Political and news cycles often work in a certain and predictable way. Issues flare like bushfires, then rage for weeks or even months, until they are finally extinguished by action or fade by being overtaken by the next big thing.
On two very different fronts this week, we’re reminded how these cycles work.
During the last term, the opposition constantly hammered the government over its handling of the former immigration detainees released after the High Court found they couldn’t be held indefinitely. These included people who had committed murder, child sex offences and violent assaults.
On Sunday, Home Affairs Minister Tony Burke admitted in a television interview that the legislation the government passed to re-detain some of these people was, in effect, impossible to use. Burke’s comments attracted only limited attention.
The other reminder of an old story came when the Federal Court ordered a militant Muslim preacher to remove inflammatory lectures from the internet. He had lost a case brought by the Executive Council of Australian Jewry under Section 18C for the Racial Discrimination Act. More than a decade ago, political passions ran high in conservative circles about the alleged evils of 18C.
First to the Burke admission. Burke told Sky he had “a lot of resources” dedicated to trying to get applications to court for preventative detention orders. But “no one has come close to reaching the threshold that is in that legislation”. Burke insisted he was “not giving up”, but there is little reason to believe things will change. The opposition has suggested amending the preventative detention legislation, but Burke says that would hit a constitutional obstacle.
For a long time, the government had kept saying it was working up cases to put to the court (and given the impression action was close). But, realising the difficulty, it also passed legislation facilitating the deportation of these people to third countries. There are now three former detainees due to be deported to Nauru, following a financial agreement with that country. But there’s a hitch: their deportations are tied up in court appeals. (They are, however, able to be held in detention while the cases proceed.)
The challenge still presented by the former detainees in the community is no small matter, despite the political storm having calmed and the media interest dissipating.
In evidence in Senate estimates in March, the Department of Home Affairs said 300 people had been released from immigration detention as at the end of February. Of these, 104 had offended since release, and 30 were incarcerated (including on remand). Some 83 had only a state or territory criminal charge; seven only a Migration Act charge; 14 people had both a Migration Act charge and a state or territory charge. In recent weeks, one former detainee is alleged to have murdered a photographer in Melbourne.
The political context can be very relevant to whether the embers of an old issue re-spark into something major.
Prime Minister Anthony Albanese’s decision last year to put Burke into home affairs was something of a political masterstroke. If Clare O’Neil and Andrew Giles had still been in their former respective portfolios of home affairs and immigration, the present failure to deal more successfully with the former detainees would have been a much bigger issue. Burke is skilled at throwing a blanket over contentious areas.
On the other side of politics, James Paterson was moved out of home affairs to become shadow finance minister in Sussan Ley’s reshuffle. Paterson pursued the former immigration detainees relentlessly. The new spokesmen, Andrew Hastie (home affairs) and Paul Scarr (immigration) haven’t hit their strides yet, and what they have said on the issue hasn’t grabbed much attention.
The government would have been under more pressure on the issue if parliament were sitting. But the new parliament doesn’t meet until July 22.
When it does, one of the new arrivals will be a former face, Liberal MP Tim Wilson. Way back when, Wilson was a player in the story of 18C. For him, the way 18C resurfaced this week contains more than a little irony.
In February 2014, Wilson took up his post of Human Rights Commissioner, appointed by the Abbott government with the special brief of promoting freedom of speech. (He was even dubbed the “freedom commissioner”.)
The Abbott government was strongly opposed to section 18C of the Racial Discrimination Act, which made it unlawful to “offend, insult, humiliate or intimidate” a person or group because of their race or ethnicity.
The assault on 18C ran into vigorous opposition from ethnic and other groups, including the Executive Council of Australian Jewry. In the end, then prime minister Tony Abbott retreated. Wilson was disappointed, tweeting: “Disturbed to hear the government has backed down on 18c and will keep offensive speech illegal. Very disturbed.”
In his 2025 bid for election, Wilson – who had been member for Goldstein from 2016-2022 – was helped by the Jewish vote, after the rise of antisemitism.
The debate about free speech has moved on a great deal since the days of the Abbott government, when conservatives were particularly agitated about 18C following a court judgement against journalist Andrew Bolt relating what he has written about some fair-skinned Indigenous people.
Today’s debate is in the context of “hate speech” associated with the Middle East conflict. Hate-crime laws have provoked another fierce round of controversy about the appropriate limits to put on “free speech”.
The Executive Council of Australian Jewry brought its case under the 18C civil law against preacher William Haddad, from Western Sydney, after no action was taken by the authorities under the criminal law.
Haddad described Jews as “a treacherous people, a vile people”, among other offensive remarks, that included saying: “The majority of banks are owned by the Jews, who are happy to give people loans, knowing that it’s almost impossible to pay it back”. Haddad argued in his defence his lectures drew on religious writings, relating them to contemporary events, and were delivered for educational purposes.
Finding against Haddad, Judge Angus Stewart said the lectures conveyed “disparaging imputations about Jewish people and that in all the circumstances were reasonably likely to offend, insult, humiliate and intimidate Jews in Australia”.
Reflecting on this week’s decision, George Brandis – who was attorney-general during the 18C furore – says, “My view hasn’t changed. It should not in a free country be either criminally or civilly actionable to say something that merely offends. However, in this case the conduct went far beyond mere offence, to intimidation. It did not require 18C to get the redress that was sought in the case.”
Wilson does not wish to re-enter the debate. The new opposition industrial relations spokesman says his focus is “my portfolio responsibilities”.
It’s likely many of those who fought 18C years ago hold to their original view, while having to applaud the judgement made under it this week. That’s another irony.
Michelle Grattan 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.
Milan Kundera opens his novel The Book of Laughter and Forgetting with a scene from the winter of 1948. Klement Gottwald, leader of the Communist Party of Czechoslovakia, is giving a speech to the masses from a palace balcony, surrounded by fellow party members. Comrade Vladimir Clementis thoughtfully places his fur hat on Gottwald’s bare head; the hat then features in an iconic photograph.
Four years later, Clementis is found guilty of being a bourgeois nationalist and hanged. His ashes are strewn on a Prague street. The propaganda section of the party removes him from written history and erases him from the photograph.
“Nothing remains of Clementis,” writes Kundera, “but the fur hat on Gottwald’s head.”
Review: Memory Lane: The Perfectly Imperfect Ways We Remember – Ciara Greene & Gillian Murphy (Princeton University Press)
Efforts to enforce political forgetting are often associated with totalitarian regimes. The state endeavours to control not only its citizens, but also the past. To create a narrative that glorifies the present and idealises the future, history must be rewritten or even completely obliterated.
In a famous article on “the totalitarian ego”, the social psychologist Anthony Greenwald argued that individual selves operate in the same way. We deploy an array of cognitive biases to maintain a sense of control, and to shape and reshape our personal history. We distort the present and fabricate the past to ensure we remain the heroes of our life narratives.
Likening the individual to a destructive political system might sound extreme, but it has an element of truth. Memory Lane, a new book by Irish psychology researchers Ciara Greene and Gillian Murphy, shows how autobiographical memory has a capacity to rewrite history that is almost Stalinesque.
There is no shortage of books on memory, from self-help guides for the anxiously ageing to scholarly works of history. Memory Lane is distinctive for taking the standpoint of applied cognitive psychology. Emphasising how memory functions in everyday life, Greene and Murphy explore the processes of memory and the influences that shape them.
What memory is not
The key message of the book is that the memory system is not a recording device. We may be tempted to see memory as a vault where past experience is faithfully preserved, but in fact it is fundamentally reconstructive.
Memories are constantly revised in acts of recollection. They change in predictable ways over time, moulded by new information, our prior beliefs and current emotions, other people’s versions of events, or an interviewer’s leading questions.
According to Greene and Murphy’s preferred analogy, memory is like a Lego tower. A memory is initially constructed from a set of elements, but over time some will be lost as the structure simplifies to preserve the gist of the event. Elements may also be added as new information is incorporated and the memory is refashioned to align with the person’s beliefs and expectations.
The malleability of memory might look like a weakness, especially by comparison to digital records. Memory Lane presents it as a strength. Humans did not evolve to log objective truths for posterity, but to operate flexibly in a complex and changing world.
From an adaptive standpoint, the past only matters insofar as it helps us function in the present. Our knowledge should be updated by new information. We should assimilate experiences to already learned patterns. And we should be tuned to our social environment, rather than insulated from it.
“If all our memories existed in some kind of mental quarantine, separate from the rest of our knowledge and experiences,” the authors write, “it would be like using a slow, inefficient computer program that could only show you one file at a time, never drawing connections or updating incorrect impressions.”
Simplifying and discarding memories is also beneficial because our cognitive capacity is limited. It is better to filter out what matters from the deluge of past experiences than to be overwhelmed with irrelevancies. Greene and Murphy present the case of a woman with exceptional autobiographical memory, who is plagued by the triggering of obsolete memories.
Forgetting doesn’t merely de-clutter memory; it also serves emotional ends. Selectively deleting unpleasant memories increases happiness. Sanding off out-of-character experiences fosters a clear and stable sense of self.
“Hindsight bias” boosts this feeling of personal continuity by bringing our recollections into line with our current beliefs. Revisionist history it may be, but it is carried out in the service of personal identity.
‘Forgetting doesn’t merely de-clutter memory; it also serves emotional ends.’ Shutterstock
Eyewitness memories and misinformation
Memory Lane pays special attention to situations in which memory errors have serious consequences, such as eyewitness testimony. Innocent people can be convicted on the basis of inaccurate eyewitness identifications. An array of biases make these more likely and they are especially common in interracial contexts.
Recollections can also be influenced by the testimony of other witnesses, and even by the language used during questioning. In a classic study, participants who viewed videos of car accidents estimated the car’s speed as substantially faster when the cars were described as having “smashed” rather than “contacted”. These distortions are not temporary: new information overwrites and overrides the original memory.
Misinformation works in a similar way and with equally dire consequences, such as vaccination avoidance. False information not only modifies existing memories but can even produce false memories, especially when it aligns with our preexisting beliefs and ideologies.
Greene and Murphy present intriguing experimental evidence that false memories are prevalent and easy to implant. Children and older adults seem especially susceptible to misinformation, but no one is immune, regardless of education or intelligence.
Reassuringly, perhaps, digital image manipulation and deepfake videos are no more likely to induce false memories than good old-fashioned verbiage. A doctored picture may not be worth a thousand words when it comes to warping memory.
Memory Lane devotes some time to the “memory wars” of the 1980s and 1990s, when debate raged over the existence of repressed memories. Greene and Murphy argue the now mainstream view that many traumatic memories supposedly recovered in therapy were false memories induced by therapists. Memories for traumatic events are not repressed, they argue, and traumatic memories are neither qualitatively different from other memories, nor stored separately from them.
Here the science of memory runs contrary to the wildly popular claims of writers such as psychiatrist Bessel van der Kolk, author of the bestseller The Body Keeps the Score.
Psychology researchers Ciara Greene (left) and Gillian Murphy (right) want us to be humbler about our fallible memories. Princeton University Press
Misunderstanding memory
The authors of Memory Lane contend that we hold memory to unrealistic standards of accuracy, completeness and stability. When people misremember the past or change their recollections, we query their honesty or mental health. When our own memories are hazy, we worry about cognitive decline.
Greene and Murphy argue that it is in the very nature of memory to be fallible, malleable and limited. This message is heartening, but it does not clarify why we would expect memory to be more capacious, coherent and durable in the first place. Nor does it explain why we persist with this wrongheaded expectation, despite so much evidence to the contrary.
The authors hint that our mistake might have its roots in dominant metaphors of memory. If we now understand the mind as computer-like, we will see memories as digital traces that sit, silent and unchanging, in a vast storage system.
“Many of the catastrophic consequences of memory distortion arise not because our individual memories are terrible,” they argue, “but because we have unrealistic expectations about how memory works, treating it as a video camera rather than a reconstruction.”
In earlier times, when memory was likened to a telephone switchboard or to books or, for the ancient Greeks, to wax tablets, memory errors and erasures may have seemed less surprising and more tolerable.
These shifting technological analogies, explored historically in Douwe Draaisma’s Metaphors of Memory, may partly account for our extravagant expectations for memory. Expecting silicon chip performance from carbon-based organisms, who evolved to care more about adaptation than truth, would be foolish.
But there is surely more to this than metaphor. All aspects of our lives are increasingly recorded and datafied, a process that demands objectivity, accuracy and consistency. The recorded facts of the matter determine who should be rewarded, punished and regulated. The bounded and mutable nature of human memory presents a challenge to this digital regime.
Human memory is also increasingly taxed by the overwhelming and accelerating volume of information that assails us. Our frustration with its limitations reflects the desperate mismatch we feel between human nature and the impersonal systems of data in which we live.
Greene and Murphy urge us to relax. We should be humbler about our memory, and more realistic and forgiving about the memories of others. We should not be judgemental about the errors and inconsistencies of friends, or overconfident about our own recollections. And we should remember that, although memory is fallible, it is fallible in beneficial ways.
A person whose memory system always kept an accurate record of our lives would be profoundly impaired, Greene and Murphy argue. Such a person “would struggle to plan for the future, learn from the past, or respond flexibly to unexpected events”. Brimming with insights such as these, Memory Lane offers an informative and readable account of how the apparent weaknesses of human memory may be strengths in disguise.
Nick Haslam receives funding from the Australian Research Council.
Ice loss in Antarctica and its impact on the planet – sea level rise, changes to ocean currents and disturbance of wildlife and food webs – has been in the news a lot lately. All of these threats were likely on the minds of the delegates to the annual Antarctic Treaty Consultative Meeting, which finishes up today in Milan, Italy.
This meeting is where decisions are made about the continent’s future. These decisions rely on evidence from scientific research. Moreover, only countries that produce significant Antarctic research – as well as being parties to the treaty – get to have a final say in these decisions.
Our new report – published as a preprint through the University of the Arctic – shows the rate of research on the Antarctic and Southern Ocean is falling at exactly the time when it should be increasing. Moreover, research leadership is changing, with China taking the lead for the first time.
This points to a dangerous disinvestment in Antarctic research just when it is needed, alongside a changing of the guard in national influence. Antarctica and the research done there are key to everyone’s future, so it’s vital to understand what this change might lead to.
Why is Antarctic research so important?
With the Antarctic region rapidly warming, its ice shelves destabilising and sea ice shrinking, understanding the South Polar environment is more crucial than ever.
Research to understand these impacts is vital. First, knowing the impact of our actions – particularly carbon emissions – gives us an increased drive to make changes and lobby governments to do so.
Second, even when changes are already locked in, to prepare ourselves we need to know what these changes will look like.
And third, we need to understand the threats to the Antarctic and Southern Ocean environment to govern it properly. This is where the treaty comes in.
Fifty-eight countries are parties to the treaty, but only 29 of them – called consultative parties – can make binding decisions about the region. They comprise the 12 original signatories from 1959, along with 17 more recent signatory nations that produce substantial scientific research relating to Antarctica.
This makes research a key part of a nation’s influence over what happens in Antarctica.
For most of its history, the Antarctic Treaty System has functioned remarkably well. It maintained peace in the region during the Cold War, facilitated scientific cooperation, and put arguments about territorial claims on indefinite hold. It indefinitely forbade mining, and managed fisheries.
Because decisions are made by consensus, any country can effectively block progress. Russia and China – both long-term actors in the system – have been at the centre of the impasse.
Tracking the amount of Antarctic research being done tells us whether nations as a whole are investing enough in understanding the region and its global impact.
It also tells us which nations are investing the most and are therefore likely to have substantial influence.
Our new report examined the number of papers published on Antarctic and Southern Ocean topics from 2016 to 2024, using the Scopus database. We also looked at other factors, such as the countries affiliated with each paper.
The results show five significant changes are happening in the world of Antarctic research.
The number of Antarctic and Southern Ocean publications peaked in 2021 and then fell slightly yearly through to 2024.
While the United States has for decades been the leader in Antarctic research, China overtook them in 2022.
If we look only at the high-quality publications (those published in the best 25% of journals) China still took over the US, in 2024.
Of the top six countries in overall publications (China, the US, the United Kingdom, Australia, Germany and Russia) all except China have declined in publication numbers since 2016.
Although collaboration in publications is higher for Antarctic research than in non-Antarctic fields, Russia, India and China have anomalously low rates of co-authorship compared with many other signatory countries.
Why is this research decline a problem?
A recent parliamentary inquiry in Australia emphasised the need for funding certainty. In the UK, a House of Commons committee report considered it “imperative for the UK to significantly expand its research efforts in Antarctica”, in particular in relation to sea level rise.
US commentators have pointed to the inadequacy of the country’s icebreaker infrastructure. The Trump administration’s recent cuts to Antarctic funding are only likely to exacerbate the situation. Meanwhile China has built a fifth station in Antarctica and announced plans for a sixth.
Given the nation’s population and global influence, China’s leadership in Antarctic research is not surprising. If China were to take a lead in Antarctic environmental protection that matched its scientific heft, its move to lead position in the research ranks could be positive. Stronger multi-country collaboration in research could also strengthen overall cooperation.
But the overall drop in global Antarctic research investment is a problem however you look at it. We ignore it at our peril.
Elizabeth Leane receives funding from the Australian Research Council, the Dutch Research Council, the Council on Australian and Latin American Relations DFAT and HX (Hurtigruten Expeditions). She has received in-kind support from Hurtigruten Expeditions in the recent past. The University of Tasmania is a member of the UArctic, which has provided support for this project.
Keith Larson is affiliated with the UArctic and European Polar Board. The UArctic paid for the development and publication of this report. The UArctic Thematic Network on Research Analytics and Bibliometrics conducted the analysis and developed the report. The Arctic Centre at Umeå University provided in-kind support for staff time on the report.
New research led by Viktoria Cologna at ETH Zurich in Switzerland may help to explain what’s going on. Using data from around the world, the study suggests simple exposure to extreme weather events does not affect people’s view of climate action – but linking those events to climate change can make a big difference.
Global opinion, global weather
The new study, published in Nature Climate Change, looked at the question of extreme weather and climate opinion using two global datasets.
The first is the Trust in Science and Science-related Populism (TISP) survey, which includes responses from more than 70,000 people in 68 countries. It measures public support for climate policies and the extent that people think climate change is behind increases in extreme weather.
The second dataset estimates how much of each country’s population has been affected each year by events such as droughts, floods, heatwaves and storms. These estimates are based on detailed models and historical climate records.
Public support for climate policies
The survey measured public support for climate policy by asking people how much they supported five specific actions to cut carbon emissions. These included raising carbon taxes, improving public transport, using more renewable energy, protecting forests and land, and taxing carbon-heavy foods.
Responses ranged from 1 (not at all) to 3 (very much). On average, support was fairly strong, with an average rating of 2.37 across the five policies. Support was especially high in parts of South Asia, Africa, the Americas and Oceania, but lower in countries such as Russia, Czechia and Ethiopia.
Exposure to extreme weather events
The study found most people around the world have experienced heatwaves and heavy rainfall in recent decades. Wildfires affected fewer people in many European and North American countries, but were more common in parts of Asia, Africa and Latin America.
Cyclones mostly impacted North America and Asia, while droughts affected large populations in Asia, Latin America and Africa. River flooding was widespread across most regions, except Oceania.
Do people in countries with higher exposure to extreme weather events show greater support for climate policies? This study found they don’t.
In most cases, living in a country where more people are exposed to disasters was not reflected in stronger support for climate action.
Wildfires were the only exception. Countries with more wildfire exposure showed slightly higher support, but this link disappeared once factors such as land size and overall climate belief were considered.
In short, just experiencing more disasters does not seem to translate into increased support for mitigation efforts.
