Category: Analysis

  • How do politicians view democracy? It depends on whether they win or lose

    Source: ForeignAffairs4

    Source: The Conversation – Canada – By Valere Gaspard, Research Fellow, Leadership and Democracy Lab, Western University

    There is a heightened concern about the current state of democracy around the globe. These include worries about a decrease in freedom, the growing number of autocracies around the world and citizens’ dissatisfaction with democracy or government.

    A 2022 survey of Canadians found that one-third have little to no trust in democracy and close to half don’t feel represented by government. These concerns aren’t unique to Canada.

    A lot of public opinion research on views about democracy focuses on citizens. Surely this is understandable, since they are the ones choosing who is in power in a democratic state.

    But what do the people in power or those running for office think about democracy? Surprisingly, for all the attention we place on politicians, we don’t know much about how they regard the democratic systems they operate in.

    Why it matters

    Why should we care about what politicians think about democracy? Because politicians can influence the views of citizens, and if they’re elected, they can affect or change democratic processes from within major institutions like legislatures.

    Therefore, to understand the contemporary health of democracies across the globe, we need to factor in politicians’ satisfaction with the way democracy works.

    While there are growing concerns about the current state of democracy around the globe, new open-access research I’ve conducted has hopeful findings, at least from the perspective of politicians. The analysis covers 49 elections in 21 countries — including Canada — from 2005 to 2021.

    The results show that politicians’ democratic satisfaction in a country will be higher when:

    • Elections in their country have high electoral integrity; in other words, when elections are free and fair
    • Electoral management bodies have sufficient resources to administer elections.

    This is good news from the perspective of maintaining a healthy democracy, since the people seeking the power of elected office are more satisfied when their democratic system is working well.

    But these findings become convoluted once we consider some attributes of politicians. Specifically, politicians’ democratic satisfaction begins to vary once we consider:

    • Whether their political party formed the government (winner) or is not part of government (loser)
    • Whether they identify with the ideological left or right.

    Winning and losing

    Nobody likes to lose, so it’s natural that a winner will be more satisfied with democracy.

    Although, the view that may be surprising — or troubling — is the extent to which politicians who won tolerate low electoral integrity, at least in terms of their democratic satisfaction.

    As illustrated above, when electoral integrity is low in a country, politicians who lose will be much less satisfied with democracy than winners. When electoral integrity is high, there is no noticeable difference between politicians that won or lost.

    The difference between winners’ and losers’ democratic satisfaction is problematic, but what is most troubling is that winners’ satisfaction with democracy does not significantly change across different levels of electoral integrity.

    When it comes to citizens, previous research has shown that when electoral integrity is low, democratic satisfaction among citizens will also be low, regardless of whether their preferred politician or political party won or lost.

    Politicians therefore differ from their citizen counterpart — those who won are much more tolerant of lower electoral integrity (at least in terms of their democratic satisfaction).

    In a stable democracy with free and fair elections, this might not matter much. However, if a country begins to experience democratic decline, then these attitudes could become detrimental.

    If politicians who win are not concerned with low electoral integrity, then they might lack the incentive needed to make necessary changes to electoral processes. Those concerned about electoral processes in these kinds of circumstances may therefore need to find alternative routes or incentives to encourage change.

    Left-to-right political ideology

    While the contrast between winners and losers may be discouraging, there are more similarities between those on the ideological left and right. Electoral management bodies having sufficient resources to administer elections matters to both leftist and rightist politicians in terms of their democratic satisfaction.

    However, as shown above, having sufficient resources to administer elections matters more to politicians on the ideological right. This may surprise some readers given past claims that right-leaning groups or people might advocate for more restrictive voting processes and laws.

    For those concerned with democratic stability, it’s promising to note that politicians across the ideological spectrum will generally be more satisfied with democracy when there are more resources to administer elections.




    Read more:
    Two of the US’s biggest newspapers have refused to endorse a presidential candidate. This is how democracy dies


    Overall, politicians on average tend to be more satisfied with democracy when it is working well — specifically, when elections are free and fair, and when electoral management bodies have the capacity to administer well-run elections. This is good news given concerns surrounding the current global state of democracy.

    However, policymakers and practitioners in Canada and abroad focusing on democratic stability and elections should take note of these findings. The attitudes of politicians in democratic countries may not be concerning when everything is working as intended, but if democratic processes begin to weaken or fail, the indifference of winners towards electoral integrity could be troublesome.

    At this moment of heightened concern about the current state of democracy around the globe, researchers and practitioners alike need to better understand the attitudes and motivations of the people who lead our systems of government.

    The Conversation

    Valere Gaspard is a PhD candidate at the University of Ottawa and a Research Fellow at Western University and Trent University’s Leadership and Democracy Lab. His research is supported in part by funding from the Social Sciences and Humanities Research Council (CGS Doctoral award). His views do not reflect those of any employer(s).

    ref. How do politicians view democracy? It depends on whether they win or lose – https://theconversation.com/how-do-politicians-view-democracy-it-depends-on-whether-they-win-or-lose-261647

  • Iranian Canadians watch the Israel-U.S. war in Iran from afar

    Source: ForeignAffairs4

    Source: The Conversation – Canada – By Fateme Ejaredar, PhD candidate in Sociology, University of Calgary, University of Calgary

    Iranian Canadians have been following the news in Iran carefully. Sadaf Vakilzadeh/Unsplash, CC BY

    The recent war waged by Israel and the United States on Iran killed at least 935 people and wounded another 5,332. There’s currently a ceasefire, but the conflict shocked the world and has had unique impacts on Iranians in the diaspora.

    Many Iranians in Canada were glued to their media feeds to stay close to Iran and their friends and families.

