for now, I hear some Iranians saying “maybe our regime can finally be toppled”. Maybe Iran can reclaim its place in the international community, as the proud and prosperous nation it should be? As this crisis escalates, as buildings collapse and distressed Tehranis, including my family, flee the capital for the safety of the countryside, there is a heady sense of possibility.

    Wing-tied nightingale come out of the corner of your cage, and
    Sing the song of freedom for human kind.
    With your fiery breath ignite,
    The breath of this peopled land …

    I understand the allure of this hope; to an extent, I feel it myself. My family lives in Australia, not Iran, precisely because of the Iranian regime’s tyranny. We fled Iran in 1983 due to political persecution, after most of the adults in our extended family were arbitrarily arrested and imprisoned by the government.

    Two of my imprisoned uncles and one of my aunties were executed. Another uncle was beaten to death in custody. My grandfather, a noble old man, was imprisoned and tortured. We were far from unique; during the 1980s, the government imprisoned tens of thousands of its own people, executing many thousands of them.

    Little has changed since then. The Iranian regime and the Revolutionary Guards have shown a pervasive disregard for human rights. They execute more of their own people than any country except China. They are a world leader in the use of torture; they deny freedoms of expression and press, association and assembly; they discriminate against women, girls, religious minorities, LGBTI people, and refugees. Tightly controlled elections ensure the success of desired candidates.

    Freedom House, a nonprofit organisation based in the US, gives Iran a score of 11 out of 100 for its provision of political rights and civil liberties. For many Iranians, it felt overdue when, in 2019, the US listed the Revolutionary Guard as a terrorist organisation, a decision followed by other countries, including Canada and Sweden. In 2023, the European parliament overwhelmingly voted for a resolution to do the same, with calls to expedite this motion in early 2025.

    In parallel to their human rights abuses, the Revolutionary Guard has hobbled the Iranian economy. Their corruption, financial incompetence and operation of black markets have compounded the effects of international sanctions. Consequently, the Iranian rial hit a historic low this year. It is now worth around one twentieth of its value in 2015.

    People’s life savings have dwindled in value, rendering older Iranians financially vulnerable. Inflation was 38.7% in May of this year, down from highs of over 40%. My family in Iran experience this as grocery and commodity prices that may rise in a single day, higher in the afternoon than in the morning. Some cities have experienced water cuts and power outages.

    While it hasn’t yet qualified as a failed state, Iran has been failing.

    All of this has occurred despite the country being richly endowed with the second- and third-highest natural gas and oil reserves in the world, respectively. Iran has a GDP of over $US404 billion – 36th in the world. Its youth are highly educated and literate, with more women enrolled in universities than men.

    Rather than accelerating the nation’s domestic development, however, the Iranian government has by its own admission spent tens of billions of dollars to expand its empire by funding terrorist proxies: Hamas in Palestine, Hezbollah in Lebanon, the recently deposed Assad regime in Syria, and Houthi rebels in Yemen.

    The Iranian people have suffered financially, but the Revolutionary Guards have not. They are estimated to control at least 10%, and up to 50%, of the country’s total economy, including up to an estimated 50% share of Iran’s US$50 billion per year oil profits. They have achieved this by commandeering an industrial empire, made up of hundreds of commercial companies, trusts, subsidiaries and nominally charitable foundations.

    A further US$2 billion or more per year comes from the government’s military budget, with periodic boosts during crises. Add to this the alleged shadowy operation of black markets, extortion, and the smuggling of alcohol, narcotics and weapons, accounting for an estimated US$12 billion per year in revenue.

    Contemplating this corruption, I am reminded of an anecdote from a personal associate who worked for a firm affiliated with the Revolutionary Guard. They shared stories of officers, the nation’s purported “guardians of Islam”, hosting parties where alcohol, firearms and sex workers were readily available.

    My associate recounted several instances of fraud and theft, one of them monumental in scale. In this “tea smuggling scandal”, the Revolutionary Guard defrauded billions of dollars from a government fund by illicitly exchanging some funds on the open market, falsely labelling cheap tea to on-sell as superior quality tea, and falsely labelling domestically produced machinery as “Made in Germany”.

    “They’re untouchable, and they know it”, my associate said. Another Iranian community member described them to me as “Iran’s super-mafia”.

    Speaking to family in Iran, they say many of the middle tier Revolutionary Guards live in their own shahrak-ha (towns) with dedicated markets, schools and resorts. Many of the Guards’ elite, meanwhile, live in mansions in the exclusive parts of north Tehran, with children who pursue conspicuously American “lifestyles of the rich and famous”. For an organisation that leads the chants of “marg bar America!” (death to America), one wonders if they see the irony in this.

    Turn our dark night to dawn

    I find myself sickened by the events of this war, and the harm it is causing. Struck with anxiety, some of our family members in Tehran haven’t slept for days. “The Israeli bombardments are non-stop, and so loud,” one family member told me.

    This week our extended family has struggled frantically to leave Tehran. Petrol is hard to come by and, in a mass exodus, the bumper-to-bumper traffic stands still for hours. I know some of the neighbourhoods being bombed; we lived in one of them in my childhood.

    “For every military commander that’s assassinated, a whole building might collapse, and with a dozen civilians trapped or killed,” another person told me, intimating that the civilian toll is higher than official counts.

    I am also worried about the raised hopes of Iranians. I have seen this before, when a spark – sometimes an inspirational act of courage from an ordinary citizen – leads to public surges in solidarity. At these moments during my childhood, my parents would tell me that the regime’s time was limited, it’s downfall inevitable. Iranians would see better days and people power would prevail.

    Truth and goodness rise like cream, my Dad would say, as if echoing Dr Martin Luther King’s arc of the moral universe bending towards justice.

    A beautiful sentiment no doubt, but one that has become difficult to believe over time. It often appears that the universe’s arc bends towards power, not justice. Fairness seems the exception, hardly the rule. At the time, Dad’s reassurances were protective, even noble. But as the 1979 revolution and its aftermath have shown, might beats right most days of the week.

    The cruelty of the cruel and the tyranny of the hunter
    Have blown away my nest.
    O God, O Heavens, O Nature,
    Turn our dark night to dawn.

    As I explain to Australian friends: how can a people surpass a government that has (1) the military on its side, (2) a stranglehold on oil revenue, and (3) a purported mandate from God?

    Guns, money and a holy book – a hard trifecta to crack, and powerful enough to attract a sufficient minority of cronies, bottom feeders and sycophants.

    What’s the size of this ruling minority? It’s difficult to be sure, but a 2023 survey of 158,000 respondents within Iran found that only 15% supported the Islamic Republic. Small, but sufficient to produce crowds burning American and Israeli flags. I’ve always marvelled at the regime’s ability to manufacture these images; I’m told by associates that they now use AI to produce some of these.

    Women Life Freedom

    As current events unfold, I find myself deeply sceptical of all the political actors, whether Iranian, Israeli, American, Arab or Russian. Since the Islamic revolution in 1979, none of them have shown any serious interest in supporting democratic reform in Iran. “They’ve all profited from this government,” a senior community member told me. “Why would that change now?”

    For the sake of sanity, I find myself searching for credible sources of hope. The only one I settle on is faith in the Iranian people themselves. This the culture that has surrounded me since childhood, the qualities I’ve seen first hand in my countrywomen and men, whether young or old, home or abroad, Muslim, Bahai or secular: a resilience, a resourcefulness, a propensity for joy, a confidence and pride in culture, and an ability to prevail, over and again.

    It’s a new spring, roses are in bloom…
    …O rose, look towards this lover,
    Look again, again, again.

    These qualities are periodically staged for the world to see. Iranian people have not taken their oppression lying down, rising in (mainly) peaceful protests. There have been some 10 mass protests since the inception of the Islamic Republic in 1979. The largest of these was the Green Movement in 2009, when it was estimated that over a million citizens marched in Tehran alone. As recently as May 2025, strikes took place in over 150 cities, involving hundreds of thousands of workers.

    For the most part, these demonstrations have been met with severe repression by state authorities. One episode, from September 2022, deserves special mention. The world watched in horror as the regime cracked down on young women in Iran. This was their response to the Zan Zendegi Azadi (Woman Life Freedom) movement, where mass protests were triggered by the death in custody of Mahsa Jina Amini.

    Amini was a 22-year-old Kurdish-Iranian woman who had been detained by the government’s “Morality Police” for wearing an improper hijab. Three days into her detention she died under suspicious circumstances. A leaked CT scan showed a skull fracture and brain haemorrhage. This corroborated eyewitness accounts that Amini had been severely beaten by police.

    Intentionally or not, a dress code infringement had been punished by death. Even for Iranians long accustomed to state violence, this was too much. Mass protests erupted in more than 100 cities across all of Iran’s 31 provinces.

    The protests were led by women, many of them defiantly removing their headscarves. True to its nature, the regime responded violently. In the months that followed, over 20,000 protesters were imprisoned, many later testifying to having been tortured through electric shock, flogging, waterboarding and rape.

    Human Rights Watch estimates that over 500 civilians – including 68 children and adolescents – were killed by security forces, which included the paramilitary Basijis, Revolutionary Guard Corps, police and prison guards.

    Things would get darker. That December the regime was accused of deliberately poisoning over 1,200 students at Kharazmi and Ark universities on the eve of a planned protest. Soon thereafter, there were allegations of toxic gas attacks against thousands of schoolgirls, in apparent retaliation for removing their hijabs. By 2024, the UN had accused Iran of a coordinated campaign of crimes against humanity, a claim rejected by the regime.

    As an eye surgeon, I was distressed to read a letter signed by over 100 Iranian ophthalmologists detailing eye injuries among protesters. The letter alleged that security forces had deliberately targeted people’s eyes with teargas canisters, rubber bullets and shotgun fire, resulting in traumatic injuries and irreversible blindness among protesters.

    Dew drops are falling from my cloudy eyes
    This cage, like my heart, is narrow and dark.
    O fiery sigh set alight this cage
    O fate, do not pick the flower of my life.

    There were separate reports of women’s faces and genitals being targeted by shotgun fire. The regime appeared to have interfered with medical services: protestors transported to police stations in ambulances were arrested after surgery or denied treatment. Doctors were reportedly coerced to supply false death certificates to disguise the true cause of protestors’ deaths. The British Medical Journal documented healthcare professionals being arrested, intimidated, kidnapped or killed in retaliation for treating protesters.

    If we didn’t know it already, Zan Zendegi Azadi reminded us of the risks, if not futility, of advocating for change in Iran.

    When mass civil movements like this, performed ten times over, have not worked, what alternatives are the people left with? Brutalised and impoverished by their own government, should we be surprised when a traditionally Islamic people welcome a Jewish state’s decapitation of their political leaders? Is it not tempting, even if lazy, to invoke the historical comparison of Cyrus the Great, Persian King of the Achaemenid Empire, who freed the Jewish people from Babylonian captivity?

    For the people of Iran and Israel – at the risk of naivety and romanticism – are we approaching an age of karma?

    O rose, look towards this lover,
    Look again, again, again.
    O heart-lost bird, shorten, shorten, shorten,
    The tale of separation.

    An uncertain scenario

    Regarding Operation Rising Lion, it is safe to say that Iranians, like any healthy community, hold a diversity of views.

    At one end of the spectrum, those who unconditionally condemn Israel’s attack should consider that the Iranian government has stockpiled over 400 kilograms of 60% enriched uranium. While not enough to build a nuclear warhead, this is far more enriched uranium than is needed for peaceful purposes.

    The Iranian government has also vowed to “wipe Israel off the map” for decades. Iran’s Ayatollah Khamenei lauded the October 7 terrorist attack by Hamas on Israeli civilians. In other words, Iran has said to Israel “we want to annihilate you, we’ll celebrate your deaths, and we could do it with nuclear weapons if we wished to”.

    Following Iran’s recent breach of its nonproliferation obligations to the International Atomic Energy Agency, Israel says it has acted lawfully in attacking Iran for self-defense – a claim disputed by some international law experts. Even if one does not agree with Israel’s action, it is evident that they’ve long been baited by Iran.

    On the other side of the coin, Iranians who salute Israel and the US as their saviours should take caution. The US director of national intelligence Tulsi Gabbard declared as recently as March 2025 that there was no evidence that Iran was actively pursuing nuclear weapons, a finding corroborated by over a dozen other US intelligence elements including the CIA, the National Security Agency, and the Insitute for Defense Analyses.

    One cannot ignore the disturbing echoes of the 2003 war on Iraq, where the absence of evidence for weapons of mass destruction was intentionally misrepresented by the US and UK governments. The consequences for Iraq have been disastrous.

    As for Netanyahu and his administration, they have shown a ruthless pursuit of narrow self-interest in Gaza. The deaths and injuries inflicted by the Israeli Defence Forces on more than 50,000 Palestinian children appear to have done nothing to quell their ambitions.

    With regards to Netanyahu himself, he is facing corruption charges that could result in his domestic imprisonment and he has more recently been the subject of an arrest warrant by the International Criminal Court for war crimes, including starvation and murder.

    What can Iranians learn from this? The evidence suggests this could be a war of passion and opportunism for Israel, rather than one of legitimate self-defence. In any case, they are not waging it for the benefit of Iranians.

    Israel has a tendency to set ambitious military goals that it can’t achieve. While it promises Operation Rising Lion will soon end, its track record suggests otherwise.

    A protracted conflict would see Iran’s civilian toll rise much higher. Power outages and fuel shortages have already begun; what happens once water, medical and food scarcity set in? Since Iran doesn’t allow many international aid agencies onto its soil, who will come to the rescue of Iranians as things escalate?

    Truth’s life has come to an end
    Faith and fidelity have been replaced by the shield of war.
    Lover’s lament and beloved’s coyness,
    Are but lies and have no power.

    Even if Israel succeeds in capturing or killing Iran’s supreme leader, Ali Khamenei, what happens next? With the Revolutionary Guard’s roots in place, there is no guarantee, and in fact a low likelihood, of true democratic reform. In recent times, foreign interference in the region has not gone well. Look at Libya, Afghanistan, Iraq and Syria: all evidence of catastrophic worsening after the removal of autocrats.

    This is a complex and uncertain scenario with little room for moral grandstanding. Disabling Iran’s nuclear and ballistic capabilities could be a net win, but the manner in which it is being done sets a dangerous precedent. For the Iranian people, Netanyahu’s ambitions could ultimately prove both heroic and villainous.

    The cup of the rich is full of pure wine,
    Our cup is filled with our heart’s blood.
    O anxious heart, cry out aloud
    And avoid those who have powerful hands.

    As I watch coverage of the war, I find myself drifting back to Shajarian’s voice and to Morq-e Sahar, probably for distraction and comfort. What is real is my faith in my fellow Iranians. Many examples comes to mind. One, during a trip to Iran, was when I stayed with family at a roadhouse. That evening, we heard music emanating from the courtyard and followed some steps into an dark basement beneath the accommodation.

    There we found a large gathering of young Iranians, two dozen or more men and women risking the law by hanging out together to sing. We joined them as strangers, seated on the floor and holding hands at times. In the dim light, the group sang and sang, a couple of them playing instruments.

    I can’t say I knew the songs or comprehended all the lyrics; I didn’t need to, to understand their meaning. You may force our people underground, you may cage them, bombard and even kill them. But you will never extinguish their eternal Persian spirit.

    O rosy-cheeked cup-bearer, give the fiery water,
    Play a joyful tune, O charming friend.
    O sad nightingale lament from your cage.
    Because of your grief my heart is
    Full of sparks, sparks, sparks.

    Hessom Razavi 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. Friday essay: ‘my heart is full of sparks’ – as war escalates, can I hope for Iran’s liberation from a tyrannical regime? – https://theconversation.com/friday-essay-my-heart-is-full-of-sparks-as-war-escalates-can-i-hope-for-irans-liberation-from-a-tyrannical-regime-259275

    MIL OSI – Global Reports

  • MIL-OSI Global: Friday essay: ‘my heart is full of sparks’ – as war escalates, can I hope for Iran’s liberation from a tyrannical regime?

    Source: The Conversation – Global Perspectives – By Hessom Razavi, Clinical Associate Professor of Ophthalmology, The University of Western Australia

    We are at a dinner party in suburban Perth, a home away from home for our diaspora. As guests arrive, a Persian ballad plays in the background: Morq-e Sahar (Dawn Bird), a freedom song, a century-old protest against dictatorships and tyranny in Iran. This version was sung by the late Mohammad-Reza Shajarian, Iran’s most decorated maestro.

    Dawn bird, lament!
    Make my brand burn even more.
    With the sparks from your sigh, break
    And turn this cage upside down.

    Shajarian’s virtuoso voice frames an old question. One I’ve heard, it seems, at every Iranian gathering since my childhood. It hangs in the air like a cloud, unanswered, as guests greet each other with customary bowing and rooboosi (cheek kissing). We settle around a table laden with âjil (trail mix), fruit and wine, the smell of saffron rice and ghorme sabzi (herb stew) all around.

    For me, the scene is both familial and familiar. As is the question, which circles back around. “When will this regime change?” someone asks. The “regime” is Nezâm-e Jomhuri-ye Eslâmi-ye Irân, or the Regime of the Islamic Republic of Iran.

    A missing voice

    Since the launch of Israel’s Operation Rising Lion against Iran last week, there has been a voice sometimes missing in the mainstream coverage – that of the Iranian people themselves.

    “Israel is not our enemy, the regime is our enemy,” chant many Iranians in Tehran and in the diaspora, a common sentiment in our community. They cite the regime that they have endured for 46 years since the 1979 Islamic Revolution: a government most of them oppose and reject, with the vast majority of Iranians preferring democratic, if not secular, reform.

    I hear some Iranians, on social media and in conversation with people who live there, commending Israel’s prime minister Benjamin Netanyahu for assassinating Iran’s top military brass. These are the leaders of the Sepah, or the Islamic Revolutionary Guards Corps (IRGC), the most powerful branch of the Iranian Armed Forces. Together with the mullahs – Iran’s Shia Muslim clerical class – they form the backbone of Iran’s government and economy.

    So far, Israel has assassinated Hossein Salami, the head of the Revolutionary Guards, as well as Mohammad Kazemi, its intelligence chief, plus senior nuclear scientists and dozens of other officers. Israel has also indicated an interest in killing Ayatollah Ali Khomenei, Iran’s supreme leader.

    Damet garm, aghayeh Netanyahu,” some Iranians are saying, literally “may your breath be warm”, or “good job, Netanyahu”. Amid the terror and confusion – not to mention the civilian deaths, so far, of over 200 Iranians – there is a rare and distinct sense of hope.

    State of corruption

    In view of Israel’s ongoing campaign in Gaza, this support for Israel may come as a surprise to many Australians, and Western liberals in general. Certainly, reconciling Israel’s role in Gaza versus Iran is jarring.

    But for now, I hear some Iranians saying “maybe our regime can finally be toppled”. Maybe Iran can reclaim its place in the international community, as the proud and prosperous nation it should be? As this crisis escalates, as buildings collapse and distressed Tehranis, including my family, flee the capital for the safety of the countryside, there is a heady sense of possibility.

    Wing-tied nightingale come out of the corner of your cage, and
    Sing the song of freedom for human kind.
    With your fiery breath ignite,
    The breath of this peopled land …

    I understand the allure of this hope; to an extent, I feel it myself. My family lives in Australia, not Iran, precisely because of the Iranian regime’s tyranny. We fled Iran in 1983 due to political persecution, after most of the adults in our extended family were arbitrarily arrested and imprisoned by the government.