Seeing the link between weather and climate change
In the global survey, people were asked how much they think climate change has increased the impact of extreme weather over recent decades. On average, responses were moderately high (3.8 out of 5) suggesting that many people do link recent weather events to climate change.
Such an attribution was especially strong in Latin America, but lower in parts of Africa (such as Congo and Ethiopia) and Northern Europe (such as Finland and Norway).
Crucially, people who more strongly believed climate change had worsened these events were also more likely to support climate policies. In fact, this belief mattered more for policy support than whether they had actually experienced the events firsthand.
Prior research shows less dramatic and chronic events like rainfall or temperature anomalies have less influence on public views than more acute hazards like floods or bushfires. Even then, the influence on beliefs and behaviour tends to be slow and limited.
This study shows climate impacts alone may not change minds. However, it also highlights what may affect public thinking: helping people recognise the link between climate change and extreme weather events.
In countries such as Australia, climate change makes up only about 1% of media coverage. What’s more, most of the coverage focuses on social or political aspects rather than scientific, ecological, or economic impacts.
Omid Ghasemi receives funding from the Australian Academy of Science. He was a member of the TISP consortium and a co-author of the dataset used in this study.
Canadian researchers recently investigated this idea in a sample of 1,082 undergraduate psychology students. The students completed a survey, which included questions about how they perceived their diet influenced their sleep and dreams.
Some 40% of participants reported certain foods impacted their sleep, with 25% of the whole sample claiming certain foods worsened their sleep, and 20% reporting certain foods improved their sleep.
Only 5.5% of respondents believed what they ate affected the nature of their dreams. But many of these people thought sweets or dairy products (such as cheese) made their dreams more strange or disturbing and worsened their sleep.
In contrast, participants reported fruits, vegetables and herbal teas led to better sleep.
This study used self-reporting, meaning the results rely on the participants recalling and reporting information about their sleep and dreams accurately. This could have affected the results.
It’s also possible participants were already familiar with the notion that cheese causes nightmares, especially given they were psychology students, many of whom may have studied sleep and dreaming.
This awareness could have made them more likely to notice or perceive their sleep was disrupted after eating dairy. In other words, the idea cheese leads to nightmares may have acted like a self-fulfilling prophecy and results may overestimate the actual likelihood of strange dreams.
Nonetheless, these findings show some people perceive a connection between what they eat and how they dream.
While there’s no evidence to prove cheese causes nightmares, there is evidence that does explain a link.
The science behind cheese and nightmares
Humans are diurnal creatures, meaning our body is primed to be asleep at night and awake during the day. Eating cheese before bed means we’re challenging the body with food at a time when it really doesn’t want to be eating.
At night, our physiological systems are not primed to digest food. For example, it takes longer for food to move through our digestive tract at night compared with during the day.
If we eat close to going to sleep, our body has to process and digest the food while we’re sleeping. This is a bit like running through mud – we can do it, but it’s slow and inefficient.
If your body is processing and digesting food instead of focusing all its resources on sleep, this can affect your shut-eye. Research has shown eating close to bedtime reduces our sleep quality, particularly our time spent in rapid eye movement (REM) sleep, which is the stage of sleep associated with vivid dreams.
People will have an even harder time digesting cheese at night if they’re lactose intolerant, which might mean they experience even greater impacts on their sleep. This follows what the Canadian researchers found in their study, with lactose intolerant participants reporting poorer sleep quality and more nightmares.
It’s important to note we might actually have vivid dreams or nightmares every night – what could change is whether we’re aware of the dreams and can remember them when we wake up.
Poor sleep quality often means we wake up more during the night. If we wake up during REM sleep, research shows we’re more likely to report vivid dreams or nightmares that we mightn’t even remember if we hadn’t woken up during them.
This is very relevant for the cheese and nightmares question. Put simply, eating before bed impacts our sleep quality, so we’re more likely to wake up during our nightmares and remember them.
Don’t panic – I’m not here to tell you to give up your cheesy evenings. But what we eat before bed can make a real difference to how well we sleep, so timing matters.
General sleep hygiene guidelines suggest avoiding meals at least two hours before bed. So even if you’re eating a very cheese-heavy meal, you have a window of time before bed to digest the meal and drift off to a nice peaceful sleep.
How about other dairy products?
Cheese isn’t the only dairy product which may influence our sleep. Most of us have heard about the benefits of having a warm glass of milk before bed.
Milk can be easier to digest than cheese. In fact, milk is a good choice in the evening, as it contains tryptophan, an amino acid that helps promote sleep.
Nonetheless, we still don’t want to be challenging our body with too much dairy before bed. Participants in the Canadian study did report nightmares after dairy, and milk close to bed might have contributed to this.
While it’s wise to steer clear of food (especially cheese) in the two hours before lights out, there’s no need to avoid cheese altogether. Enjoy that cheesy pasta or cheese board, just give your body time to digest before heading off to sleep. If you’re having a late night cheese craving, opt for something small. Your sleep (and your dreams) will thank you.
Charlotte Gupta 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.
Motorcycle-taxis are one of the fastest and most convenient ways to get around Uganda’s congested capital, Kampala. But they are also the most dangerous. Though they account for one-third of public transport trips taking place within the city, police reports suggest motorcycles were involved in 80% of all road-crash deaths registered in Kampala in 2023.
Promising to solve the safety problem while also improving the livelihoods of moto-taxi workers, digital ride-hail platforms emerged a decade ago on the city’s streets. It is no coincidence that Uganda’s ride-hailing pioneer and long-time market leader goes by the name of SafeBoda.
Conceived in 2014 as a “market-based approach to road safety”, the idea is to give riders a financial incentive to drive safely by making digital moto-taxi work pay better. SafeBoda claimed at the time that motorcyclists who signed up with it would increase their incomes by up to 50% relative to the traditional mode of operation, in which riders park at strategic locations called “stages” and wait for passengers.
In the years since, the efforts of SafeBoda and its ride-hail competitors to bring safety to the sector have largely been deemed a success. One study carried out in 2017 found that digital riders were more likely to wear a helmet and less likely to drive towards oncoming traffic. Early press coverage wasparticularlyglowing, while recentacademicstudies continue to cite the Kampala case as evidence that ride-hailing platforms may hold the key to making African moto-taxi sectors a safer place to work and travel.
Is it all as clear-cut as this? In a new paper based on PhD research, I suggest not. Because at its core the ride-hail model – in which riders are classified as independent contractors who do poorly paid “gig work” rather than as wage-earning employees – undermines its own safety ambitions.
Speed traps
In my study of Kampala’s vast moto-taxi industry – estimated to employ hundreds of thousands of people – I draw on 112 in-depth interviews and a survey of 370 moto-taxi riders to examine how livelihoods and working conditions have been affected by the arrival of the platforms.
To date, there has been only limited critical engagement with how this change has played out over the past decade. I wanted to get beneath the big corporate claims and alluring platform promises to understand how riders themselves had experienced the digital “transformation” of their industry, several years after it first began.
One of the things I found was that, from a safety perspective, the ride-hail model represents a paradox. We can think of it as a kind of “speed trap”.
On one hand, ride-hail platforms try to moderate moto-taxi speeds and behaviours through managerial techniques. They make helmet use compulsory. They put riders through road safety training before letting them out onto the streets. And they enforce a professional “code of conduct” for riders.
In some cases, companies also deploy “field agents” to major road intersections around the city. Their task is to monitor the behaviour of riders in company uniform and, should they be spotted breaking the rules, discipline them.
On the other hand, however, the underlying economic structure of digital ride-hailing pulls transport workers in the opposite direction by systematically depressing trip fares and rewarding speed.
Under the “gig economy” model used by Uganda’s ride-hail platforms, the livelihood promise hangs not in the offer of a guaranteed wage but in the possibility of higher earnings. Crucially, it is a promise that only materialises if riders are able to reach and maintain a faster, harder work-rate throughout the day – completing enough jobs that pay “little money”, as one rider put it, to make the gig-work deal come good. Or, as summed up by another interviewee:
We are like stakeholders, I can say that. No basic salary, just commission. So it depends on your speed.
And yet, it is precisely these factors that routinely lead to road traffic accidents. Extensive research from across east Africa has shown that motorcycle crashes arestronglyassociated with financial pressure and the practices that lead directly from this, such as speeding, working long hours and performing high-risk manoeuvres. All are driven by the need to break even each day in a hyper-competitive informal labour market, with riders compelled to go fast by the raweconomics of their work.
Deepening the pressure
Ride-hail platforms may not be the reason these circumstances exist in the first place. But the point is that they do not mark a departure from them.
If anything, my research suggests they may be making things worse. According to the survey data, riders working through the apps make on average 12% higher gross earnings each week relative to their analogue counterparts. This is because the online world gets them more jobs.
But to stay connected to that world they must shoulder higher operating costs, for: mobile data (to remain logged on); fuel (to perform more trips); the use of helmets and uniforms (which remain company property); and commissions extracted by the platform companies (as much as 15%-20% per trip).
As soon as these extras are factored in, the difference completely disappears. The digital rider works faster and harder – but for no extra reward.
But it is important to remember that these are private enterprises with a clear bottom line: to one day turn a profit. As recentreports and my own thesis show, efforts to reach that point often alienate and ultimately repel the workers on whom these platforms depend – and whose livelihoods and safety standards they claim to be transforming.
A recent investment evaluation by one of SafeBoda’s first funders perhaps puts it best: it is time to reframe ride-hailing as a “risky vehicle” for safety reform in African cities, rather than a clear road to success.
Rich received funding for this research from the UK’s Economic and Social Research Council (ESRC).
South Africans want to shop more sustainably, according to research published in the journal Sustainable Development. But most can’t tell which products are environmentally friendly.
Some food manufacturers have introduced eco labels – a certification symbol placed on product packaging. This indicates the product meets specific environmental standards set by a third party organisation.
These labels are meant to signal to consumers that a product has been produced in a way that limits harm to the environment. But our recent study with 108 South African consumers showed low recognition of eco labels, widespread confusion, and a need for clearer guidance.
The results show that most South African shoppers are unfamiliar with these labels or unable to differentiate between real and fictional ones.
In the European Union eco labels like the EU Energy Label are easily understood and highly visible. They are also usually supported by government awareness campaigns. Other examples of labelling systems that work well include those of Germany and Japan.
These countries show that long term institutional support, mandatory labelling in key sectors, and consistent public messaging can greatly improve eco label recognition.
We concluded from our research that South Africa lacks that national visibility and public education, leaving even motivated consumers unsure of what labels to trust. Based on our findings we recommend steps businesses, government and nonprofits can take to ensure that eco labels are clear, visible and understood.
Eco labelling at its best
The EU Energy Label is used on appliances such as fridges, washing machines and light bulbs to indicate their energy efficiency on a scale from A (most efficient) to G (least efficient).
In countries like Germany and Japan, eco labels are government backed as well as being integrated into school curricula, public service announcements and shopping platforms.
Germany’s Blue Angel label, which states “protects the environment”, has been in use since the 1970s. It appears on over 12,000 products and services, including paper goods, cleaning products, paints and electronics, that meet strict environmental criteria. It is supported by ongoing public education campaigns.
In Japan the the Eco Mark appears on products with minimal environmental impact. It appears on items like stationery, detergents, packaging and appliances. Many retailers display explanations next to these products to help consumers understand the label.
South Africans struggle to identify eco labels
We conducted a structured online survey of 108 South African consumers. Participants were asked about their environmental awareness and their ability to recognise both real and fictional eco labels across ten images. According to the global directory of eco labels and environmental certification schemes, there are around 50 eco labels in South Africa.
The EU Energy Label was the most recognised (87%).
The Afrisco Certified Organic label, which is a legitimate South African label, was the least recognised, identified by just 22% of respondents.
Fictional labels were mistakenly identified as real by many participants, revealing widespread confusion.
Only 3 out of 10 labels were recognised by at least half the participants, suggesting a general lack of eco label awareness. These include the Energy Star Eco label; the EU Energy label and the Forest Stewardship council label.
Age and employment status were significantly related to environmental awareness. Older and employed individuals showed higher levels of awareness.
These findings suggest that consumers are not opposed to eco labels, they simply lack the knowledge and confidence to use them effectively.
Eco labels have the potential to build brand trust, drive green purchasing behaviour, and support national sustainability goals. But they only work if consumers recognise and trust them.
In South Africa, inconsistent use, small label size, and a lack of consumer education are holding eco labels back from achieving their purpose.
What businesses can do
Based on our findings, we recommend the following:
Use recognised and credible labels: Third-party certified labels are more trustworthy and reliable.
Improve label visibility: The most recognised label in our study was the EU Energy Label and was also the most prominent. Small, cluttered logos go unnoticed.
Educate your market: Explain what eco labels mean through packaging, marketing, and digital platforms.
Partner with government and NGOs: Awareness campaigns at national and community levels can help standardise eco label understanding.
Tailor communication efforts: Awareness efforts should consider age and employment demographics, as these affect levels of environmental engagement.
The way forward
South Africans are willing to support environmentally responsible products, but they need help identifying them.
Businesses, government and nonprofits all have a role to play in making eco labels clearer, more visible, and more trustworthy.
Eco labels must become more than symbols. They should be tools for transparency and trust, and a gateway to more sustainable shopping.
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.
Source: The Conversation – Africa – By Peter M Macharia, Senior postdoctoral research fellow, Institute of Tropical Medicine Antwerp
The lack of reliable information about health facilities across sub-Saharan Africa became very clear during the COVID-19 pandemic. Amid a surge in emergency care needs, information was lacking about the location of facilities, bed capacity and oxygen availability, and even where to find medical specialists. This data could have enabled precise assessments of hospital surge capacity and geographic access to critical care. Peter Macharia and Emelda Okiro, whose research focuses on public health and equity of health service access in low resource settings, share the findings of their recent study, co-authored with colleagues.
What are open health facility databases?
A health facility is a service delivery point where healthcare services are provided. The facilities can range from small clinics and doctor’s offices to large teaching and referral hospitals.
A health facility database is a list of all health facilities in a country or geographic area, such as a district. A typical database should assign each health facility a unique code, name, size, type (from primary to tertiary), ownership (public or private), operational status (working or closed), location and subnational unit (county or district). It should also record services (emergency obstetric care, for example), capacity (number of beds, for example), infrastructure (electricity availability, for example), contact information (address and email), and when this information was last updated.
The ideal method of compiling this list is to conduct a census, as Kenya did in 2023. But this takes resources. Some countries have compiled lists from existing incomplete ones. Senegal did this and so did Kenya in 2003 and 2008.
This list should be open to stakeholders, including government agencies, development partners and researchers. Health facility lists must be shared through a governance framework that balances data sharing with protections for data subjects and creators. In some countries, such as Kenya and Malawi, these listings are accessible through web portals without additional permission. In others, such facility lists do not exist or require extra permission.
Why are they useful to have?
Facility listings can serve the needs of individuals and communities. They also serve sub-national, national and continental health objectives.
At the individual level, a facility list offers a choice of alternatives to health seekers. At the community level, the data can guide decisions like where to place community health workers, as seen in Mali and Sierra Leone.
Health lists are useful when distributing commodities such as bed nets and allocating resources based on the health needs of the areas they serve. They help in planning for vaccination campaigns by creating detailed immunisation microplans.
By taking account of the disease burden, social dynamics and environmental factors, health services can be tailored to specific needs.
Detailed maps of healthcare resources enable quicker emergency responses by pinpointing facilities equipped for specific crises. Disease surveillance systems depend on continuously collecting data from healthcare facilities.
At the continental level, lists are crucial for a coordinated health system response during pandemics and outbreaks. They can facilitate cross-border planning, pandemic preparedness and collaboration.
During the COVID-19 pandemic, these lists informed where to put additional resources such as makeshift hospitals or transport programmes for adults over 60 years of age.
The lists are used to identify vulnerable populations at risk of emerging pathogens and populations that can benefit from new health facilities.
Many problems arise if we don’t know where health facilities are or what they offer. Healthcare planning becomes inefficient. This can result in duplicate facility lists and the misallocation of resources, which leads to waste and inequities.
We can’t identify populations that lack services. Emergency responses weaken due to uncertainty about where best to move patients with specific conditions.
Resources are wasted when there are duplicate facility lists. For example, between 2010 and 2016, six government departments partnered with development organisations, resulting in ten lists of health facilities in Nigeria.
In Tanzania, over 10 different health facility lists existed in 2009. Maintained by donors and government agencies, the function-specific lists didn’t work together to share information easily and accurately. This prompted the need for a national master facility list.
What needs to happen to build one?
A comprehensive list of health facilities can be compiled through mapping exercises or from existing lists. The health ministry should take responsibility for setting up, developing and updating this list.
Partnerships are crucial for developing facility lists. Stakeholders include donors, implementing and humanitarian partners, technical advisors and research institutions. Many of these have their own project-based lists, which should integrate into a centralised facility list managed by the ministry. The health ministry must foster a transparent environment, encouraging citizens and stakeholders to contribute to enhancing health facility data.
Political and financial commitment from governments is essential. Creating and maintaining a proper list requires significant investment. Expertise and resources are necessary to keep it updated.
A commitment to open data is a necessary step. Open access to these lists makes them more complete, reliable and useful.
Peter Macharia is funded by Fonds voor Wetenschappelijk Onderzoek- Belgium (FWO, number 1201925N) for his Senior Postdoctoral Fellowship.
Emelda Okiro receives funding for her research from the Wellcome Trust through a Wellcome Trust Senior Fellowship (#224272).
Narendra Modi’s trip to Ghana in July 2025, part of a five-nation visit, is the first by an Indian prime minister in over 30 years. The two countries’ relationship goes back more than half a century to when India helped the newly independent Ghana set up its intelligence agencies. Ghana is also home to several large Indian-owned manufacturing and trading companies. International relations scholar Pius Siakwah unpacks the context of the visit.
What is the background to Ghana and India’s relationship?
It can be traced to links between Kwame Nkrumah, Ghana’s first president, and his Indian counterpart, Prime Minister Jawaharlal Nehru, in 1957. It is not surprising that the Indian High Commission is located near the seat of the Ghana government, Jubilee House.
Nkrumah and Nehru were co-founders of the Non-Aligned Movement, a group of states not formally aligned with major power blocs during the cold war. Its principles focused on respect for sovereignty, neutrality, non-interference, and peaceful dispute resolution. It was also a strong voice against the neo-colonial ambitions of some of the large powers.
The movement emerged in the wave of decolonisation after the second world war. It held its first conference in 1961 under the leadership of Josip Bros Tito (Yugoslavia), Gamal Abdel Nasser (Egypt) and Sukarno (Indonesia) as well as Nehru and Nkrumah.
The relationship between Ghana and India seemingly went into decline after the overthrow of Nkrumah in 1966, coinciding with the decline of Indian presence in global geopolitics.
In 2002, President John Kufuor re-energised India-Ghana relations. This led to the Indian government’s financial support in the construction of Ghana’s seat of government in 2008.
Though the concept of the Non-Aligned Movement has faded this century, its principles have crystallised into south-south cooperation. This is the exchange of knowledge, skills, resources and technologies among regions in the developing world.
South-south cooperation has fuelled India-Ghana relations. Modi’s diplomatic efforts since 2014 have sought to relaunch India’s presence in Africa.
In recent times, India has engaged Africa through the India–Africa Forum Summit. The first summit was held in 2008 in New Delhi with 14 countries from Africa. The largest one was held in 2015, while the fourth was postponed in 2020 due to COVID-19. The summit has led to 50,000 scholarships, a focus on renewable energy through the International Solar Alliance and an expansion of the Pan-African e-Network to bridge healthcare and educational gaps. Development projects are financed through India’s EXIM Bank.