    Based on preliminary interviews with 30 Iranian activists in Canada, many in the diaspora have experienced what they call “survivor’s guilt.”

    The interviews are part of a PhD study conducted online or in person by one of the authors of this story, Fateme Ejaredar, and supervised by co-author Pallavi Banerjee. The information from these interviews helps to untangle the roots of political tensions and evolving solidarities in the Iranian diaspora in Canada. For this research, 30 interviews were conducted, with seven followups after the conflict began on June 13, 2025.

    A large share of the Iranian diaspora in Canada is comprised of activists who disavow the Islamic Republic. According to The New York Times, the Iranian diaspora includes “exiled leftists, nationalists, secular democrats, former prisoners, journalists, human rights advocates and artists.” This population of diasporic Iranians has been supporting progressive change in Iran.

    There are also those who oppose the Islamic Republic in support of the deposed shah, a movement currently swayed by Reza Pahlavi, the son of Iran’s last shah. They see the U.S. and Israel as liberators of the Iranian people. The current war resurfaced many of these tensions that continue to divide the diaspora.

    The war has left Iranian activists in the diaspora contending with contradictions about both their standing as activists while mourning the assaults on their country, both from within and outside.

    Living in between homeland and hostland

    Canada has the second largest Iranian diaspora in the world. Iran’s tumultuous political climate has kept the diaspora on edge and divided since the 1979 revolution that deposed the shahs.

    After the revolution, many left-wing and other opposition activists who resisted both the pre- and post-revolutionary regimes went into exile. Continued political repression and economic hardship later forced even more Iranians, including activists, to leave the country. Strife peaked again in 2022 during the “Woman, Life, Freedom” protests which deeply impacted the diaspora.

    Matin, a participant in her 30s from Alberta (all names of interviewees are pseudonyms), said:

    “I’m sad that my home is being bombed. And you don’t have the energy to argue in this situation. For a soul that’s already tired, its wounds from 2022 aren’t healed yet, it can’t go into this again. It’s a dead end.”




    Read more:
    Iranian women risk arrest: Daughters of the revolution


    Sociological research on migration and transnationalism has explained how those exiled from their homelands and living in diaspora reside in the “in-between lands.”

    This is heightened when the homeland is in a state of political disarray, producing what sociologists have called “exogenous shocks” for the diaspora.

    This is the unsettled feeling Iranians in the diaspora have been contending with for the last 45 years. They are constantly navigating life in between the homeland and hostland.

    Fragmented nationalism

    People’s fragmented sense of nationalism can shape responses to upheavals in the homeland.

    Many we spoke with struggle with their own interpretations of Iranian nationalism that clash with their disdain for the Islamic Republic. Their disdain is rooted in their own lived experiences under the regime — ranging from the loss of basic rights and freedoms, to harsh repression including imprisonment and torture for some, or simply an unfulfilled desire of living in a peaceful and free society.

    Vida, an interviewee in her 30s who lives in Saskatchewan, said even though she despised the politics of the Islamic Republic and in the past had celebrated the death of key officials like Qasem Soleimani, the recent war has invoked some conflicting feelings about the death of military leaders.

    She took pride in solidarities forged among the diaspora due to the war and interpreted it as nationalism. Vida said:

    “I never was a nationalist, and I hate nationalism. But there were moments these days that I felt proud. Seeing all the solidarity between people, seeing how they helped each other…”

    Even as the activists feel protective of their country because of the war, they also experience a deep sense of loss and guilt they have always felt in exile.

    Tensions in the diaspora

    Iran’s relationship with the West has continued to be fraught.

    The West, particularly the U.S., has leveraged Iran’s repression of women to economically disable Iran through sanctions, breaking down possibilities of diplomacy between Iran and the U.S. But feminist scholars have argued this stance has only further empowered the authoritarian and patriarchal political forces in Iran..

    Iranian activists in the diaspora contend with both resisting the Islamic Republic’s role in oppression of Iranians in Iran and the American role in marginalizing Iranians in Iran.

    The ‘Iran of our dreams’

    The in-between spaces are precarious and unpredictable. But they also bring new possibilities and in this case, as many interviewees have indicated, acts of resistance from afar.

    This can be further activated in moments of upheaval. And those living in the in-between spaces can often form new alliances and solidarities.

    For many activist Iranians, the resistance in Palestine has been a source of inspiration since before the revolution of 1979. Many participants in this study mentioned in their interviews how they have long felt solidarity with Palestinians, but they say since June 13, they have an even deeper understanding of their situation.

    Zara, in her 40s from Ontario, said she now understands more deeply how the world could be indifferent towards those critiquing the actions of Israel, saying she feels:

    “… a sense of helplessness and desperation against all that illogical violent power.”

    Despite the desolation expressed by our interviewees about the war, many activists also expressed faith in resistance for freedom and justice that allows them to envision a different future.

    Jamshid, in his 60s in British Columbia, shared his future vision of Iran. It is:

    “ … an Iran that lives in peace. There is social justice in it and no one is injured. It takes care of itself. It’s very kind, immensely kind… Maybe one day it will happen and we’re not here to see it.”

    The Conversation

    Pallavi Banerjee receives funding from the Social Sciences and Humanities Research Council and Immigration, Refugees and Citizenship Canada.

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

    ref. Iranian Canadians watch the Israel-U.S. war in Iran from afar – https://theconversation.com/iranian-canadians-watch-the-israel-u-s-war-in-iran-from-afar-259866

  • Women’s rugby is booming, but safety relies on borrowed assumptions from the men’s game

    Source: ForeignAffairs4

    Source: The Conversation – Canada – By Kathryn Dane, Postdoctoral associate, University of Calgary

    Rugby union, commonly known as just rugby, is a fast-paced and physical team sport. More girls and women in Canada and around the world are playing it now than ever before.