    Two of my imprisoned uncles and one of my aunties were executed. Another uncle was beaten to death in custody. My grandfather, a noble old man, was imprisoned and tortured. We were far from unique; during the 1980s, the government imprisoned tens of thousands of its own people, executing many thousands of them.

    Little has changed since then. The Iranian regime and the Revolutionary Guards have shown a pervasive disregard for human rights. They execute more of their own people than any country except China. They are a world leader in the use of torture; they deny freedoms of expression and press, association and assembly; they discriminate against women, girls, religious minorities, LGBTI people, and refugees. Tightly controlled elections ensure the success of desired candidates.

    Freedom House, a nonprofit organisation based in the US, gives Iran a score of 11 out of 100 for its provision of political rights and civil liberties. For many Iranians, it felt overdue when, in 2019, the US listed the Revolutionary Guard as a terrorist organisation, a decision followed by other countries, including Canada and Sweden. In 2023, the European parliament overwhelmingly voted for a resolution to do the same, with calls to expedite this motion in early 2025.

    In parallel to their human rights abuses, the Revolutionary Guard has hobbled the Iranian economy. Their corruption, financial incompetence and operation of black markets have compounded the effects of international sanctions. Consequently, the Iranian rial hit a historic low this year. It is now worth around one twentieth of its value in 2015.

    People’s life savings have dwindled in value, rendering older Iranians financially vulnerable. Inflation was 38.7% in May of this year, down from highs of over 40%. My family in Iran experience this as grocery and commodity prices that may rise in a single day, higher in the afternoon than in the morning. Some cities have experienced water cuts and power outages.

    While it hasn’t yet qualified as a failed state, Iran has been failing.

    All of this has occurred despite the country being richly endowed with the second- and third-highest natural gas and oil reserves in the world, respectively. Iran has a GDP of over $US404 billion – 36th in the world. Its youth are highly educated and literate, with more women enrolled in universities than men.

    Rather than accelerating the nation’s domestic development, however, the Iranian government has by its own admission spent tens of billions of dollars to expand its empire by funding terrorist proxies: Hamas in Palestine, Hezbollah in Lebanon, the recently deposed Assad regime in Syria, and Houthi rebels in Yemen.

    The Iranian people have suffered financially, but the Revolutionary Guards have not. They are estimated to control at least 10%, and up to 50%, of the country’s total economy, including up to an estimated 50% share of Iran’s US$50 billion per year oil profits. They have achieved this by commandeering an industrial empire, made up of hundreds of commercial companies, trusts, subsidiaries and nominally charitable foundations.

    A further US$2 billion or more per year comes from the government’s military budget, with periodic boosts during crises. Add to this the alleged shadowy operation of black markets, extortion, and the smuggling of alcohol, narcotics and weapons, accounting for an estimated US$12 billion per year in revenue.

    Contemplating this corruption, I am reminded of an anecdote from a personal associate who worked for a firm affiliated with the Revolutionary Guard. They shared stories of officers, the nation’s purported “guardians of Islam”, hosting parties where alcohol, firearms and sex workers were readily available.

    My associate recounted several instances of fraud and theft, one of them monumental in scale. In this “tea smuggling scandal”, the Revolutionary Guard defrauded billions of dollars from a government fund by illicitly exchanging some funds on the open market, falsely labelling cheap tea to on-sell as superior quality tea, and falsely labelling domestically produced machinery as “Made in Germany”.

    “They’re untouchable, and they know it”, my associate said. Another Iranian community member described them to me as “Iran’s super-mafia”.

    Speaking to family in Iran, they say many of the middle tier Revolutionary Guards live in their own shahrak-ha (towns) with dedicated markets, schools and resorts. Many of the Guards’ elite, meanwhile, live in mansions in the exclusive parts of north Tehran, with children who pursue conspicuously American “lifestyles of the rich and famous”. For an organisation that leads the chants of “marg bar America!” (death to America), one wonders if they see the irony in this.

    Turn our dark night to dawn

    I find myself sickened by the events of this war, and the harm it is causing. Struck with anxiety, some of our family members in Tehran haven’t slept for days. “The Israeli bombardments are non-stop, and so loud,” one family member told me.

    This week our extended family has struggled frantically to leave Tehran. Petrol is hard to come by and, in a mass exodus, the bumper-to-bumper traffic stands still for hours. I know some of the neighbourhoods being bombed; we lived in one of them in my childhood.

    “For every military commander that’s assassinated, a whole building might collapse, and with a dozen civilians trapped or killed,” another person told me, intimating that the civilian toll is higher than official counts.

    I am also worried about the raised hopes of Iranians. I have seen this before, when a spark – sometimes an inspirational act of courage from an ordinary citizen – leads to public surges in solidarity. At these moments during my childhood, my parents would tell me that the regime’s time was limited, it’s downfall inevitable. Iranians would see better days and people power would prevail.

    Truth and goodness rise like cream, my Dad would say, as if echoing Dr Martin Luther King’s arc of the moral universe bending towards justice.

    A beautiful sentiment no doubt, but one that has become difficult to believe over time. It often appears that the universe’s arc bends towards power, not justice. Fairness seems the exception, hardly the rule. At the time, Dad’s reassurances were protective, even noble. But as the 1979 revolution and its aftermath have shown, might beats right most days of the week.

    The cruelty of the cruel and the tyranny of the hunter
    Have blown away my nest.
    O God, O Heavens, O Nature,
    Turn our dark night to dawn.

    As I explain to Australian friends: how can a people surpass a government that has (1) the military on its side, (2) a stranglehold on oil revenue, and (3) a purported mandate from God?

    Guns, money and a holy book – a hard trifecta to crack, and powerful enough to attract a sufficient minority of cronies, bottom feeders and sycophants.

    What’s the size of this ruling minority? It’s difficult to be sure, but a 2023 survey of 158,000 respondents within Iran found that only 15% supported the Islamic Republic. Small, but sufficient to produce crowds burning American and Israeli flags. I’ve always marvelled at the regime’s ability to manufacture these images; I’m told by associates that they now use AI to produce some of these.

    Women Life Freedom

    As current events unfold, I find myself deeply sceptical of all the political actors, whether Iranian, Israeli, American, Arab or Russian. Since the Islamic revolution in 1979, none of them have shown any serious interest in supporting democratic reform in Iran. “They’ve all profited from this government,” a senior community member told me. “Why would that change now?”

    For the sake of sanity, I find myself searching for credible sources of hope. The only one I settle on is faith in the Iranian people themselves. This the culture that has surrounded me since childhood, the qualities I’ve seen first hand in my countrywomen and men, whether young or old, home or abroad, Muslim, Bahai or secular: a resilience, a resourcefulness, a propensity for joy, a confidence and pride in culture, and an ability to prevail, over and again.

    It’s a new spring, roses are in bloom…
    …O rose, look towards this lover,
    Look again, again, again.

    These qualities are periodically staged for the world to see. Iranian people have not taken their oppression lying down, rising in (mainly) peaceful protests. There have been some 10 mass protests since the inception of the Islamic Republic in 1979. The largest of these was the Green Movement in 2009, when it was estimated that over a million citizens marched in Tehran alone. As recently as May 2025, strikes took place in over 150 cities, involving hundreds of thousands of workers.

    For the most part, these demonstrations have been met with severe repression by state authorities. One episode, from September 2022, deserves special mention. The world watched in horror as the regime cracked down on young women in Iran. This was their response to the Zan Zendegi Azadi (Woman Life Freedom) movement, where mass protests were triggered by the death in custody of Mahsa Jina Amini.

    Amini was a 22-year-old Kurdish-Iranian woman who had been detained by the government’s “Morality Police” for wearing an improper hijab. Three days into her detention she died under suspicious circumstances. A leaked CT scan showed a skull fracture and brain haemorrhage. This corroborated eyewitness accounts that Amini had been severely beaten by police.

    Intentionally or not, a dress code infringement had been punished by death. Even for Iranians long accustomed to state violence, this was too much. Mass protests erupted in more than 100 cities across all of Iran’s 31 provinces.

    The protests were led by women, many of them defiantly removing their headscarves. True to its nature, the regime responded violently. In the months that followed, over 20,000 protesters were imprisoned, many later testifying to having been tortured through electric shock, flogging, waterboarding and rape.

    Human Rights Watch estimates that over 500 civilians – including 68 children and adolescents – were killed by security forces, which included the paramilitary Basijis, Revolutionary Guard Corps, police and prison guards.

    Things would get darker. That December the regime was accused of deliberately poisoning over 1,200 students at Kharazmi and Ark universities on the eve of a planned protest. Soon thereafter, there were allegations of toxic gas attacks against thousands of schoolgirls, in apparent retaliation for removing their hijabs. By 2024, the UN had accused Iran of a coordinated campaign of crimes against humanity, a claim rejected by the regime.

    As an eye surgeon, I was distressed to read a letter signed by over 100 Iranian ophthalmologists detailing eye injuries among protesters. The letter alleged that security forces had deliberately targeted people’s eyes with teargas canisters, rubber bullets and shotgun fire, resulting in traumatic injuries and irreversible blindness among protesters.

    Dew drops are falling from my cloudy eyes
    This cage, like my heart, is narrow and dark.
    O fiery sigh set alight this cage
    O fate, do not pick the flower of my life.

    There were separate reports of women’s faces and genitals being targeted by shotgun fire. The regime appeared to have interfered with medical services: protestors transported to police stations in ambulances were arrested after surgery or denied treatment. Doctors were reportedly coerced to supply false death certificates to disguise the true cause of protestors’ deaths. The British Medical Journal documented healthcare professionals being arrested, intimidated, kidnapped or killed in retaliation for treating protesters.

    If we didn’t know it already, Zan Zendegi Azadi reminded us of the risks, if not futility, of advocating for change in Iran.

    When mass civil movements like this, performed ten times over, have not worked, what alternatives are the people left with? Brutalised and impoverished by their own government, should we be surprised when a traditionally Islamic people welcome a Jewish state’s decapitation of their political leaders? Is it not tempting, even if lazy, to invoke the historical comparison of Cyrus the Great, Persian King of the Achaemenid Empire, who freed the Jewish people from Babylonian captivity?

    For the people of Iran and Israel – at the risk of naivety and romanticism – are we approaching an age of karma?

    O rose, look towards this lover,
    Look again, again, again.
    O heart-lost bird, shorten, shorten, shorten,
    The tale of separation.

    An uncertain scenario

    Regarding Operation Rising Lion, it is safe to say that Iranians, like any healthy community, hold a diversity of views.

    At one end of the spectrum, those who unconditionally condemn Israel’s attack should consider that the Iranian government has stockpiled over 400 kilograms of 60% enriched uranium. While not enough to build a nuclear warhead, this is far more enriched uranium than is needed for peaceful purposes.

    The Iranian government has also vowed to “wipe Israel off the map” for decades. Iran’s Ayatollah Khamenei lauded the October 7 terrorist attack by Hamas on Israeli civilians. In other words, Iran has said to Israel “we want to annihilate you, we’ll celebrate your deaths, and we could do it with nuclear weapons if we wished to”.

    Following Iran’s recent breach of its nonproliferation obligations to the International Atomic Energy Agency, Israel says it has acted lawfully in attacking Iran for self-defense – a claim disputed by some international law experts. Even if one does not agree with Israel’s action, it is evident that they’ve long been baited by Iran.

    On the other side of the coin, Iranians who salute Israel and the US as their saviours should take caution. The US director of national intelligence Tulsi Gabbard declared as recently as March 2025 that there was no evidence that Iran was actively pursuing nuclear weapons, a finding corroborated by over a dozen other US intelligence elements including the CIA, the National Security Agency, and the Insitute for Defense Analyses.

    One cannot ignore the disturbing echoes of the 2003 war on Iraq, where the absence of evidence for weapons of mass destruction was intentionally misrepresented by the US and UK governments. The consequences for Iraq have been disastrous.

    As for Netanyahu and his administration, they have shown a ruthless pursuit of narrow self-interest in Gaza. The deaths and injuries inflicted by the Israeli Defence Forces on more than 50,000 Palestinian children appear to have done nothing to quell their ambitions.

    With regards to Netanyahu himself, he is facing corruption charges that could result in his domestic imprisonment and he has more recently been the subject of an arrest warrant by the International Criminal Court for war crimes, including starvation and murder.

    What can Iranians learn from this? The evidence suggests this could be a war of passion and opportunism for Israel, rather than one of legitimate self-defence. In any case, they are not waging it for the benefit of Iranians.

    Israel has a tendency to set ambitious military goals that it can’t achieve. While it promises Operation Rising Lion will soon end, its track record suggests otherwise.

    A protracted conflict would see Iran’s civilian toll rise much higher. Power outages and fuel shortages have already begun; what happens once water, medical and food scarcity set in? Since Iran doesn’t allow many international aid agencies onto its soil, who will come to the rescue of Iranians as things escalate?

    Truth’s life has come to an end
    Faith and fidelity have been replaced by the shield of war.
    Lover’s lament and beloved’s coyness,
    Are but lies and have no power.

    Even if Israel succeeds in capturing or killing Iran’s supreme leader, Ali Khamenei, what happens next? With the Revolutionary Guard’s roots in place, there is no guarantee, and in fact a low likelihood, of true democratic reform. In recent times, foreign interference in the region has not gone well. Look at Libya, Afghanistan, Iraq and Syria: all evidence of catastrophic worsening after the removal of autocrats.

    This is a complex and uncertain scenario with little room for moral grandstanding. Disabling Iran’s nuclear and ballistic capabilities could be a net win, but the manner in which it is being done sets a dangerous precedent. For the Iranian people, Netanyahu’s ambitions could ultimately prove both heroic and villainous.

    The cup of the rich is full of pure wine,
    Our cup is filled with our heart’s blood.
    O anxious heart, cry out aloud
    And avoid those who have powerful hands.

    As I watch coverage of the war, I find myself drifting back to Shajarian’s voice and to Morq-e Sahar, probably for distraction and comfort. What is real is my faith in my fellow Iranians. Many examples comes to mind. One, during a trip to Iran, was when I stayed with family at a roadhouse. That evening, we heard music emanating from the courtyard and followed some steps into an dark basement beneath the accommodation.

    There we found a large gathering of young Iranians, two dozen or more men and women risking the law by hanging out together to sing. We joined them as strangers, seated on the floor and holding hands at times. In the dim light, the group sang and sang, a couple of them playing instruments.

    I can’t say I knew the songs or comprehended all the lyrics; I didn’t need to, to understand their meaning. You may force our people underground, you may cage them, bombard and even kill them. But you will never extinguish their eternal Persian spirit.

    O rosy-cheeked cup-bearer, give the fiery water,
    Play a joyful tune, O charming friend.
    O sad nightingale lament from your cage.
    Because of your grief my heart is
    Full of sparks, sparks, sparks.

    Hessom Razavi 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. Friday essay: ‘my heart is full of sparks’ – as war escalates, can I hope for Iran’s liberation from a tyrannical regime? – https://theconversation.com/friday-essay-my-heart-is-full-of-sparks-as-war-escalates-can-i-hope-for-irans-liberation-from-a-tyrannical-regime-259275

    MIL OSI – Global Reports

  • MIL-OSI Global: A new special tribunal will investigate Russia’s aggression against Ukraine. Will it be effective?

    Source: The Conversation – Global Perspectives – By Yvonne Breitwieser-Faria, Lecturer in Criminal Law and International Law, Curtin University

    Earlier this year, the European Union, the Council of Europe, Ukraine and an international coalition of states agreed to establish a new special tribunal.

    The tribunal will eventually be tasked with holding Russia accountable for the 2022 full-scale invasion of Ukraine. It’s expected to start operating in 2026.

    Human rights organisations, international lawyers and some (mostly European) states have long been calling for the establishment of such a tribunal. Oleksandra Matviichuk, a Ukrainian human rights lawyer, called the establishment of the tribunal:

    an important breakthrough for the international justice community and especially for the millions of Ukrainians who have been harmed by the Russian aggression.

    However, important questions remain about if it could truly hold senior Russian officials accountable.

    So, how will this new special tribunal work, and will it be effective – or necessary?

    How does the special tribunal fill the gaps left by the ICC and ICJ?

    This tribunal is separate to the International Criminal Court (ICC) and the International Court of Justice (ICJ).

    The ICC can prosecute individuals charged with genocide, war crimes and crimes against humanity in the Russian war on Ukraine. So far, it has issued arrest warrants against four Russian senior officials, including President Vladimir Putin.

    Because Russia is not a member state to the court, the court can’t exercise legal authority over what’s known in international law as a crime of aggression (when leaders of a state launch or plan a war). For the ICC to be able to exercise this jurisdiction, the aggressor state also must be a member state of the court.

    The ICJ is a different court altogether. It primarily deals with and adjudicates disputes between states, not limited to war crimes, crimes against humanity and genocide. It can’t hold individuals accountable, and can only exercise jurisdiction over a dispute if both states to a dispute agree.

    While the ICC seeks to establish individual criminal responsibility, the ICJ may establish state responsibility for a violation of international law.

    Currently, there are also two cases between Ukraine and Russia before the ICJ.

    Neither deals with the question of the legality of Russia’s use of force in its invasion in February 2022. Both Ukraine and Russia would need to consent to bring this issue before the court.

    So, is a new tribunal necessary?

    Yes, because the crime of aggression currently can’t be addressed by any other international court or tribunal.

    Given the limitations of what the ICJ and ICC can do, a dedicated tribunal seems the obvious solution to hold those responsible for the illegal use of force against Ukraine accountable.

    And it’s not uncommon for specialised tribunals with limited jurisdiction over a specific situation to be created.

    Other historical examples include the International Criminal Tribunal for the former Yugoslavia, the International Criminal Tribunal for Rwanda, the Extraordinary Chambers in the Courts of Cambodia and the Special Court for Sierra Leone.

    Given the ICC’s lack of jurisdiction over the crime of aggression, the new special tribunal would complement the court’s existing investigations into war crimes and crimes against humanity.

    Who is running the new tribunal and how will it work?

    The exact content and specifics of this new tribunal will remain unknown until the draft statute of the tribunal is published. That’s a document that outlines details including the tribunal’s jurisdiction, the applicable definition of aggression and how the tribunal will function.

    At this stage, the Council of Europe has confirmed the tribunal will work within its legal framework and principles. It will be funded by an international coalition of supportive states.

    A management committee of members and associate members of the tribunal will be responsible for the election of the tribunal’s judges and prosecutors. The management committee is made up of the Council of Europe’s council of ministers and Ukraine.

    Diplomatic discussions are still ongoing at this point, but the legal process for establishing the special tribunal can begin now.

    Will this special tribunal be more effective?

    Political, legal and practical challenges for the special tribunal remain. It’s unclear if the most senior Russian state officials can and will be able to be brought to trial for the crime of aggression.

    Nothing, so far, suggests the statute of the tribunal will contain an exception to state immunity enjoyed by heads of state, heads of governments and foreign ministers while in power.

    That means these office holders can only be prosecuted if they are no longer in power or the Russian government expressly waives their immunity.

    It’s also unclear whether states will be willing to arrest those sought by the special tribunal.

    The ICC has long faced this challenge trying to get states to act on its arrest warrants.

    Hungary, for instance, did not arrest Israel’s Prime Minister Benjamin Netanyahu when he visited in April, despite an ICC arrest warrant for alleged crimes against humanity in connection with the war in Gaza.

    For the special tribunal to be effective, according to Oleksandra Matviichuk, it:

    must not become a remote and hollow entity that does not engage with the Ukrainian victims.