India is now one of Ghana’s major trading partners, importing primary products like minerals, while exporting manufactured products such as pharmaceuticals, transport and agricultural machinery. The Ghana-India Trade Advisory Chamber was established in 2018 for socio-economic exchange.
Modi’s visit supports the strengthening of economic and defence ties.
The bilateral trade between India and Ghana moved from US$1 billion in 2011-12 to US$4.5 billion in 2018-19. It then dipped to US$2.2 billion in 2020-21 due to COVID. By 2023, bilateral trade amounted to around US$3.3 billion, making India the third-largest export and import partner behind China and Switzerland.
Indian companies have invested in over 700 projects in Ghana. These include B5 Plus, a leading iron and steel manufacturer, and Melcom, Ghana’s largest supermarket chain.
India is also one of the leading sources of foreign direct investment to Ghana. Indian companies had invested over US$2 billion in Ghana by 2021, according to the Ghana Investment Promotion Center.
What are the key areas of interest?
The key areas of collaboration are economic, particularly:
energy
infrastructure (for example, construction of the Tema to Mpakadan railway line)
defence
technology
pharmaceuticals
agriculture (agro-processing, mechanisation and irrigation systems)
industrial (light manufacturing).
What’s the bigger picture?
Modi’s visit is part of a broader visit to strengthen bilateral ties and a follow-up to the Brics Summit, July 2025 in Brazil. Thus, whereas South Africa is often seen as the gateway to Africa, Ghana is becoming the opening to west Africa.
Modi’s visit can be viewed in several ways.
First, India as a neo-colonialist. Some commentators see India’s presence as just a continuation of exploitative relations. This manifests in financial and agricultural exploitation and land grabbing.
Second, India as smart influencer. This is where the country adopts a low profile but benefits from soft power, linguistic, cultural and historical advantages, and good relationships at various societal and governmental levels.
Third, India as a perennial underdog. India has less funds, underdeveloped communications, limited diplomatic capacity, little soft power advantage, and an underwhelming media presence compared to China. China is able to project its power in Africa through project financing and loans, visible diplomatic presence with visits and media coverage in Ghana. Some of the coverage of Chinese activities in Ghana is negative – illegal mining (galamsey) is an example. India benefits from limited negative media presence but its contributions in areas of pharmaceuticals and infrastructure don’t get attention.
Modi will want his visit to build on ideas of south-south cooperation, soft power and smart operating. He’ll want to refute notions that India is a perennial underdog or a neo-colonialist in a new scramble for Africa.
In 2025, Ghana has to navigate a complex geopolitical space.
Pius Siakwah 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.
Source: The Conversation – UK – By Lillian Hingley, Postdoctoral Researcher in English Literature, University of Oxford
With her latest album, Virgin, Lorde is stretching the concept of the virgin beyond the common definition. Some may consider the album’s title and its cover art – an X-ray of Lorde’s pelvis showing an IUD – to be contradictory.
But while Lorde could still be using contraception for purposes beyond birth control, its presence shows that the album doesn’t shy away from discussions of sexual activities and the risk of pregnancy (two themes that are clearly discussed in the track Clearblue).
As she also shows with her approach to gender in the album’s opening song, Hammer (“Some days, I’m a woman, some days, I’m a man”), Lorde is testing and muddying common dualisms.
The scientific perspective offered by the album art forces the viewer to look through Lorde’s body, but we are also looking beyond her reproductive organs. Certainly, Lorde sometimes conceptualises virginity as something that can only be given once, as she explains on David.
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In Hammer, her quip “don’t know if it’s love or if it’s ovulation” is a comedic musing on whether an experience is profoundly transcendental or just the product of hormones. But what strikes me is the fact that her concepts and themes are not static or singular.
This album is exploring the idea of being made, or even remade, through experience. In If She Could See Me Now, Lorde recounts how painful moments “made me a woman”.
Like French philosopher Simone de Beauvoir’s phrase “one is not born, but rather becomes, a woman”, Lorde is exploring how her body is being changed by what she has been through. As she sings in What Was That?: “I try to let whatever has to pass through me pass through.”
Again, while she on the one hand describes something moving through her body, she’s also describing an attempt to move through something that has happened to her – turning a passive experience into one of acceptance and action. Here we might think of another notion of virginity: a substance before it is processed. Virginity is part of the experience of being changed, or reborn, into something else.
This is not to say that Virgin is uninterested in the body. Lorde’s discussion of her eating disorder in Broken Glass is a case in point.
Lorde as performance artist
The visuals accompanying Virgin emphasise Lorde’s status as a performance artist. The crescendo of the What Was That video is a spontaneous public performance of Virgin’s first single.
TRYING TO MAKE IT SOUND LIKE A FONTANA, LIKE PAINTING BITTEN BY A MAN, LIKE THE NEW YORK EARTH ROOM. THE SOUND OF MY REBIRTH.
The simile here, or the idea of making music sound “like” visual art, emphasises the tactility of Lorde’s work. Each artistic piece referenced here is concerned with physically intervening into the conventional art gallery set-up.
Italian artist Lucio Fontana’s Spacial Concept series (1960) included slashed canvases a disruption of the body of the artwork with yonic – in other words, vulva-like – imagery (indeed, it challenges how “damaged” artworks are usually hidden from audiences, waiting to be restored).
Similarly, American artist Jasper Johns’ Painting Bitten by a Man (1961) is an encaustic painting (derived from the Greek word for “burned in”), which shows off the markings of someone who has bitten into the canvas.
The video for Man of the Year.
The music video for Man of the Year is filmed in a room that is filled with dirt. This is a clear nod to American sculptor Walter de Maria’s New York Earth Room (1977). The piece also fills a white room in New York with this unexpected material: earth inside a building, where mushrooms can grow.
The video for Man of the Year may also be referencing another artwork. Lorde is shown using duct tape to bind her breasts. While this points to Lorde’s exploration of her body and gender identity, the material also recalls Italian artist Maurizio Cattelan’s duct-taped banana artwork, Comedian.
Offering phallic imagery to Fontana’s yonic imagery, Cattelan’s piece mirrors Lorde’s concern with ontology, or definition. What makes something art?
Prometheus (Un)bound?
But just as Lorde is binding herself in new ways, she is unbinding herself in others. In If She Could See Me Now, Lorde declares: “I’m going back to the clay.”
Here that the album recalls the Prometheus myth: the ancient Greek story that Prometheus fashioned humans out of mud (or clay) and gave his creations fire.
The closing track, David, offers another ancient allusion, this time about David and Goliath. David – who, as a harpist, is a musician like Lorde – kills the giant man with stones. This reference furthers the song’s discussion of the problem of treating a man, a lover, like a god.
In David Lorde explores similar themes to Mary Shelley.
This subtle reference to the killing of Goliath adds another layer to the euphemism for male testicles explored in Shapeshifter: “Do you have the stones?”. Perhaps Virgin is doing what Mary Shelley’s Frankenstein (1818) did with the Prometheus tale: both exploring what happens when a man tries to create and determine the fate of another being, whether nature or nurture make a person, and how a new body can be refashioned from old ones.
After listening to the entire album, I was struck by how Lorde is exploring different facets of another question: who, exactly, is Lorde? Especially now that she is embracing who she is beyond the yoke of other people – or the demons – that have shaped her? Virgin shows that Lorde now wants to return “to the clay”, or to remake who she is, now that she is unbound by Prometheus.
This article features references to books that have been included for editorial reasons, and may contain links to bookshop.org. If you click on one of the links and go on to buy something from bookshop.org The Conversation UK may earn a commission.
Lillian Hingley 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.
Hearing improvements were both rapid and significant after patients received the gene therapy we developed.Nina Lishchuk/ Shutterstock
Up to three in every 1,000 newborns has hearing loss in one or both ears. While cochlear implants offer remarkable hope for these children, it requires invasive surgery. These implants also cannot fully replicate the nuance of natural hearing.
But recent research my colleagues and I conducted has shown that a form of gene therapy can successfully restore hearing in toddlers and young adults born with congenital deafness.
Our research focused specifically on toddlers and young adults born with OTOF-related deafness. This condition is caused by mutations in the OTOF gene that produces the otoferlin protein –a protein critical for hearing.
The protein transmits auditory signals from the inner ear to the brain. When this gene is mutated, that transmission breaks down leading to profound hearing loss from birth.
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Unlike other types of genetic deafness, people with OTOF mutations have healthy hearing structures in their inner ear – the problem is simply that one crucial gene isn’t working properly. This makes it an ideal candidate for gene therapy: if you can fix the faulty gene, the existing healthy structures should be able to restore hearing.
In our study, we used a modified virus as a delivery system to carry a working copy of the OTOF gene directly into the inner ear’s hearing cells. The virus acts like a molecular courier, delivering the genetic fix exactly where it’s needed.
The modified viruses do this by first attaching themselves to the hair cell’s surface, then convincing the cell to swallow them whole. Once inside, they hitch a ride on the cell’s natural transport system all the way to its control centre (the nucleus). There, they finally release the genetic instructions for otoferlin to the auditory neurons.
Our team had previously conducted studies in primates and young children (five- and eight-year-olds) which confirmed the virus therapy was safe. We were also able to illustrate the therapy’s potential to restore hearing – sometimes to near-normal levels.
But key questions had remained about whether the therapy could work in older patients – and what age is optimal for patients to receive the treatment.
To answer these questions, we expanded our clinical trial across five hospitals, enrolling ten participants aged one to 24 years. All were diagnosed with OTOF-related deafness. The virus therapy was injected into the inner ears of each participant.
We closely monitored safety during the 12-months of the study through ear examinations and blood tests. Hearing improvements were measured using both objective brainstem response tests and behavioural hearing assessments.
From the brainstem response tests, patients heard rapid clicking sounds or short beeps of different pitches while sensors measured the brain’s automatic electrical response. In another test, patients heard constant, steady tones at different pitches while a computer analysed brainwaves to see if they automatically followed the rhythm of these sounds.
The therapy used a synthetic version of a virus to deliver a functional gene to the inner ear. Kateryna Kon/ Shutterstock
For the behavioural hearing assessment, patients wore headphones and listened to faint beeps at different pitches. They pressed a button or raised their hand each time they heard a beep – no matter how faint.
Hearing improvements were both rapid and significant – especially in younger participants. Within the first month of treatment, the average total hearing improvement reached 62% on the objective brainstem response tests and 78% on the behavioural hearing assessments. Two participants achieved near-normal speech perception. The parent of one seven-year-old participant said her child could hear sounds just three days after treatment.
Over the 12-month study period, ten patients experienced very mild to moderate side-effects. The most common adverse effect was a decrease in white blood cells. Crucially, no serious adverse events were observed. This confirmed the favourable safety profile of this virus-based gene therapy.
Treating genetic deafness
This is the first time such results have been achieved in both adolescent and adult patients with OTOF-related deafness.
The findings also reveal important insights into the ideal window for treatment, with children between the ages of five and eight showing the most pronounced benefit.
While younger children and older participants also showed improvement, their recovery was less dramatic. These counter-intuitive results in younger children are surprising. Although preserved inner-ear integrity and function at early ages should theoretically predict a better response to the gene therapy, these findings suggest the brain’s ability to process newly restored sounds may vary at different ages. The reasons for this are not yet understood.
This trial is a milestone. By bridging the gap between animal and human studies and diverse patients of different ages, we’re entering a new era in the treatment of genetic deafness. Although questions still remain about how long the effects of this therapy last, as gene therapy continues to advance, the possibility of curing – not just managing – genetic hearing loss is becoming a reality.
OTOF-related deafness is just the beginning. We, along with other research teams, are working on developing therapies that target other, more common genes that are linked to hearing loss. These are more complex to treat, but animal studies have yielded promising results. We’re optimistic that in the future, gene therapy will be available for many different types of genetic deafness.
Maoli Duan 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.
Stephen Spielberg’s original Jurassic Park film (1993) instilled awe and trepidation in his characters and audience alike. As his protagonists wrestled with the unintended consequences and ethical dilemmas of reanimating extinct apex predators, viewers marvelled at the novel use of CGI. At a keystroke it seemed to consign the hand-crafted stop-motion wonders of dinosaur films past to the archive.
Alongside pulse-pounding action set pieces delivered with trademark Spielberg panache, that first film flamboyantly inaugurated a new era in fantasy effects. And it solicited delight and wonder from its audience. On opening day in New York the dinosaurs’ first appearance prompted a spontaneous ovation: I was there and clapped too.
Thirty-two years, six Jurassic iterations and countless monstrous digital apparitions later, that initial wow factor is a distant memory. By Jurassic World: Rebirth (set nearly 35 years after the original film) dinosaurs are treated by their human prey as barely more than inconvenient obstacles. They’re dangerous, of course, but certainly not wondrous.
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Palaeontologist Dr Henry Loomis’s (Jonathan Bailey) delight in coming face-to-face with his objects of study is a pale echo of the giddy euphoria that overtook Sam Neill and Laura Dern’s characters all those years ago.
In fact, early in the film we’re told that the public have since lost all interest in dinosaurs. Wildlife parks and museum displays are closing and the animals themselves have mostly died off outside their quarantined tropical habitat.
As this has information has little bearing for the plot, it’s hard not to sense some ironic commentary from screenwriter David Koepp (returning to the franchise for the first time since 1997) on the exhaustion of the Jurassic Park model. Always incipiently reflexive – as a blockbuster set in a theme park – by this stage in the game, the franchise machinery is inescapably visible.
Almost as ironic is a plot line promoting the open-source sharing of intellectual property for the benefit of the whole world rather than exploitative corporations. I doubt NBCUniversal-Comcast would agree.
The Jurassic World Rebirth trailer.
The Jurassic franchise
The Jurassic Park format is among the most unforgivingly rigid of any current film franchise.
Each instalment (bar to some extent the last, the convoluted 2022 Jurassic World: Dominion, whose characters and story the new release completely ignores) places humans in perilous proximity to genetically rejuvenated sauropods. And generally does so in a remote, photogenic tropical location with minimal contact with the outside world. (Will the franchise ever run out of uncharted Caribbean islands where demented bio-engineers have wreaked evolutionary havoc?)
The human characters in this new film are the usual pick-and-mix of daredevil adventurers, amoral corporate types and idealistic palaeontologists. And there are the mandatory school-age children too – important to keep the interest of younger viewers. The real stars of course, are the primeval leviathans who grow larger and more fearsome – though not more interesting – with each new episode of the franchise.
How this human-dino jeopardy comes about tends not to matter very much. Jurassic World: Rebirth produces one of the least interesting MacGuffins in movie history (meaning something that drives the plot and which the charcters care about but the audience does not). Blood drawn from each of the three largest dinosaur species in the aforesaid remote tropical island will produce a serum to cure human heart disease (dinosaur hearts are huge, you see, so … never mind).
This feeble contrivance suffices for sneery Big Pharma suit Martin (Rupert Friend) to hire freebooters Zora (Scarlett Johansson) and Duncan (Mahershala Ali) for his expedition. Along the way they encounter a marooned family (dad, two teens, one winsome but plucky grade-schooler) who subsequently have their own largely self-contained adventures before reuniting for the big climax.
Franchise filmmaking is generally an auteur-free zone. Welsh blockbuster specialist Gareth Edwards is no Spielberg (though he pays homage at several point, notably in a waterborne first act studded with Jaws references). But he handles the action with unremarkable competence.
In truth, Jurassic World: Rebirth suggests that the intellectual property so expensively vested in the franchise would benefit from some genetic modification.
Barry Langford 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.
There are more refugees in the world today than at any other point in history. The United Nations estimates that there are now more than 120 million people forcibly displaced from their homes. That is one in every 69 people on Earth. Some 73% of this population is hosted in lower or middle-income countries.
From the legacies of European colonialism to global inequality, drone warfare and climate instability, politicians have failed to address the causes driving this mass displacement. Instead, far-right parties exploit the crisis by inflaming cultures of hatred and hostility towards migrants, particularly in high-income western countries.
This is exacerbated by visual media, which makes refugees an easy target by denying them the means of telling their own stories on their own terms. Pictures of migrants on boats or climbing over border walls are everywhere in tabloid newspapers and on social media. But these images are rarely accompanied by any detailed account of the brutal experiences that force people into these situations.
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Many different kinds of visual storytelling live under the umbrella of refugee comics. They include short strips and stories, such as A Perilous Journey (2016) with testimonies from people fleeing the civil war in Syria, and Cabramatta (2019), about growing up as a Vietnamese migrant in a Sydney suburb. They also include codex-bound graphic novels, such as The Best We Could Do by Thi Bui (2017), and interactive web-comics such as Exodus by Jasper Rietman (2018).
They include documentaries made by journalists about the specific experiences of individual refugees. They also include fiction by artists who combine elements of several refugee testimonies into representative stories. Additionally, there are both fictional and non-fictional artworks made by migrants and refugees themselves.
Refugee comics address different forced mass displacements over the 20th and 21st centuries. These include the 1948 Nakba in Palestine, the 1970s flight of refugees from Vietnam and the 2010s displacement of people from Syria and other countries across sub-Saharan Africa and the Middle East.
These refugee comics challenge anti-migrant images in at least three ways. First, they often integrate the direct testimonies of refugees. This is enhanced by the combination of words and pictures that comprise the comics page, which allows refugees to frame the way we see and respond to images of displaced people.
For example, in The Unwanted by Joe Sacco (2012), familiar images of migrants crossing the Mediterranean on small boats are narrated by a refugee called Jon. Jon’s testimony turns our attention to the fears and desires that drive people to attempt dangerous sea crossings.
A second way comics challenge anti-migrant images is by allowing refugees to tell their stories without disclosing their identities. Because comics are drawn by hand and use abstract icons rather than photographs, refugees can tell their stories while also avoiding any unwanted scrutiny while also maintaining personal privacy. This reintroduces refugee agency into a visual culture that often seeks to reduce migrants to voiceless victims or security threats.
For example, in Escaping Wars and Waves: Encounters with Syrian Refugees (2018) German comics journalist Olivier Kugler dedicates two pages to a man he calls “The Afghan” because he didn’t want his name or identity revealed. Kugler presents this man’s testimony of failed attempts to get to the UK, but he never draws his face or refers to him by name.
The third way comics challenge anti-migrant images is by shifting our attention from refugees themselves to the hostile environments and border infrastructures that they are forced to travel through and inhabit. Refugee researchers describe this different way of seeing as a “places and spaces, not faces” approach.
For instance, in Undocumented: The Architecture of Migrant Detention (2017), Tings Chak walks her readers through migrant detention centres from the perspective of those who are being processed and detained.
Drawing displacement
This emphasis on place and space is built into the structure of our own book, Graphic Refuge. We begin by focusing on graphic stories about ocean crossings, particularly on the Mediterranean sea. We then turn to comics concerned with the experience of refugee camps, and we also ask how interactive online comics bring viewers into virtual refugee spaces in a variety of ways.
It is the obliteration of homes that forces people to become refugees in the first place. Later in the book, we explore how illustrated stories document the destruction of cityscapes across Syria and also in Gaza. Finally, we turn to graphic autobiographies by second-generation refugees, those who have grown up in places such as the US or Australia, but who must still negotiate the trauma of their parents’ displacement.
Where most previous studies of refugee comics have focused on trauma and empathy, in Graphic Refuge we take a different approach. We set out to show how refugee comics represent migrant agency and desire, and how we are all implicated in the histories and systems that have created the very idea of the modern refugee.
As critical refugee scholar Vinh Nguyen writes in our book’s foreword, while it is difficult to truly know what refugee lives are like, those of us who enjoy the privileges of citizenship can at least read these comics to better understand “what we – we who can sleep under warm covers at night – are capable of”.