    As of 2021, women’s rugby reached a record 2.7 million players globally, a 25 per cent increase over four years, and by 2023, women’s rugby participation was growing at a rate of 38 per cent year-over-year.

    Countries including Australia, England, Ireland and the United States offer professional contracts for women’s teams. While these remain modest compared to the men’s game, they still represent a clear step forward.

    Canada’s senior women’s XVs team is currently ranked second in the world and heading into the 2025 Rugby World Cup, which kicks off on Aug. 22 in England. The national sevens team also captured silver at the 2024 Paris Olympics — further evidence of the game’s growing competitiveness in Canada.

    However, many systems, including coaching and medical support, have not kept pace with the demands of elite competition. With visibility increasing ahead of the 2025 World Cup, stronger institutional support is needed to match the sports’ growing professionalism and popularity.

    Safety concerns

    Often described as a “game for all”, rugby builds confidence, resilience and lifelong friendships. For girls and women especially, rugby can be empowering in ways few sports can match. It embraces the physicality of tackling, pushes back against traditional gender expectations and fosters solidarity and inclusion by valuing all body shapes and abilities.

    But rugby is also a collision sport, and as such, it carries inherent risks. Tackling is the top cause of injury in rugby, and it has one of the highest concussion rates among youth girls’ sports in Canada. Concussions can have long-term effects on players’ health.




    Read more:
    Concussion is more than sports injuries: Who’s at risk and how Canadian researchers are seeking better diagnostics and treatments


    These concerns are especially urgent as the women’s game becomes more physical and professionalized, and players are hit harder and more often. Unlike men’s rugby, women’s teams often operate with fewer medical or coaching support resources, which can lead to inconsistent or absent injury prevention programs.

    Compounding the risk is the fact that many women also come to rugby later in life, often with less experience in contact sports. This delayed exposure restricts proper tackle skill development and player confidence in contact. This means safe tackling is even more important.

    Without proper supports, the physical risks of the game may outweigh its benefits.

    Science is still playing catch-up

    While women’s rugby is growing rapidly, the science behind it is has not kept pace. Most of what we know about rugby safety — how to tackle, how much to train or when it’s safe to return to play after injury — largely comes from research on men.

    Decisions around coaching and player welfare have been based on male data, leaving female players under-served and potentially at greater risk. While these foundations may well apply to girls and women, the problem is we don’t yet know for sure.

    Only four per cent of rugby tackle research has focused on women. Much of the early evidence on girls rugby comes from Canada, underscoring the country’s leadership in this space. Still, most coaches and clinicians rely on a “one-size-fits-all” approach that may not account for menstrual cycles, pregnancy, different injury profiles or later sport entry.

    The differences matter because strength, speed and injury risk all vary. Women are 2.6 times more likely than men to sustain a concussion. Gender also shapes access to training, care and facilities, often limiting opportunities for women to develop safe tackling skills, receive adequate support and train in safe, well-resourced environments, factors that impact both performance and safety.




    Read more:
    Prevention is better than cure when it comes to high concussion rates in girls’ rugby


    Even safety tools reflect this gap. World Rugby’s Tackle Ready and contact load guidelines were designed around male athletes. While well-intentioned, we know little about how they work for girls and women. Instead of discarding these tools, we need to adapt and evaluate them in female contexts to ensure they support injury prevention and provide equal protection.

    Women’s rugby needs better data

    Change is underway. More research and tools are being designed specifically for girls and women. A search of PubMed, a database of published biomedical research, reveals a steep rise in studies on women’s rugby over the past decade, especially in injury surveillance, injury prevention, performance, physiology and sociocultural contexts.

    New rule trials, such as testing lower tackle heights, are being evaluated on women athletes. New technologies like instrumented mouthguards and video analysis are also helping researchers understand how girls and women tackle, how head impacts happen and how they can be prevented.

    Much of this new research is led by our team at the Sport Injury Prevention Research Centre, a pan-Canadian, multidisciplinary group focused on moving upstream to prevent concussions in adolescent girls’ rugby.

    The women’s game is also driving its own innovations. Resources like World Rugby’s Contact Confident help girls and women safely build tackle skills, particularly those new to contact sport.

    Researchers are analyzing injury patterns, interviewing players and coaches and studying return-to-play pathways that reflect girls’ and women’s physiology and life stages.

    The scope of research is also expanding to pelvic health, breast protection and more tailored injury prevention. Global collaboration is making this work more inclusive, spanning different countries, skill levels and age groups, not just elite competitions.

    But this is just the start.

    A golden opportunity lies ahead

    Girls’ and women’s rugby is experiencing unprecedented growth. Rising participation, media attention and new sponsorships are fuelling momentum. It’s a golden opportunity to build strong, sustainable foundations.

    Gold-standard support requires focused, ongoing research and a commitment to sharing that evidence with players, coaches, health-care providers and policymakers. It’s time to build systems for women’s rugby based on women’s data, not borrowed assumptions from the men’s game.

    But challenges remain. Some national teams still have to raise funds to attend World Cups. Others train without consistent access to medical or performance staff — clear signs that the women’s game is still catching up.

    To sustain and accelerate the growth of girls’ and women’s rugby, the sport deserves more resources and research tailored specifically to participants. A “one-size-fits-all” model no longer works. By investing in systems that are safer, focused on prevention, more inclusive and grounded in evidence, we can build a thriving future for women’s rugby that lasts for generations to come.

    The Conversation

    Isla Shill has received funding from World Rugby.