    Overall, much remains unclear. Will this new special tribunal be able to hold the likes of Putin accountable for the crime of aggression? Or will it become another empty promise?

    Yvonne Breitwieser-Faria 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 new special tribunal will investigate Russia’s aggression against Ukraine. Will it be effective? – https://theconversation.com/a-new-special-tribunal-will-investigate-russias-aggression-against-ukraine-will-it-be-effective-257823

    MIL OSI – Global Reports

  • MIL-Evening Report: West Australian miners flexed their muscle to block a federal EPA last year. Will it be different this time?

    Source: The Conversation (Au and NZ) – By Diane Dowdell, PhD Candidate in Sustainable Mining, The University of Queensland

    CUHRIG/Getty

    This week, Environment Minister Murray Watt met with groups representing business, the environment, renewable energy and First Nations communities in a bid to restart Labor’s stalled environmental reforms. There was one group in the room Watt presumably had to woo hardest: Western Australia’s miners.

    Last year, the WA mining lobby mounted an ultimately successful campaign opposing proposed changes to national environment laws, and the plan to set up an environmental protection authority. State premier Roger Cook also lobbied Prime Minister Anthony Albanese directly.

    Watt has pledged to revive the reform process and on Thursday claimed a compromise could be reached. The existing laws, he said, are “not working for the environment, and they are not working for business”.

    Whether his efforts will be enough to overcome the scepticism of the mining industry remains to be seen. These companies have influence – and they will use it if they see new laws as a threat.

    The mining state

    The mining industry dominates WA economically, politically and socially. WA’s mining sector is substantially larger than the mining interests in any other Australian state. Underground lie huge reserves of iron ore, gas, gold, lithium and many other resources.

    The sector funnelled A$267 billion into the Australian economy in 2023–24 through salaries, royalties and taxes. About $60 billion directly flowed to Western Australians in wages and salaries.

    The leaders of WA mining companies see themselves, by and large, as doing economically vital work.

    I have interviewed many WA mining executives for my doctorate, which is currently underway. One clear common narrative emerged: they saw mining as a national good. They believed their companies brought wealth and prosperity to communities, built infrastructure, and funnelled money into state and federal treasuries.

    The justification is powerful. It underpins the way those in the industry see their work – and how they respond to any threat, perceived or otherwise.

    It also dates back over a century. The link between WA resources and prosperity originates from the 1890s WA gold rush, which transformed the fortunes of the state. This self image has been nurtured through successive resource booms, from gold to iron ore to natural gas and more gold.

    Many company executives see any duplication of environmental approvals as time-consuming, unproductive and economically damaging. A 2023 WA Chamber of Commerce and Industry report suggested “green tape” (approval delays) was threatening 40% of mining proposals in the pipeline.

    Miners and their political backers often frame the industry as environmentally positive, particularly for resources vital to the green energy transition such as lithium, rare earth elements and – more controversially – gas.

    Federal Resources Minister Madeleine King – who is West Australian – regularly draws this link. As she said in 2023:

    let me be clear, the global clean energy transition will need more mining, not less […] the road to net zero runs through the Australian resources sector.

    Mining is vital to Western Australia.
    Inc/Shutterstock

    Wielding influence

    WA miners are represented by well-organised and well-resourced lobbying bodies such as the Chamber of Minerals and Energy WA, the Association of Mining and Exploration Companies, and the Minerals Council of Australia.

    These groups maintain relationships with politicians at both state and federal levels, regardless of which party is in power.

    Broadly, their goals are to promote the continued expansion of resource projects (minerals, oil and gas) under conditions most advantageous to industry interests.

    Mining companies use these industry lobby groups to support or critique government policy and push for changes. They exert influence through targeted lobbying, close relationships with elected officials and political candidates, and direct engagement with federal processes.

    What happens when the sector sees a potential threat from policymakers in Canberra? Often, the mining companies unify against it.

    For example, WA miners were prominent in the 2010 campaign against efforts by the Rudd government to introduce a super profits tax on mining.

    Why WA miners oppose nature law reform

    A tax is one thing. But what did the WA miners see as the key problems in the environmental reforms?

    One issue was a perceived contradiction between the federal government’s intention to streamline developmental approvals and introduce a federal Environmental Protection Agency, while failing to deal with existing duplication between state and federal processes.

    The Association of Mining and Exploration Companies lobby group gave another reason in a submission to government: the proposed independence of the EPA would remove the discretionary power of the minister.

    Rather than an independent federal EPA, they pushed for a model similar to the WA version – the advice of which the minister can overrule. The group also warned the laws would impede the global competitiveness of the mining industry and hinder investment.

    The state government echoed these statements, calling the reforms an overreach that would stifle economic development.

    This alignment of government and industry messaging shows how closely their interests are intertwined.

    Premier Roger Cook leaves no ambiguity about this. Ahead of this year’s WA and federal elections, Cook warned the “latte sippers” over east:

    do not for a moment think that we will stand by idly and allow you to damage our economy because, ultimately, it will damage your standard of living.

    Is a deal possible?

    Across Australia, there is broad support for environmental law reform, because the current national laws are seen as not fit for purpose.

    Murray Watt came to the role of environment minister with a reputation as a fixer. The question now is, what will he trade to get the miners on side?

    The industry will be cautious and will insist on much more detail about any changes. It’s possible a deal could be struck. But we can expect to continue to see very strong pushback if Watt tries to expand federal powers into what is seen as state responsibilities.

    The industry will also expect greater federal resourcing for delivery of timely approvals. Nationally important industries don’t like to wait.

    Diane Dowdell is a PhD Candidate in the Centre for Social Responsibility in Mining (CSRM) within the Sustainable Minerals Institute at the University of Queensland. She was the recipient of an industry scholarship from Newcrest Mining for her PhD research. She works for SLR Consulting Pty Ltd. Diane is a fellow of the Australasian Institute of Mining and Metallurgy (AusIMM) and the Environment Institute of Australia and New Zealand (EIANZ).

    ref. West Australian miners flexed their muscle to block a federal EPA last year. Will it be different this time? – https://theconversation.com/west-australian-miners-flexed-their-muscle-to-block-a-federal-epa-last-year-will-it-be-different-this-time-257892

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Technology to enforce teen social media ban is ‘effective’, trial says. But this is at odds with other evidence

    Source: The Conversation (Au and NZ) – By Lisa M. Given, Professor of Information Sciences & Director, Social Change Enabling Impact Platform, RMIT University

    MAYA LAB/Shutterstock

    Technologies to enforce the Australian government’s social media ban for under 16s are “private, robust and effective”. That’s according to the preliminary findings of a federal government-commissioned trial that has nearly finished testing them.

    The findings, released today, may give the government greater confidence to forge ahead with the ban, despite a suite of expert criticism. They might also alleviate some of the concerns of the Australian population about privacy and security implications of the ban, which is due to begin in December.

    For example, a report based on a survey of nearly 4,000 people and released by the government earlier this week found nine out of ten people support the idea of a ban. But it also found a large number of people were “very concerned” about how the ban would be implemented. Nearly 80% of respondents had privacy and security concerns, while roughly half had concerns about age assurance accuracy and government oversight.

    The trial’s preliminary findings paint a rosy picture of the potential for available technologies to check people’s ages. However, they contain very little detail about specific technologies, and appear to be at odds with what we know about age-assurance technology from other sources.

    From facial recognition to hand movement recognition

    The social media ban for under 16s was legislated in December 2024. A last-minute amendment to the law requires technology companies to provide “alternative age assurance methods” for account holders to confirm their age, rather than relying only on government-issued ID.

    The Australian government commissioned an independent trial to evaluate the “effectiveness, maturity, and readiness for use” of these alternative methods.

    The trial is being led by the Age Check Certification Scheme – a company based in the United Kingdom that specialises in testing and certifying identity verification systems. It includes 53 vendors that offer a range of age assurance technologies to guess people’s ages, using techniques such as facial recognition and hand-movement recognition.

    According to the preliminary findings of the trial, “age assurance can be done in Australia”.

    The trial’s project director, Tony Allen, said “there are no significant technological barriers” to assuring people’s ages online. He added the solutions are “technically feasible, can be integrated flexibly into existing services and can support the safety and rights of children online”.

    However, these claims are hard to square with other evidence.

    High error rates

    Yesterday the ABC reported the trial found face-scanning technologies “repeatedly misidentified” children as young as 15 as being in their 20s and 30s. These tools could only guess children’s ages “within an 18-month range in 85 percent of cases”. This means a 14-year-old child might gain access to a social media account, while a 17-year-old might be blocked.

    This is in line with results of global trials of face-scanning technologies conducted for more than a decade.

    An ongoing series of studies of age estimation technology by the United States’ National Institute of Standards and Technology shows the algorithms “fail significantly when attempting to differentiate minors” of various ages.

    The tests also show that error rates are higher for young women compared to young men. Error rates are also higher for people with darker skin tones.

    These studies show that even the best age-estimation software currently available – Yoti – has an average error of 1.0 years. Other software options mistake someone’s age by 3.1 years on average.

    This means, at best, a 16-year-old might be estimated to be 15 or 17 years old; at worst, they could be seen to be 13 or 19 years of age. These error rates mean a significant number of children under 16 could access social media accounts despite a ban being in place, while some over 16 could be blocked.

    Yoti also explains businesses needing to check exact ages (such as 18) can set higher age thresholds (such as 25), so fewer people under 18 get through the age check.

    This approach would be similar to that taken in Australia’s retail liquor sector, where sales staff verify ID for anyone who appears to be under the age of 25. However, many young people lack the government-issued ID required for an additional age check.

    It’s also worth remembering that in August 2023, the Australian government acknowledged that the age assurance technology market was “immature” and could not yet meet key requirements, such as working reliably without circumvention and balancing privacy and security.

    Outstanding questions

    We don’t yet know exactly what methods platforms will use to verify account holders’ ages. While face-scanning technologies are often discussed, they could use other methods to confirm age. The government trial also tested voice and hand movements to guess young people’s ages. But those methods also have accuracy issues.

    And it’s not yet clear what recourse people will have if their age is misidentified. Will parents be able to complain if children under 16 gain access to accounts, despite restrictions? Will older Australians who are incorrectly blocked be able to appeal? And if so, to whom?

    There are other outstanding questions. What’s stopping someone who’s under 16 from getting someone who is over 16 to set up an account on their behalf? To mitigate this risk, the government might require all social media users to verify their age at regular intervals.

    It’s also unclear what level of age estimation error the government may be willing to accept in implementing a social media ban. The legislation says technology companies must demonstrate they have taken “reasonable steps” to prevent under 16s from holding social media accounts. What is considered “reasonable” is yet to be clearly defined.

    Australians will have to wait until later this year for the full results of the government’s trial to be released, and to know how technology companies will respond. With less than six months until the ban comes into effect, social media users still don’t have all the answers they need.

    Lisa M. Given receives funding from the Australian Research Council. She is a Fellow of the Academy of the Social Sciences in Australia and the international Association for Information Science and Technology.

    ref. Technology to enforce teen social media ban is ‘effective’, trial says. But this is at odds with other evidence – https://theconversation.com/technology-to-enforce-teen-social-media-ban-is-effective-trial-says-but-this-is-at-odds-with-other-evidence-259373

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Global: Why Israel — and potentially the U.S. — is sure to encounter the limits of air power in Iran

    Source: The Conversation – Canada – By James Horncastle, Assistant Professor and Edward and Emily McWhinney Professor in International Relations, Simon Fraser University

    As the war between Israel and Iran escalates, Israel is increasing its calls on the United States to become involved in the conflict.

    Former Israeli officials are appearing on U.S. news outlets, exhorting the American public to support Israel’s actions.

    President Donald Trump has signalled a willingness for the U.S. to become involved in the conflict. He’s gone so far, in fact, to suggest in social media posts that he could kill Iran’s supreme leader if he wanted to.

    Segment on Trump’s threats against Iran’s leader. (BBC News)

    The American military could certainly make an impact in any air campaign against Iran. The problem from a military standpoint, however, is that the U.S., based on its forces’ deployment, will almost certainly seek to keep its involvement limited to its air force to avoid another Iraq-like quagmire.

    While doing so could almost certainly disrupt Iran’s nuclear program, it will likely fall short of Israel’s goal of regime change.

    In fact, it could reinforce the Iranian government and draw the U.S. into a costly ground war.




    Read more:
    Why is there so much concern over Iran’s nuclear program? And where could it go from here?


    Israel’s need for American support

    The initial stated reason for Israel’s bombing campaign — Iran’s nuclear capabilities — appears specious at best.

    Israeli Prime Minister Benjamin Netanyahu has argued several times in the past, without evidence, that Iran is close to achieving a nuclear weapon. U.S. intelligence, however, have assessed that Iran is three years away from deploying a nuclear weapon.

    Regardless of the veracity of the claims, Israel initiated the offensive and now requires American support.

    Israel’s need for U.S. assistance rests on two circumstances:

    1. While Israel succeeded in eliminating key figures from the Iranian military in its initial strikes, Iran’s response appears to have exceeded Israel’s expectations with their Arrow missile interceptors nearing depletion.

    2. Israel’s air strikes can only achieve so much in disrupting Iran’s nuclear ambitions. Most analysts note that Israel’s bombings are only likely to delay the Iranian nuclear program by a few months. This is due to the fact that Israeli missiles are incapable of penetrating the Fordow Fuel Enrichment Plant, which estimates place close to 300 feet underground.

    The United States, however, possesses munitions that could damage, or even destroy, the Fordow facility. Most notably, the GBU-57A/B Massive Ordnance Penetrator (more commonly known as a bunker buster) has a penetration capability of 200 feet.

    Multiple strikes by said munition would render Fordow inoperable, if not outright destroyed.

    Romanticizing air power

    The efficacy of air power has been vastly overrated in the popular media and various air forces of the world. Air power is great at disrupting an opponent, but has significant limitations in influencing the outcome of a war.

    Specifically, air power is likely to prove an inadequate tool for one of the supposed Israeli and American objectives in the war: regime change. For air power to be effective at bringing about regime change, it needs to demoralize the Iranian people to the point that they’re willing to oppose their own government.

    Early air enthusiasts believed that a population’s demoralization would be an inevitable consequence of aerial bombardment. Italian general Giulio Douhet, a prominent air power theorist, argued that air power was so mighty that it could destroy cities and demoralize an opponent into surrendering.

    Douhet was correct on the first point. He was wrong on the second.

    Recent history provides evidence. While considerable ink has been spilled to demonstrate the efficacy of air power during the Second World War, close examination of the facts demonstrate that it had a minimal impact. In fact, Allied bombing of German cities in several instances created the opposite effect.

    More recent bombing campaigns replicated this failure. The U.S. bombing of North Vietnam during the Vietnam War did not significantly damage North Vietnamese morale or war effort. NATO’s bombing of Serbia in 1999, likewise, rallied support for the unpopular Slobodan Milosevic due to its perceived injustice — and continues to evoke strong emotions to this day.

    Iran’s political regime may be unpopular with many Iranians, but Israeli and potentially American bombing may shore up support for the Iranian government.

    Nationalism is a potent force, particularly when people are under attack. Israel’s bombing of Iran will rally segments of the population to the government that would otherwise oppose it.

    Few positive options

    The limitations of air power to fuel significant political change in Iran should give Trump pause about intervening in the conflict.

    Some American support, such as providing weapons, is a given due to the close relationship between the U.S. and Israel. But any realization of American and Israeli aspirations of a non-nuclear Iran and a new government will likely require ground forces.

    Recent American experiences in Afghanistan and Iraq show such a ground forces operation won’t lead to the swift victory that Trump desires, but could potentially stretch on for decades.

    James Horncastle 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 Israel — and potentially the U.S. — is sure to encounter the limits of air power in Iran – https://theconversation.com/why-israel-and-potentially-the-u-s-is-sure-to-encounter-the-limits-of-air-power-in-iran-259348

    MIL OSI – Global Reports

  • MIL-Evening Report: 6 things Australia must do if it’s serious about tackling school bullying

    Source: The Conversation (Au and NZ) – By Vanessa Miller, Lecturer in Education (Classroom Management), Southern Cross University

    Wander Women/ Getty Images

    Bullying is arguably one of the most serious issues facing Australia’s schools.

    About one in four students between Year 4 and Year 9 report being bullied regularly. This can have serious and lasting consequences. Research suggests students who are bullied are at an increased risk of mental health problems and self-harm.

    On Friday, submissions close for the federal government’s rapid review into school bullying. Here, we suggest six key areas on which governments, schools and education authorities need to focus to re-imagine Australia’s approach to tackling bullying.




    Read more:
    With a government review underway, we have to ask why children bully other kids


    1. A national approach to bullying

    At the moment, there is no clear, consistent definition of bullying in Australian schools. Nor are there consistent policies.

    This naturally leads to confusion about current best practice to both prevent bullying and support students who have been bullied.

    For example, there are several definitions of cyberbullying between the different states and territories.

    2. Consistent data to track bullying

    Australia also has no nationally consistent approach to track or measure bullying and cyberbullying.

    This means it is impossible to say whether bullying is getting worse or better – or if certain parts of the country are more successfully addressing it.

    So we need metrics to better track, analyse, report and respond to bullying incidents across schools, regions, states and territories.

    For years, researchers have noted schools themselves also need accurate data to analyse, monitor and evaluate the degree to which an intervention is effective.

    3. A whole-school approach

    A national strategy should also prioritise whole-school approaches to bullying prevention – this is what research shows to be most effective.

    A whole-school approach sees anti-bullying efforts as the responsibility of everyone connected to a school. School leaders, teachers, support staff, students, families and the wider community are all expected to promote safety and inclusion.

    Addressing bullying should see strategies implemented across multiple locations, including the classroom, wider school and home environments.

    This goes beyond simply dealing with individual bullying incidents as they arise.

    Research also suggests schools should focus on proactive, non-punitive strategies and a positive school culture. This includes clear procedures to report bullying, effective education programs, and establishing consistent classroom and school rules.

    If bullying occurs, schools can respond with a restorative approach, which focuses on repairing harm done to relationships.

    Studies suggest whole-school approaches such as these can reduce bullying behaviours by 20-23% and victimisation by 17-20%.

    4. Teach social and emotional skills

    As part of the whole-school approach, we also need to make sure schools are teaching social and emotional skills. This includes how to identify and manage emotions as well as communicating and cooperating with others.

    While it is part of the Australian Curriculum, research shows social and emotional skills are not always taught using evidence-based, formal approaches.

    A large body of research demonstrates that schools which teach social and emotional learning across all aspects of school engagement, report higher academic achievement, lower rates of bullying, improved student wellbeing, and stronger connections between students and adults.

    In part, this is because these approaches empower students to take ownership of their behaviour.




    Read more:
    Schools today also teach social and emotional skills. Why is this important? And what’s involved?


    5. Training for teachers

    Teachers play a pivotal role in making sure all students feel safe and supported at school, helping children and young people to understand and manage their emotions.

    A 2014 study found teachers who had participated in anti-bullying training were able to provide this support more effectively.

    Teachers specifically need training that helps them provide safe, inclusive spaces for students from marginalised groups, including students with disability and young people who face homophobic or transphobic bullying.

    School staff should receive consistent, culturally responsive training, so they are equipped with the most current and effective ways to support all students.

    6. Give students an active role

    We should also look at ways to give students a greater role in shaping anti-bullying policies.

    Research shows when students are included in decisions that affect them, it increases their engagement with learning and motivation at school.