This article features references to books that have been included for editorial reasons, and may contain links to bookshop.org. If you click on one of the links and go on to buy something from bookshop.org The Conversation UK may earn a commission.
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.
The global ecosystem of climate finance is complex, constantly changing and sometimes hard to understand. But understanding it is critical to demanding a green transition that’s just and fair. That’s why The Conversation has collaborated with climate finance experts to create this user-friendly guide, in partnership with Vogue Business. With definitions and short videos, we’ll add to this glossary as new terms emerge.
Blue bonds
Blue bonds are debt instruments designed to finance ocean-related conservation, like protecting coral reefs or sustainable fishing. They’re modelled after green bonds but focus specifically on the health of marine ecosystems – this is a key pillar of climate stability.
By investing in blue bonds, governments and private investors can fund marine projects that deliver both environmental benefits and long-term financial returns. Seychelles issued the first blue bond in 2018. Now, more are emerging as ocean conservation becomes a greater priority for global sustainability efforts.
By Narmin Nahidi, assistant professor in finance at the University of Exeter
Carbon border adjustment mechanism
Did you know that imported steel could soon face a carbon tax at the EU border? That’s because the carbon border adjustment mechanism is about to shake up the way we trade, produce and price carbon.
The carbon border adjustment mechanism is a proposed EU policy to put a carbon price on imports like iron, cement, fertiliser, aluminium and electricity. If a product is made in a country with weaker climate policies, the importer must pay the difference between that country’s carbon price and the EU’s. The goal is to avoid “carbon leakage” – when companies relocate to avoid emissions rules and to ensure fair competition on climate action.
But this mechanism is more than just a tariff tool. It’s a bold attempt to reshape global trade. Countries exporting to the EU may be pushed to adopt greener manufacturing or face higher tariffs.
The carbon border adjustment mechanism is controversial: some call it climate protectionism, others argue it could incentivise low-carbon innovation worldwide and be vital for achieving climate justice. Many developing nations worry it could penalise them unfairly unless there’s climate finance to support greener transitions.
Carbon border adjustment mechanism is still evolving, but it’s already forcing companies, investors and governments to rethink emissions accounting, supply chains and competitiveness. It’s a carbon price with global consequences.
By Narmin Nahidi, assistant professor in finance at the University of Exeter
Carbon budget
The Paris agreement aims to limit global warming to 1.5°C above pre-industrial levels by 2030. The carbon budget is the maximum amount of CO₂ emissions allowed, if we want a 67% chance of staying within this limit. The Intergovernmental Panel on Climate Change (IPCC) estimates that the remaining carbon budgets amount to 400 billion tonnes of CO₂ from 2020 onwards.
Think of the carbon budget as a climate allowance. Once it has been spent, the risk of extreme weather or sea level rise increases sharply. If emissions continue unchecked, the budget will be exhausted within years, risking severe climate consequences. The IPCC sets the global carbon budget based on climate science, and governments use this framework to set national emission targets, climate policies and pathways to net zero emissions.
By Dongna Zhang, assistant professor in economics and finance, Northumbria University
Carbon credits
Carbon credits are like a permit that allow companies to release a certain amount of carbon into the air. One credit usually equals one tonne of CO₂. These credits are issued by the local government or another authorised body and can be bought and sold. Think of it like a budget allowance for pollution. It encourages cuts in carbon emissions each year to stay within those global climate targets.
The aim is to put a price on carbon to encourage cuts in emissions. If a company reduces its emissions and has leftover credits, it can sell them to another company that is going over its limit. But there are issues. Some argue that carbon credit schemes allow polluters to pay their way out of real change, and not all credits are from trustworthy projects. Although carbon credits can play a role in addressing the climate crisis, they are not a solution on their own.
By Sankar Sivarajah, professor of circular economy, Kingston University London
Carbon credits explained.
Carbon offsetting
Carbon offsetting is a way for people or organisations to make up for the carbon emissions they are responsible for. For example, if you contribute to emissions by flying, driving or making goods, you can help balance that out by supporting projects that reduce emissions elsewhere. This might include planting trees (which absorb carbon dioxide) or building wind farms to produce renewable energy.
The idea is that your support helps cancel out the damage you are doing. For example, if your flight creates one tonne of carbon dioxide, you pay to support a project that removes the same amount.
While this sounds like a win-win, carbon offsetting is not perfect. Some argue that it lets people feel better without really changing their behaviour, a phenomenon sometimes referred to as greenwashing.
Not all projects are effective or well managed. For instance, some tree planting initiatives might have taken place anyway, even without the offset funding, deeming your contribution inconsequential. Others might plant the non-native trees in areas where they are unlikely to reach their potential in terms of absorbing carbon emissions.
So, offsetting can help, but it is no magic fix. It works best alongside real efforts to reduce greenhouse gas emissions and encourage low-carbon lifestyles or supply chains.
By Sankar Sivarajah, professor of circular economy, Kingston University London
Carbon offsetting explained.
Carbon tax
A carbon tax is designed to reduce greenhouse gas emissions by placing a direct price on CO₂ and other greenhouse gases.
A carbon tax is grounded in the concept of the social cost of carbon. This is an estimate of the economic damage caused by emitting one tonne of CO₂, including climate-related health, infrastructure and ecosystem impacts.
A carbon tax is typically levied per tonne of CO₂ emitted. The tax can be applied either upstream (on fossil fuel producers) or downstream (on consumers or power generators). This makes carbon-intensive activities more expensive, it incentivises nations, businesses and people to reduce their emissions, while untaxed renewable energy becomes more competitively priced and appealing.
Carbon tax was first introduced by Finland in 1990. Since then, more than 39 jurisdictions have implemented similar schemes. According to the World Bank, carbon pricing mechanisms (that’s both carbon taxes and emissions trading systems) now cover about 24% of global emissions. The remaining 76% are not priced, mainly due to limited coverage in both sectors and geographical areas, plus persistent fossil fuel subsidies. Expanding coverage would require extending carbon pricing to sectors like agriculture and transport, phasing out fossil fuel subsidies and strengthening international governance.
What is carbon tax?
Sweden has one of the world’s highest carbon tax rates and has cut emissions by 33% since 1990 while maintaining economic growth. The policy worked because Sweden started early, applied the tax across many industries and maintained clear, consistent communication that kept the public on board.
Canada introduced a national carbon tax in 2019. In Canada, most of the revenue from carbon taxes is returned directly to households through annual rebates, making the scheme revenue-neutral for most families. However, despite its economic logic, inflation and rising fuel prices led to public discontent – especially as many citizens were unaware they were receiving rebates.
Carbon taxes face challenges including political resistance, fairness concerns and low public awareness. Their success depends on clear communication and visible reinvestment of revenues into climate or social goals. A 2025 study that surveyed 40,000 people in 20 countries found that support for carbon taxes increases significantly when revenues are used for environmental infrastructure, rather than returned through tax rebates.
By Meilan Yan, associate professor and senior lecturer in financial economics, Loughborough University
Climate resilience
Floods, wildfires, heatwaves and rising seas are pushing our cities, towns and neighbourhoods to their limits. But there’s a powerful idea that’s helping cities fight back: climate resilience.
Resilience refers to the ability of a system, such as a city, a community or even an ecosystem – to anticipate, prepare for, respond to and recover from climate-related shocks and stresses.
Sometimes people say resilience is about bouncing back. But it’s not just about surviving the next storm. It’s about adapting, evolving and thriving in a changing world.
Resilience means building smarter and better. It means designing homes that stay cool during heatwaves. Roads that don’t wash away in floods. Power grids that don’t fail when the weather turns extreme.
It’s also about people. A truly resilient city protects its most vulnerable. It ensures that everyone – regardless of income, age or background – can weather the storm.
And resilience isn’t just reactive. It’s about using science, local knowledge and innovation to reduce a risk before disaster strikes. From restoring wetlands to cool cities and absorb floods, to creating early warning systems for heatwaves, climate resilience is about weaving strength into the very fabric of our cities.
By Paul O’Hare, senior lecturer in geography and development, Manchester Metropolitan University
The meaning of climate resilience.
Climate risk disclosure
Climate risk disclosure refers to how companies report the risks they face from climate change, such as flood damage, supply chain disruptions or regulatory costs. It includes both physical risks (like storms) and transition risks (like changing laws or consumer preferences).
Mandatory disclosures, such as those proposed by the UK and EU, aim to make climate-related risks transparent to investors. Done well, these reports can shape capital flows toward more sustainable business models. Done poorly, they become greenwashing tools.
By Narmin Nahidi, assistant professor in finance at the University of Exeter
Emissions trading scheme
An emissions trading scheme is the primary market-based approach for regulating greenhouse gas emissions in many countries, including Australia, Canada, China and Mexico.
Part of a government’s job is to decide how much of the economy’s carbon emissions it wants to avoid in order to fight climate change. It must put a cap on carbon emissions that economic production is not allowed to surpass. Preferably, the polluters (that’s the manufacturers, fossil fuel companies) should be the ones paying for the cost of climate mitigation.
Regulators could simply tell all the firms how much they are allowed to emit over the next ten years or so. But giving every firm the same allowance across the board is not cost efficient, because avoiding carbon emissions is much harder for some firms (such as steel producers) than others (such as tax consultants). Since governments cannot know each firm’s specific cost profile either, it can’t customise the allowances. Also, monitoring whether polluters actually abide by their assigned limits is extremely costly.
An emissions trading scheme cleverly solves this dilemma using the cap-and-trade mechanism. Instead of assigning each polluter a fixed quota and risking inefficiencies, the government issues a large number of tradable permits – each worth, say, a tonne of CO₂-equivalent (CO₂e) – that sum up to the cap. Firms that can cut greenhouse gas emissions relatively cheaply can then trade their surplus permits to those who find it harder – at a price that makes both better off.
By Mathias Weidinger, environmental economist, University of Oxford
Emissions trading schemes, explained by climate finance expert Mathias Weidinger.
Environmental, social and governance (ESG) investing
ESG investing stands for environmental, social and governance investing. In simple terms, these are a set of standards that investors use to screen a company’s potential investments.
ESG means choosing to invest in companies that are not only profitable but also responsible. Investors use ESG metrics to assess risks (such as climate liability, labour practices) and align portfolios with sustainability goals by looking at how a company affects our planet and treats its people and communities. While there isn’t one single global body governing ESG, various organisations, ratings agencies and governments all contribute to setting and evolving these metrics.
For example, investing in a company committed to renewable energy and fair labour practices might be considered “ESG aligned”. Supporters believe ESG helps identify risks and create long-term value. Critics argue it can be vague or used for greenwashing, where companies appear sustainable without real action. ESG works best when paired with transparency and clear data. A barrier is that standards vary, and it’s not always clear what counts as ESG.
Why do financial companies and institutions care? Issues like climate change and nature loss pose significant risks, affecting company values and the global economy.
However, gathering reliable ESG information can be difficult. Companies often self-report, and the data isn’t always standardised or up to date. Researchers – including my team at the University of Oxford – are using geospatial data, like satellite imagery and artificial intelligence, to develop global databases for high-impact industries, across all major sectors and geographies, and independently assess environmental and social risks and impacts.
For instance, we can analyse satellite images of a facility over time to monitor its emissions effect on nature and biodiversity, or assess deforestation linked to a company’s supply chain. This allows us to map supply chains, identify high-impact assets, and detect hidden risks and opportunities in key industries, providing an objective, real-time look at their environmental footprint.
The goal is for this to improve ESG ratings and provide clearer, more consistent insights for investors. This approach could help us overcome current data limitations to build a more sustainable financial future.
By Amani Maalouf, senior researcher in spatial finance, University of Oxford
Environmental, social and governance investing explained.
Financed emissions
Financed emissions are the greenhouse gas emissions linked to a bank’s or investor’s lending and investment portfolio, rather than their own operations. For example, a bank that funds a coal mine or invests in fossil fuels is indirectly responsible for the carbon those activities produce.
Measuring financed emissions helps reveal the real climate impact of financial institutions not just their office energy use. It’s a cornerstone of climate accountability in finance and is becoming essential under net zero pledges.
By Narmin Nahidi, assistant professor in finance at the University of Exeter
Green bonds
Green bonds are loans issued to fund environmentally beneficial projects, such as energy-efficient buildings or clean transportation. Investors choose them to support climate solutions while earning returns.
Green bonds are a major tool to finance the shift to a low-carbon economy by directing finance toward climate solutions. As climate costs rise, green bonds could help close the funding gap while ensuring transparency and accountability.
Green bonds are required to ensure funds are spent as promised. For instance, imagine a city wants to upgrade its public transportation by adding electric buses to reduce pollution. Instead of raising taxes or slashing other budgets, the city can issue green bonds to raise the necessary capital. Investors buy the bonds, the city gets the funding, and the environment benefits from cleaner air and fewer emissions.
The growing participation of government issuers has improved the transparency and reliability of these investments. The green bond market has grown rapidly in recent years. According to the Bank for International Settlements, the green bond market reached US$2.9 trillion (£2.1 trillion) in 2024 – nearly six times larger than in 2018. At the same time, annual issuance (the total value of green bonds issued in a year) hit US$700 billion, highlighting the increasing role of green finance in tackling climate change.
By Dongna Zhang, assistant professor in economics and finance, Northumbria University
Just transition
Just transition is the process of moving to a low-carbon society that is environmentally sustainable and socially inclusive. In a broad sense, a just transition means focusing on creating a more fair and equal society.
Just transition has existed as a concept since the 1970s. It was originally applied to the green energy transition, protecting workers in the fossil fuel industry as we move towards more sustainable alternatives.
These days, it has so many overlapping issues of justice hidden within it, so the concept is hard to define. Even at the level of UN climate negotiations, global leaders struggle to agree on what a just transition means.
The big battle is between developed countries, who want a very restrictive definition around jobs and skills, and developing countries, who are looking for a much more holistic approach that considers wider system change and includes considerations around human rights, Indigenous people and creating an overall fairer global society.
A just transition is essentially about imagining a future where we have moved beyond fossil fuels and society works better for everyone – but that can look very different in a European city compared to a rural setting in south-east Asia.
For example, in a British city it might mean fewer cars and better public transport. In a rural setting, it might mean new ways of growing crops that are more sustainable, and building homes that are heatwave resistant.
By Alix Dietzel, climate justice and climate policy expert, University of Bristol
The meaning of just transition.
Loss and damage
A global loss and damage fund was agreed by nations at the UN climate summit (Cop27) in 2022. This means that the rich countries of the world put money into a fund that the least developed countries can then call upon when they have a climate emergency.
At the moment, the loss and damage fund is made up of relatively small pots of money. Much more will be needed to provide relief to those who need it most now and in the future.
By Mark Maslin, professor of earth system science, UCL
Mark Maslin explains loss and damage.
Mitigation v adaptation
Mitigation means cutting greenhouse gas emissions to slow climate change. Adaptation means adjusting to its effects, like building sea walls or growing heat-resistant crops. Both are essential: mitigation tackles the cause, while adaptation tackles the symptoms.
Globally, most funding goes to mitigation, but vulnerable communities often need adaptation support most. Balancing the two is a major challenge in climate policy, especially for developing countries facing immediate climate threats.
By Narmin Nahidi, assistant professor in finance at the University of Exeter
Nationally determined contributions
Nationally determined contributions (NDCs) are at the heart of the Paris agreement, the global effort to collectively combat climate change. NDCs are individual climate action plans created by each country. These targets and strategies outline how a country will reduce its greenhouse gas emissions and adapt to climate change.
Each nation sets its own goals based on its own circumstances and capabilities – there’s no standard NDC. These plans should be updated every five years and countries are encouraged to gradually increase their climate ambitions over time.
The aim is for NDCs to drive real action by guiding policies, attracting investment and inspiring innovation in clean technologies. But current NDCs fall short of the Paris agreement goals and many countries struggle to turn their plans into a reality. NDCs also vary widely in scope and detail so it’s hard to compare efforts across the board. Stronger international collaboration and greater accountability will be crucial.
By Doug Specht, reader in cultural geography and communication, University of Westminster
Fashion depends on water, soil and biodiversity – all natural capital. And forward-thinking designers are now asking: how do we create rather than deplete, how do we restore rather than extract?
Natural capital is the value assigned to the stock of forests, soils, oceans and even minerals such as lithium. It sustains every part of our economy. It’s the bees that pollinate our crops. It’s the wetlands that filter our water and it’s the trees that store carbon and cool our cities.
If we fail to value nature properly, we risk losing it. But if we succeed, we unlock a future that is not only sustainable but also truly regenerative.
My team at the University of Oxford is developing tools to integrate nature into national balance sheets, advising governments on biodiversity, and we’re helping industries from fashion to finance embed nature into their decision making.
Natural capital, explained by a climate finance expert.
By Mette Morsing, professor of business sustainability and director of the Smith School of Enterprise and the Environment, University of Oxford
Net zero
Reaching net zero means reducing the amount of additional greenhouse gas emissions that accumulate in the atmosphere to zero. This concept was popularised by the Paris agreement, a landmark deal that was agreed at the UN climate summit (Cop21) in 2015 to limit the impact of greenhouse gas emissions.
There are some emissions, from farming and aviation for example, that will be very difficult, if not impossible, to reach absolute zero. Hence, the “net”. This allows people, businesses and countries to find ways to suck greenhouse gas emissions out of the atmosphere, effectively cancelling out emissions while trying to reduce them. This can include reforestation, rewilding, direct air capture and carbon capture and storage. The goal is to reach net zero: the point at which no extra greenhouse gases accumulate in Earth’s atmosphere.
By Mark Maslin, professor of earth system science, UCL
Mark Maslin explains net zero.
For more expert explainer videos, visit The Conversation’s quick climate dictionary playlist here on YouTube.
Mark Maslin is Pro-Vice Provost of the UCL Climate Crisis Grand Challenge and Founding Director of the UCL Centre for Sustainable Aviation. He was co-director of the London NERC Doctoral Training Partnership and is a member of the Climate Crisis Advisory Group. He is an advisor to Sheep Included Ltd, Lansons, NetZeroNow and has advised the UK Parliament. He has received grant funding from the NERC, EPSRC, ESRC, DFG, Royal Society, DIFD, BEIS, DECC, FCO, Innovate UK, Carbon Trust, UK Space Agency, European Space Agency, Research England, Wellcome Trust, Leverhulme Trust, CIFF, Sprint2020, and British Council. He has received funding from the BBC, Lancet, Laithwaites, Seventh Generation, Channel 4, JLT Re, WWF, Hermes, CAFOD, HP and Royal Institute of Chartered Surveyors.
Amani Maalouf receives funding from IKEA Foundation and UK Research and Innovation (NE/V017756/1).
Narmin Nahidi is affiliated with several academic associations, including the Financial Management Association (FMA), British Accounting and Finance Association (BAFA), American Finance Association (AFA), and the Chartered Association of Business Schools (CMBE). These affiliations do not influence the content of this article.
Paul O’Hare receives funding from the UK’s Natural Environment Research Council (NERC). Award reference NE/V010174/1.
Alix Dietzel, Dongna Zhang, Doug Specht, Mathias Weidinger, Meilan Yan, and Sankar Sivarajah 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.
Source: The Conversation – Canada – By Faisal Shennib, Environmental Specialist, 24-25 Concordia Public Scholar, PhD Candidate in Individualized Program, Concordia University
And compared to national waste tracking, localized waste tracking could also provide more timely and relevant insights on the effectiveness of policies, infrastructure investments and education.
Measuring waste
The units for measuring waste are fairly standard across the world. Quantity of waste is measured by weight (tonnes) and waste performance is the per cent of total waste not sent for landfill and incineration.