    Stephen West has previously received funding from World Rugby

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

    ref. Women’s rugby is booming, but safety relies on borrowed assumptions from the men’s game – https://theconversation.com/womens-rugby-is-booming-but-safety-relies-on-borrowed-assumptions-from-the-mens-game-261055

  • How Marvel’s Fantastic Four discovered the human in the superhuman

    Source: ForeignAffairs4

    Source: The Conversation – Canada – By J. Andrew Deman, Professor of English, University of Waterloo

    The Fantastic Four: First Steps is the second cinematic reboot of the Fantastic Four franchise, and there’s a lot riding on this film.

    While cinema-goers have responded enthusiastically to many of the films in the Marvel Cinematic Universe, the history of the Fantastic Four on the silver screen is less heralded.

    All the previous Fantastic Four films have been “commercial and critical failures,” with the 2015 film being an infamous box office bomb.

    Yet in comics history, the Fantastic Four have been up to the challenge of driving a popular media enterprise forward — something that the film producers and Marvel fans alike are both now hoping for.

    ‘The Fantastic Four: First Steps’ trailer.

    In the 1960s — the era in which Fantastic Four: First Steps, is notably set — the comics presented a new class of superhero.

    From their 1961 debut, Reed Richards/Mr. Fantastic, Sue Storm/the Invisible Girl, Johnny Storm/the Human Torch and Ben Grimm/the Thing were celebrities who rented office space in a Manhattan highrise and found themselves variously beloved and reviled by both the public and the government.

    Comic book cover titled the Fantastic Four showing a large green monster grasping a woman while passerby look alarmed and a few figures try to intervene.
    Cover of ‘The Fantastic Four’ No. 1, 1961.
    (Marvel)

    The team also rejected secret identities. Until the third issue of their series, they even eschewed superhero costumes (in part because of a restriction imposed by the owner of Marvel’s then-distributor, DC Comics).

    Pushed representational boundaries

    The Fantastic Four comics of the 1960s also pushed boundaries in a number of significant ways. They featured the first pair of married superheroes (Reed and Sue wed in 1965) and the first superhero pregnancy (Sue gave birth to her son Franklin in 1968).

    In 1966, Fantastic Four No. 52 introduced the Black Panther, who is widely recognized as the first high-profile Black superhero.




    Read more:
    *Black Panther* roars. Are we listening?


    And though not canonical until 2002, it has been suggested by scholars that Ben Grimm was always envisioned as a Jewish superhero by Stan Lee and Jack Kirby, offering another milestone in representation (at least for those readers attuned to the character’s Jewish coding).

    These milestones emphasize a dedicated concern for the human aspects of superheroes.

    A family with relatable issues

    Set amid fittingly fantastic science-fiction landscapes inspired by Space Age optimism was a story about a family who “fought among themselves, sometimes over petty jealousies and insults,” in the words of Christopher Pizzino, an American scholar of contemporary literature, film and television.

    This approach of building character dynamics out of internal conflict proved deeply influential.

    Famed comics writer Grant Morrison argues that through the example of Fantastic Four, “the Marvel superhero was born: a hero who tussled not only with monsters and mad scientists but also with relatable personal issues.”

    In his bestselling book All the Marvels, comics critic and historian Douglas Wolk concurs that the “first hundred issues of Fantastic Four are Marvel’s Bible and manual,” establishing the style, theme, genre and approach of the company’s comics for decades to come.

    A crowd of superhero figures.
    Marvel’s universe continued to expand following the Fantastic Four debut.
    (Marvel)

    Defining personal conflicts

    In contrast to moral paragons such as Superman, Batman and Wonder Woman (all published by rival DC Comics), each member of Marvel’s Fantastic Four had defining personal conflicts.

    Reed Richards, the team’s patriarch, was a world-altering genius who often fell victim to his own hubristic ambition.

    Two years before American feminist author Betty Friedan identified “the problem that has no name” in The Feminine Mystique (that post-war suburban housewives faced social expectations of being fully fulfilled as wives and mothers, the Fantastic Four gave audiences Sue Storm, with the superpower to render herself — and others — invisible at will.

    Storm, according to scholar Ramzi Fawaz, “made the concept of women’s social invisibility an object of visual critique by making invisible bodies and objects conspicuous on the comic book page.”

    Her younger brother, Johnny Storm, a playboy and showboat, had a lot of growing up to do, a journey that was frustrated by his flashy powers.

    Ben Grimm, Reed’s college roommate turned best friend turned rock monster, oscillated between childlike rage and world-weary depression, his rocky hide granting him super-strength and invulnerability while burdening him with social isolation.

    While none of us are likely to acquire superpowers through exposure to cosmic rays like the Four, we’ve all dealt with anxiety and grief like these heroes.

    Origin of the Marvel universe

    The world of the Fantastic Four didn’t just feel unusually human. It also felt unusually lived in, partly because the Fantastic Four comics of the 1960s weren’t just the origin of the Marvel style of storytelling — they were also the origin of the Marvel universe.

    Fantastic Four began and became the model for Marvel’s shared continuity universe, in which dozens of superheroes passed in and out of each other’s stories and occasionally intersected long enough for whole crossover story arcs and events. For a time, Marvel’s superheroes even aged alongside their readers, with teenage characters like Johnny Storm graduating high school and enrolling in college.

    Previous superhero comics hadn’t embraced this shared continuity in a meaningful way, tending to prioritize discrete stories that had no effect on future tales. But Fantastic Four pitched what comics scholar Charles Hatfield calls “intertitle continuity,” which quickly became “Marvel’s main selling tool.”