    Along with helping to make policies, students can also be involved in peer-mentoring programs and leading campaigns to raise awareness about respectful relationships. This can create a sense of shared ownership for anti-bullying interventions.

    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. 6 things Australia must do if it’s serious about tackling school bullying – https://theconversation.com/6-things-australia-must-do-if-its-serious-about-tackling-school-bullying-258924

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: A new special tribunal will investigate Russia’s aggression against Ukraine. Will it be effective?

    Source: The Conversation (Au and NZ) – By Yvonne Breitwieser-Faria, Lecturer in Criminal Law and International Law, Curtin University

    Earlier this year, the European Union, the Council of Europe, Ukraine and an international coalition of states agreed to establish a new special tribunal.

    The tribunal will eventually be tasked with holding Russia accountable for the 2022 full-scale invasion of Ukraine. It’s expected to start operating in 2026.

    Human rights organisations, international lawyers and some (mostly European) states have long been calling for the establishment of such a tribunal. Oleksandra Matviichuk, a Ukrainian human rights lawyer, called the establishment of the tribunal:

    an important breakthrough for the international justice community and especially for the millions of Ukrainians who have been harmed by the Russian aggression.

    However, important questions remain about if it could truly hold senior Russian officials accountable.

    So, how will this new special tribunal work, and will it be effective – or necessary?

    How does the special tribunal fill the gaps left by the ICC and ICJ?

    This tribunal is separate to the International Criminal Court (ICC) and the International Court of Justice (ICJ).

    The ICC can prosecute individuals charged with genocide, war crimes and crimes against humanity in the Russian war on Ukraine. So far, it has issued arrest warrants against four Russian senior officials, including President Vladimir Putin.

    Because Russia is not a member state to the court, the court can’t exercise legal authority over what’s known in international law as a crime of aggression (when leaders of a state launch or plan a war). For the ICC to be able to exercise this jurisdiction, the aggressor state also must be a member state of the court.

    The ICJ is a different court altogether. It primarily deals with and adjudicates disputes between states, not limited to war crimes, crimes against humanity and genocide. It can’t hold individuals accountable, and can only exercise jurisdiction over a dispute if both states to a dispute agree.

    While the ICC seeks to establish individual criminal responsibility, the ICJ may establish state responsibility for a violation of international law.

    Currently, there are also two cases between Ukraine and Russia before the ICJ.

    Neither deals with the question of the legality of Russia’s use of force in its invasion in February 2022. Both Ukraine and Russia would need to consent to bring this issue before the court.

    So, is a new tribunal necessary?

    Yes, because the crime of aggression currently can’t be addressed by any other international court or tribunal.

    Given the limitations of what the ICJ and ICC can do, a dedicated tribunal seems the obvious solution to hold those responsible for the illegal use of force against Ukraine accountable.

    And it’s not uncommon for specialised tribunals with limited jurisdiction over a specific situation to be created.

    Other historical examples include the International Criminal Tribunal for the former Yugoslavia, the International Criminal Tribunal for Rwanda, the Extraordinary Chambers in the Courts of Cambodia and the Special Court for Sierra Leone.

    Given the ICC’s lack of jurisdiction over the crime of aggression, the new special tribunal would complement the court’s existing investigations into war crimes and crimes against humanity.

    Who is running the new tribunal and how will it work?

    The exact content and specifics of this new tribunal will remain unknown until the draft statute of the tribunal is published. That’s a document that outlines details including the tribunal’s jurisdiction, the applicable definition of aggression and how the tribunal will function.

    At this stage, the Council of Europe has confirmed the tribunal will work within its legal framework and principles. It will be funded by an international coalition of supportive states.

    A management committee of members and associate members of the tribunal will be responsible for the election of the tribunal’s judges and prosecutors. The management committee is made up of the Council of Europe’s council of ministers and Ukraine.

    Diplomatic discussions are still ongoing at this point, but the legal process for establishing the special tribunal can begin now.

    Will this special tribunal be more effective?

    Political, legal and practical challenges for the special tribunal remain. It’s unclear if the most senior Russian state officials can and will be able to be brought to trial for the crime of aggression.

    Nothing, so far, suggests the statute of the tribunal will contain an exception to state immunity enjoyed by heads of state, heads of governments and foreign ministers while in power.

    That means these office holders can only be prosecuted if they are no longer in power or the Russian government expressly waives their immunity.

    It’s also unclear whether states will be willing to arrest those sought by the special tribunal.

    The ICC has long faced this challenge trying to get states to act on its arrest warrants.

    Hungary, for instance, did not arrest Israel’s Prime Minister Benjamin Netanyahu when he visited in April, despite an ICC arrest warrant for alleged crimes against humanity in connection with the war in Gaza.

    For the special tribunal to be effective, according to Oleksandra Matviichuk, it:

    must not become a remote and hollow entity that does not engage with the Ukrainian victims.

    Overall, much remains unclear. Will this new special tribunal be able to hold the likes of Putin accountable for the crime of aggression? Or will it become another empty promise?

    Yvonne Breitwieser-Faria 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 new special tribunal will investigate Russia’s aggression against Ukraine. Will it be effective? – https://theconversation.com/a-new-special-tribunal-will-investigate-russias-aggression-against-ukraine-will-it-be-effective-257823

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Many elite athletes live below the poverty line. Tax-deductible donations won’t solve the problem

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

    Australia’s Jaclyn Narracott competes in the women’s skeleton at the Beijing 2022 Winter Olympics. Joe Klamar/AFP via Getty Images

    As the end of the 2024-25 financial year nears, the Australian Olympic Committee (AOC), in partnership with the Australian Sports Foundation (ASF), has launched a new joint fundraising initiative allowing Australians to make tax-deductible donations directly to Australia’s Olympians and Paralympians.

    The ASF is an “Item 1” Deductible Gift Recipient (DGR) and is the only organisation in Australia that allows a donor to claim a tax deduction for philanthropic donations to sport.

    This is because sport is not currently eligible for either DGR or charitable status under Australian law.

    But is this new joint fundraising initiative a gold medal idea for our athletes, or one that falls short of a podium finish?

    Aussies tax payers and Olympic dreams

    The new initiative, named the “Aspiring Australian Olympian Funding program”, means individual donations of A$2 or more made through the ASF are tax-deductible.

    Australians can direct funds to a specific athlete, coach or official selected to participate in representative, elite or high performance sport in the Olympic/Paralympic program (summer and winter).

    Depending on the donor’s marginal tax rate, the effective cost of a donation may be reduced up to 62% for the highest earners (over $250,000).

    For instance, a $1,000 donation could yield a tax refund of up to $470, bringing the net cost down to just $530.

    Companies paying the full company tax rate that donate $1,000 would reduce their tax by $300 (30%).

    Ahead of the Milano-Cortina 2026 Winter Olympic and Paralympic Games, more than 30 Australian athletes (from disciplines such as alpine skiing, bobsleigh and figure skating) have signed up to use the platform.

    However, many Australian athletes are struggling financially, so more financial support is needed.

    The brutal reality for many athletes

    The ASF’s 2023 “Running on Empty” report found many of Australia’s elite athletes were under significant financial pressure: 46% of those over the age of 18 were earning less than $23,000 per year. This places them below the poverty line at $489 a week.

    The report also found 67% of elite athletes said their financial struggles affected their parents and support networks. Also, 42% of elite athletes aged 18-34 reported they were suffering poor mental health as a result of their financial predicament.

    The report also found the costs of training, equipment, travel and accommodation continued to rise, resulting in many questioning the sustainability of elite sport funding models both here and abroad.

    Pros and cons

    The new funding program’s use of tax incentives as a funding carrot is good in principle, but there are potential unintended consequences.

    This includes athletes being pitted against one another: there is a danger the athletes best skilled in marketing and public relations will receive more funding.

    The current economic climate doesn’t bode well for the program. Many Australians are facing cost-of-living pressures, which means a lot of people may not be able to donate even if they want to.

    Also, what happens if an athlete who benefits from the program is injured or found to be a drug cheat, and can’t compete? Can a donor request a refund?

    Finally, taxpayers who have the most capacity to donate are likely high income earners, some of whom may donate to sport entities already. Now, their donations will be subsidised by the tax system.

    Some alternative ideas

    In the United Kingdom, National Lottery revenue plays a significant role in funding Olympic and Paralympic sports. Administered by UK Sport (the UK’s equivalent of the ASC) funds from the lottery are directed to high performance sports programs and athletes.

    This approach could be replicated in Australia.

    Another idea is to redirect a portion of government taxes collected from sports betting, which could be lucrative given Australia’s love of sports gambling.




    Read more:
    Gambling in Australia: how bad is the problem, who gets harmed most and where may we be heading?


    The federal government could offer a further incentive by matching peoples’ donations dollar for dollar.

    As we direct funds to athletes, we need also think about the potential tax impact for them. Will the funds they receive be considered income and be taxed? The government could consider making the payment to the athlete tax free.

    If we are going to succeed on the world stage, especially as the 2032 Brisbane Olympic and Paralympic Games approach, we need to financially support our athletes so they can focus on representing their country.

    Michelle O’Shea receives funding from the Olympic Studies Centre.

    Connie Vitale receives funding from the federal government as part of the National Tax Clinic Program. She is affiliated with the Institute of Public Accountants and Chartered Accountants Australia and New Zealand.

    Robert B Whait receives funding from the federal government as part of the National Tax Clinic Program, Financial Literacy Australia (now Ecstra Foundation), ANZ Bank, and the Consumer Policy Research Centre (CPRC). He is affiliated with the Tax Institute of Australia and Chartered Accountants Australia and New Zealand.

    ref. Many elite athletes live below the poverty line. Tax-deductible donations won’t solve the problem – https://theconversation.com/many-elite-athletes-live-below-the-poverty-line-tax-deductible-donations-wont-solve-the-problem-258914

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Global: Nuclear scientists  have long been targets in covert ops – Israel has brought that policy out of the shadows

    Source: The Conversation – Global Perspectives – By Jenna Jordan, Associate Professor of International Affairs, Georgia Institute of Technology

    Portraits of Iranian military generals and nuclear scientists killed in Israel’s June 13, 2025, attack are displayed on a sign as a plume of heavy smoke and fire rise from an oil refinery in southern Tehran Atta Kenare/AFP via Getty Images

    At least 14 nuclear scientists are believed to be among those killed in Israel’s Operation Rising Lion, launched on June 13, 2025, ostensibly to destroy or degrade Iran’s nuclear program and military capabilities.

    Deliberately targeting scientists in this way aims to disrupt Iran’s knowledge base and continuity in nuclear expertise. Among those assassinated were Mohammad Mehdi Tehranchi, a theoretical physicist and head of Iran’s Islamic Azad University, and Fereydoun Abbasi-Davani, a nuclear engineer who led Iran’s Atomic Energy Organization.

    Collectively, these experts in physics and engineering were potential successors to Mohsen Fakhrizadeh, widely regarded as the architect of the Iranian nuclear program, who was assassinated in a November 2020 attack many blame on Israel.

    As two political scientists writing a book about state targeting of scientists as a counterproliferation tool, we understand well that nuclear scientists have been targeted since the nuclear age began. We have gathered data on nearly 100 instances of what we call “scientist targeting” from 1944 through 2025.

    The most recent assassination campaign against Iranian scientists is different from many of the earlier episodes in a few key ways. Israel’s recent attack targeted multiple nuclear experts and took place simultaneously with military force to destroy Iran’s nuclear facilities, air defenses and energy infrastructure. Also, unlike previous covert operations, Israel immediately claimed responsibility for the assassinations.

    But our research indicates that targeting scientists may not be effective for counterproliferation. While removing individual expertise may delay nuclear acquisition, targeting alone is unlikely to destroy a program outright and could even increase a country’s desire for nuclear weapons. Further, targeting scientists may trigger blowback given concerns regarding legality and morality.

    A policy with a long history

    Targeting nuclear scientists began during World War II when Allied and Soviet forces raced to capture Nazi scientists, degrade Adolf Hitler’s ability to build a nuclear bomb and use their expertise to advance the U.S. and Soviet nuclear programs.

    In our data set, we classified “targeting” as cases in which scientists were captured, threatened, injured or killed as nations tried to prevent adversaries from acquiring weapons of mass destruction. Over time, at least four countries have targeted scientists working on nine national nuclear programs.

    The United States and Israel have allegedly carried out the most attacks on nuclear scientists. But the United Kingdom and Soviet Union have also been behind such attacks.

    Meanwhile, scientists working for the Egyptian, Iranian and Iraqi nuclear programs have been the most frequent targets since 1950. Since 2007 and prior to the current Israeli operation, 10 scientists involved in the Iranian nuclear program were killed in attacks. Other countries’ nationals have also been targeted: In 1980, Mossad, Israel’s intelligence service, allegedly bombed Italian engineer Mario Fiorelli’s home and his firm, SNIA Techint, as a warning to Europeans involved in the Iraqi nuclear project.

    Given this history, the fact that Israel attacked Iran’s nuclear program is not itself surprising. Indeed, it has been a strategic goal of successive Israeli prime ministers to prevent Iran from acquiring nuclear weapons, and experts had been warning of the increased likelihood of an Israeli military operation since mid-2024, due to regional dynamics and Iranian nuclear development.

    The wrecked cars in which four of Iran’s nuclear scientists were assassinated in recent years are displayed on the grounds of a museum in Tehran in 2014.
    Scott Peterson/Getty Images

    By then, the balance of power in the Middle East had changed dramatically. Israel systematically degraded the leadership and infrastructure of Iranian proxies Hamas and Hezbollah. It later destroyed Iranian air defenses around Tehran and near key nuclear installations. The subsequent fall of Syria’s Assad regime cost Tehran another long-standing ally. Together, these developments have significantly weakened Iran, leaving it vulnerable to external attack and stripped of its once-feared proxy network, which had been expected to retaliate on its behalf in the event of hostilities.

    With its proxy “axis of resistance” defanged and conventional military capacity degraded, Iranian leadership may have thought that expanding its enrichment capability was its best bet going forward.

    And in the months leading up to Israel’s recent attack, Iran expanded its nuclear production capacity, moving beyond 60% uranium enrichment, a technical step just short of weapons-grade material. During Donald Trump’s first term, the president withdrew the U.S. from a multilateral nonproliferation agreement aimed at curbing Iran’s nuclear program. After being reelected, Trump appeared to change tack by pursuing new diplomacy with Iran, but those talks have so far failed to deliver an agreement – and may be put on hold for the foreseeable future amid the war.

    Most recently, the International Atomic Energy Agency board of governors declared Iran in non-compliance with its nuclear-nonproliferation obligations. In response, Iran announced it was further expanding its enrichment capacity by adding advanced centrifuge technology and a third enrichment site.

    Even if the international community anticipated the broader attack on Iran, characteristics of the targeting itself are surprising. Historically, states have covertly targeted individual scientists. But the recent multiple-scientist attack occurred openly, with Israel taking responsibility, publicly indicating the attacks’ purpose. Further, while it is not new for a country to use multiple counter-proliferation tools against an adversary over time, that Israel is using both preventive military force against infrastructure and targeting scientists at once is atypical.

    Additionally, such attacks against scientists are historically lower tech and low cost, with death or injury stemming from gunmen, car bombs or accidents. In fact, Abbasi – who was killed in the most recent attacks – survived a 2010 car bombing in Tehran. There are outliers, however, including the Fakhrizadeh assassination, which featured a remotely operated machine gun smuggled into Iranian territory.

    Israel’s logic in going after scientists

    Why target nuclear scientists?

    In foreign policy, there are numerous tools available if one state aims to prevent another state from acquiring nuclear weapons. Alongside targeting scientists, there are sanctions, diplomacy, cyberattacks and military force.

    Targeting scientists may remove critical scientific expertise and impose costs that increase the difficulty of building nuclear weapons. Proponents argue that targeting these experts may undermine a state’s efforts, deter it from continuing nuclear developments and signal to others the perils of supporting nuclear proliferation.

    Countries that target scientists therefore believe that doing so is an effective way to degrade an adversary’s nuclear program. Indeed, the Israel Defense Forces described the most recent attacks as “a significant blow to the regime’s ability to acquire weapons of mass destruction.”

    Posters featuring images of Iranian nuclear scientists are displayed in Tehran, Iran, on June 14, 2025.
    Fatemeh Bahrami/Anadolu via Getty Images

    Despite Israel’s focus on scientists as sources of critical knowledge, there may be thousands more working inside Iran, calling into question the efficacy of targeting them. Further, there are legal, ethical and moral concerns over targeting scientists.

    Moreover, it is a risky option that may fail to disrupt an enemy nuclear program while sparking public outrage and calls for retaliation. This is especially the case if scientists, often regarded as civilians, are elevated as martyrs.

    Targeting campaigns may, as a result, reinforce domestic support for a government, which could then redouble efforts toward nuclear development.

    Regardless of whether targeting scientists is an effective counter-proliferation tool, it has been around since the start of the nuclear age – and will likely persist as part of the foreign policy toolkit for states aiming to prevent proliferation. In the case of the current Israeli conflict with Iran and its targeting of nuclear scientists, we expect the tactic to continue for the duration of the war and beyond.

    Rachel Whitlark is a nonresident senior fellow in the Forward Defense practice of the Atlantic Council’s Scowcroft Center for Strategy and Security.

    Jenna Jordan 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. Nuclear scientists  have long been targets in covert ops – Israel has brought that policy out of the shadows – https://theconversation.com/nuclear-scientists-have-long-been-targets-in-covert-ops-israel-has-brought-that-policy-out-of-the-shadows-259263

    MIL OSI – Global Reports

  • MIL-Evening Report: Jaws at 50: the first summer blockbuster is still a film that bites – even when the shark didn’t work

    Source: The Conversation (Au and NZ) – By Will Jeffery, Sessional Academic, Discipline of Film Studies, University of Sydney

    Photo by Sunset Boulevard/Corbis via Getty Images

    When I was eight years old, on a Saturday night before surf lifesaving training, my dad put on the film Jaws and it changed my life forever.

    Unlike the generations of filmgoers who were afraid of sharks and going into the water during its initial release in 1975, I fell in love with the water and sharks.

    Steven Spielberg’s film was the first summer blockbuster, received Academy Awards for sound, editing and music, and became the first film to earn US$100 million at the United States box office.

    It was only the third film for the 28-year-old Steven Spielberg, and his second theatrical release (his first film, Duel, was made for TV), and success arrived only after much trouble.

    Jaws was only the second feature film for Spielberg, pictured here on set.
    Photo by Sunset Boulevard/Corbis via Getty Image

    A marketed behemoth

    Chief of Police Martin Brody (Roy Scheider) has recently moved from New York City to Amity Island with his wife, Ellen (Lorriane Gary), and their two children. As the small town prepares for its crucial 4th of July celebrations, a series of shark attacks threatens the festivities – and the town’s summer economy.

    Mayor Larry Vaughan (Murray Hamilton) insists on keeping the beaches open for “summer dollars”. When the shark strikes again, local fisherman Quint (Robert Shaw) is hired to hunt it down. Brody and visiting marine biologist Matt Hooper (Richard Dreyfuss) insist on joining the expedition to save the island.

    The film was advertised as a suspense and horror monster movie. In what director Spielberg described as a marketing “blitzkrieg” campaign, Jaws, was released in the summer – peak swimming season.

    Universal Pictures made sure every household knew about the film. There were multiple TV spots, a cover on Time Magazine, talk show appearances from cast and crew, and a wave of merchandise. It was the most money the company had ever spent on a film’s pre-release marketing.