However, waste terminology varies across both academia and industry. In some settings, “recycling” may mean that the material was collected for recycling, but not necessarily recycled. A term like “municipal waste” can include waste from offices and businesses — or not. This confusion makes global waste tracking challenging.
Regular global reporting on waste is sorely lacking. The United Nations’ Sustainable Development Goals (SDGs) call for global action on waste management, but there have been no figures for global recycling in recent UN SDG reports. This is likely due to the lack of available, reliable data.
Reports on global waste are compiled from sources using a wide variety of formats; a source may represent annual or daily waste, and total waste or waste per capita. Data is often from different years, making it useful for trend analysis but not strict comparisons.
Estimations and incomplete data are common; only 39 per cent of populations in developing countries are served by waste collection services. Double-counting is another risk when data comes from varied sources like waste collectors, processors and local governments.
With all these challenges, global waste reports require years to compile, leading to multiyear gaps in published reports.
Insufficient data
Even nations with consistent reporting are not immune to methodological gaps. The European Union and Canada both require annual reporting on waste, but allow for a wide variety of methods in data sourcing, including estimation.
In the United States, annual waste data is reported by states to the Environmental Protection Agency (EPA) on a voluntary basis. No new nationwide reports have been published since 2018.
Reliable waste characterization requires the waste to be audited: sampled, weighed, separated into categories, and then weighed again. It’s a labour-intensive and cost-prohibitive process, which might explain why American states haven’t provided updated waste characterizations to the EPA since 2018.
Estimating recycling stats
The oft-cited fact that nine per cent of global plastics are recycled comes from a 2022 report. It was calculated in several steps, each with significant uncertainties, including how much plastic was produced globally, how long it was used for, and how much was collected and likely to have been recycled.
The nine per cent figure is very much an estimate, representing global plastic waste in 2019. And now, it is an outdated figure.
In South Korea, for example, a country renowned for its waste policies and programs, reports a 73 per cent recycling rate for plastics, while Greenpeace estimates that the rate is 26 per cent because much of what is collected is not recycled.
In Canada, plastic recycling tracking suffers from the same lack of standardization and transparency as recycling in general.
A much-needed global consensus
Material consumption and management is a global problem requiring international collaboration, commitments and adequate tracking.
Faisal Shennib 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.
Side effects from taking too much vitamin B6 – including nerve damage – may be more widespread than we think, Australia’s medicines regulator says.
In an ABC report earlier this week, a spokesperson for the Therapeutic Goods Administration (TGA) says it may have underestimated the extent of the side effects from vitamin B6 supplements.
However, there are proposals to limit sales of high-dose versions due to safety concerns.
A pathologist who runs a clinic that tests vitamin B6 in blood samples from across Australia also appeared on the program. He told the ABC that data from May suggests 4.5% of samples tested had returned results “very likely” indicating nerve damage.
So what are vitamin B6 supplements? How can they be toxic? And which symptoms do you need to watch out for?
What is vitamin B6?
Vitamin B6, also known as pyridoxine, plays an important role in keeping the body healthy. It is involved in the metabolism of proteins, carbohydrates and fats in food. It is also important for the production of neurotransmitters – chemical messengers in the brain that maintain its function and regulate your mood.
Vitamin B6 also supports the immune system by helping to make antibodies, which fight off infections. And it is needed to produce haemoglobin, the protein in red blood cells that carries oxygen around the body.
However, most people don’t need, and won’t benefit from, a vitamin B6 supplement. That’s because you get enough vitamin B6 from your diet through meat, breakfast cereal, fruit and vegetables.
Currently, vitamin B6 supplements with a daily dose of 5–200mg can be sold over the counter at health food stores, supermarkets and pharmacies.
Because of safety concerns, the TGA is proposing limiting their sale to pharmacies, and only after consultation with a pharmacist.
Daily doses higher than 200mg already need a doctor’s prescription. So under the proposal that would stay the same.
What happens if you take too much?
If you take too much vitamin B6, in most cases the excess will be excreted in your urine and most people won’t experience side effects. But there is a growing concern about long-time, high-dose use.
A side effect the medical community is worried about is peripheral neuropathy – where there is damage to the nerves outside the brain and spinal cord. This results in pain, numbness or weakness, usually in your hands and feet. We don’t yet know exactly how this happens.
In most reported cases, these symptoms disappear once you stop taking the supplement. But for some people it may take three months to two years before they feel completely better.
There is growing, but sometimes contradictory, evidence that high doses (more than 50mg a day) for extended periods can result in serious side effects.
A study from the 1990s followed 70 patients for five years who took a dose of 100 to 150mg a day. There were no reported cases of neuropathy.
But more recent studies show high rates of side effects.
A 2023 case report provides details of a man who was taking multiple supplements. This resulted in a daily combined 95mg dose of vitamin B6, and he experienced neuropathy.
Another report describes seven cases of neuropathy linked to drinking energy drinks containing vitamin B6.
The current advice is that someone who takes a dose of 50mg a day or more, for more than six months, should be monitored by a health-care professional. So if you regularly take vitamin B6 supplements you should discuss continued use with your doctor or pharmacist.
There are three side effects to watch out for, the first two related to neuropathy:
numbness or pain in the feet and hands
difficulty with balance and coordination as a result of muscle weakness
heartburn and nausea.
If you have worrying side effects after taking vitamin B6 supplements, contact your state’s poison information centre on 13 11 26 for advice.
Nial Wheate in the past has received funding from the ACT Cancer Council, Tenovus Scotland, Medical Research Scotland, Scottish Crucible, and the Scottish Universities Life Sciences Alliance. He is a fellow of the Royal Australian Chemical Institute. Nial is the chief scientific officer of Vaihea Skincare LLC, a director of SetDose Pty Ltd (a medical device company) and was previously a Standards Australia panel member for sunscreen agents. He is a member of the Haleon Australia Pty Ltd Pain Advisory Board. Nial regularly consults to industry on issues to do with medicine risk assessments, manufacturing, design and testing.
Slade Matthews provides scientific evaluations to the Therapeutic Goods Administration as a member of the Therapeutic Goods Assessment and Advisory Panel. Slade serves on the NSW Poisons Advisory Committee for NSW Health as the minister-nominated pharmacologist appointed by the Governor of NSW.
Immediately after killing Fernando Pereira and blowing up Greenpeace’s flagship the Rainbow Warrior in Auckland harbour, several of the French agents went on a ski holiday in New Zealand’s South Island to celebrate.
Such was the contempt the French had for the Kiwis and the abilities of our police to pursue them. How wrong they were.
A new prologue by former prime minister Helen Clark and a preface by Greenpeace’s Bunny McDiarmid, along with an extensive postscript which bring us up to the present day, underline why the past is not dead; it’s with us right now.
Written by David Robie, editor of Asia Pacific Report, who spent 11 weeks on the final voyage of the Warrior, the book is the most remarkable piece of history I have read this year and one of those rare books that has the power to expand your mind and make your blood boil at the same time. I thought I knew a fair bit about the momentous events surrounding the attack — until I read Eyes of Fire.
Heroes of our age The book covers the history of Greenpeace action — from fighting the dumping of nuclear and other toxic waste in European waters, the Arctic and the Pacific, voyages to link besieged communities across the oceans, through to their epic struggles to halt whaling and save endangered marine colonies from predators.
The Rainbow Warrior’s very last voyage before the bombing was to evacuate the entire population of Rongelap atoll (about 320 people) in the Marshall Islands who had been exposed to US nuclear radiation for decades.
This article is the first of two in which I will explore themes that the book triggered for me.
Neither secret nor intelligent – the French secret intelligence service
Jean-Luc Kister was the DGSE (Direction-générale de la Sécurité extérieure) agent who placed the two bombs that ripped a massive hole in the hull of the Warrior on 10 July 1985. The ship quickly sank, trapping Greenpeace photographer Fernando Pereira inside.
Former colonel Kister was a member of a large team of elite agents sent to New Zealand. One had also infiltrated Greenpeace months before, some travelled through the country prior to the attack, drinking, rooting New Zealand women and leaving a trail of breadcrumbs that led all the way to the Palais de l’Élysée where François Mitterrand, Socialist President of France, had personally given the order to bomb the famous peace vessel.
Robie aptly calls the French mission “Blundergate”. The stupidity, howling incompetence and moronic lack of a sound strategic rationale behind the attack were only matched by the mendacity, the imperial hauteur and the racist contempt that lies at the heart of French policy in the Pacific to this very day.
Thinking the Kiwi police would be no match for their élan, their savoir-faire and their panache, some of the killers hit the ski slopes to celebrate “Mission Accompli”. Others fled to Norfolk Island aboard a yacht, the Ouvéa.
Tracked there by the New Zealand police it was only with the assistance of our friends and allies, the Australians, that the agents were able to escape. Within days they sank their yacht at sea during a rendezvous with a French nuclear submarine and were evenually able to return to France for medals and promotions.
Two of the agents, however, were not so lucky. As everyone my age will recall, Dominique Prieur and Alain Mafart, were nabbed after a lightning fast operation by New Zealand police.
With friends and allies like these, who needs enemies? We should recall that the French were our allies at the time. They decided, however, to stop the Rainbow Warrior from leading a flotilla of ships up to Moruroa Atoll in French Polynesia where yet another round of nuclear tests were scheduled. In other words: they bombed a peace ship to keep testing bombs.
By 1995, France had detonated 193 nuclear bombs in the South Pacific.
David Robie sees the bombing as “a desperate attempt by one of the last colonial powers in the Pacific to hang on to the vestiges of empire by blowing up a peace ship so it could continue despoiling Pacific islands for the sake of an independent nuclear force”.
The US, UK and Australia cold-shouldered New Zealand through this period and uttered not a word of condemnation against the French. Within two years we were frog-marched out of the ANZUS alliance with Australia and the US because of our ground-breaking nuclear-free legislation.
It was a blessing and the dawn of a period in which New Zealanders had an intense sense of national pride — a far cry from today when New Zealand politicians are being referred to the International Criminal Court (ICC) in The Hague for war crimes associated with the Gaza genocide.
The French State invented the term ‘terrorism’ I studied French History at university in France and did a paper called “La France à la veille de révolution” (France on the eve of revolution). One of the chilling cultural memories is of the period from September 1793 to July 1794, which was known as La Terreur.
At the time the French state literally coined the term “terrorisme” — with the blade of the guillotine dropping on neck after neck as the state tried to consolidate power through terror. But, as Robie points out, quoting law professor Roger S. Clark, we tend to use the term today to refer almost exclusively to non-state actors.
With the US and Israel gunning down starving civilians in Gaza every day, with wave after wave of terror attacks being committed inside Iran and across the Middle East by Mossad, the CIA and MI6, we should amend this erroneous habit.
The DGSE team who attached limpet mines to the Rainbow Warrior did so as psychopathic servants of the French State. Eyes of Fire: “At the time, Prime Minister David Lange described the Rainbow Warrior attack as ‘nothing more than a sordid act of international state-backed terrorism’.”
Don’t get me wrong. I am not “anti-French”. I lived for years in France, had a French girlfriend, studied French history, language and literature. I even had friends in Wellington who worked at the French Embassy.
Curiously when I lived next to Premier House, the official residence of the prime minister, my other next door neighbour was a French agent who specialised in surveillance. Our houses backed onto Premier House. Quelle coïncidence. To his mild consternation I’d greet him with “Salut, mon espion favori.” (Hello, my favourite spy).
What I despise is French colonialism, French racism, and what the French call magouillage. I don’t know a good English word for it . . . it is a mix of shenanigans, duplicity, artful deception to achieve unscrupulous outcomes that can’t be publicly avowed. In brief: what the French attempted in Auckland in 1985.
Robie recounts in detail the lying, smokescreens and roadblocks that everyone from President Mitterrand through to junior officials put in the way of the New Zealand investigators. Mitterrand gave Prime Minister David Lange assurances that the culprits would be brought to justice. The French Embassy in Wellington claimed at the time: “In no way is France involved. The French government doesn’t deal with its opponents in such ways.”
It took years for the bombshell to explode that none other than Mitterrand himself had ordered the terrorist attack on New Zealand and Greenpeace!
We the people of the Pacific We, the people of the Pacific, owe a debt to Greenpeace and all those who were part of the Rainbow Warrior, including author David Robie. We must remember the crime and call it by its name: state terrorism.
The French attempted to escape justice, deny involvement and then welched on the terms of the agreement negotiated with the help of the United Nations secretary-general.
A great way to honour the sacrifice of those who stood up for justice, who stood for peace and a nuclear-free Pacific, and who honoured our own national identity would be to buy David Robie’s excellent book.
I’ll give the last word to former Prime Minister Helen Clark:
“This is the time for New Zealand to link with the many small and middle powers across regions who have a vision for a world characterised by solidarity and peace and which can rise to the occasion to combat the existential challenges it faces — including of nuclear weapons, climate change, and artificial intelligence. If our independent foreign policy is to mean anything in the mid-2020s, it must be based on concerted diplomacy for peace and sustainable development.”
You cannot sink a rainbow.
Eugene Doyle is a writer based in Wellington. He has written extensively on the Middle East, as well as peace and security issues in the Asia Pacific region. He contributes to Asia Pacific Report and Café Pacific, and hosts the public policy platform solidarity.co.nz
Immediately after killing Fernando Pereira and blowing up Greenpeace’s flagship the Rainbow Warrior in Auckland harbour, several of the French agents went on a ski holiday in New Zealand’s South Island to celebrate.
Such was the contempt the French had for the Kiwis and the abilities of our police to pursue them. How wrong they were.
A new prologue by former prime minister Helen Clark and a preface by Greenpeace’s Bunny McDiarmid, along with an extensive postscript which bring us up to the present day, underline why the past is not dead; it’s with us right now.
Written by David Robie, editor of Asia Pacific Report, who spent 11 weeks on the final voyage of the Warrior, the book is the most remarkable piece of history I have read this year and one of those rare books that has the power to expand your mind and make your blood boil at the same time. I thought I knew a fair bit about the momentous events surrounding the attack — until I read Eyes of Fire.
Heroes of our age The book covers the history of Greenpeace action — from fighting the dumping of nuclear and other toxic waste in European waters, the Arctic and the Pacific, voyages to link besieged communities across the oceans, through to their epic struggles to halt whaling and save endangered marine colonies from predators.
The Rainbow Warrior’s very last voyage before the bombing was to evacuate the entire population of Rongelap atoll (about 320 people) in the Marshall Islands who had been exposed to US nuclear radiation for decades.
This article is the first of two in which I will explore themes that the book triggered for me.
Neither secret nor intelligent – the French secret intelligence service
Jean-Luc Kister was the DGSE (Direction-générale de la Sécurité extérieure) agent who placed the two bombs that ripped a massive hole in the hull of the Warrior on 10 July 1985. The ship quickly sank, trapping Greenpeace photographer Fernando Pereira inside.
Former colonel Kister was a member of a large team of elite agents sent to New Zealand. One had also infiltrated Greenpeace months before, some travelled through the country prior to the attack, drinking, rooting New Zealand women and leaving a trail of breadcrumbs that led all the way to the Palais de l’Élysée where François Mitterrand, Socialist President of France, had personally given the order to bomb the famous peace vessel.
Robie aptly calls the French mission “Blundergate”. The stupidity, howling incompetence and moronic lack of a sound strategic rationale behind the attack were only matched by the mendacity, the imperial hauteur and the racist contempt that lies at the heart of French policy in the Pacific to this very day.
Thinking the Kiwi police would be no match for their élan, their savoir-faire and their panache, some of the killers hit the ski slopes to celebrate “Mission Accompli”. Others fled to Norfolk Island aboard a yacht, the Ouvéa.
Tracked there by the New Zealand police it was only with the assistance of our friends and allies, the Australians, that the agents were able to escape. Within days they sank their yacht at sea during a rendezvous with a French nuclear submarine and were evenually able to return to France for medals and promotions.
Two of the agents, however, were not so lucky. As everyone my age will recall, Dominique Prieur and Alain Mafart, were nabbed after a lightning fast operation by New Zealand police.
With friends and allies like these, who needs enemies? We should recall that the French were our allies at the time. They decided, however, to stop the Rainbow Warrior from leading a flotilla of ships up to Moruroa Atoll in French Polynesia where yet another round of nuclear tests were scheduled. In other words: they bombed a peace ship to keep testing bombs.
By 1995, France had detonated 193 nuclear bombs in the South Pacific.
David Robie sees the bombing as “a desperate attempt by one of the last colonial powers in the Pacific to hang on to the vestiges of empire by blowing up a peace ship so it could continue despoiling Pacific islands for the sake of an independent nuclear force”.
The US, UK and Australia cold-shouldered New Zealand through this period and uttered not a word of condemnation against the French. Within two years we were frog-marched out of the ANZUS alliance with Australia and the US because of our ground-breaking nuclear-free legislation.
It was a blessing and the dawn of a period in which New Zealanders had an intense sense of national pride — a far cry from today when New Zealand politicians are being referred to the International Criminal Court (ICC) in The Hague for war crimes associated with the Gaza genocide.
The French State invented the term ‘terrorism’ I studied French History at university in France and did a paper called “La France à la veille de révolution” (France on the eve of revolution). One of the chilling cultural memories is of the period from September 1793 to July 1794, which was known as La Terreur.
At the time the French state literally coined the term “terrorisme” — with the blade of the guillotine dropping on neck after neck as the state tried to consolidate power through terror. But, as Robie points out, quoting law professor Roger S. Clark, we tend to use the term today to refer almost exclusively to non-state actors.
With the US and Israel gunning down starving civilians in Gaza every day, with wave after wave of terror attacks being committed inside Iran and across the Middle East by Mossad, the CIA and MI6, we should amend this erroneous habit.
The DGSE team who attached limpet mines to the Rainbow Warrior did so as psychopathic servants of the French State. Eyes of Fire: “At the time, Prime Minister David Lange described the Rainbow Warrior attack as ‘nothing more than a sordid act of international state-backed terrorism’.”
Don’t get me wrong. I am not “anti-French”. I lived for years in France, had a French girlfriend, studied French history, language and literature. I even had friends in Wellington who worked at the French Embassy.
Curiously when I lived next to Premier House, the official residence of the prime minister, my other next door neighbour was a French agent who specialised in surveillance. Our houses backed onto Premier House. Quelle coïncidence. To his mild consternation I’d greet him with “Salut, mon espion favori.” (Hello, my favourite spy).
What I despise is French colonialism, French racism, and what the French call magouillage. I don’t know a good English word for it . . . it is a mix of shenanigans, duplicity, artful deception to achieve unscrupulous outcomes that can’t be publicly avowed. In brief: what the French attempted in Auckland in 1985.
Robie recounts in detail the lying, smokescreens and roadblocks that everyone from President Mitterrand through to junior officials put in the way of the New Zealand investigators. Mitterrand gave Prime Minister David Lange assurances that the culprits would be brought to justice. The French Embassy in Wellington claimed at the time: “In no way is France involved. The French government doesn’t deal with its opponents in such ways.”
It took years for the bombshell to explode that none other than Mitterrand himself had ordered the terrorist attack on New Zealand and Greenpeace!
We the people of the Pacific We, the people of the Pacific, owe a debt to Greenpeace and all those who were part of the Rainbow Warrior, including author David Robie. We must remember the crime and call it by its name: state terrorism.
The French attempted to escape justice, deny involvement and then welched on the terms of the agreement negotiated with the help of the United Nations secretary-general.
A great way to honour the sacrifice of those who stood up for justice, who stood for peace and a nuclear-free Pacific, and who honoured our own national identity would be to buy David Robie’s excellent book.