    Case in point, the Fantastic Four shared the cover of 1963’s Amazing Spider-Man No. 1, helping sell the newly created wall-crawler to their adoring readers.

    Voluminous, chaotic universe

    The 1965 wedding of Reed and Sue in Fantastic Four Annual No. 3 showcased how quickly the Marvel comics universe became vibrantly voluminous and charmingly chaotic.

    This event featured at least 19 superheroes fighting 28 supervillains and foregrounded the Fantastic Four’s symbolic mother and father as the progenitors of an extended super-family.

    It also featured a cameo by the Fantastic Four’s creators, Stan Lee and Jack Kirby, previously introduced in 1963’s Fantastic Four No. 10 as the official creators of imaginary adventures starring the “real” Fantastic Four, further blurring the boundary between fiction and reality.

    Decades later, this sprawling comics universe would become a sprawling cinematic universe. This informs the pressure facing the latest Fantastic Four adaptation.

    Phase 6 of universe

    Fantastic Four: First Steps marks the start of what Marvel calls “Phase Six” of the Marvel Cinematic Universe, which began in 2008 with the first Marvel Studios film, Iron Man.

    Essentially, Fantastic Four: First Steps is meant to launch a new cluster of shared universe stories, just as Fantastic Four No. 1 did for Marvel Comics in the 1960s.

    This cluster will culminate in the release of Avengers: Secret Wars in December 2027. Will Marvel’s first family deliver?

    This article is co-authored by Anna Peppard, an independent scholar and editor of ‘Supersex: Sexuality, Fantasy, and the Superhero.’

    The Conversation

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

    ref. How Marvel’s Fantastic Four discovered the human in the superhuman – https://theconversation.com/how-marvels-fantastic-four-discovered-the-human-in-the-superhuman-260883

  • There’s enough natural hydrogen in the Earth’s crust to help power the green energy transition

    Source: ForeignAffairs4

    Source: The Conversation – Canada – By Omid Haeri Ardakani, Research scientist at Natural Resources Canada; Andjunct associate professor, University of Calgary

    Since their formation billions of years ago, the oldest parts of the Earth’s continental rocks have generated natural hydrogen in massive amounts. Some of this hydrogen may have accumulated within accessible traps and reservoirs under the Earth’s surface. This store has the potential to contribute to the global hydrogen economy for hundreds of years.

    This has been demonstrated by the production of near-pure hydrogen from a single gas field in Mali, attracting the attention of governments in the United States, Canada, Australia, the United Kingdom and Europe.

    There is also interest from major venture capital investors and international resource companies. By the end of 2023, 40 companies were exploring natural hydrogen globally. That has likely doubled since 2024.




    Read more:
    Why green hydrogen — but not grey — could help solve climate change


    Hydrogen as a resource

    Hydrogen resources have long been a multi-billion-dollar market, even before recent interest in hydrogen as a contributor to the green energy transition. The environments and conditions that result in natural hydrogen accumulation occur globally. But one of the barriers to investment in many jurisdictions is regulatory, as hydrogen had not previously been considered as a resource.

    Natural hydrogen can be used to decarbonize hard-to-abate but globally critical industries. Industries that use hydrogen include fuel refining (about 44 per cent), ammonia and fertilizer production for food sustainability (about 34 per cent), and steel manufacturing (about five per cent).

    According to a recent British government policy briefing document, addressing this requires governments to include hydrogen as a listed natural resource. Future uses for hydrogen may include long-distance transportation and contributions to the decarbonization of the mining industry.

    High carbon footprint

    Most of the hydrogen used today is produced from fossil fuels. Because of this, hydrogen production contributes about 2.5 per cent of global carbon dioxide emissions. Efforts to produce low-carbon (green) hydrogen from renewable electricity and carbon capture and storage technologies remain expensive.

    Natural hydrogen has a carbon footprint comparable to or below that of green hydrogen. The two will likely be complementary, but estimates are uncertain as natural hydrogen is as yet an unproven resource.

    Developing strategies could determine whether hydrogen from any source is an economically viable resource. For natural hydrogen, exploration strategies have to be developed to find and extract natural deposits of hydrogen at an economically feasible cost. This also needs incentives that include natural hydrogen in exploration or production licenses.




    Read more:
    New plan shows Australia’s hydrogen dream is still alive. But are we betting on the right projects?


    Hydrogen and helium

    The U.S. Geological Survey recently estimated there’s enough accessible natural hydrogen to supply global hydrogen demand for about 200 years.

    Hydrogen forms in the Earth’s crust through two natural geological processes: chemical reactions between natural groundwaters and iron-rich minerals and water radiolysis. Water molecules are broken by natural background radioactivity in rocks releasing hydrogen — and helium, a valuable element included in Canada’s Critical Minerals Strategy — as a byproduct.

    The search for helium began in Canada in the 1920s, but it is only recently that systematic commercial exploration for helium has restarted. By the 1980s, systematic studies of natural hydrogen began in Canada, Finland and parts of Africa as part of research on subsurface microbial life.

    Renewed interest

    An unusual coincidence sparked the current global interest in hydrogen. An accidental discovery of the small natural hydrogen gas field in Mali coincided with the publication of extensive historical data from the former Soviet Union, drawing attention to hydrogen’s immense potential as a clean power resource. Australia, France and the U.S. were among the first countries to re-investigate historical natural hydrogen.

    Natural hydrogen and helium systems have similarities to petroleum systems, requiring a source rock, a migration pathway and accumulation in a reservoir. The infrastructure for natural hydrogen wells would be comparable to hydrocarbon wells, albeit with changes in well completion and drilling methods.