    The first American film released in more than 400 theatres at once, Jaws found its audience with overwhelmingly positive reviews and word of mouth – because Jaws was also extremely well made.

    Wrangling the shark

    Peter Benchley was hired to adapt his novel, but another screenwriter, Carl Gottlieb, was brought in to redraft Benchley’s more serious narrative and provide comic relief.

    Jaws was initially planned for 55 days of shooting, but ballooned to 159 days and $8 million over budget. The main reason: the shark.

    Apart from one scene using real underwater shark footage from Australians Ron and Valerie Taylor, the shark was mechanical. There were three sharks made for the film, all nicknamed “Bruce” after Spielberg’s lawyer.

    Martha’s Vineyard in Massachusetts depicted the fictional Amity Island, and much of the second half was shot in water.

    Much of the second half of the film was shot on the water.
    Photo by Universal Studios/Courtesy of Getty Images

    The mechanical shark sank … a lot. No wonder Spielberg named the temperamental and unreliable shark after his lawyer.

    With the lack of a functioning shark, Spielberg made the artistic decision – echoing Alfred Hitchcock – to suggest the shark’s presence rather than show it outright in the film’s first half.

    Spielberg even quotes Hitchcock’s Vertigo shot (a dolly zoom) in the scene when Brody realises a shark attack is unfolding under his watch.

    Even without appearing onscreen, the shark has an overwhelming presence and effect on the audience, thanks to John Williams’ music: most of the film’s cues are associated with the shark.

    Tension onscreen

    One of my favourite moments in the film is in the aftermath of an attack on the young Alex Kintner (and poor dog Pippet!). Brody is slapped in the face by the mother of the slain Alex – but this is followed by a cute and wholesome encounter between Chief Brody and his son Sean.

    As a father, Brody’s failure to prevent the attack on Alex reflects his loss of authority to capitalism. The water is the island’s summer revenue, and the hungry shark swims in it.

    The film could have seen an early shark attack and immediately launched a shark hunt. However, the shark doesn’t appear much at all for a monster movie due to its malfunctioning. This worked in the film’s favour.

    Instead, the film relied on good writing and strong performances to heighten the tension and build anticipation for the rare moments the shark has onscreen.

    A lot of the film’s success comes from the dynamic and well-written trio of Brody, Hooper and Quint. In the final act set at sea with just the three leads on a boat surrounded by the shark, they needed to deliver – and they did, arguably stealing the movie from the shark.

    Possibly the most famous scene in the entire film comes when the shark is fully revealed for the first time. Startled by its size, Brody backs into the cabin and delivers an improvised line: “you’re gonna need a bigger boat”.

    Dreyfuss and Shaw famously didn’t get along in real life. You can see that tension play out onscreen. It arguably enhances their performances.

    Still, one of the most iconic moments comes when Dreyfuss’s Hooper is left speechless by Quint’s USS Indianapolis monologue, describing being in the water with sharks after the warship was torpedoed.

    The monologue was scripted, but Shaw improvised much of it.

    A cinema classic

    Jaws is now a cinema classic.

    It launched Spielberg’s illustrious career, scared an entire generation from going into the water, and also inspired a new generation of marine activists – such as myself – who love sharks and the ocean.

    I hope you’ll join me in revisiting Amity Island one more time to watch this timeless film that, apart from its mechanical shark, completely works.

    Will Jeffery 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. Jaws at 50: the first summer blockbuster is still a film that bites – even when the shark didn’t work – https://theconversation.com/jaws-at-50-the-first-summer-blockbuster-is-still-a-film-that-bites-even-when-the-shark-didnt-work-246247

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Jaws at 50: the first summer blockbuster is still a film that bites – even when the shark didn’t work

    Source: The Conversation (Au and NZ) – By Will Jeffery, Sessional Academic, Discipline of Film Studies, University of Sydney

    Photo by Sunset Boulevard/Corbis via Getty Images

    When I was eight years old, on a Saturday night before surf lifesaving training, my dad put on the film Jaws and it changed my life forever.

    Unlike the generations of filmgoers who were afraid of sharks and going into the water during its initial release in 1975, I fell in love with the water and sharks.

    Steven Spielberg’s film was the first summer blockbuster, received Academy Awards for sound, editing and music, and became the first film to earn US$100 million at the United States box office.

    It was only the third film for the 28-year-old Steven Spielberg, and his second theatrical release (his first film, Duel, was made for TV), and success arrived only after much trouble.

    Jaws was only the second feature film for Spielberg, pictured here on set.
    Photo by Sunset Boulevard/Corbis via Getty Image

    A marketed behemoth

    Chief of Police Martin Brody (Roy Scheider) has recently moved from New York City to Amity Island with his wife, Ellen (Lorriane Gary), and their two children. As the small town prepares for its crucial 4th of July celebrations, a series of shark attacks threatens the festivities – and the town’s summer economy.

    Mayor Larry Vaughan (Murray Hamilton) insists on keeping the beaches open for “summer dollars”. When the shark strikes again, local fisherman Quint (Robert Shaw) is hired to hunt it down. Brody and visiting marine biologist Matt Hooper (Richard Dreyfuss) insist on joining the expedition to save the island.

    The film was advertised as a suspense and horror monster movie. In what director Spielberg described as a marketing “blitzkrieg” campaign, Jaws, was released in the summer – peak swimming season.

    Universal Pictures made sure every household knew about the film. There were multiple TV spots, a cover on Time Magazine, talk show appearances from cast and crew, and a wave of merchandise. It was the most money the company had ever spent on a film’s pre-release marketing.

    The first American film released in more than 400 theatres at once, Jaws found its audience with overwhelmingly positive reviews and word of mouth – because Jaws was also extremely well made.

    Wrangling the shark

    Peter Benchley was hired to adapt his novel, but another screenwriter, Carl Gottlieb, was brought in to redraft Benchley’s more serious narrative and provide comic relief.

    Jaws was initially planned for 55 days of shooting, but ballooned to 159 days and $8 million over budget. The main reason: the shark.

    Apart from one scene using real underwater shark footage from Australians Ron and Valerie Taylor, the shark was mechanical. There were three sharks made for the film, all nicknamed “Bruce” after Spielberg’s lawyer.

    Martha’s Vineyard in Massachusetts depicted the fictional Amity Island, and much of the second half was shot in water.

    Much of the second half of the film was shot on the water.
    Photo by Universal Studios/Courtesy of Getty Images

    The mechanical shark sank … a lot. No wonder Spielberg named the temperamental and unreliable shark after his lawyer.

    With the lack of a functioning shark, Spielberg made the artistic decision – echoing Alfred Hitchcock – to suggest the shark’s presence rather than show it outright in the film’s first half.

    Spielberg even quotes Hitchcock’s Vertigo shot (a dolly zoom) in the scene when Brody realises a shark attack is unfolding under his watch.

    Even without appearing onscreen, the shark has an overwhelming presence and effect on the audience, thanks to John Williams’ music: most of the film’s cues are associated with the shark.

    Tension onscreen

    One of my favourite moments in the film is in the aftermath of an attack on the young Alex Kintner (and poor dog Pippet!). Brody is slapped in the face by the mother of the slain Alex – but this is followed by a cute and wholesome encounter between Chief Brody and his son Sean.

    As a father, Brody’s failure to prevent the attack on Alex reflects his loss of authority to capitalism. The water is the island’s summer revenue, and the hungry shark swims in it.

    The film could have seen an early shark attack and immediately launched a shark hunt. However, the shark doesn’t appear much at all for a monster movie due to its malfunctioning. This worked in the film’s favour.

    Instead, the film relied on good writing and strong performances to heighten the tension and build anticipation for the rare moments the shark has onscreen.

    A lot of the film’s success comes from the dynamic and well-written trio of Brody, Hooper and Quint. In the final act set at sea with just the three leads on a boat surrounded by the shark, they needed to deliver – and they did, arguably stealing the movie from the shark.

    Possibly the most famous scene in the entire film comes when the shark is fully revealed for the first time. Startled by its size, Brody backs into the cabin and delivers an improvised line: “you’re gonna need a bigger boat”.

    Dreyfuss and Shaw famously didn’t get along in real life. You can see that tension play out onscreen. It arguably enhances their performances.

    Still, one of the most iconic moments comes when Dreyfuss’s Hooper is left speechless by Quint’s USS Indianapolis monologue, describing being in the water with sharks after the warship was torpedoed.

    The monologue was scripted, but Shaw improvised much of it.

    A cinema classic

    Jaws is now a cinema classic.

    It launched Spielberg’s illustrious career, scared an entire generation from going into the water, and also inspired a new generation of marine activists – such as myself – who love sharks and the ocean.

    I hope you’ll join me in revisiting Amity Island one more time to watch this timeless film that, apart from its mechanical shark, completely works.

    Will Jeffery 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. Jaws at 50: the first summer blockbuster is still a film that bites – even when the shark didn’t work – https://theconversation.com/jaws-at-50-the-first-summer-blockbuster-is-still-a-film-that-bites-even-when-the-shark-didnt-work-246247

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Is there any hope for a fairer carve-up of the GST between the states?

    Source: The Conversation (Au and NZ) – By Saul Eslake, Vice-Chancellor’s Fellow, University of Tasmania

    When the Western Australian state government handed down its state budget on Thursday, it showed a balance sheet solidly in the black with a A$2.5 billion surplus. But, as it has for seven years, the state has received an outsized boost to its coffers from the federal government.

    In 2018, the Morrison government – with the full support of the then Labor opposition – handed WA a special deal for the distribution of income from the goods and service tax (GST).

    Under the deal, WA gets a much greater share of the centrally collected GST revenue than it would have been entitled to under the methods previously used by the Commonwealth Grants Commission.

    So what can be done to ensure a return to a fairer distribution of the GST revenue?

    How the GST carve-up is supposed to work

    The 2018 deal upended a principle known as “horizontal fiscal equalisation”. This principle seeks to ensure each state and territory has the fiscal capacity to provide its residents with a broadly similar range and quality of public services, while levying a similar level of state taxes. This applies to states with different populations and needs.

    That principle is the main reason why the quality of health care, schooling and policing in your community depends much less on which state you happen to live in, compared with other countries with a federal system. Just think of the United States.

    But that principle was jettisoned in the pursuit, by both major parties, of seats from WA in the House of Representatives, which in effect determined the outcome of the 2016, 2019 and 2022 elections.


    WA gets a much greater share of GST revenue than under methods once used by the Commonwealth Grants Commission.

    Holding onto the mineral wealth

    During the mining boom starting in 2000, WA became rich. While it previously received extra grants from other states, it was now having to share income from mining royalties with other states.

    But the 2018 amendment changed how the GST revenue is distributed. Instead of equalising all states to have the fiscal strength of the strongest state (such as WA during the boom), funds were now equalised to the stronger of New South Wales or Victoria. States are also guaranteed a minimum per capita share of revenue.

    The only state that benefits from these changes is Australia’s richest state: WA. Since 2018-19 it has received A$24.2 billion more than it would have done had the 2018 changes not been made.

    Combined with the $58.3 billion it has collected in mineral royalties over the past seven years, that has enabled WA to rack up cash surpluses totalling more than $18 billion. Every other state and territory recorded cash deficits over that time.

    Over the next four years, WA will receive $26.3 billion more from the carve-up of GST revenues than it would otherwise have done.

    No one worse off?

    To cajole the other states and territories into accepting this “deal”, the Morrison government agreed to “top up” the revenue from the GST to ensure none would be any worse off than if the long-standing system had remained in place.

    It estimated this “No Worse Off guarantee” (or NoWO as it is now called) would cost the federal budget $8 billion over the nine years to 2026-27, when NoWO would expire.

    To avoid expected pushback from the other states, the Albanese government agreed in 2023 to extend NoWO by another three years. It is now expected it will have cost the federal budget almost $60 billion by its scheduled expiry in 2029-30.

    This is the biggest blow-out in the cost of any single policy decision, with the exception of the National Disability Insurance Scheme (NDIS). This $52 billion blowout from the GST carve-up represents a massive drain on the federal budget, at a time when it is forecast to be in deficit for the next ten years, to appease the greed of Australia’s richest, and luckiest, state.

    A government that truly believed in equity, and was committed to prudent and responsible budget outcomes, would scrap this appalling piece of public policy. And an Opposition that was sincere in its claims to stand for fiscal responsibility would support any move by the government to do so.

    The system is not working as intended

    The 2018 legislation requires the Productivity Commission to report, by the end of 2026, on whether the new system is working “efficiently, effectively and as intended”. Since it clearly wasn’t intended for the changes to cost anywhere near as much as they have done, the answer to that question must surely be a resounding “no”.

    But rather than giving it such a narrow remit, the Treasurer could, and should, task the Productivity Commission with devising a way of achieving the long-standing objective of “horizontal fiscal equalisation” in a simpler, more transparent and more predictable way.

    This should be possible by reference to fewer than a dozen readily available economic, demographic and social indicators. These could replace the “black box” processes currently used by the Commonwealth Grants Commission to allocate GST. WA has been able to exploit this lack of transparency in pursuit of its claims on an unjustified share of GST revenue.

    Steven Kennedy, in his new role as head of the Department of Prime Minister and Cabinet, is reportedly open to considering controversial tax changes, including the GST carve-up. Hopefully he will be making this suggestion to the Prime Minister.

    An inquiry by the Productivity Commission along these lines would enable the government to step away from the 2018 changes in the 2027-28 budget. That would, in turn, represent a substantial contribution towards the task of budget repair. And it would reinstate a principle that has helped make Australia a fairer, and better, country than it would otherwise have been.

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

    ref. Is there any hope for a fairer carve-up of the GST between the states? – https://theconversation.com/is-there-any-hope-for-a-fairer-carve-up-of-the-gst-between-the-states-258913

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Is there any hope for a fairer carve-up of the GST between the states?

    Source: The Conversation (Au and NZ) – By Saul Eslake, Vice-Chancellor’s Fellow, University of Tasmania

    When the Western Australian state government handed down its state budget on Thursday, it showed a balance sheet solidly in the black with a A$2.5 billion surplus. But, as it has for seven years, the state has received an outsized boost to its coffers from the federal government.

    In 2018, the Morrison government – with the full support of the then Labor opposition – handed WA a special deal for the distribution of income from the goods and service tax (GST).

    Under the deal, WA gets a much greater share of the centrally collected GST revenue than it would have been entitled to under the methods previously used by the Commonwealth Grants Commission.

    So what can be done to ensure a return to a fairer distribution of the GST revenue?

    How the GST carve-up is supposed to work

    The 2018 deal upended a principle known as “horizontal fiscal equalisation”. This principle seeks to ensure each state and territory has the fiscal capacity to provide its residents with a broadly similar range and quality of public services, while levying a similar level of state taxes. This applies to states with different populations and needs.

    That principle is the main reason why the quality of health care, schooling and policing in your community depends much less on which state you happen to live in, compared with other countries with a federal system. Just think of the United States.

    But that principle was jettisoned in the pursuit, by both major parties, of seats from WA in the House of Representatives, which in effect determined the outcome of the 2016, 2019 and 2022 elections.


    WA gets a much greater share of GST revenue than under methods once used by the Commonwealth Grants Commission.

    Holding onto the mineral wealth

    During the mining boom starting in 2000, WA became rich. While it previously received extra grants from other states, it was now having to share income from mining royalties with other states.

    But the 2018 amendment changed how the GST revenue is distributed. Instead of equalising all states to have the fiscal strength of the strongest state (such as WA during the boom), funds were now equalised to the stronger of New South Wales or Victoria. States are also guaranteed a minimum per capita share of revenue.

    The only state that benefits from these changes is Australia’s richest state: WA. Since 2018-19 it has received A$24.2 billion more than it would have done had the 2018 changes not been made.

    Combined with the $58.3 billion it has collected in mineral royalties over the past seven years, that has enabled WA to rack up cash surpluses totalling more than $18 billion. Every other state and territory recorded cash deficits over that time.

    Over the next four years, WA will receive $26.3 billion more from the carve-up of GST revenues than it would otherwise have done.

    No one worse off?

    To cajole the other states and territories into accepting this “deal”, the Morrison government agreed to “top up” the revenue from the GST to ensure none would be any worse off than if the long-standing system had remained in place.

    It estimated this “No Worse Off guarantee” (or NoWO as it is now called) would cost the federal budget $8 billion over the nine years to 2026-27, when NoWO would expire.

    To avoid expected pushback from the other states, the Albanese government agreed in 2023 to extend NoWO by another three years. It is now expected it will have cost the federal budget almost $60 billion by its scheduled expiry in 2029-30.

    This is the biggest blow-out in the cost of any single policy decision, with the exception of the National Disability Insurance Scheme (NDIS). This $52 billion blowout from the GST carve-up represents a massive drain on the federal budget, at a time when it is forecast to be in deficit for the next ten years, to appease the greed of Australia’s richest, and luckiest, state.

    A government that truly believed in equity, and was committed to prudent and responsible budget outcomes, would scrap this appalling piece of public policy. And an Opposition that was sincere in its claims to stand for fiscal responsibility would support any move by the government to do so.

    The system is not working as intended

    The 2018 legislation requires the Productivity Commission to report, by the end of 2026, on whether the new system is working “efficiently, effectively and as intended”. Since it clearly wasn’t intended for the changes to cost anywhere near as much as they have done, the answer to that question must surely be a resounding “no”.

    But rather than giving it such a narrow remit, the Treasurer could, and should, task the Productivity Commission with devising a way of achieving the long-standing objective of “horizontal fiscal equalisation” in a simpler, more transparent and more predictable way.

    This should be possible by reference to fewer than a dozen readily available economic, demographic and social indicators. These could replace the “black box” processes currently used by the Commonwealth Grants Commission to allocate GST. WA has been able to exploit this lack of transparency in pursuit of its claims on an unjustified share of GST revenue.

    Steven Kennedy, in his new role as head of the Department of Prime Minister and Cabinet, is reportedly open to considering controversial tax changes, including the GST carve-up. Hopefully he will be making this suggestion to the Prime Minister.

    An inquiry by the Productivity Commission along these lines would enable the government to step away from the 2018 changes in the 2027-28 budget. That would, in turn, represent a substantial contribution towards the task of budget repair. And it would reinstate a principle that has helped make Australia a fairer, and better, country than it would otherwise have been.

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

    ref. Is there any hope for a fairer carve-up of the GST between the states? – https://theconversation.com/is-there-any-hope-for-a-fairer-carve-up-of-the-gst-between-the-states-258913

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Despite decades of cost cutting, governments spend more than ever. How can we make sense of this?

    Source: The Conversation (Au and NZ) – By Ian Lovering, Lecturer in International Relations, Te Herenga Waka — Victoria University of Wellington

    Getty Images

    Recent controversies over New Zealand’s Ka Ora, Ka Ako school lunch program have revolved around the apparent shortcomings of the food and its delivery. Stories of inedible meals, scalding packaging and general waste have dominated headlines.

    But the story is also a window into the wider debate about the politics of “fiscal responsibility” and austerity politics.

    As part of the mission to “cut waste” in government spending, ACT leader and Associate Education Minister David Seymour replaced the school-based scheme with a centralised program run by a catering corporation. The result was said to have delivered “saving for taxpayers” of $130 million – in line with the government’s overall drive for efficiency and cost cutting.

    While Finance Minister Nicola Willis dislikes the term “austerity”, her May budget cut the government’s operating allowance in half, to $1.3 billion. This came on top of budget cuts last year of around $4 billion.