I’ll give the last word to former Prime Minister Helen Clark:
“This is the time for New Zealand to link with the many small and middle powers across regions who have a vision for a world characterised by solidarity and peace and which can rise to the occasion to combat the existential challenges it faces — including of nuclear weapons, climate change, and artificial intelligence. If our independent foreign policy is to mean anything in the mid-2020s, it must be based on concerted diplomacy for peace and sustainable development.”
You cannot sink a rainbow.
Eugene Doyle is a writer based in Wellington. He has written extensively on the Middle East, as well as peace and security issues in the Asia Pacific region. He contributes to Asia Pacific Report and Café Pacific, and hosts the public policy platform solidarity.co.nz
Source: The Conversation (Au and NZ) – By Grace McQuilten, Professor of Art and Associate Dean, Research and Innovation, School of Art, RMIT University
Creative Australia’s decision earlier this year to rescind the selection of artist Khaled Sabsabi and curator Michael Dagostino as Australia’s 2026 representatives at the Venice Biennale sent shockwaves through the arts sector.
For many artists and arts workers, it reinforced concerns around participation and access for those from culturally and racially diverse backgrounds.
This week’s reinstatement of the artistic team offers some comfort. However, the entire incident has reinforced that, while diversity in the arts is celebrated, inclusion at the highest level can’t be taken for granted.
Some worrying stats
Our 2024 survey of more than 900 visual and craft artists, and visual arts workers (who we define as workers who support the visual arts sector), revealed several concerning findings in relation to opportunity and inclusion for culturally and racially diverse creatives.
The first key finding was more than 67% of artists and 78% of arts workers felt there were cultural and/or access-related barriers to them participating in the sector.
The second was culturally diverse workers in the sector tended to identify as “early career” rather than “established”. This points to challenges for career progression and, in turn, to systemic and structural barriers to career development.
Of all the people we surveyed, 17% of visual artists and 20% of visual arts workers reported being of a culturally diverse background. Of these, only 15% of artists and 14% of arts workers reported being at an “established” career stage.
By contrast, among the general population of artists (including those without a diverse background), 30% of the artists reported being “established” in their careers, along with 26% of arts workers.
Art shouldn’t be at the behest of politics
Issues around political censorship and cultural bias in the sector were not a focus of our survey, which was conducted nine months after the war in Gaza began, and before Creative Australia’s selection (and swift cancellation) of the 2026 Venice Biennale team.
Nonetheless, respondents were concerned their political views, and/or their cultural or racial background, could impact their likelihood of advancing a career in the sector.
Some respondents explained if they were no longer working as an artist or arts worker in five years’ time, it would most likely be due to “systemic discrimination” and “increasing censorship prevalent in this industry”.
According to an independent review into the Sabsabi decision (and its reversal):
While no formal assessment was undertaken, it is clear that there was a general awareness within Creative Australia, among those with knowledge of the selected Artistic Team, that the decision had the potential to be controversial. The Panel heard that, at the time, the decision was described as ‘bold’ or ‘courageous’. The source of potential controversy was seen to lie in the fact of selecting any artist with heritage connected to the Middle East at a time when conflict in that region was so emotive and polarising, rather than because of the proposed nature of the work to be undertaken at the 2026 Venice Biennale.
Entrenched harmful biases
Sadly, the negative response from politicians to the initial selection of Khaled Sabsabi and Michael Dagostino gave credibility to our respondents’ concerns.
One participant told us “being called Ahmed* is a bit of a disadvantage given the international situation”.
Another said “only certain cultures and political plights are given support”.
Financial security is also potentially at risk. As one respondent explained, the main barrier to their personal financial security were political values. “My work is at risk when governments change,” they said.
Artists and arts workers from culturally and racially diverse backgrounds also reported more significant impacts from the cost-of-living crisis, along with poorer mental health and work-life balance.
Importantly, our findings don’t stand in isolation. Similar issues have been identified by Diversity Arts Australia, who in 2022 reported on the significant negative impacts of the pandemic on First Nations artists and artists of colour.
Also, in 2021, Creative Australia reported on problems around inclusion and access for culturally diverse communities in the arts and cultural sector.
What might progress look like?
Our research involved making a number of policy recommendations to tackle these issues.
For one thing, there is a clear need for organisational change. On this front, arts organisations and employers should invest in cultural competency training for all staff and board members. They should also prioritise professional development and career growth for culturally and racially diverse staff.
To drive meaningful change, funding incentives should be introduced to support diverse leadership. This should include higher pay for culturally and/or racially diverse leaders whose backgrounds lead them to having added responsibility in the workplace.
The sector also needs greater transparency around cultural and racial representation in staffing and leadership roles, including board roles. This will promote accountability and help drive cultural change.
Finally, success for artists from culturally and linguistically diverse backgrounds requires the Australian art world to engage with multiple world views – and understand not all art will be immediately accessible to all audiences.
The controversy surrounding Creative Australia’s biennale backflip offers an opportunity for the visual arts sector to reckon with deep and troubling issues of structural inequity, along with broader questions of free expression – especially in a fraught political climate.
These issues are wider than the art world. But what better place to start?
*Name changed to protect identity.
Grace McQuilten received funding from the Australian Research Council’s Linkage Projects funding scheme (project LP200100054). The views expressed herein are those of the authors and are not necessarily those of the Australian government or Australian Research Council.
Kate MacNeill received funding from the Australian Research Council’s Linkage Projects funding scheme (project LP200100054). The views expressed herein are those of the authors and are not necessarily those of the Australian government or Australian Research Council.
When flooding strikes, our screens fill with scenes of devastated victims, and men performing heroic dinghy rescues in swollen rivers. But another story often goes untold: how women step in, and step up, to hold their stricken communities together.
Unprecedented floods in the Northern Rivers of New South Wales in 2022 are a case in point. Our research shows female leadership was the hidden backbone of community recovery in the aftermath of the emergency. Women rose to leadership roles, filling crucial gaps left by formal disaster responses. As one woman told us:
I mean there’s some blokes around, I’ve got to give them some credit, but, yeah, I’m amazed … it was always the women saying, what do you need? What can I help with?
And long after the disaster had passed and the media had moved on, women were still there, quietly leading sustained recovery efforts from their homes, community halls and online networks.
But while the labour of men was generally supported and recognised, the complex and difficult work of women was largely overlooked.
In February and March 2022, the region experienced catastrophic flooding and landslips. About 11,000 homes were inundated. Health care facilities were damaged and disrupted. Emergency services were overwhelmed and many communities were cut off, some for weeks.
In response, the community stepped up in extraordinary ways. Our research explored the particular contribution of women to this effort.
The research focused on the contribution of women to community recovery after the Lismore floods. Dan Peled/Getty Images
‘No one else was going to do it’
The research involved interviews with people involved in the flood response and recovery. We also examined notes from public events and transcripts from a NSW government inquiry into the floods.
We found that, despite facing immense challenges, women played an essential role in sustaining their communities during and after the crisis.
For example, they coordinated food relief, managed donation hubs, organised volunteers and provided emotional support to neighbours and strangers. As one female interviewee told us:
It was more than about food … people would just come and then we’d just hug them and they’d just cry … the food relief turned into something deeper.
Emergency-management environments are often dominated by men. As a result, female community organisers often felt excluded from formal decision-making. As one woman told us:
every face in the meeting was a white middle-aged guy with a buzz cut. And, and I was like, there is no women. There is no diversity. There was no sense of community or that whole recovery space.
One woman cited the example of a local council celebrating “men in their dinghies” who took part in a flood rescue, while failing to recognise women who collectively contributed many thousands of unpaid hours towards the recovery effort:
here we are with just simply a trillion women doing all of the childcare, all of the cooking, all of the soft labour, literally everything plus being on dinghies … and there’s just nothing for us.
Some women took unpaid leave from work to coordinate recovery activities in their communities, because, as one woman told us, “no one else was going to do it”.
Women’s roles were not limited to unskilled tasks and care work. Women also brought professional skills to the recovery effort, such as event management, IT, nursing, communications, clinical psychology, trauma healing, business management, social work and public health.
Women: there for the long term
We found while men’s involvement in disaster recovery tended to be concentrated on specific short-term rescue and response, women tended to remain active for months or even years.
For example, two years after the flooding disaster, at a gathering of grassroots community-disaster
organisers, 87% of names on the contact list were female.
Some women continued to volunteer their labour, while others managed to obtain short-term funding. Whether paid or unpaid, the women experienced overwhelm and felt exhausted by the long-term effort, and some experienced vicarious trauma. However, their sense of community responsibility prevented them from stepping back.
Rethinking who we see as leaders
The research confirms women’s contributions are consistently overlooked during and after a disaster. It reflects a broader trend in Australia, where women’s labour is historically undervalued.
Women’s disaster work – coordinating volunteers, providing emotional care and advocating for their communities – was often unsupported by government and continued long after official agencies left.
Yet, these contributions remained largely invisible.
Three years after the floods, many women in the Northern Rivers are preparing for the next emergency, and women comprise the majority of community resilience groups in the region.
Women must be recognised and supported to ensure the health and wellbeing of disaster-affected communities. The health and wellbeing of these women themselves must also be paramount.
More government and private funding is vital. Where possible, philanthropic community grants should also be expanded.
The recently formed Northern Rivers Community Resilience Alliance involves 50 grassroots groups combining to provide peer support, advocate together, seek joint funding and provide training. Such networks can provide ongoing support to community organisers.
As Earth’s climate becomes more hostile and extreme weather events become more likely, there is an urgent need to support community efforts – and to rethink who we see as leaders in times of disaster. Building resilient communities starts with recognising and resourcing the people doing the work – including local women.
The authors acknowledge Emma Pittaway, Loriana Bethune and Dominica Meade who co-authored the research upon which this article is based.
Rebecca McNaught receives funding from The Peregrine Foundation and Gender and Disasters Australia. She is a board member of not-for-profit Plan C and President of the volunteer group the South Golden Beach, New Brighton and Ocean Shores Community Resilience Team. She attends the Northern Rivers Community Resilience Alliance.
Jo Longman has received funding from the NSW State Government Disaster Risk Reduction Fund and the Healthy Environments and Lives Innovation Fund. She is affiliated as a volunteer with Plan C’s research team.
Recent cases of prolific alleged child sexual abuse in Melbourne and other Australian early childhood education and care settings have shocked even experienced people who work to prevent child sexual abuse. Parents are right to be outraged, scared and uncertain.
The most pressing issue, then, is what we do about it.
Regulation and practice is still falling short, despite all our knowledge and prior recommendations. We have the benefit of the gold-standard Royal Commission Into Institutional Responses to Child Sexual Abuse (including Volume 6 on making institutions child-safe). We can also draw on rigorous scientific work about how best to prevent child sexual abuse in child and youth-serving organisations.
Criminal history checks are essential, but many offenders will not have a criminal record. These checks are only one part of an entire safety system. Other measures are arguably even more important.
The federal government, together with states and territories, recently announced new measures. However, these are acknowledged as only a first step.
Children have a right to be safe from sexual violence. Continued failure is unacceptable. National Children’s Commissioner Anne Hollonds’ demand for a national inquiry, which can fully understand current limitations in the system and create a comprehensive blueprint for reform, is compelling.
The established evidence has already identified some of these pillars of reform. Here are ten key actions for policy-makers to create key components of safe early childhood education and care settings.
1. Policy. Every organisation needs to operate under a comprehensive policy about child safety. This should include specific guidelines for the prevention of sexual abuse. The policy should also include clear definitions and objectives, and be driven by a zero-tolerance approach.
2. Safe screening and hiring. Every organisation needs to recruit staff through rigorous processes, including criminal history checks (supported by information-sharing within and between jurisdictions). But this is only a starting point. Staff are educators and carers, not babysitters; they should be properly qualified and appropriately remunerated.
Should men be banned from employment in these settings? Employment discrimination based on gender is likely a step too far, but considerations of risk are important and children’s best interests are paramount. Nearly all sexual abuse of young children is by men, and stringent measures could be employed when recruiting men to child-related positions.
3. Code of conduct. A detailed code of conduct is essential. This is the operating manual for the organisation and its staff, and should be made available to parents. A robust code will specify what conduct is prohibited, and what is required. It will have special rules for high-risk situations – for example, bathrooms, changing clothes, physical interaction, and technology use.
4. Supervision and monitoring. A safe organisation must have appropriate measures for the implementation of the safety framework. It must also monitor the framework and its components. For example, there must be: appropriate staff supervision, recording of the approach to safety and its implementation, external auditing and oversight. Parents should be involved in oversight.
All childcare centres should have rigorous prevention, supervision and reporting procedures in place. Shutterstock
5. Environmental risk reduction. Often called “situational crime prevention”, these are actions to create safe environments. It can include measures to prohibit secluded spaces, and improve lines of sight and visibility. This can also include ensuring appropriate ratios of staff to children.
6. Reporting of suspected cases. Across Australia, there are now clear legal requirements for practitioners in these settings to report suspected cases of child sexual abuse. Every organisation needs to ensure its staff knows about these duties, and how to comply with them. Every organisation then needs to deal appropriately with any report that is made.
7. Education and training. Child sexual abuse is a complex field. Staff and leaders need high-quality education and training about child sexual abuse (including its nature, indicators and outcomes), organisational policy, reporting processes, legal and ethical obligations, and the protections they have as employees.
Good education increases knowledge, attitudes and appropriate reporting, and overcomes ignorance, apathy, fear and inaction. This education needs to be multidisciplinary, high-standard, and itself the subject of oversight and monitoring. It is not clear we have high-quality education of practitioners in Australia, both when obtaining qualifications and especially in service.
8. Leadership. We need knowledgeable and ethical leadership in child- and youth-serving organisations, and by regulators and policy-makers alike.
Knowledge about child sexual abuse, and empathy towards children and young people, are preconditions for effective and ethical responses. Organisational leaders set the tone for the broader organisation. If leaders are seen to be knowledgeable, ethical and authentically committed to child safety, it is far more likely staff will be inspired to emulate these qualities.
9. Oversight, enforcement and improvement. The entire system needs to be overseen by an effective regulatory framework and an efficient national regulator.
We need to create comprehensive and stringent regulatory requirements for provider accreditation. Providers that do not meet these standards should be compelled to meet them, or lose funding and eligibility to operate. It is insufficient to be merely “working towards” the standards.
Other accountability mechanisms should also be created; for example, owners of childcare centres could be subject to appropriate financial and other penalties.
10. Locate prevention in these settings as part of a national strategy. As a nation, we have made progress in reducing the prevalence of child sexual abuse in organisational settings. This is partly due to tighter regulation through child-safe standards, legal requirements to report suspected cases of abuse and associated better reporting, and increased social awareness.
However, no case is acceptable, and we have the capacity and duty to dramatically reduce the prospect that any individual can be a prolific offender. These prevention principles apply equally in schools and other settings serving children and youth.
We have work to do: among all Australians aged 16 and over, nationally representative data has shown one in four experienced child sexual abuse. In contemporary Australia, this abuse is still prevalent, with data from 16–24-year-olds showing one in three girls are affected, and one in seven boys. The next generation of prevention is already here, but we know what is required to meet this challenge.
This can be a turning point for Australia. The social and economic return from taking children’s rights seriously and investing in prevention far outweighs the cost of inaction. Safe, effective early childhood education and care is a nation-building strategy, both required for today’s workforce and a key factor in educating and developing young Australians.
Ben Mathews has received grant funding from the National Health and Medical Research Council, the Department of Social Services, the National Office for Child Safety in the Attorney-General’s Department, the Australian Institute of Criminology, and the National Centre for Action on Child Sexual Abuse. He takes sole responsibility for the views in this article.
Source: The Conversation (Au and NZ) – By Charlotte Gupta, Senior Postdoctoral Research Fellow, Appleton Institute, HealthWise Research Group, CQUniversity Australia
Canadian researchers recently investigated this idea in a sample of 1,082 undergraduate psychology students. The students completed a survey, which included questions about how they perceived their diet influenced their sleep and dreams.
Some 40% of participants reported certain foods impacted their sleep, with 25% of the whole sample claiming certain foods worsened their sleep, and 20% reporting certain foods improved their sleep.
Only 5.5% of respondents believed what they ate affected the nature of their dreams. But many of these people thought sweets or dairy products (such as cheese) made their dreams more strange or disturbing and worsened their sleep.
In contrast, participants reported fruits, vegetables and herbal teas led to better sleep.
This study used self-reporting, meaning the results rely on the participants recalling and reporting information about their sleep and dreams accurately. This could have affected the results.
It’s also possible participants were already familiar with the notion that cheese causes nightmares, especially given they were psychology students, many of whom may have studied sleep and dreaming.
This awareness could have made them more likely to notice or perceive their sleep was disrupted after eating dairy. In other words, the idea cheese leads to nightmares may have acted like a self-fulfilling prophecy and results may overestimate the actual likelihood of strange dreams.
Nonetheless, these findings show some people perceive a connection between what they eat and how they dream.
While there’s no evidence to prove cheese causes nightmares, there is evidence that does explain a link.
The science behind cheese and nightmares
Humans are diurnal creatures, meaning our body is primed to be asleep at night and awake during the day. Eating cheese before bed means we’re challenging the body with food at a time when it really doesn’t want to be eating.
At night, our physiological systems are not primed to digest food. For example, it takes longer for food to move through our digestive tract at night compared with during the day.
If we eat close to going to sleep, our body has to process and digest the food while we’re sleeping. This is a bit like running through mud – we can do it, but it’s slow and inefficient.
If your body is processing and digesting food instead of focusing all its resources on sleep, this can affect your shut-eye. Research has shown eating close to bedtime reduces our sleep quality, particularly our time spent in rapid eye movement (REM) sleep, which is the stage of sleep associated with vivid dreams.
People will have an even harder time digesting cheese at night if they’re lactose intolerant, which might mean they experience even greater impacts on their sleep. This follows what the Canadian researchers found in their study, with lactose intolerant participants reporting poorer sleep quality and more nightmares.
It’s important to note we might actually have vivid dreams or nightmares every night – what could change is whether we’re aware of the dreams and can remember them when we wake up.
Poor sleep quality often means we wake up more during the night. If we wake up during REM sleep, research shows we’re more likely to report vivid dreams or nightmares that we mightn’t even remember if we hadn’t woken up during them.
This is very relevant for the cheese and nightmares question. Put simply, eating before bed impacts our sleep quality, so we’re more likely to wake up during our nightmares and remember them.
Don’t panic – I’m not here to tell you to give up your cheesy evenings. But what we eat before bed can make a real difference to how well we sleep, so timing matters.
General sleep hygiene guidelines suggest avoiding meals at least two hours before bed. So even if you’re eating a very cheese-heavy meal, you have a window of time before bed to digest the meal and drift off to a nice peaceful sleep.
How about other dairy products?
Cheese isn’t the only dairy product which may influence our sleep. Most of us have heard about the benefits of having a warm glass of milk before bed.
Milk can be easier to digest than cheese. In fact, milk is a good choice in the evening, as it contains tryptophan, an amino acid that helps promote sleep.
Nonetheless, we still don’t want to be challenging our body with too much dairy before bed. Participants in the Canadian study did report nightmares after dairy, and milk close to bed might have contributed to this.
While it’s wise to steer clear of food (especially cheese) in the two hours before lights out, there’s no need to avoid cheese altogether. Enjoy that cheesy pasta or cheese board, just give your body time to digest before heading off to sleep. If you’re having a late night cheese craving, opt for something small. Your sleep (and your dreams) will thank you.
Charlotte Gupta 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.
Source: The Conversation (Au and NZ) – By Omid Ghasemi, Research Associate in Behavioural Science at the Institute for Climate Risk & Response, UNSW Sydney
New research led by Viktoria Cologna at ETH Zurich in Switzerland may help to explain what’s going on. Using data from around the world, the study suggests simple exposure to extreme weather events does not affect people’s view of climate action – but linking those events to climate change can make a big difference.