    The footprint of a natural hydrogen production project would take up much less space to deliver the same amount of energy compared to a green hydrogen production facility, which requires solar or wind farms and electrolyzers.

    Similarly, natural hydrogen projects do not need to draw on surface water resources, which are scarce in many parts of the world.

    bubbles moving through a grey tunnel
    Surface release of hydrogen bubbles from the Canadian Shield.
    (Stable Isotope Lab/University of Toronto), CC BY

    Future policies

    Some jurisdictions lack policies regulating hydrogen exploration. In others, regulation falls under existing mining or hydrocarbon policies. The lack of clear regulations in areas with high potential for natural hydrogen exploration — such as the U.S., Canada, India and parts of Africa and Europe — is a major obstacle for exploration.

    An absence of regulation slows down exploration and land acquisition, and prevents the decision-making required for developing infrastructure. And critically, it means that no community consultations are undertaken to ensure the social acceptance essential for the success of such projects.

    A project in South Australia demonstrates what legislation can accomplish. Once regulation of natural hydrogen exploration and capture was implemented, the government received dozens of applications from companies interested in natural hydrogen exploration.

    The appetite for exploration is clearly there, but policy and regulatory solutions are required. New exploration projects will provide critical new data to understand natural hydrogen’s potential to provide green energy.

    The Conversation

    Omid Haeri Ardakani has received funding from Natural Resources Canada (NRCan).

    Barbara Sherwood Lollar receives funding from the Natural Sciences and Engineering Research Council of Canada and the Nuclear Waste Management Organization.

    Chris Ballentine is founder of and owns shares in Snowfox Discovery Ltd, a hydrogen exploration company. He receives research funding from the Natural Environment Research Council (U.K.) and the National Science Foundation (U.S.), in a joint grant, as well as the Canadian Nuclear Waste Management Organization and the Canadian Institute For Advanced Research.

    ref. There’s enough natural hydrogen in the Earth’s crust to help power the green energy transition – https://theconversation.com/theres-enough-natural-hydrogen-in-the-earths-crust-to-help-power-the-green-energy-transition-256936

  • Long-COVID, viruses and ‘zombie’ cells: new research looks for links to chronic fatigue and brain fog

    Source: ForeignAffairs4

    Source: The Conversation – Africa (2) – By Burtram C. Fielding, Dean Faculty of Sciences and Professor in the Department of Microbiology, Stellenbosch University

    Millions of people who recover from infections like COVID-19, influenza and glandular fever are affected by long-lasting symptoms. These include chronic fatigue, brain fog, exercise intolerance, dizziness, muscle or joint pain and gut problems. And many of these symptoms worsen after exercise, a phenomenon known as post-exertional malaise.

    Medically the symptoms are known as myalgic encephalomyelitis or chronic fatigue syndrome (ME/CFS). The World Health Organization classifies this as a post viral fatigue syndrome, and it is recognised by both the WHO and the United States Centers for Disease Control and Prevention as a brain disorder.

    Experiencing illness long after contracting an infection is not new, as patients have reported these symptoms for decades. But COVID-19 has amplified the problem worldwide. Nearly half of people with ongoing post-COVID symptoms – a condition known as long-COVID – now meet the criteria for ME/CFS. Since the start of the pandemic in 2020, it is estimated that more than 400 million people have developed long-COVID.

    To date, no widely accepted and testable mechanism has fully explained the biological processes underlying long-COVID and ME/CFS. Our work offers a new perspective that may help close this gap.

    Our research group studies blood and the cardiovascular system in inflammatory diseases, as well as post-viral conditions. We focus on coagulation, inflammation and endothelial cells. Endothelial cells make up the inner layer of blood vessels and serve many important functions, like regulating blood clotting, blood vessel dilation and constriction, and inflammation.

    Our latest review aims to explain how ME/CFS and long-COVID start and progress, and how symptoms show up in the body and its systems. By pinpointing and explaining the underlying disease mechanisms, we can pave the way for better clinical tools to diagnose and treat people living with ME/CFS and long-COVID.

    What is endothelial senescence?

    In our review, our international team proposes that certain viruses drive endothelial cells into a half-alive, “zombie-like” state called cellular senescence. Senescent endothelial cells stop dividing, but continue to release molecules that awaken and confuse the immune system. This prompts the blood to form clots and, at the same time, prevent clot breakdown, which could lead to the constriction of blood vessels and limited blood flow.

    By placing “zombie” blood-vessel cells at the centre of these post-viral diseases, our hypothesis weaves together microclots, oxygen debt (the extra oxygen your body needs after strenuous exercise to restore balance), brain-fog, dizziness, gut leakiness (a digestive condition where the intestinal lining allows toxins into the bloodstream) and immune dysfunction into a single, testable narrative.

    From acute viral infection to ‘zombie’ vessels

    Viruses like SARS-CoV-2, Epstein–Barr virus, HHV-6, influenza A, and enteroviruses (a group of viruses that cause a number of infectious illnesses which are usually mild) can all infect endothelial cells. They enable a direct attack on the cells that line the inside of blood vessels. Some of these viruses have been shown to trigger endothelial senescence.

    Multiple studies show that SARS-CoV-2 (the virus which causes COVID-19 disease) has the ability to induce senescence in a variety of cell types, including endothelial cells. Viral proteins from SARS-CoV-2, for example, sabotage DNA-repair pathways and push the host cell towards a senescent state, while senescent cells in turn become even more susceptible to viral entry. This reciprocity helps explain why different pathogens can result in the same chronic illness. Influenza A, too, has shown the ability to drive endothelial cells into a senescent, zombie-like state.