    Similar policy doctrines have been subscribed to by governments of all political persuasions for decades. As economic growth (and the tax revenue it brings) has been harder for OECD countries to achieve over the past 50 years, governments have looked to make savings.

    What is strange, though, is that despite decades of austerity policies reducing welfare and outsourcing public services to the most competitive corporate bidder, state spending has kept increasing.

    New Zealand’s public expense as a percentage of GDP increased from 25.9% in 1972 to 35.9% in 2022. And this wasn’t unusual. The OECD as a whole saw an increase from 18.9% in 1972 to 29.9% in 2022.

    How can we make sense of so-called austerity when, despite decades of cost cutting, governments spend more than ever?

    Austerity and managerialism

    In a recent paper, I argued that the politics of austerity is not only about how much governments spend. It is also about who gets to decide how public money is used.

    Austerity sounds like it is about spending less, finding efficiencies or living within your means. But ever rising budgets mean it is about more than that.

    In particular, austerity is shaped by a centralising system that locks in corporate and bureaucratic control over public expenditure, while locking out people and communities affected by spending decisions. In other words, austerity is about democracy as much as economics.

    We typically turn to the ideology of neoliberalism – “Rogernomics” being the New Zealand variant – to explain the history of this. The familiar story is of a revolutionary clique taking over a bloated postwar state, reorienting it towards the global market, and making it run more like a business.

    Depending on your political persuasion, the contradiction of austerity’s growing cost reflects either the short-sightedness of market utopianism or the stubbornness of the public sector to reform.

    But while the 1980s neoliberal revolution was important, the roots of austerity’s managerial dimension go back further. And it was shaped less by a concern that spending was too high, and more by a desire to centralise control over a growing budget.

    Godfather of ‘rational’ budgeting: US Secretary of Defense Robert McNamara at a Vietnam War briefing in 1964.
    Getty Images

    Many of the managerial techniques that have arrived in the public sector over the austerity years – such as results-based pay, corporate contracting, performance management or evaluation culture – have their origins in a budgetary revolution that took place in the 1960s at the US Department of Defense.

    In the early 1960s, Defense Secretary Robert McNamara was frustrated with being nominally in charge of budgeting but having to mediate between the seemingly arbitrary demands of military leaders for more tanks, submarines or missiles.

    In response, he called on the RAND Corporation, a US think tank and consultancy, to remake the Defense Department’s budgetary process to give the secretary greater capacity to plan.

    The outcome was called the Planning Programming Budgeting System. Its goal was to create a “rational” budget where policy objectives were clearly specified in quantified terms, the possible means to achieve them were fully costed, and performance indicators measuring progress were able to be reviewed.

    This approach might have made sense for strategic military purposes. But what happens when you apply the same logic to planning public spending in healthcare, education, housing – or school lunches? The past 50 years have largely been a process of finding out.

    What began as a set of techniques to help McNamara get control of military spending gradually diffused into social policy. These ideas travelled from the US and came to be known as the “New Public Management” framework that transformed state sectors all over the world.

    What are budgets for?

    Dramatic moments of spending cuts – such as the 1991 “Mother of all Budgets” in New Zealand or Elon Musk’s recent DOGE crusade in the US – stand out as major exercises in austerity. And fiscal responsibility is a firmly held conviction within mainstream political thinking.

    Nevertheless, government spending has become a major component of OECD economies. If we are to make sense of austerity in this world of permanent mass expenditure, we need a broader idea of what public spending is about.

    Budgets are classically thought to do three things. For economists, they are a tool of macroeconomic stabilisation: if growth goes down, “automatic stabilisers” inject public money into the economy to pick it back up.

    For social reformers, the budget is a means of progressively redistributing resources through tax and welfare systems. For accountants, the budget is a means of cost accountability: it holds a record of public spending and signals a society’s future commitments.

    But budgeting as described here also fulfils a fourth function – managerial planning. Decades of reform have made a significant portion of the state budget a managerial instrument for the pursuit of policy objectives.

    From this perspective, underlying common austerity rhetoric about eliminating waste, or achieving value for money, is a deeper political struggle over who decides how that public money is used.

    To return to New Zealand’s school lunch program, any savings achieved should not distract from the more significant democratic question of who should plan school lunches – and public spending more broadly.

    Should it be the chief executives of corporatised public organisations and outsourced conglomerates managing to KPIs on nutritional values and price per meal, serving the directives of government ministers? Or should it be those cooking, serving and eating the lunches?

    Ian Lovering is affiliated with the Tertiary Education Union Te Hautū Kahurangi o Aotearoa.

    ref. Despite decades of cost cutting, governments spend more than ever. How can we make sense of this? – https://theconversation.com/despite-decades-of-cost-cutting-governments-spend-more-than-ever-how-can-we-make-sense-of-this-258902

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Despite decades of cost cutting, governments spend more than ever. How can we make sense of this?

    Source: The Conversation (Au and NZ) – By Ian Lovering, Lecturer in International Relations, Te Herenga Waka — Victoria University of Wellington

    Getty Images

    Recent controversies over New Zealand’s Ka Ora, Ka Ako school lunch program have revolved around the apparent shortcomings of the food and its delivery. Stories of inedible meals, scalding packaging and general waste have dominated headlines.

    But the story is also a window into the wider debate about the politics of “fiscal responsibility” and austerity politics.

    As part of the mission to “cut waste” in government spending, ACT leader and Associate Education Minister David Seymour replaced the school-based scheme with a centralised program run by a catering corporation. The result was said to have delivered “saving for taxpayers” of $130 million – in line with the government’s overall drive for efficiency and cost cutting.

    While Finance Minister Nicola Willis dislikes the term “austerity”, her May budget cut the government’s operating allowance in half, to $1.3 billion. This came on top of budget cuts last year of around $4 billion.

    Similar policy doctrines have been subscribed to by governments of all political persuasions for decades. As economic growth (and the tax revenue it brings) has been harder for OECD countries to achieve over the past 50 years, governments have looked to make savings.

    What is strange, though, is that despite decades of austerity policies reducing welfare and outsourcing public services to the most competitive corporate bidder, state spending has kept increasing.

    New Zealand’s public expense as a percentage of GDP increased from 25.9% in 1972 to 35.9% in 2022. And this wasn’t unusual. The OECD as a whole saw an increase from 18.9% in 1972 to 29.9% in 2022.

    How can we make sense of so-called austerity when, despite decades of cost cutting, governments spend more than ever?

    Austerity and managerialism

    In a recent paper, I argued that the politics of austerity is not only about how much governments spend. It is also about who gets to decide how public money is used.

    Austerity sounds like it is about spending less, finding efficiencies or living within your means. But ever rising budgets mean it is about more than that.

    In particular, austerity is shaped by a centralising system that locks in corporate and bureaucratic control over public expenditure, while locking out people and communities affected by spending decisions. In other words, austerity is about democracy as much as economics.

    We typically turn to the ideology of neoliberalism – “Rogernomics” being the New Zealand variant – to explain the history of this. The familiar story is of a revolutionary clique taking over a bloated postwar state, reorienting it towards the global market, and making it run more like a business.

    Depending on your political persuasion, the contradiction of austerity’s growing cost reflects either the short-sightedness of market utopianism or the stubbornness of the public sector to reform.

    But while the 1980s neoliberal revolution was important, the roots of austerity’s managerial dimension go back further. And it was shaped less by a concern that spending was too high, and more by a desire to centralise control over a growing budget.

    Godfather of ‘rational’ budgeting: US Secretary of Defense Robert McNamara at a Vietnam War briefing in 1964.
    Getty Images

    Many of the managerial techniques that have arrived in the public sector over the austerity years – such as results-based pay, corporate contracting, performance management or evaluation culture – have their origins in a budgetary revolution that took place in the 1960s at the US Department of Defense.

    In the early 1960s, Defense Secretary Robert McNamara was frustrated with being nominally in charge of budgeting but having to mediate between the seemingly arbitrary demands of military leaders for more tanks, submarines or missiles.

    In response, he called on the RAND Corporation, a US think tank and consultancy, to remake the Defense Department’s budgetary process to give the secretary greater capacity to plan.

    The outcome was called the Planning Programming Budgeting System. Its goal was to create a “rational” budget where policy objectives were clearly specified in quantified terms, the possible means to achieve them were fully costed, and performance indicators measuring progress were able to be reviewed.

    This approach might have made sense for strategic military purposes. But what happens when you apply the same logic to planning public spending in healthcare, education, housing – or school lunches? The past 50 years have largely been a process of finding out.

    What began as a set of techniques to help McNamara get control of military spending gradually diffused into social policy. These ideas travelled from the US and came to be known as the “New Public Management” framework that transformed state sectors all over the world.

    What are budgets for?

    Dramatic moments of spending cuts – such as the 1991 “Mother of all Budgets” in New Zealand or Elon Musk’s recent DOGE crusade in the US – stand out as major exercises in austerity. And fiscal responsibility is a firmly held conviction within mainstream political thinking.

    Nevertheless, government spending has become a major component of OECD economies. If we are to make sense of austerity in this world of permanent mass expenditure, we need a broader idea of what public spending is about.

    Budgets are classically thought to do three things. For economists, they are a tool of macroeconomic stabilisation: if growth goes down, “automatic stabilisers” inject public money into the economy to pick it back up.

    For social reformers, the budget is a means of progressively redistributing resources through tax and welfare systems. For accountants, the budget is a means of cost accountability: it holds a record of public spending and signals a society’s future commitments.

    But budgeting as described here also fulfils a fourth function – managerial planning. Decades of reform have made a significant portion of the state budget a managerial instrument for the pursuit of policy objectives.

    From this perspective, underlying common austerity rhetoric about eliminating waste, or achieving value for money, is a deeper political struggle over who decides how that public money is used.

    To return to New Zealand’s school lunch program, any savings achieved should not distract from the more significant democratic question of who should plan school lunches – and public spending more broadly.

    Should it be the chief executives of corporatised public organisations and outsourced conglomerates managing to KPIs on nutritional values and price per meal, serving the directives of government ministers? Or should it be those cooking, serving and eating the lunches?

    Ian Lovering is affiliated with the Tertiary Education Union Te Hautū Kahurangi o Aotearoa.

    ref. Despite decades of cost cutting, governments spend more than ever. How can we make sense of this? – https://theconversation.com/despite-decades-of-cost-cutting-governments-spend-more-than-ever-how-can-we-make-sense-of-this-258902

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Bribe or community benefit? Sweeteners smoothing the way for renewables projects need to be done right

    Source: The Conversation (Au and NZ) – By Hugh Breakey, Deputy Director, Institute for Ethics, Governance & Law, Griffith University

    Louise Beaumont/Getty

    When a renewable energy developer announces a new project, there’s one big question mark – how will nearby communities react?

    Community pushback has scuttled many renewables projects. Sometimes, communities are angry landowners hosting infrastructure will be paid, but neighbours and those further afield may not.

    As a result, renewable projects often involve schemes where the developer gives funding or resources to local community initiatives.

    Australia has dozens of these schemes, with many more to come as the clean energy transition accelerates. The Clean Energy Council estimates developers contribute about A$1,050 to communities for every megawatt of wind and about $850 for solar.

    The problem is, research shows poorly designed schemes can look a lot like bribery. Developers dish out money to gain community acceptance. Our new research points to a clear solution: design these schemes carefully.

    How do these schemes work?

    Renewable developers usually structure community-benefit schemes in one of three ways:

    • community funds, where a developer offers a one-time or ongoing payment for local infrastructure such as roads, services or community projects

    • in-kind benefits, such as investment in local sports fields or tourism initiatives

    • local ownership models, such as offering community members preferential access to shares in the company or a community co-ownership model of the project.

    In Australia, a number of community schemes are already established or planned.

    More are on their way. The Queensland government has introduced laws which require wind and solar farm developers enter into community benefit agreements.

    Worldwide, offshore wind farms have for many years involved community benefit sharing. Australia is very likely to follow suit as this industry emerges.

    Developers will sometimes set up more targeted neighbour payment schemes where funding is given to nearby landowners.

    What are they for?

    There are three reasons why benefit sharing can be a good idea overall. They are:

    1. Impact on locals: solar farms take up large areas of land, while wind farms on land or sea draw the eye and can compete with other uses of the space. Community benefit schemes can help counterbalance these impacts.

    2. Benefits are centralised: solar, wind and battery developments generate significant economic value. But this is largely captured by the developer. Benefit schemes can make residents feel the deal is fairer.

    3. Acceptance: change of any kind is often hard. Offering incentives to towns and communities can make the change easier.

    Payments to communities hosting renewable projects can look like bribes if not done carefully.
    myphotobank.com.au/Shutterstock

    Straying into bribery?

    The definition of a bribe is a benefit which influences or intends to influence a person to violate their role-based obligations. Offering money to a police officer to avoid losing your licence would count as a bribe.

    Community benefit sharing isn’t a bribe in a strict legal sense. But the payments can resemble bribes if they influence community members to accept the new development. Improving community acceptance is often a central goal of such schemes.

    The accusation is common. In the United Kingdom, researchers observe these schemes are regularly seen:

    as an attempt by local developers to ‘bribe’ local communities to ‘buy’ support for their wind farm development.

    Community members may decry a scheme as a “paltry bribe” or “shut up candy”. Some insist their “principles are not for sale”.

    Developers recognise this too. As one says:

    you don’t just turn up in a community and say, don’t worry, we’ll buy you a new rugby pitch […] because it really does look like you’re trying to buy them off.

    But do local communities have obligations which accepting a renewables project might violate?

    As part of a democracy, residents have civic obligations to make public-spirited decisions, evaluating policies and developments based not on self-interest but in a principled way.

    This is why it’s illegal to pay someone to vote for a particular candidate in an election, for instance.

    Offering money for community initiatives isn’t intrinsically wrong. As a community objector to a wind farm proposal put it:

    Of course it is a relevant planning consideration if a wind power company is offering to pour significant sums of money into a community for the life of a wind farm […] Why should that not be recognised as a good thing?

    But any economic boon to a town must be considered alongside other important concerns, rather than wiping them away.

    If these schemes operate by influencing citizens to ignore their civic duties, that’s intrinsically wrong. Worse still, it risks a backlash from offended community members.

    In the worst cases, benefit sharing operates as a pay-off, where uneasy communities are given money to reduce their resistance.

    Offshore wind farm developers overseas often set up community benefit schemes.
    Tupungato/Shutterstock

    Achieving fairness, avoiding bribery

    The solutions are straightfoward: design these schemes strategically so they are fair and avoid eroding civic obligations. Here are four aims:

    1. Minimise self-interest. Schemes should avoid large up-front payments and focus on in-kind benefits.

    2. Respect the community. Employ and contract local staff, keep the community informed and respond transparently to complaints.

    3. Encourage community involvement. Big renewable projects should stack up on energy, environmental, economic and community grounds. Robust and genuine community consultation should be used when designing any benefit scheme.

    4. Ensure integrity. Development and implementation of any scheme should be genuine, transparent and accountable.

    Getting it right

    As climate change intensifies, Australia’s clean energy transition has a clear moral urgency. But this cannot be done by steamrolling local residents or buying them off with cash for community projects.

    When community benefit schemes are sensibly designed with local input, it will boost both climate action and civic legitimacy.

    Hugh Breakey receives funding from the Blue Economy CRC. This research was funded through the project ‘Pre-conditions for the Development of Offshore Wind Energy in Australia’ by the Blue Economy Cooperative Research Centre.

    Charles Sampford receives funding from the Australian Research Council, the Professional Services Council and the Blue Economy CRC.

    Larelle Bossi 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. Bribe or community benefit? Sweeteners smoothing the way for renewables projects need to be done right – https://theconversation.com/bribe-or-community-benefit-sweeteners-smoothing-the-way-for-renewables-projects-need-to-be-done-right-258903

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Bribe or community benefit? Sweeteners smoothing the way for renewables projects need to be done right

    Source: The Conversation (Au and NZ) – By Hugh Breakey, Deputy Director, Institute for Ethics, Governance & Law, Griffith University

    Louise Beaumont/Getty

    When a renewable energy developer announces a new project, there’s one big question mark – how will nearby communities react?

    Community pushback has scuttled many renewables projects. Sometimes, communities are angry landowners hosting infrastructure will be paid, but neighbours and those further afield may not.

    As a result, renewable projects often involve schemes where the developer gives funding or resources to local community initiatives.

    Australia has dozens of these schemes, with many more to come as the clean energy transition accelerates. The Clean Energy Council estimates developers contribute about A$1,050 to communities for every megawatt of wind and about $850 for solar.

    The problem is, research shows poorly designed schemes can look a lot like bribery. Developers dish out money to gain community acceptance. Our new research points to a clear solution: design these schemes carefully.

    How do these schemes work?

    Renewable developers usually structure community-benefit schemes in one of three ways:

    • community funds, where a developer offers a one-time or ongoing payment for local infrastructure such as roads, services or community projects

    • in-kind benefits, such as investment in local sports fields or tourism initiatives

    • local ownership models, such as offering community members preferential access to shares in the company or a community co-ownership model of the project.

    In Australia, a number of community schemes are already established or planned.

    More are on their way. The Queensland government has introduced laws which require wind and solar farm developers enter into community benefit agreements.

    Worldwide, offshore wind farms have for many years involved community benefit sharing. Australia is very likely to follow suit as this industry emerges.

    Developers will sometimes set up more targeted neighbour payment schemes where funding is given to nearby landowners.

    What are they for?

    There are three reasons why benefit sharing can be a good idea overall. They are:

    1. Impact on locals: solar farms take up large areas of land, while wind farms on land or sea draw the eye and can compete with other uses of the space. Community benefit schemes can help counterbalance these impacts.

    2. Benefits are centralised: solar, wind and battery developments generate significant economic value. But this is largely captured by the developer. Benefit schemes can make residents feel the deal is fairer.

    3. Acceptance: change of any kind is often hard. Offering incentives to towns and communities can make the change easier.

    Payments to communities hosting renewable projects can look like bribes if not done carefully.
    myphotobank.com.au/Shutterstock

    Straying into bribery?

    The definition of a bribe is a benefit which influences or intends to influence a person to violate their role-based obligations. Offering money to a police officer to avoid losing your licence would count as a bribe.

    Community benefit sharing isn’t a bribe in a strict legal sense. But the payments can resemble bribes if they influence community members to accept the new development. Improving community acceptance is often a central goal of such schemes.

    The accusation is common. In the United Kingdom, researchers observe these schemes are regularly seen:

    as an attempt by local developers to ‘bribe’ local communities to ‘buy’ support for their wind farm development.

    Community members may decry a scheme as a “paltry bribe” or “shut up candy”. Some insist their “principles are not for sale”.

    Developers recognise this too. As one says:

    you don’t just turn up in a community and say, don’t worry, we’ll buy you a new rugby pitch […] because it really does look like you’re trying to buy them off.

    But do local communities have obligations which accepting a renewables project might violate?

    As part of a democracy, residents have civic obligations to make public-spirited decisions, evaluating policies and developments based not on self-interest but in a principled way.

    This is why it’s illegal to pay someone to vote for a particular candidate in an election, for instance.

    Offering money for community initiatives isn’t intrinsically wrong. As a community objector to a wind farm proposal put it:

    Of course it is a relevant planning consideration if a wind power company is offering to pour significant sums of money into a community for the life of a wind farm […] Why should that not be recognised as a good thing?

    But any economic boon to a town must be considered alongside other important concerns, rather than wiping them away.

    If these schemes operate by influencing citizens to ignore their civic duties, that’s intrinsically wrong. Worse still, it risks a backlash from offended community members.