Global opinion, global weather
The new study, published in Nature Climate Change, looked at the question of extreme weather and climate opinion using two global datasets.
The first is the Trust in Science and Science-related Populism (TISP) survey, which includes responses from more than 70,000 people in 68 countries. It measures public support for climate policies and the extent that people think climate change is behind increases in extreme weather.
The second dataset estimates how much of each country’s population has been affected each year by events such as droughts, floods, heatwaves and storms. These estimates are based on detailed models and historical climate records.
Public support for climate policies
The survey measured public support for climate policy by asking people how much they supported five specific actions to cut carbon emissions. These included raising carbon taxes, improving public transport, using more renewable energy, protecting forests and land, and taxing carbon-heavy foods.
Responses ranged from 1 (not at all) to 3 (very much). On average, support was fairly strong, with an average rating of 2.37 across the five policies. Support was especially high in parts of South Asia, Africa, the Americas and Oceania, but lower in countries such as Russia, Czechia and Ethiopia.
Exposure to extreme weather events
The study found most people around the world have experienced heatwaves and heavy rainfall in recent decades. Wildfires affected fewer people in many European and North American countries, but were more common in parts of Asia, Africa and Latin America.
Cyclones mostly impacted North America and Asia, while droughts affected large populations in Asia, Latin America and Africa. River flooding was widespread across most regions, except Oceania.
Do people in countries with higher exposure to extreme weather events show greater support for climate policies? This study found they don’t.
In most cases, living in a country where more people are exposed to disasters was not reflected in stronger support for climate action.
Wildfires were the only exception. Countries with more wildfire exposure showed slightly higher support, but this link disappeared once factors such as land size and overall climate belief were considered.
In short, just experiencing more disasters does not seem to translate into increased support for mitigation efforts.
Seeing the link between weather and climate change
In the global survey, people were asked how much they think climate change has increased the impact of extreme weather over recent decades. On average, responses were moderately high (3.8 out of 5) suggesting that many people do link recent weather events to climate change.
Such an attribution was especially strong in Latin America, but lower in parts of Africa (such as Congo and Ethiopia) and Northern Europe (such as Finland and Norway).
Crucially, people who more strongly believed climate change had worsened these events were also more likely to support climate policies. In fact, this belief mattered more for policy support than whether they had actually experienced the events firsthand.
Prior research shows less dramatic and chronic events like rainfall or temperature anomalies have less influence on public views than more acute hazards like floods or bushfires. Even then, the influence on beliefs and behaviour tends to be slow and limited.
This study shows climate impacts alone may not change minds. However, it also highlights what may affect public thinking: helping people recognise the link between climate change and extreme weather events.
In countries such as Australia, climate change makes up only about 1% of media coverage. What’s more, most of the coverage focuses on social or political aspects rather than scientific, ecological, or economic impacts.
Omid Ghasemi receives funding from the Australian Academy of Science. He was a member of the TISP consortium and a co-author of the dataset used in this study.
ER Report: Here is a summary of significant articles published on EveningReport.nz on July 3, 2025.
Childcare sexual abuse is mostly committed by men. Failing to recognise that puts children at risk Source: The Conversation (Au and NZ) – By Delanie Woodlock, Senior research fellow, UNSW Sydney Australians are reeling from the news that Victorian childcare worker Joshua Dale Brown has been charged with more than 70 offences against children, including rape. As 1,200 children await results for sexually transmitted infections, a horror no parent should ever
Overtourism is reshaping communities in Europe – could Australia be next? Source: The Conversation (Au and NZ) – By Freya Higgins-Desbiolles, Adjunct professor and adjunct senior lecturer in tourism management, University of South Australia Bumble Dee/Shutterstock A media frenzy erupted over the recent Jeff Bezos “wedding of the century” in Venice. Also notable were the public protests that showed tensions around tourism, especially mass tourism, are
How should I talk to my kids about abuse and body safety? Source: The Conversation (Au and NZ) – By Elizabeth Westrupp, Associate Professor in Psychology, Deakin University Jose Luis Peleaz/Getty Hearing about child abuse in trusted places such as childcare centres is every parent’s worst nightmare. So, how can we talk to our kids about it and help them stay safe? While it’s not always possible
Creative Australia’s backflip on Venice Biennale representatives exposes deep governance failures Source: The Conversation (Au and NZ) – By Samuel Cairnduff, Lecturer in Media and Communications, The University of Melbourne The reinstatement of artist Khaled Sabsabi and curator Michael Dagostino as Australia’s representatives for the 2026 Venice Biennale closes a bruising recent cultural episode and exposes the fragility of the systems meant to protect artistic freedom
Catholic Church warns against PNG declaring itself a ‘Christian country’ By Reinhard Minong in Port Moresby The Catholic Church has strongly warned against Papua New Guinea’s political rhetoric and push to declare the nation a Christian country, saying such a move threatens constitutional freedoms and risks dangerous implications for the country’s future. Speaking before the Permanent Parliamentary Committee on Communication on Tuesday at Rapopo during
Antarctic research is in decline, and the timing couldn’t be worse Source: The Conversation (Au and NZ) – By Elizabeth Leane, Professor of Antarctic Studies, School of Humanities, University of Tasmania Oleksandr Matsibura/Shutterstock Ice loss in Antarctica and its impact on the planet – sea level rise, changes to ocean currents and disturbance of wildlife and food webs – has been in the news a lot
Homes are more than walls and a roof, especially for Indigenous people. It’s time housing policy reflects that Source: The Conversation (Au and NZ) – By Giles Gunesekera, PhD Researcher, University of Technology Sydney Australia is experiencing a housing crisis. But for many Aboriginal and Torres Strait Islander people, the challenge runs deeper than high rents and limited supply. A major problem is that housing in Australia is rarely designed with Indigenous communities
Fallout: Spies on Norfolk Island – SBS podcast Pacific Media Watch In July 1985, Australia’s Pacific territory of Norfolk Island (pop. 2188) became the centre of a real life international spy thriller. Four French agents sailed there on board the Ouvéa, a yacht from Kanaky New Caledonia, after bombing the Rainbow Warrior in Auckland, killing Greenpeace photographer Fernando Pereira. The Rainbow Warrior was
Trump is not like other presidents – but can he beat the ‘second term curse’ that haunts the White House? Source: The Conversation (Au and NZ) – By Garritt C. Van Dyk, Senior Lecturer in History, University of Waikato Getty Images While he likes to provoke opponents with the possibility of serving a third term, Donald Trump faces a more immediate historical burden that has plagued so many presidents: the “second term curse”. Twenty-one US
More and more tourists are flocking to Antarctica. Let’s stop it from being loved to death Source: The Conversation (Au and NZ) – By Darla Hatton MacDonald, Professor of Environmental Economics, University of Tasmania VCG via Getty Images The number of tourists heading to Antarctica has been skyrocketing. From fewer than 8,000 a year about three decades ago, nearly 125,000 tourists flocked to the icy continent in 2023–24. The trend is
Australia’s superannuation regulator is worried about your fund’s spending. Should you be? Source: The Conversation (Au and NZ) – By Mark Melatos, Associate Professor of Economics, University of Sydney GettyImages skynesher/Getty Australia’s superannuation regulator has written to Australian superannuation funds raising concerns their spending might not be benefiting members. The Australian Prudential Regulation Authority is not just concerned with the type of expenses, but with the corporate
Thumbs up: good or passive aggressive? How emojis became the most confusing kind of online language Source: The Conversation (Au and NZ) – By Brittany Ferdinands, Lecturer in Digital Content Creation, Discipline of Media and Communications, University of Sydney The Conversation, CC BY Emojis, as well as memes and other forms of short-form content, have become central to how we express ourselves and connect online. Yet as meanings shift across different
Lung cancer screening hopes to save lives. But we also need to watch for possible harms Source: The Conversation (Au and NZ) – By Katy Bell, Professor of Clinical Epidemiology, Sydney School of Public Health, University of Sydney There is much to commend about Australia’s lung cancer screening program, which started on July 1. The program is based on gold-standard trial evidence showing this type of screening is likely to reduce
Uganda’s ride-hailing motorbike service promised safety – but drivers are under pressure to speed Source: The Conversation (Au and NZ) – By Rich Mallett, Research Associate and Independent Researcher, ODI Global Motorcycle-taxis are one of the fastest and most convenient ways to get around Uganda’s congested capital, Kampala. But they are also the most dangerous. Though they account for one-third of public transport trips taking place within the city,
Philadelphia’s $2B affordable housing plan relies heavily on municipal bonds, which can come with hidden costs for taxpayers Source: The Conversation (Au and NZ) – By Jade Craig, Assistant Professor of Law, University of Mississippi The Parker administration says it will issue $800 million in bonds over the next four years to fund affordable housing. Jeff Fusco/The Conversation, CC BY-NC-SA Philadelphia Mayor Cherelle Parker’s Housing Opportunities Made Easy initiative, which was included in
Around 250 million years ago, Earth was near-lifeless and locked in a hothouse state. Now scientists know why Source: The Conversation (Au and NZ) – By Andrew Merdith, DECRA Fellow, School of Earth Sciences, University of Adelaide Some 252 million years ago, almost all life on Earth disappeared. Known as the Permian–Triassic mass extinction – or the Great Dying – this was the most catastrophic of the five mass extinction events recognised in
Politics with Michelle Grattan: Kerrynne Liddle on seizing more opportunities with Indigenous Australians Source: The Conversation (Au and NZ) – By Michelle Grattan, Professorial Fellow, University of Canberra From this Sunday, Australians will be celebrating NAIDOC Week, which marks its 50th anniversary this year. The week highlights the achievements, history and culture of Australia’s First Peoples. It’s also a time to reflect on the huge effort needed to
Supervision gaps can lead to child abuse – what can be done? Source: The Conversation (Au and NZ) – By Marg Rogers, Senior Lecturer, Early Childhood Education; Post Doctoral Fellow, Manna Institute, University of New England Suwatchai Pluemruetai/Shutterstock The horrific allegations of child abuse by an early childhood educator in Victoria came to light at a time when the early learning sector was already under fire for
Trump’s ‘big beautiful bill’ has passed the US Senate – these are the winners and losers Source: The Conversation (Au and NZ) – By Lester Munson, Non-Resident Fellow, United States Studies Centre, University of Sydney Igor Link/Shutterstock One of the unique aspects of Washington life is a Senate “vote-a-rama,” in which the upper house of Congress tortures itself by pulling a marathon all-nighter of speeches, amendments and votes on a critical
Tonga cybersecurity attack wake-up call for Pacific, warns expert By Teuila Fuatai, RNZ Pacific senior journalist A Tongan cybersecurity expert says the country’s health data hack is a “wake-up call” for the whole region. Siosaia Vaipuna, a former director of Tonga’s cybersecurity agency, spoke to RNZ Pacific in the wake of the June 15 cyberattack on the country’s Health Ministry. Vaipuna said Tonga and
ER Report: Here is a summary of significant articles published on EveningReport.nz on July 3, 2025.
Childcare sexual abuse is mostly committed by men. Failing to recognise that puts children at risk Source: The Conversation (Au and NZ) – By Delanie Woodlock, Senior research fellow, UNSW Sydney Australians are reeling from the news that Victorian childcare worker Joshua Dale Brown has been charged with more than 70 offences against children, including rape. As 1,200 children await results for sexually transmitted infections, a horror no parent should ever
Overtourism is reshaping communities in Europe – could Australia be next? Source: The Conversation (Au and NZ) – By Freya Higgins-Desbiolles, Adjunct professor and adjunct senior lecturer in tourism management, University of South Australia Bumble Dee/Shutterstock A media frenzy erupted over the recent Jeff Bezos “wedding of the century” in Venice. Also notable were the public protests that showed tensions around tourism, especially mass tourism, are
How should I talk to my kids about abuse and body safety? Source: The Conversation (Au and NZ) – By Elizabeth Westrupp, Associate Professor in Psychology, Deakin University Jose Luis Peleaz/Getty Hearing about child abuse in trusted places such as childcare centres is every parent’s worst nightmare. So, how can we talk to our kids about it and help them stay safe? While it’s not always possible
Creative Australia’s backflip on Venice Biennale representatives exposes deep governance failures Source: The Conversation (Au and NZ) – By Samuel Cairnduff, Lecturer in Media and Communications, The University of Melbourne The reinstatement of artist Khaled Sabsabi and curator Michael Dagostino as Australia’s representatives for the 2026 Venice Biennale closes a bruising recent cultural episode and exposes the fragility of the systems meant to protect artistic freedom
Catholic Church warns against PNG declaring itself a ‘Christian country’ By Reinhard Minong in Port Moresby The Catholic Church has strongly warned against Papua New Guinea’s political rhetoric and push to declare the nation a Christian country, saying such a move threatens constitutional freedoms and risks dangerous implications for the country’s future. Speaking before the Permanent Parliamentary Committee on Communication on Tuesday at Rapopo during
Antarctic research is in decline, and the timing couldn’t be worse Source: The Conversation (Au and NZ) – By Elizabeth Leane, Professor of Antarctic Studies, School of Humanities, University of Tasmania Oleksandr Matsibura/Shutterstock Ice loss in Antarctica and its impact on the planet – sea level rise, changes to ocean currents and disturbance of wildlife and food webs – has been in the news a lot
Homes are more than walls and a roof, especially for Indigenous people. It’s time housing policy reflects that Source: The Conversation (Au and NZ) – By Giles Gunesekera, PhD Researcher, University of Technology Sydney Australia is experiencing a housing crisis. But for many Aboriginal and Torres Strait Islander people, the challenge runs deeper than high rents and limited supply. A major problem is that housing in Australia is rarely designed with Indigenous communities
Fallout: Spies on Norfolk Island – SBS podcast Pacific Media Watch In July 1985, Australia’s Pacific territory of Norfolk Island (pop. 2188) became the centre of a real life international spy thriller. Four French agents sailed there on board the Ouvéa, a yacht from Kanaky New Caledonia, after bombing the Rainbow Warrior in Auckland, killing Greenpeace photographer Fernando Pereira. The Rainbow Warrior was
Trump is not like other presidents – but can he beat the ‘second term curse’ that haunts the White House? Source: The Conversation (Au and NZ) – By Garritt C. Van Dyk, Senior Lecturer in History, University of Waikato Getty Images While he likes to provoke opponents with the possibility of serving a third term, Donald Trump faces a more immediate historical burden that has plagued so many presidents: the “second term curse”. Twenty-one US
More and more tourists are flocking to Antarctica. Let’s stop it from being loved to death Source: The Conversation (Au and NZ) – By Darla Hatton MacDonald, Professor of Environmental Economics, University of Tasmania VCG via Getty Images The number of tourists heading to Antarctica has been skyrocketing. From fewer than 8,000 a year about three decades ago, nearly 125,000 tourists flocked to the icy continent in 2023–24. The trend is
Australia’s superannuation regulator is worried about your fund’s spending. Should you be? Source: The Conversation (Au and NZ) – By Mark Melatos, Associate Professor of Economics, University of Sydney GettyImages skynesher/Getty Australia’s superannuation regulator has written to Australian superannuation funds raising concerns their spending might not be benefiting members. The Australian Prudential Regulation Authority is not just concerned with the type of expenses, but with the corporate
Thumbs up: good or passive aggressive? How emojis became the most confusing kind of online language Source: The Conversation (Au and NZ) – By Brittany Ferdinands, Lecturer in Digital Content Creation, Discipline of Media and Communications, University of Sydney The Conversation, CC BY Emojis, as well as memes and other forms of short-form content, have become central to how we express ourselves and connect online. Yet as meanings shift across different
Lung cancer screening hopes to save lives. But we also need to watch for possible harms Source: The Conversation (Au and NZ) – By Katy Bell, Professor of Clinical Epidemiology, Sydney School of Public Health, University of Sydney There is much to commend about Australia’s lung cancer screening program, which started on July 1. The program is based on gold-standard trial evidence showing this type of screening is likely to reduce
Uganda’s ride-hailing motorbike service promised safety – but drivers are under pressure to speed Source: The Conversation (Au and NZ) – By Rich Mallett, Research Associate and Independent Researcher, ODI Global Motorcycle-taxis are one of the fastest and most convenient ways to get around Uganda’s congested capital, Kampala. But they are also the most dangerous. Though they account for one-third of public transport trips taking place within the city,
Philadelphia’s $2B affordable housing plan relies heavily on municipal bonds, which can come with hidden costs for taxpayers Source: The Conversation (Au and NZ) – By Jade Craig, Assistant Professor of Law, University of Mississippi The Parker administration says it will issue $800 million in bonds over the next four years to fund affordable housing. Jeff Fusco/The Conversation, CC BY-NC-SA Philadelphia Mayor Cherelle Parker’s Housing Opportunities Made Easy initiative, which was included in
Around 250 million years ago, Earth was near-lifeless and locked in a hothouse state. Now scientists know why Source: The Conversation (Au and NZ) – By Andrew Merdith, DECRA Fellow, School of Earth Sciences, University of Adelaide Some 252 million years ago, almost all life on Earth disappeared. Known as the Permian–Triassic mass extinction – or the Great Dying – this was the most catastrophic of the five mass extinction events recognised in
Politics with Michelle Grattan: Kerrynne Liddle on seizing more opportunities with Indigenous Australians Source: The Conversation (Au and NZ) – By Michelle Grattan, Professorial Fellow, University of Canberra From this Sunday, Australians will be celebrating NAIDOC Week, which marks its 50th anniversary this year. The week highlights the achievements, history and culture of Australia’s First Peoples. It’s also a time to reflect on the huge effort needed to
Supervision gaps can lead to child abuse – what can be done? Source: The Conversation (Au and NZ) – By Marg Rogers, Senior Lecturer, Early Childhood Education; Post Doctoral Fellow, Manna Institute, University of New England Suwatchai Pluemruetai/Shutterstock The horrific allegations of child abuse by an early childhood educator in Victoria came to light at a time when the early learning sector was already under fire for
Trump’s ‘big beautiful bill’ has passed the US Senate – these are the winners and losers Source: The Conversation (Au and NZ) – By Lester Munson, Non-Resident Fellow, United States Studies Centre, University of Sydney Igor Link/Shutterstock One of the unique aspects of Washington life is a Senate “vote-a-rama,” in which the upper house of Congress tortures itself by pulling a marathon all-nighter of speeches, amendments and votes on a critical
Tonga cybersecurity attack wake-up call for Pacific, warns expert By Teuila Fuatai, RNZ Pacific senior journalist A Tongan cybersecurity expert says the country’s health data hack is a “wake-up call” for the whole region. Siosaia Vaipuna, a former director of Tonga’s cybersecurity agency, spoke to RNZ Pacific in the wake of the June 15 cyberattack on the country’s Health Ministry. Vaipuna said Tonga and
Tenzin Gyatso, the 14th Dalai Lama, turns 90 this week – a milestone that’s reigniting speculation over his eventual successor.
While the Dalai Lama is the face of Buddhism to many people across the world, he is actually the head of just one tradition within Tibetan Buddhism known as the Gelug school.
Tibetans believe the Dalai Lama to be the manifestation of Avalokiteśvara, the bodhisattva of compassion, and the “one who hears the cries of the world”.
In Buddhism, a bodhisattva is a person, or a mythic representation of a person, who denies themselves enlightenment until all beings can achieve enlightenment. Avalokiteśvara appears to living beings in whatever form could best save them.
Although Avalokiteśvara originated in India as a man, they can be depicted as either a man, woman, or non-binary being. This gender fluidity has led to them being revered as a trans icon in the West.