    What we think is happening

    We propose that when blood-vessel cells turn into “zombies”, they pump out substances that make blood thicker and prone to forming tiny clots. These clots slow down circulation, so less oxygen reaches muscles and organs. This is one reason people feel drained.

    During exercise, the problem worsens. Instead of the vessels relaxing to allow adequate bloodflow, they tighten further. This means that muscles are starved of oxygen and patients experience a crash the day after exercise. In the brain, the same faulty cells let blood flow drop and leak, bringing on brain fog and dizziness.

    In the gut, they weaken the lining, allowing bits of bacteria to slip into the bloodstream and trigger more inflammation. Because blood vessels reach every corner of the body, even scattered patches of these “zombie” cells found in the blood vessels can create the mix of symptoms seen in long-COVID and ME/CFS.

    Immune exhaustion locks in the damage

    Some parts of the immune system kill senescent cells. They are natural-killer cells, macrophages and complement proteins, which are immune molecules capable of tagging and killing pathogens. But long-COVID and ME/CFS frequently have impaired natural-killer cell function, sluggish macrophages and complement dysfunction.

    Senescent endothelial cells may also send out a chemical signal to repel immune attack. So the “zombie cells” actively evade the immune system. This creates a self-sustaining loop of vascular and immune dysfunction, where senescent endothelial cells persist.

    In a healthy person with an optimally functioning immune system, these senescent endothelial cells will normally be cleared. But there is significant immune dysfunction in ME/CFS and long-COVID, and this may enable the “zombie cells” to survive and the disease to progress.

    Where the research goes next

    There is a registered clinical trial in the US that is investigating senescence in long-COVID. Our consortium is testing new ways to spot signs of ageing in the cells that line our blood vessels. First, we expose healthy endothelial cells in the lab to blood from patients to see whether it pushes the cells into a senescent, or “zombie,” state.

    At the same time, we are trialling non‑invasive imaging and fluorescent probes that could one day reveal these ageing cells inside the body. In selected cases, tissue biopsies may later confirm what the scans show. Together, these approaches aim to pinpoint how substances circulating in the blood drive cellular ageing and how that, in turn, fuels disease.

    Our aim is simple: find these ageing endothelial cells in real patients. Pinpointing them will inform the next round of clinical trials and open the door to therapies that target senescent cells directly, offering a route to healthier blood vessels and, ultimately, lighter disease loads.

    The Conversation

    Burtram C. Fielding works for Stellenbosch University. He has received funding from the National Research Foundation, South Africa and the Technology Innovation Agency.

    Resia Pretorius is a Distinguished Research Professor at Stellenbosch University and receives funding from Balvi Research Foundation and Kanro Research Foundation. She is also affiliated with University of Liverpool as a Honorary Professor. Resia is a founding director of the Stellenbosch University start-up company, Biocode Technologies and has various patents related to microclot formation in Long COVID.

    Massimo Nunes receives funding from Kanro Research Foundation.

    ref. Long-COVID, viruses and ‘zombie’ cells: new research looks for links to chronic fatigue and brain fog – https://theconversation.com/long-covid-viruses-and-zombie-cells-new-research-looks-for-links-to-chronic-fatigue-and-brain-fog-261108

  • Uganda’s land eviction crisis: do populist state measures actually fix problems?

    Source: ForeignAffairs4

    Source: The Conversation – Africa (2) – By Rose Nakayi, Senior Lecturer of Law, Makerere University

    Populism is rife in various African countries. This political ideology responds to and takes advantage of a situation where a large section of people feels exploited, marginalised or disempowered. It sets up “the people” against “the other”. It promises solidarity with the excluded by addressing their grievances. Populism targets broad social groups, operating across ethnicity and class.

    But how does populism fare when it informs state interventions to address long-standing societal issues under capitalism? Do populist state measures – especially when launched by a politically powerful leader – deliver improvements for the stated beneficiaries?

    As academics who have researched populism for years, we were interested in the implementation and outcomes of such policies and programmes. To answer these questions, we analysed a populist intervention by President Yoweri Museveni in Uganda to address rampant land conflicts. In 2013 he set out to halt land evictions.

    What good came of this? Did it help the poor?

    We analysed land laws, court cases, government statements and media reports and found that, for the most part, the intervention offered short-term relief. Some people returned to the land, but the underlying land conflict was unresolved.

    This created problems that continue to be felt today, including land disputes and land tenure insecurity. The intervention also increased the involvement of the president and his agents personally in providing justice.

    It didn’t make pro-poor structural changes to address the root of the problem.

    Yet, the intervention had several political benefits:

    • it enhanced the political legitimacy of the president and state

    • it offered a politically useful response to a land-related crisis and conflict

    • it addressed broader criticisms over injustice and poverty by sections of the public and opposition leaders, some of whom (like Robert Kyagulanyi) also relied on populist rhetoric.

    The promise to deal with land evictions “once and for all” has yet to be realised over a decade later. During Heroes Day celebrations on 9 June 2024, Museveni’s speech repeated his promise to stop evictions.

    Such promises of getting a grip on and ending evictions via decisive state actions, including proposed new legal guidelines, were also made more recently, for example during Heroes Day 2025. This indicates that evictions – and state responses to them – remain a top issue on the political agenda ahead of Uganda’s 2026 election.

    Persistent evictions

    Evictions were rampant in the 2010s, especially in central Uganda’s Buganda region. They were driven by increased demand for land amid a growing population and legal reforms that seemed to protect tenants over landlords. Some landlords, desperate to free their land of tenants, were carrying out the evictions themselves.

    The president condemned the evictions, but they continued. Soon, the number of evictees was in the thousands.

    In response, Museveni set up a land committee within the presidency. He announced at a press conference in early 2013 that:

    all evictions are halted. There will be no more evictions, especially in the rural areas. All evictions involving peasants are halted.