    In the worst cases, benefit sharing operates as a pay-off, where uneasy communities are given money to reduce their resistance.

    Offshore wind farm developers overseas often set up community benefit schemes.
    Tupungato/Shutterstock

    Achieving fairness, avoiding bribery

    The solutions are straightfoward: design these schemes strategically so they are fair and avoid eroding civic obligations. Here are four aims:

    1. Minimise self-interest. Schemes should avoid large up-front payments and focus on in-kind benefits.

    2. Respect the community. Employ and contract local staff, keep the community informed and respond transparently to complaints.

    3. Encourage community involvement. Big renewable projects should stack up on energy, environmental, economic and community grounds. Robust and genuine community consultation should be used when designing any benefit scheme.

    4. Ensure integrity. Development and implementation of any scheme should be genuine, transparent and accountable.

    Getting it right

    As climate change intensifies, Australia’s clean energy transition has a clear moral urgency. But this cannot be done by steamrolling local residents or buying them off with cash for community projects.

    When community benefit schemes are sensibly designed with local input, it will boost both climate action and civic legitimacy.

    Hugh Breakey receives funding from the Blue Economy CRC. This research was funded through the project ‘Pre-conditions for the Development of Offshore Wind Energy in Australia’ by the Blue Economy Cooperative Research Centre.

    Charles Sampford receives funding from the Australian Research Council, the Professional Services Council and the Blue Economy CRC.

    Larelle Bossi 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. Bribe or community benefit? Sweeteners smoothing the way for renewables projects need to be done right – https://theconversation.com/bribe-or-community-benefit-sweeteners-smoothing-the-way-for-renewables-projects-need-to-be-done-right-258903

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: New cases of meningococcal disease have been detected. What are the symptoms? And who can get vaccinated?

    Source: The Conversation (Au and NZ) – By Archana Koirala, Paediatrician and Infectious Diseases Specialist; Clinical Researcher, University of Sydney

    Two Tasmanian women have been hospitalised with invasive meningococcal disease, bringing the number of cases nationally so far this year to 48. Health authorities are urging people to watch for symptoms and to check if they’re eligible for vaccination.

    Invasive meningococcal disease is a rare but life-threatening illness caused by the bacteria Neisseria meningitidis. Invasive means the infection spreads rapidly through the blood and into your organs.

    Early emergency medical care is important for survival and to reduce the chance of long-term complications. Even in those who survive, up to 30% suffer permanent cognitive, physical or psychological disabilities.

    Thankfully, vaccines are available to protect against it.

    How do you catch it?

    Around one in ten people carry the meningococcal bacteria in their nose or throats.

    The bacteria does not easily pass from person to person by breathing the same air or sharing drinks or food – and the bacteria do not survive well outside the human body.

    It is spread through close and prolonged contact of oral and respiratory secretions, such as saliva, from others who live in your household or through deep, intimate kissing.

    There is no way to know if you carry the bacteria, as carriers don’t have symptoms.

    Who is most at risk?

    Meningococcal disease can affect anyone.

    But infants under one, adolescents and young adults aged 15–25 years, and people without a spleen or who are immunosuppressed are at a higher risk of developing invasive disease.

    Meningococcal disease notifications by age and sex

    Babies and teens are more likely to contract the disease than other age groups.
    National Notifiable Disease Surveillance System

    Although sensitive to common antibiotics such as penicillin, the meningococcal bacteria can cause severe infection and death in a matter of hours. The difficulty in picking up meningococcal disease early is that, early on, it can mimic common viral illnesses that people would recover from without any treatment.

    Most people experience a sudden onset of fever, difficulty looking at light and/or a rash. The rash is non-blanching, meaning it doesn’t fade when you apply pressure to it. But early in the illness, it can start out as a blanching rash that fades with pressure.

    Young infants may also become irritable, have difficulty waking up, or refuse to feed.

    The bacteria usually causes a meningitis – inflammation of the lining around the brain and spinal cord – or a bloodstream infection, called septicemia or sepsis. But sometimes it can cause an infection of the bone, lungs (pneumonia) or eyes (conjunctivitis).

    Protection against different strains

    There are 13 types of meningococcal bacteria that cause invasive disease, but types A, B, C, W and Y cause the most illness.

    The rapid disease progression occurs because the bacteria has a sugar capsule which allows it to evade the immune system.

    But each of the 13 types has its own unique capsule. So immunity to one strain does not offer immunity to other strains.

    Currently, two types of vaccines are available: a vaccine that protects against meningococcal A, C, W and Y (MenACWY); and another vaccine that protects against meningococcal B.

    The vaccines are manufactured differently and therefore have different mechanisms of protection.

    The MenACWY vaccine uses parts of the sugar capsule within each of the bacteria and joins them to a protein. This is called a “conjugate vaccine” and allows for a better immune response, especially in young infants.

    The MenB vaccine does not contain the sugar capsule but includes four other proteins from the surface of the meningococcal B bacteria.

    Both vaccines are registered for all people aged six months and older, and are safe for immunocompromised people.

    The vaccines can be given from six months.
    lavizzara/Shutterstock

    MenACWY vaccine

    The MenACWY vaccine is funded under the National Immunisation Program, and given for free, to all infants aged 12 months. There is also a free catch-up program for teens in Year 10.

    The MenACWY vaccine protects against disease and also decreases the bacteria load in the throat, reducing the likelihood of transmission to others.

    MenB vaccine

    The MenB vaccine recommended for all infants aged six weeks or more. But it’s only available for free to infants in South Australia and Queensland, through state-based programs, and to Aboriginal and Torres Strait Islander infants nationally, via the National Immunisation Program.

    Parents of non-Indigenous infants in other states will pay around A$220–270 for two doses of the MenB vaccine.

    The MenB vaccine is highly protective against invasive disease for the person who receives the vaccine. But it does not eradicate the bacteria from the throat, nor does it decrease spread of the bacteria to others.

    Reducing meningococcal disease

    Other people who are at high risk of meningococcal exposure are also recommended for vaccination: people without a functional spleen, those with certain immunocompromising conditions, certain travellers and some lab workers.

    Since the rollout of the conjugate MenC vaccine in 2001 and the MenACWY in 2018, rates of invasive meningococcal disease have dropped dramatically, from 684 cases in 2002, to 136 cases in 2024. The most common strain to cause disease is now meningococcal B.

    Meningococcal notifications by jurisdiction

    Vaccination has reduced case numbers.
    National Notifiable Disease Surveillance System

    Another reason for adults to get vaccinated

    The MenB vaccine has also been shown to lower rates of another bacterial infection, gonorrhoea, by 33–47%. This is because the gonococcal bacteria is closely related and shares similar surface protein structures to meningococcal bacteria.

    In Australia, rates of gonorrhea have doubled over the past ten years , with higher rates among young Aboriginal and Torres Islander people.

    The Northern Territory began offering the vaccine to people aged 14 to 19 last year as part of a research trial.

    Further research is underway in Australia to better understand the meningococcal bacteria, its capability to evade the immune system and the cross protection against gonorrhoea.

    Archana Koirala has worked on research funded by the Australian Department of Health and Aged Care and NSW health. She is the chair of the Vaccination Special Interest Group through the Australasian Society for Infectious Diseases.

    ref. New cases of meningococcal disease have been detected. What are the symptoms? And who can get vaccinated? – https://theconversation.com/new-cases-of-meningococcal-disease-have-been-detected-what-are-the-symptoms-and-who-can-get-vaccinated-259049

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: New cases of meningococcal disease have been detected. What are the symptoms? And who can get vaccinated?

    Source: The Conversation (Au and NZ) – By Archana Koirala, Paediatrician and Infectious Diseases Specialist; Clinical Researcher, University of Sydney

    Two Tasmanian women have been hospitalised with invasive meningococcal disease, bringing the number of cases nationally so far this year to 48. Health authorities are urging people to watch for symptoms and to check if they’re eligible for vaccination.

    Invasive meningococcal disease is a rare but life-threatening illness caused by the bacteria Neisseria meningitidis. Invasive means the infection spreads rapidly through the blood and into your organs.

    Early emergency medical care is important for survival and to reduce the chance of long-term complications. Even in those who survive, up to 30% suffer permanent cognitive, physical or psychological disabilities.

    Thankfully, vaccines are available to protect against it.

    How do you catch it?

    Around one in ten people carry the meningococcal bacteria in their nose or throats.

    The bacteria does not easily pass from person to person by breathing the same air or sharing drinks or food – and the bacteria do not survive well outside the human body.

    It is spread through close and prolonged contact of oral and respiratory secretions, such as saliva, from others who live in your household or through deep, intimate kissing.

    There is no way to know if you carry the bacteria, as carriers don’t have symptoms.

    Who is most at risk?

    Meningococcal disease can affect anyone.

    But infants under one, adolescents and young adults aged 15–25 years, and people without a spleen or who are immunosuppressed are at a higher risk of developing invasive disease.

    Meningococcal disease notifications by age and sex

    Babies and teens are more likely to contract the disease than other age groups.
    National Notifiable Disease Surveillance System

    Although sensitive to common antibiotics such as penicillin, the meningococcal bacteria can cause severe infection and death in a matter of hours. The difficulty in picking up meningococcal disease early is that, early on, it can mimic common viral illnesses that people would recover from without any treatment.

    Most people experience a sudden onset of fever, difficulty looking at light and/or a rash. The rash is non-blanching, meaning it doesn’t fade when you apply pressure to it. But early in the illness, it can start out as a blanching rash that fades with pressure.

    Young infants may also become irritable, have difficulty waking up, or refuse to feed.

    The bacteria usually causes a meningitis – inflammation of the lining around the brain and spinal cord – or a bloodstream infection, called septicemia or sepsis. But sometimes it can cause an infection of the bone, lungs (pneumonia) or eyes (conjunctivitis).

    Protection against different strains

    There are 13 types of meningococcal bacteria that cause invasive disease, but types A, B, C, W and Y cause the most illness.

    The rapid disease progression occurs because the bacteria has a sugar capsule which allows it to evade the immune system.

    But each of the 13 types has its own unique capsule. So immunity to one strain does not offer immunity to other strains.

    Currently, two types of vaccines are available: a vaccine that protects against meningococcal A, C, W and Y (MenACWY); and another vaccine that protects against meningococcal B.

    The vaccines are manufactured differently and therefore have different mechanisms of protection.

    The MenACWY vaccine uses parts of the sugar capsule within each of the bacteria and joins them to a protein. This is called a “conjugate vaccine” and allows for a better immune response, especially in young infants.

    The MenB vaccine does not contain the sugar capsule but includes four other proteins from the surface of the meningococcal B bacteria.

    Both vaccines are registered for all people aged six months and older, and are safe for immunocompromised people.

    The vaccines can be given from six months.
    lavizzara/Shutterstock

    MenACWY vaccine

    The MenACWY vaccine is funded under the National Immunisation Program, and given for free, to all infants aged 12 months. There is also a free catch-up program for teens in Year 10.

    The MenACWY vaccine protects against disease and also decreases the bacteria load in the throat, reducing the likelihood of transmission to others.

    MenB vaccine

    The MenB vaccine recommended for all infants aged six weeks or more. But it’s only available for free to infants in South Australia and Queensland, through state-based programs, and to Aboriginal and Torres Strait Islander infants nationally, via the National Immunisation Program.

    Parents of non-Indigenous infants in other states will pay around A$220–270 for two doses of the MenB vaccine.

    The MenB vaccine is highly protective against invasive disease for the person who receives the vaccine. But it does not eradicate the bacteria from the throat, nor does it decrease spread of the bacteria to others.

    Reducing meningococcal disease

    Other people who are at high risk of meningococcal exposure are also recommended for vaccination: people without a functional spleen, those with certain immunocompromising conditions, certain travellers and some lab workers.

    Since the rollout of the conjugate MenC vaccine in 2001 and the MenACWY in 2018, rates of invasive meningococcal disease have dropped dramatically, from 684 cases in 2002, to 136 cases in 2024. The most common strain to cause disease is now meningococcal B.

    Meningococcal notifications by jurisdiction

    Vaccination has reduced case numbers.
    National Notifiable Disease Surveillance System

    Another reason for adults to get vaccinated

    The MenB vaccine has also been shown to lower rates of another bacterial infection, gonorrhoea, by 33–47%. This is because the gonococcal bacteria is closely related and shares similar surface protein structures to meningococcal bacteria.

    In Australia, rates of gonorrhea have doubled over the past ten years , with higher rates among young Aboriginal and Torres Islander people.

    The Northern Territory began offering the vaccine to people aged 14 to 19 last year as part of a research trial.

    Further research is underway in Australia to better understand the meningococcal bacteria, its capability to evade the immune system and the cross protection against gonorrhoea.

    Archana Koirala has worked on research funded by the Australian Department of Health and Aged Care and NSW health. She is the chair of the Vaccination Special Interest Group through the Australasian Society for Infectious Diseases.

    ref. New cases of meningococcal disease have been detected. What are the symptoms? And who can get vaccinated? – https://theconversation.com/new-cases-of-meningococcal-disease-have-been-detected-what-are-the-symptoms-and-who-can-get-vaccinated-259049

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Global: How to stay safe during heat waves – and the heat stroke warning signs to watch for

    Source: The Conversation – USA – By Brian Bossak, Professor of Public Health, College of Charleston

    Extreme heat can become lethal quickly. A young man cools off at Washington, D.C.’s Yards Park during a heat wave in 2021. Olivier Douliery/AFP via Getty Images

    Beach trips, cookouts and other outdoor activities are in full swing as summer heats up and the first widespread heat wave of 2025 arrives.

    For many people, summer is their favorite time of year. However, summer also brings the risk of dangerously high temperatures that can become lethal.

    In the U.S., hundreds of people working or playing outside – even those who seem healthy – succumb to heat-related illnesses each year. Older adults and people in areas that historically haven’t needed air conditioning tend to see the highest rates of illnesses during heat waves, as Chicago saw in 1995 when at least 700 people died in a heat wave.

    Even in places where heat is recognized as a dangerous health threat, people can be caught off guard as the thermometer creeps higher, on average, each year. In some cases, dangerous heat can arise quickly. In 2021, a young family died of heat stroke on a California trail after setting out for a hike when temperatures were still in the 70s Fahrenheit (low to mid 20s Celsius).

    I study health risks in a warming climate as a professor of public health, and I’ve seen heat become a growing concern. Here are some of the key warning signs to watch for when temperatures rise – and ways to keep cool when the heat and humidity get too high.

    Signs of heat-related illness to watch for

    Heat-related illnesses occur across a spectrum, and mild heat stress can quickly progress to life-threatening heat stroke if a person is exposed to dangerous conditions for too long.

    Mild forms of heat-related illness include heat cramps and heat rash, both of which can be caused by extensive sweating during hot conditions. Cooling the body and drinking cool fluids can help.

    When heat-related illnesses progress into heat exhaustion, the situation is more serious. Heat exhaustion includes symptoms such as dizziness, nausea, excessive sweating, feeling weak, thirst and getting a headache.

    Construction workers are often out in the heat for long periods of time while wearing long sleeves, durable long pants, gloves and hard hats considered necessary to stay safe. This worker faces a heat wave in Los Angeles in July 2024.
    Etienne Laurent/AFP via Getty Images

    Heat exhaustion is a signal that the body is losing its ability to maintain a stable core temperature. Immediate action such as moving to a cool, ideally air-conditioned space, drinking liquids, loosening clothes and applying wet cloths are some of the recommended steps that can help keep heat exhaustion from progressing to the most dangerous form of heat-related illness, heat stroke.

    Heat stroke is a medical emergency. At this point, the body can no longer maintain a stable core temperature. A body with heat stroke can reach 106 degrees Fahrenheit or higher rapidly, and that heat can quickly damage the brain, heart and kidneys.

    Signs of heat exhaustion and heat stroke, from the National Weather Service and Centers for Disease Control and Prevention.
    NOAA/CDC

    Typically, someone suffering heat stroke has exhausted their reserves of sweat and salt to stay cool, so sweating eventually stops during heat stroke. Their cognitive ability fails, and they cannot remove themselves from danger. Heat stroke can cause seizures or put someone into a coma as their core temperature rises. If the condition is not treated immediately, and the core temperature continues to rise, heat stroke becomes fatal.

    Because heat exhaustion can lead to heat stroke, addressing heat-related illnesses before they progress is vital.

    How to tell when the heat is too high

    Heat risk isn’t just about temperature – humidity also increases the risk of heat-related illnesses because it affects how well sweating will cool the human body when it gets hot.

    Instead of just looking at temperature when planning outdoor activities, check the heat index, which accounts for heat illness risk associated with temperature and relative humidity.

    It doesn’t take very high temperatures or very high humidity for the heat index to enter dangerous territory.

    A heat index chart shows how heat and humidity combine for dangerous conditions.
    NOAA

    However, the heat index is still a conservative measure of the impact of heat on humans, particularly for outdoor workers and athletes at summer practices. This is because temperature measurements used in weather forecasting are taken in the shade and are not exposed to direct sunlight. If someone is outside and exposed to the direct sun, the actual heat index can be as much as 15 F higher than the heat index chart indicates.

    A more sophisticated measurement of heat effects on human health is what’s known as the wet-bulb globe temperature, which takes into account other variables, such as wind speed and cloud cover. Neither takes into account a person’s physical exertion, which also raises their body temperature, whether working at a construction site or playing soccer.

    Tips for staying safe in a heat wave

    How can you stay cool when heat waves set in? The answer depends in part on where you are, but the main points are the same:

    • Avoid strenuous outdoor activities in high temperatures if possible. If you start to feel symptoms of heat-related illnesses, drink fluids that will hydrate you. Find shade, rest, and use cool, damp cloths to lower your body temperature. If you see signs of heat stroke in someone else, call for medical help.

    • Be careful with fans. Fans can be useful if the temperature isn’t too high because they wick sweat away from the body and induce evaporative cooling. But at very high temperatures, they can accelerate heat buildup in the body and lead to dangerous conditions. If indoor temperatures reaches 95 degrees or higher, using fans can actually be dangerous and raise the risk of heat-related illnesses.

    • Find a cooling center, library or community center where you can get inside and rest in an air-conditioned space in the hottest hours. In places such as Phoenix, where high temperatures are a regular hazard, cooling centers are typically opened in summer. Northern cities are also opening cooling centers as heat waves occur there more frequently than they did in the past. Urban areas with a lot of pavement and buildings – known as heat islands – can have temperatures well above the city’s average.

    • Hydrate, hydrate, hydrate! Drink plenty of fluids, and don’t forget about the importance of electrolytes. Heat-related dehydration can occur when people sweat excessively, losing water and necessary salts from the body. Some sports drinks or rehydration fluids restore electrolytes and hydration levels.

    Older adults and people with disabilities often face higher risks from heat waves, particularly if they can’t easily move to a cooler environment. Communities and neighbors can help protect vulnerable populations by providing cooling centers and bottled water and making regular wellness checks during high heat.

    Summer can be a season of fun. Just remember the risks, keep an eye on your friends and neighbors when temperatures rise, and plan ahead so you can beat the heat.