I have spent the past five years investigating the lives of queer Buddhists in Australia. As part of this research, I have surveyed and interviewed 109 LGBTQIA+ Buddhist Australians.
The words of these individuals, and my own experience as a genderqueer Buddhist person, reveal how the Dalai Lama emerges an an unlikely inspiration for individuals sharing a trans and Buddhist identity.
The Big Buddha is a large bronze sculpture located near the Po Lin Monastery on Lantau Island, Hong Kong. Joshua J. Cotten/Unsplash
Letting go of binaries
Through my work I have found LGBTQIA+ Buddhist Australians are generally reluctant to disclose their queer identities to their Buddhist communities, and may be told to remain silent about their identities.
For some, Avalokiteśvara’s gender fluidity has been important for reaffirming both their queer and Buddhist selves.
One Buddhist trans woman, Annie*, told me Guanyin had special significance for her. Annie spoke about Avalokiteśvara travelling from India to China as a male, before “transitioning” to the mainly female presentation of Guanyin over centuries. Annie said:
I pray to her regularly and often find I get a response. Of course the enlightened state is beyond all manner of worldly binaries, including gender, and is immensely important in letting go of binaries in my journey towards enlightenment.
Walter* has had a long fascination with depictions of Avalokiteśvara that “showed ‘him’ looking effeminate and handsome, with a cute moustache […] A little bit homoerotic, a little bit provocatively gender fluid, as seen through my eyes”.
Walter adds:
A great many people in different cultures, across history, worship these figures. Clever how this figure can morph into a radical trans! We all want to feel comforted, safe and saved from suffering.
As queer Buddhists, we turn to to Avalokitesvara to feel “comforted, safe and saved”.
Another interviewee, Brian*, told me about a Tibetan invocation practice he did with a senior Tibetan monk, in which he encountered Guanyin:
[She] took my right hand and passed some sort of power into it. She never spoke to me but just returned the way she had come. I was given some sort of gift, that’s all I know.
Since this experience, Brian has “always felt a strong connection to the feminine through her”. He has a special Guanyin altar on his farm.
You can’t be what you can’t see
Some Buddhists deny Avalokiteśvara’s queerness.
Asher*, a genderqueer Buddhist I interviewed, told me about a teacher who said to them, “there was absolutely no way a gay person could be enlightened”.
Asher retorted:
What about Kanzeon, the bodhisattva of compassion, who has manifested as both male and female and, in the stories from Japan, has had erotic relationships with monks?
The teacher dismissed this, replying, “those are just stories”.
A black statue of Avalokiteśvara outside a Japanese temple. Wikimedia, CC BY
In her 1996 book Transgender Warriors, trans activist Leslie Feinberg writes: “I couldn’t find myself in history. No one like me seemed to have ever existed.”
Similarly, Annie evoked the statement: “You can’t be what you can’t see.”
I, too, experience this need to see myself as a genderqueer, non-binary practitioner of Zen Buddhism. It was only through doing these interviews with other queer Buddhists that I came to realise Guanyin, a trans icon, is a statuette which adorns the altar of the Buddhist group I belong to.
Knowing Avalokitesvara may be depicted as a man, woman, or non-binary being lets us queer Buddhists know we exist – and have always existed – within Buddhism.
Despite being a cisgender man who has been somewhatinconsistent in his support of queer people, the Dalai Lama, as the manifestation of the bodhisattva of compassion, is a possible spiritual link between today’s queer Buddhists and centuries-long traditions of gender transition and fluidity.
*Names have been changed.
Stephen Kerry 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.
Tenzin Gyatso, the 14th Dalai Lama, turns 90 this week – a milestone that’s reigniting speculation over his eventual successor.
While the Dalai Lama is the face of Buddhism to many people across the world, he is actually the head of just one tradition within Tibetan Buddhism known as the Gelug school.
Tibetans believe the Dalai Lama to be the manifestation of Avalokiteśvara, the bodhisattva of compassion, and the “one who hears the cries of the world”.
In Buddhism, a bodhisattva is a person, or a mythic representation of a person, who denies themselves enlightenment until all beings can achieve enlightenment. Avalokiteśvara appears to living beings in whatever form could best save them.
Although Avalokiteśvara originated in India as a man, they can be depicted as either a man, woman, or non-binary being. This gender fluidity has led to them being revered as a trans icon in the West.
I have spent the past five years investigating the lives of queer Buddhists in Australia. As part of this research, I have surveyed and interviewed 109 LGBTQIA+ Buddhist Australians.
The words of these individuals, and my own experience as a genderqueer Buddhist person, reveal how the Dalai Lama emerges an an unlikely inspiration for individuals sharing a trans and Buddhist identity.
The Big Buddha is a large bronze sculpture located near the Po Lin Monastery on Lantau Island, Hong Kong. Joshua J. Cotten/Unsplash
Letting go of binaries
Through my work I have found LGBTQIA+ Buddhist Australians are generally reluctant to disclose their queer identities to their Buddhist communities, and may be told to remain silent about their identities.
For some, Avalokiteśvara’s gender fluidity has been important for reaffirming both their queer and Buddhist selves.
One Buddhist trans woman, Annie*, told me Guanyin had special significance for her. Annie spoke about Avalokiteśvara travelling from India to China as a male, before “transitioning” to the mainly female presentation of Guanyin over centuries. Annie said:
I pray to her regularly and often find I get a response. Of course the enlightened state is beyond all manner of worldly binaries, including gender, and is immensely important in letting go of binaries in my journey towards enlightenment.
Walter* has had a long fascination with depictions of Avalokiteśvara that “showed ‘him’ looking effeminate and handsome, with a cute moustache […] A little bit homoerotic, a little bit provocatively gender fluid, as seen through my eyes”.
Walter adds:
A great many people in different cultures, across history, worship these figures. Clever how this figure can morph into a radical trans! We all want to feel comforted, safe and saved from suffering.
As queer Buddhists, we turn to to Avalokitesvara to feel “comforted, safe and saved”.
Another interviewee, Brian*, told me about a Tibetan invocation practice he did with a senior Tibetan monk, in which he encountered Guanyin:
[She] took my right hand and passed some sort of power into it. She never spoke to me but just returned the way she had come. I was given some sort of gift, that’s all I know.
Since this experience, Brian has “always felt a strong connection to the feminine through her”. He has a special Guanyin altar on his farm.
You can’t be what you can’t see
Some Buddhists deny Avalokiteśvara’s queerness.
Asher*, a genderqueer Buddhist I interviewed, told me about a teacher who said to them, “there was absolutely no way a gay person could be enlightened”.
Asher retorted:
What about Kanzeon, the bodhisattva of compassion, who has manifested as both male and female and, in the stories from Japan, has had erotic relationships with monks?
The teacher dismissed this, replying, “those are just stories”.
A black statue of Avalokiteśvara outside a Japanese temple. Wikimedia, CC BY
In her 1996 book Transgender Warriors, trans activist Leslie Feinberg writes: “I couldn’t find myself in history. No one like me seemed to have ever existed.”
Similarly, Annie evoked the statement: “You can’t be what you can’t see.”
I, too, experience this need to see myself as a genderqueer, non-binary practitioner of Zen Buddhism. It was only through doing these interviews with other queer Buddhists that I came to realise Guanyin, a trans icon, is a statuette which adorns the altar of the Buddhist group I belong to.
Knowing Avalokitesvara may be depicted as a man, woman, or non-binary being lets us queer Buddhists know we exist – and have always existed – within Buddhism.
Despite being a cisgender man who has been somewhatinconsistent in his support of queer people, the Dalai Lama, as the manifestation of the bodhisattva of compassion, is a possible spiritual link between today’s queer Buddhists and centuries-long traditions of gender transition and fluidity.
*Names have been changed.
Stephen Kerry 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.
Source: The Conversation (Au and NZ) – By Freya Higgins-Desbiolles, Adjunct professor and adjunct senior lecturer in tourism management, University of South Australia
Also notable were the public protests that showed tensions around tourism, especially mass tourism, are increasing. Leading the action was the activist collective No space for Bezos, which declared:
[This wedding] is at the expense of those who live, work, and study in this city [and who are] already faced with countless difficulties after years of mass tourism.
They complained Venice had been turned into a “private amusement park” for the rich. Locals were fighting for what they describe as a “living Venice”, not a tourism playground.
The backlash against overtourism is sparking protests across several countries. It has even prompted the US State Department to urge travellers to be cautious when heading to Europe this summer.
Growth at all costs
Local residents feel their communities are being reshaped to cater for visitors, and are pushing back against what they call the “touristification” of place.
Touristification describes a situation where locals fear their home towns and cities are being developed, designed and managed to attract and accommodate tourists.
This touristification process benefits commerce and industries that profit from catering to visitors. Everyone else misses out, or is literally pushed out by rising housing costs.
At the heart of this polarising issue are some key questions. Are such places “tourism destinations” or do they belong to the local people who live there? Whose interests should prevail when tourism growth exacerbates tensions?
Continual growth in tourism is one of the guiding principles the industry promotes. It is this “growth fetish” that is catalysing overtourism and unsustainability. This is when tourism exceeds the local social and ecological carrying capacity of a place.
It means there are simply too many tourists, and the impact is poorly managed.
Aussie hotspots
The dynamics of overtourism are emerging in some Australian locations. This includes popular coastal destinations such as Byron Bay and small towns along the scenic Great Ocean Road.
Some places are overwhelmed by short-term overtourism. This may be the result of mega cruise ship visits or viral postings on social media, such as images of Western Australia’s popular pink lakes.
Byron Bay offers a telling example. It has evolved from a place attractive for alternative lifestyles, to a magnet for social media influencers and the location for the Netflix series Byron Baes.
Not surprisingly, there is growing local resistance to tourism overwhelming the sense of place.
Is Australia in danger of touristification?
If we aren’t careful, popular opposition to mass tourism will continue to grow here in Australia.
But whether we see the European phenomenon of touristification is harder to discern.
It may already be evident when environmental and social regulations are overturned to make development processes more friendly to the tourism industry.
Projects can be fast tracked if they are declared a high-priority “major development”, which allows governments to override restrictive regulations. Anti-red-tape rhetoric is clear in Queensland’s tourism strategy harnessing the growth power of the 2032 Olympic and Paralympic Games.
Another example of touristification may be when taxpayer-funded events are run for branding presence on a national or international stage rather, than for the benefit of the surrounding community.
For example, the South Australian government found itself in hot water when its tourism commission held a marketing event featuring a Sam Smith concert at d’Arenberg winery. Social media influencers were invited to attend – many from interstate with all expenses paid – but locals weren’t welcome.
It also occurs when public commons are appropriated for tourism purposes, including national parks and protected areas, public spaces and beaches.
Another example – again from South Australia – involves the decision to move the annual LIV Golf tournament to the Adelaide Parklands from 2028. The state government is being accused of a public land grab. The Adelaide community loves these heritage listed parklands and has resisted attempts to co-opt their use for private interests for decades.
Reclaimining a sense of place
Ultimately, in places like Venice, Bali and even in Byron Bay, local communities do not feel heard or empowered by tourism models which are focused on growth.
Their protest actions are designed to ensure their quality of life is not undermined in the process of catering to tourists. It is a struggle for reclaiming places as local people’s homes, rather than as tourist destinations.
While locations can be shared, tourism must be better managed so locals don’t find their homes unrecognisable – or even worse, find themselves displaced.
Freya Higgins-Desbiolles is a collaborator on a project led by colleagues at the University of the Balearic Islands entitled ‘Chronic Emergencies and Ecosocial Transformations in Touristified Coastal Spaces’. This article is part of the R+D+i PID2022-137648OB-C21 financed by MICIU/AEI/ 10.13039/501100011033 and by “ERDF, EU”.
Australians are reeling from the news that Victorian childcare worker Joshua Dale Brown has been charged with more than 70 offences against children, including rape.
As 1,200 children await results for sexually transmitted infections, a horror no parent should ever face, media commentary has begun to focus on how this case might have implications for male childcare workers.
Early childhood education is a heavily female-dominated field, and past inquiries into child sexual abuse by male educators have found that, in efforts to avoid appearing discriminatory, male workers are often subject to less scrutiny. This dynamic is compounded by efforts for gender balance in childcare, particularly for the perceived benefits of male role models.
Ironically, this fear of seeming biased can create the very conditions that offenders exploit – grooming colleagues, parents and children to commit abuse while hidden in plain sight.
While it is an uncomfortable fact to confront, research shows men with a sexual interest in children are disproportionately more likely to work with children, including in early education and care. Recent data show that one in 20 men in the Australian community are motivated offenders (individuals who reported both sexual interest in and offending against children). However, they are almost three times more likely to work with children compared to other men.
Unfortunately, systematic data on child sexual abuse in childcare settings are limited. However, existing findings align with the only comprehensive study conducted on this issue, which followed the highly publicised McMartin Preschool trial in the United States.
This study examined cases from 1983 to 1985, and identified 270 daycare centres where 1,639 children were found to have experienced substantiated sexual abuse. Although men made up only about 5% of childcare staff, they were responsible for 60% of the offences. The abuse was often severe, with 93% of victims subjected to some form of penetrative sexual violence.
Those who deliberately pursue employment with children to abuse them are often referred to as “professional perpetrators”. These individuals typically have multiple victims and pose a high risk of repeated harm.
In our current research on serial child sex offenders in childcare settings in Australia and internationally, we identified six cases involving between seven and 87 confirmed victims under the age of five. Five of the offenders were male and one was female. Together, they sexually abused at least 245 children.
There were striking similarities across these cases. Offenders primarily targeted pre-verbal children, evaded detection for long periods, and were only exposed through external investigations, most often related to the possession and distribution of child sexual abuse material.
Much like the details emerging from the case of Joshua Dale Brown in Victoria, none of these offenders was uncovered through internal safeguarding systems.
As is also alleged in the case of Brown, the perpetrators in our case studies were not isolated offenders. They were operating within online communities that normalise and reinforce abusive behaviour and the sharing of child sex abuse material of children who were in their care.
Research shows child sex offenders typically target pre-verbal children in their care. Shutterstock
If, as some suggest, male workers are subject to close and sometimes unfair scrutiny, these cases highlight a troubling contradiction. Despite this purported scrutiny, child sexual abuse by male staff can and does occur over extended periods without detection in childcare settings. In fact, evidence from another case suggests staff are often hesitant to raise concerns about male colleagues for fear of being perceived as discriminatory.
It is important to highlight that although women comprise a small minority of child sexual abuse offenders, the reluctance to view women, particularly mothers, as potential perpetrators can also contribute to such abuse going undetected.
There also needs to be greater awareness of how these offenders infiltrate and groom institutions. In the case studies we analysed, offenders were seen as kind and competent workers. They were often friendly with management or held senior positions themselves, and would socialise outside of work with families whose children they cared for. Even when whistleblowers raised an alarm about the offenders, these concerns were often dismissed, with some offenders even being promoted.
While most child sexual abuse occurs within families, institutional abuse is no less serious. Unlike families, institutions that work with children can be effectively regulated, making such abuse entirely preventable through robust and consistently enforced safeguarding measures.
Since children under five may not be developmentally capable of reporting abuse, safeguards must be proactive and preventative. Childcare centres should implement surveillance measures in most areas and observe the “four eyes” rule, requiring at least two adults to be present during nappy changes and other care tasks. A strict no-phone policy could also reduce the risk of image-based offences.
Moreover, we must confront the uncomfortable truth that some men are drawn to work with children because of a sexual interest in them. Truly centring child protection in early education means prioritising children’s safety above profit, reputational concerns, and fears of appearing biased against men. Preventing child sexual abuse in childcare is not only possible, it is a collective responsibility we must all uphold.
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.
Australians are reeling from the news that Victorian childcare worker Joshua Dale Brown has been charged with more than 70 offences against children, including rape.
As 1,200 children await results for sexually transmitted infections, a horror no parent should ever face, media commentary has begun to focus on how this case might have implications for male childcare workers.
Early childhood education is a heavily female-dominated field, and past inquiries into child sexual abuse by male educators have found that, in efforts to avoid appearing discriminatory, male workers are often subject to less scrutiny. This dynamic is compounded by efforts for gender balance in childcare, particularly for the perceived benefits of male role models.
Ironically, this fear of seeming biased can create the very conditions that offenders exploit – grooming colleagues, parents and children to commit abuse while hidden in plain sight.
While it is an uncomfortable fact to confront, research shows men with a sexual interest in children are disproportionately more likely to work with children, including in early education and care. Recent data show that one in 20 men in the Australian community are motivated offenders (individuals who reported both sexual interest in and offending against children). However, they are almost three times more likely to work with children compared to other men.
Unfortunately, systematic data on child sexual abuse in childcare settings are limited. However, existing findings align with the only comprehensive study conducted on this issue, which followed the highly publicised McMartin Preschool trial in the United States.
This study examined cases from 1983 to 1985, and identified 270 daycare centres where 1,639 children were found to have experienced substantiated sexual abuse. Although men made up only about 5% of childcare staff, they were responsible for 60% of the offences. The abuse was often severe, with 93% of victims subjected to some form of penetrative sexual violence.
Those who deliberately pursue employment with children to abuse them are often referred to as “professional perpetrators”. These individuals typically have multiple victims and pose a high risk of repeated harm.
In our current research on serial child sex offenders in childcare settings in Australia and internationally, we identified six cases involving between seven and 87 confirmed victims under the age of five. Five of the offenders were male and one was female. Together, they sexually abused at least 245 children.
There were striking similarities across these cases. Offenders primarily targeted pre-verbal children, evaded detection for long periods, and were only exposed through external investigations, most often related to the possession and distribution of child sexual abuse material.
Much like the details emerging from the case of Joshua Dale Brown in Victoria, none of these offenders was uncovered through internal safeguarding systems.
As is also alleged in the case of Brown, the perpetrators in our case studies were not isolated offenders. They were operating within online communities that normalise and reinforce abusive behaviour and the sharing of child sex abuse material of children who were in their care.
Research shows child sex offenders typically target pre-verbal children in their care. Shutterstock
If, as some suggest, male workers are subject to close and sometimes unfair scrutiny, these cases highlight a troubling contradiction. Despite this purported scrutiny, child sexual abuse by male staff can and does occur over extended periods without detection in childcare settings. In fact, evidence from another case suggests staff are often hesitant to raise concerns about male colleagues for fear of being perceived as discriminatory.
It is important to highlight that although women comprise a small minority of child sexual abuse offenders, the reluctance to view women, particularly mothers, as potential perpetrators can also contribute to such abuse going undetected.
There also needs to be greater awareness of how these offenders infiltrate and groom institutions. In the case studies we analysed, offenders were seen as kind and competent workers. They were often friendly with management or held senior positions themselves, and would socialise outside of work with families whose children they cared for. Even when whistleblowers raised an alarm about the offenders, these concerns were often dismissed, with some offenders even being promoted.
While most child sexual abuse occurs within families, institutional abuse is no less serious. Unlike families, institutions that work with children can be effectively regulated, making such abuse entirely preventable through robust and consistently enforced safeguarding measures.
Since children under five may not be developmentally capable of reporting abuse, safeguards must be proactive and preventative. Childcare centres should implement surveillance measures in most areas and observe the “four eyes” rule, requiring at least two adults to be present during nappy changes and other care tasks. A strict no-phone policy could also reduce the risk of image-based offences.
Moreover, we must confront the uncomfortable truth that some men are drawn to work with children because of a sexual interest in them. Truly centring child protection in early education means prioritising children’s safety above profit, reputational concerns, and fears of appearing biased against men. Preventing child sexual abuse in childcare is not only possible, it is a collective responsibility we must all uphold.
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.