    Brian Bossak is not currently receiving relevant external funding for heat-related illness research. In 2017-2019, he served as a consultant on a heat-related research award from the Southeastern Coastal Center for Agricultural Health and
    Safety at the University of Florida.

    ref. How to stay safe during heat waves – and the heat stroke warning signs to watch for – https://theconversation.com/how-to-stay-safe-during-heat-waves-and-the-heat-stroke-warning-signs-to-watch-for-257708

    MIL OSI – Global Reports

  • MIL-OSI Global: Catholic school board’s regressive flag policy sets back reconciliation in a post-Papal visit Canada

    Source: The Conversation – Canada – By Erenna Morrison, PhD Candidate, Curriculum and Pedagogy, Ontario Institute for Studies in Education, University of Toronto

    Following the release of the Truth and Reconciliation Commission’s 94 Calls to Action in 2015, some Catholic school boards have made commitments to reconciliation in education. These boards include the Dufferin-Peel Catholic District School Board (DPCDSB).

    However, the DPCDSB — located in the Greater Toronto area — has also introduced a flag policy that raises serious questions about a commitment to the wider progress being made in welcoming all students and promoting reconciliation.

    On Jan. 28, 2025 — following advocacy in different parts of Ontario and the country against the presence of the Pride flag — the board’s trustees voted in nine to one to add more restrictions to its flag policies. These restrictions stipulated that only flags representing Canada, the provinces, territories and the school board can be be displayed inside schools or other DPCDSB facilities.

    Acts of erasure

    The developments in Peel Region follow earlier policy changes to restrict the presence of the Pride flag and other flags at schools.

    Advocates from the board defending flag restrictions have said that in Catholic schools, the icon of the cross is the only symbol that should be promoted and that this represents inclusion and acceptance of all.

    However, members of the 2SLGBTQI+ community and opponents of restrictive flag policies argue that the Pride flag is needed to signal a welcoming environment. They say its removal is an act of erasure and that it calls into question how the board affirms the rights, dignity and visibility of 2SLGBTQI+ people and how it fosters their safety. The board says, and believes, its practices and policies comply with the Ontario human rights code, adding that supports are available for students who identify as 2SLGBTQI.

    The erasure of the Pride flag has the simultaneous effect of banning other important flags, such as Every Child Matters flags, Indigenous Nation flags and MMIWG2S flags (drawing attention to ending violence, disappearance and murder of First Nations women, girls and two-spirit people).

    In our analysis, this restrictive flag policy expresses colonial violence. We rely on the work of Sandra Styres, researcher of Iethi’nihsténha Ohwentsia’kékha (Land), Resurgence, Reconciliation and the Politics of Education, who examines how colonial violence is expressed in academic settings through “micro-aggressions, purposeful ignorance, structural racism, lateral violence, isolation” and also in “representations and spaces.”

    Crucial time for righting relationships

    Our concern is informed by our combined research and personal engagement focused around reconciliatory education in elementary Catholic schools (Erenna) and Anishinaabe Catholic expressions of self-determination in the Church (Noah). Erenna is a settler and Noah is a member of Michipicoten First Nation.

    We are married writing partners who travelled to Québec City in July 2022 to witness the long-awaited penitential pilgrimage of the late Pope Francis. We left with an awareness that this is a critical time for the righting of relationships that have been severely fractured by a Church complicit in genocide.

    The DPCDSB flag policy speaks to an unwillingness of many to sever emotional attachments to the white imperialism that preserves a western way of thinking, doing and being, in the name of faith.

    When a major Catholic entity like the DPCDSB introduces policies that may cause harm, concerned people, regardless of creed, must pay attention to such injustices.

    Revised flag policy

    Delegate Melanie Cormier, representing the DPCSB’s Indigenous Education Network, shared a statement relaying that the board’s restrictive flag policy fails to acknowledge the Mississaugas of the Credit First Nation whose traditional and treaty territory where the board resides. She states: “Your flag policy is in violation of our jurisdiction. To say that any of our flags can not be flown in our own territories is unacceptable.”

    Brea Corbet, the only trustee with voting power who did not vote to restrict the Pride flag, told an earlier bylaw policies meeting: “When we remove rainbow flags and heritage flags, we are not protecting our Catholic identity; we are revealing institutional fragility. The Pride flag does not threaten Catholic education, policies of exclusion do.”

    Three student trustees also opposed the restrictive policy, but their votes unfortunately aren’t counted. We argue this too speaks to the suppression of student voice within the board.

    This fragility disproportionately threatens the safety of Indigenous, 2SLGBTQI+ and marginalized students and staff as they are overlooked and dismissed by the flag policy.




    Read more:
    New Brunswick’s LGBTQ+ safe schools debate makes false opponents of parents and teachers


    Nurturing all students

    Kanienʼkehá:ka (Mohawk) education professor Frank Deer speaks of educational programming “that is congruent with the identity of the local community.” This programming, he writes, must go beyond curricula to address the school environment as well. Student safety, inclusion and identity affirmation must be prioritized in all aspects of school life.

    Jennifer Brant, a Kanienʼkehà:ka interdisciplinary scholar, speaks in depth about how silence during times like these equates to complicity in accepting injustices that are taking place within “the communities in which we live, the broader society and global communities.”

    Inaction in response to this policy is negligent.

    Detrimental ramifications may also extend to reconciliation efforts in religious spaces more generally. This regressive policy poses lingering questions about the longevity of Catholic schools if they fail to protect and nurture all students.

    Impacts on reconciliation

    The primary target of the DPCDSB’s sweeping flag policy is the 2SLGBTQI+ community. In addition, the flag ban attacks Indigenous sovereignty and Anishinaabek nationhood, perpetuating attitudes tied to the Doctrine of Discovery still present in the Catholic ethos.




    Read more:
    The Vatican just renounced a 500-year-old doctrine that justified colonial land theft … Now what? — Podcast


    Flying the flags of First Nations (at their request) is not only a matter of inclusion, it is a matter of respect — respect for the land, the people and the treaties that connect us.

    In denying this step towards relationality, this governing body of a Catholic school board sets back the Church’s reconciliation efforts riding on the momentum of the papal visit.




    Read more:
    Pope Francis showed in deeds and words he wanted to face the truth in Canada


    The board’s ignorance of how this policy risks damaging relationships with students, families and staff at the board, as well as the broader public, partly reflects an indifference that Pope Francis warned Catholics about during his visit:

    “I trust and pray that Christians and civil society in this land may grow in the ability to accept and respect the identity and the experience of the Indigenous Peoples. It is my hope that concrete ways can be found to make those peoples better known and esteemed, so that all may learn to walk together.”

    Walking together in solidarity

    As we write this piece, we can see through the window a local Toronto Catholic Distric School Board elementary school, where an Every Child Matters flag is flown alongside a Pride and Canadian flag.

    Catholic education, despite its sordid history and contested perspectives about interpreting and practising Church doctrine, can be a tool to drive reconciliation.

    Catholics cannot let a narrow vision overshadow Pope Francis’s pilgrimage and the global Church movement he, the Church’s bishops and Catholic lay people have participated in — via a global synod — to respond to the call to walk together in solidarity with Indigenous, 2SLGBTQI+ and other marginalized people.

    Counter-narratives of hope and possibility

    We wish to continue to hear counter-narratives of hope and possibility for Catholic education. We wish to see active changes that move the DPCDSB, as scholar Sheila Cote-Meek of the Teme-Augama Anishinabai, writes, “to a drastically different way of being, doing and working.”

    As other Catholic boards in Ontario initiate flag debates of their own, we are left with the lingering question. What is the future of Catholic education if it’s not intended to support the physical, emotional, mental and spiritual well-being of all those entrusted to its 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. Catholic school board’s regressive flag policy sets back reconciliation in a post-Papal visit Canada – https://theconversation.com/catholic-school-boards-regressive-flag-policy-sets-back-reconciliation-in-a-post-papal-visit-canada-256765

    MIL OSI – Global Reports

  • MIL-OSI Global: Catholic school board’s regressive flag policy sets back reconciliation in a post-Papal visit Canada

    Source: The Conversation – Canada – By Erenna Morrison, PhD Candidate, Curriculum and Pedagogy, Ontario Institute for Studies in Education, University of Toronto

    Following the release of the Truth and Reconciliation Commission’s 94 Calls to Action in 2015, some Catholic school boards have made commitments to reconciliation in education. These boards include the Dufferin-Peel Catholic District School Board (DPCDSB).

    However, the DPCDSB — located in the Greater Toronto area — has also introduced a flag policy that raises serious questions about a commitment to the wider progress being made in welcoming all students and promoting reconciliation.

    On Jan. 28, 2025 — following advocacy in different parts of Ontario and the country against the presence of the Pride flag — the board’s trustees voted in nine to one to add more restrictions to its flag policies. These restrictions stipulated that only flags representing Canada, the provinces, territories and the school board can be be displayed inside schools or other DPCDSB facilities.

    Acts of erasure

    The developments in Peel Region follow earlier policy changes to restrict the presence of the Pride flag and other flags at schools.

    Advocates from the board defending flag restrictions have said that in Catholic schools, the icon of the cross is the only symbol that should be promoted and that this represents inclusion and acceptance of all.

    However, members of the 2SLGBTQI+ community and opponents of restrictive flag policies argue that the Pride flag is needed to signal a welcoming environment. They say its removal is an act of erasure and that it calls into question how the board affirms the rights, dignity and visibility of 2SLGBTQI+ people and how it fosters their safety. The board says, and believes, its practices and policies comply with the Ontario human rights code, adding that supports are available for students who identify as 2SLGBTQI.

    The erasure of the Pride flag has the simultaneous effect of banning other important flags, such as Every Child Matters flags, Indigenous Nation flags and MMIWG2S flags (drawing attention to ending violence, disappearance and murder of First Nations women, girls and two-spirit people).

    In our analysis, this restrictive flag policy expresses colonial violence. We rely on the work of Sandra Styres, researcher of Iethi’nihsténha Ohwentsia’kékha (Land), Resurgence, Reconciliation and the Politics of Education, who examines how colonial violence is expressed in academic settings through “micro-aggressions, purposeful ignorance, structural racism, lateral violence, isolation” and also in “representations and spaces.”

    Crucial time for righting relationships

    Our concern is informed by our combined research and personal engagement focused around reconciliatory education in elementary Catholic schools (Erenna) and Anishinaabe Catholic expressions of self-determination in the Church (Noah). Erenna is a settler and Noah is a member of Michipicoten First Nation.

    We are married writing partners who travelled to Québec City in July 2022 to witness the long-awaited penitential pilgrimage of the late Pope Francis. We left with an awareness that this is a critical time for the righting of relationships that have been severely fractured by a Church complicit in genocide.

    The DPCDSB flag policy speaks to an unwillingness of many to sever emotional attachments to the white imperialism that preserves a western way of thinking, doing and being, in the name of faith.

    When a major Catholic entity like the DPCDSB introduces policies that may cause harm, concerned people, regardless of creed, must pay attention to such injustices.

    Revised flag policy

    Delegate Melanie Cormier, representing the DPCSB’s Indigenous Education Network, shared a statement relaying that the board’s restrictive flag policy fails to acknowledge the Mississaugas of the Credit First Nation whose traditional and treaty territory where the board resides. She states: “Your flag policy is in violation of our jurisdiction. To say that any of our flags can not be flown in our own territories is unacceptable.”

    Brea Corbet, the only trustee with voting power who did not vote to restrict the Pride flag, told an earlier bylaw policies meeting: “When we remove rainbow flags and heritage flags, we are not protecting our Catholic identity; we are revealing institutional fragility. The Pride flag does not threaten Catholic education, policies of exclusion do.”

    Three student trustees also opposed the restrictive policy, but their votes unfortunately aren’t counted. We argue this too speaks to the suppression of student voice within the board.

    This fragility disproportionately threatens the safety of Indigenous, 2SLGBTQI+ and marginalized students and staff as they are overlooked and dismissed by the flag policy.




    Read more:
    New Brunswick’s LGBTQ+ safe schools debate makes false opponents of parents and teachers


    Nurturing all students

    Kanienʼkehá:ka (Mohawk) education professor Frank Deer speaks of educational programming “that is congruent with the identity of the local community.” This programming, he writes, must go beyond curricula to address the school environment as well. Student safety, inclusion and identity affirmation must be prioritized in all aspects of school life.

    Jennifer Brant, a Kanienʼkehà:ka interdisciplinary scholar, speaks in depth about how silence during times like these equates to complicity in accepting injustices that are taking place within “the communities in which we live, the broader society and global communities.”

    Inaction in response to this policy is negligent.

    Detrimental ramifications may also extend to reconciliation efforts in religious spaces more generally. This regressive policy poses lingering questions about the longevity of Catholic schools if they fail to protect and nurture all students.

    Impacts on reconciliation

    The primary target of the DPCDSB’s sweeping flag policy is the 2SLGBTQI+ community. In addition, the flag ban attacks Indigenous sovereignty and Anishinaabek nationhood, perpetuating attitudes tied to the Doctrine of Discovery still present in the Catholic ethos.




    Read more:
    The Vatican just renounced a 500-year-old doctrine that justified colonial land theft … Now what? — Podcast


    Flying the flags of First Nations (at their request) is not only a matter of inclusion, it is a matter of respect — respect for the land, the people and the treaties that connect us.

    In denying this step towards relationality, this governing body of a Catholic school board sets back the Church’s reconciliation efforts riding on the momentum of the papal visit.




    Read more:
    Pope Francis showed in deeds and words he wanted to face the truth in Canada


    The board’s ignorance of how this policy risks damaging relationships with students, families and staff at the board, as well as the broader public, partly reflects an indifference that Pope Francis warned Catholics about during his visit:

    “I trust and pray that Christians and civil society in this land may grow in the ability to accept and respect the identity and the experience of the Indigenous Peoples. It is my hope that concrete ways can be found to make those peoples better known and esteemed, so that all may learn to walk together.”

    Walking together in solidarity

    As we write this piece, we can see through the window a local Toronto Catholic Distric School Board elementary school, where an Every Child Matters flag is flown alongside a Pride and Canadian flag.

    Catholic education, despite its sordid history and contested perspectives about interpreting and practising Church doctrine, can be a tool to drive reconciliation.

    Catholics cannot let a narrow vision overshadow Pope Francis’s pilgrimage and the global Church movement he, the Church’s bishops and Catholic lay people have participated in — via a global synod — to respond to the call to walk together in solidarity with Indigenous, 2SLGBTQI+ and other marginalized people.

    Counter-narratives of hope and possibility

    We wish to continue to hear counter-narratives of hope and possibility for Catholic education. We wish to see active changes that move the DPCDSB, as scholar Sheila Cote-Meek of the Teme-Augama Anishinabai, writes, “to a drastically different way of being, doing and working.”

    As other Catholic boards in Ontario initiate flag debates of their own, we are left with the lingering question. What is the future of Catholic education if it’s not intended to support the physical, emotional, mental and spiritual well-being of all those entrusted to its 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. Catholic school board’s regressive flag policy sets back reconciliation in a post-Papal visit Canada – https://theconversation.com/catholic-school-boards-regressive-flag-policy-sets-back-reconciliation-in-a-post-papal-visit-canada-256765

    MIL OSI – Global Reports

  • MIL-OSI Global: Light-powered reactions could make the chemical manufacturing industry more energy-efficient

    Source: The Conversation – USA – By Arindam Sau, Ph.D. Candidate in Chemistry, University of Colorado Boulder

    Plants use light to make energy – and a team of scientists is using the same principle to power chemical reactions. fhm/Moment via Getty Images

    Manufactured chemicals and materials are necessary for practically every aspect of daily life, from life-saving pharmaceuticals to plastics, fuels and fertilizers. Yet manufacturing these important chemicals comes at a steep energy cost.

    Many of these industrial chemicals are derived primarily from fossil fuel-based materials. These compounds are typically very stable, making it difficult to transform them into useful products without applying harsh and energy-demanding reaction conditions.

    As a result, transforming these stubborn materials contributes significantly to the world’s overall energy use. In 2022, the industrial sector consumed 37% of the world’s total energy, with the chemical industry responsible for approximately 12% of that demand.

    Conventional chemical manufacturing processes use heat to generate the energy needed for reactions that take place at high temperatures and pressures. An approach that uses light instead of heat could lower energy demands and allow reactions to be run under gentler conditions — like at room temperature instead of extreme heat.

    Sunlight represents one of the most abundant yet underutilized energy sources on Earth. In nature, this energy is captured through photosynthesis, where plants convert light into chemical energy. Inspired by this process, our team of chemists at the Center for Sustainable Photoredox Catalysis, a research center funded by the National Science Foundation, has been working on a system that uses light to power reactions commonly used in the chemical manufacturing industry. We published our results in the journal Science in June 2025.

    We hope that this method could provide a more economical route for creating industrial chemicals out of fossil fuels. At the same time, since it doesn’t rely on super-high temperatures or pressures, the process is safer, with fewer chances for accidents.

    Plants capture sunlight to convert carbon dioxide from the air into carbohydrates, or sugars.
    Wattcle, Nefronus/Wikimedia Commons, CC BY-SA

    How does our system work?

    The photoredox catalyst system that our team has developed is powered by simple LEDs, and it operates efficiently at room temperature.

    At the core of our system is an organic photoredox catalyst: a specialized molecule that we know accelerates chemical reactions when exposed to light, without being consumed in the process.

    Much like how plants rely on pigments to harvest sunlight for photosynthesis, our photoredox catalyst absorbs multiple particles of light, called photons, in a sequence.

    These photons provide bursts of energy, which the catalyst stores and then uses to kick-start reactions. This “multi-photon” harvesting builds up enough energy to force very stubborn molecules into undergoing reactions that would otherwise need highly reactive metals. Once the reaction is complete, the photocatalyst resets itself, ready to harvest more light and keep the process going without creating extra waste.

    Designing molecules that can absorb multiple photons and react with stubborn molecules is tough. One big challenge is that after a molecule absorbs a photon, it only has a tiny window of time before that energy fades away or gets lost. Plus, making sure the molecule uses that energy the right way is not easy. The good news is we’ve found that our catalyst can do this efficiently at room temperature.

    Center for Sustainable Photoredox Catalysis researcher Amreen Bains performs a light-driven photoredox catalyzed reaction.
    John Cline, Colorado State University Photography

    Enabling greener chemical manufacturing

    Our work points toward a future where chemicals are made using light instead of heat. For example, our catalyst can turn benzene — a simple component of crude oil — into a form called cyclohexadienes. This is a key step in making the building blocks for nylon. Improving this part of the process could reduce the carbon footprint of nylon production.

    Imagine manufacturers using LED reactors or even sunlight to power the production of essential chemicals. LEDs still use electricity, but they need far less energy compared with the traditional heating methods used in chemical manufacturing. As we scale things up, we’re also figuring out ways to harness sunlight directly, making the entire process even more sustainable and energy-efficient.

    Right now, we’re using our photoredox catalysts successfully in small lab experiments — producing just milligrams at a time. But to move into commercial manufacturing, we’ll need to show that these catalysts can also work efficiently at a much larger scale, making kilograms or even tons of product. Testing them in these bigger reactions will ensure that they’re reliable and cost-effective enough for real-world chemical manufacturing.

    Similarly, scaling up this process would require large-scale reactors that use light efficiently. Building those will first require designing new types of reactors that let light reach deeper inside. They’ll need to be more transparent or built differently so the light can easily get to all parts of the reaction.

    Our team plans to keep developing new light-driven techniques inspired by nature’s efficiency. Sunlight is a plentiful resource, and by finding better ways to tap into it, we hope to make it easier and cleaner to produce the chemicals and materials that modern life depends on.

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

    ref. Light-powered reactions could make the chemical manufacturing industry more energy-efficient – https://theconversation.com/light-powered-reactions-could-make-the-chemical-manufacturing-industry-more-energy-efficient-257796

    MIL OSI – Global Reports