    The dynamics of populism-in-practice

    Museveni’s attempts to personally deal with evictions illustrate a continued power shift in Uganda, from institutions to the president’s executive units.

    Despite its shortcomings, such as case backlogs, the judicial system offers an opportunity to present cases in a more neutral environment. It also allows parties to appeal decisions. This way, higher courts can correct errors where necessary.

    The presidential land committee, we found, tended to be biased in favour of tenants, paying less attention to the landlords’ cases.

    The president’s intervention wasn’t adequate to address the immediate causes and effects of the evictions, nor the root causes.

    Those included land tenure insecurities. Due to legal reforms, land-rich landlords were unable to get rent at market value from tenants. Neither could they evict them lawfully where rent was in arrears.

    In some cases, legal options such as land sales between landlords and tenants were applied. This was often to the detriment of tenants, especially where there was no neutral actor to oversee negotiations.

    Land reforms need to be institutionalised and funded to deliver the intended outcomes. Otherwise, unlawful sales and evictions become a quick option for landlords.

    Museveni’s populist initiative also unleashed new problems for beneficiaries. Some secured land occupancy in the interim but lived in fear of a relapse of conflict. Mistrust and scarred interpersonal relationships hampered cohesion in some communities. Disputes over land put political actors who would ideally be working together to restore calm at loggerheads.

    Populism as power

    The creation of populist presidential units has become routine in Uganda. More recently, Museveni created a unit to protect investors, which has resolved some investment-related land disputes. Another one was established to fight corruption. Both units remain very active.

    Our research finds that the government needs these units and interventions for a number of reasons. It uses them to govern the country’s conflict-ridden economy and society. They allow the government to assemble a politically useful response to crises and to address some on-the-ground problems. They make the state look concerned and responsive to people’s needs. And they allow ruling party political actors to increase their popularity locally.

    Museveni and his ruling party, the National Resistance Movement, therefore, benefit from a key aspect of populism. It allows the merging of disparate, competing and contradictory views, interests and demands of members of various societal classes and groups into a significantly simplified and uniform narrative that (potentially) speaks to all. This could mean: end corruption, end evictions, wealth for all, and so on.

    A general election is due in early 2026. The steps Museveni has taken on evictions, and the units set up to fight corruption or protect investors, need to be seen with this political context in mind.

    Museveni has put protecting people from evictions high on his government’s agenda. Speaking to party members in August 2024, he emphasised

    the importance of adhering to the mass line, which prioritises the needs and rights of the masses over those of the elite.

    In our view, this pre-election narrative signifies the continued political and social relevance of populism in today’s Uganda. This could result in heightened populist state activity in the run-up to and after the election.

    The Conversation

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

    ref. Uganda’s land eviction crisis: do populist state measures actually fix problems? – https://theconversation.com/ugandas-land-eviction-crisis-do-populist-state-measures-actually-fix-problems-260512

  • Young Nigerians learn about democracy at school: how it’s shaping future voters

    Source: ForeignAffairs4

    Source: The Conversation – Africa (2) – By Leila Demarest, Associate Professor, Institute of Political Science, Leiden University

    Democratic consolidation is a continuing struggle, in Africa as elsewhere. The turn to democracy gained momentum in Africa in the late 1980s and early 1990s but has petered out since. Can new generations turn the tide?

    The need to prepare young people to become democratically minded is well established. In western societies, school-based civic education has been considered the means to do it since as early as the 1960s. The assumption is that better knowledge about the democratic functioning of the state promotes stronger democratic values and norms. It is also thought to increase trust in institutions and a willingness to participate in politics in the future.

    Research in western settings indeed shows that classroom instruction strengthens political attitudes and behaviour. Yet can we expect civic education to work in the same way in newer democracies? In weak democracies studies have found that civic education could actually lead young people away from political participation. Young people may become more aware of the flaws of their own system and turn away from politics.

    Nigeria made the move from military rule to multiparty democracy in 1999 but remains a flawed democracy struggling with political corruption, vote buying and episodic violence. Individual liberties are only weakly protected.

    As Africa’s most populous democracy, with a big young population, Nigeria needs young people to participate in democratic politics. And they have done so, as can be seen from events like the #EndSARS protests. Nevertheless many youths also show voter apathy. Or they engage in the country’s well-known cycles of election violence.

    As scholars, we have conducted extensive research on how young people in African countries can overcome some dark legacies, like violent conflict, ethnic tensions and authoritarianism. In a recent study, we focused on democratic engagement among young Nigerians and how formal education could strengthen it.

    Our research among secondary school students in Lagos state shows promising results. A survey of over 3,000 final year students found that those with greater political knowledge and stronger democratic values were more likely to express intent to vote, contact officials, or protest in the future.

    However, these same students rejected party membership and campaigning, which are commonly associated with corruption and violence in Nigeria. In contrast, students with lower levels of knowledge and democratic values remained inclined to participate in party activities. This might be to gain economic benefits.

    These findings show that the core objectives of civic education are not likely to lead youth to abandon democratic politics. Fostering knowledge about how the system (ideally) works and strengthening democratic attitudes remains a valuable approach to achieving democracy.

    Our findings

    Ten years after the transition from military to democratic rule, the Nigerian government made civic education mandatory in primary and secondary schools. The curriculum covers issues such as Nigeria’s independence, the structures of the state, civic rights, political parties and national unity. It also covers corruption and clientelism (the exchange of political support for economic benefits).

    After learning how the government works and gaining awareness of civic rights and responsibilities, would young Nigerians remain committed to political participation with all the country’s democratic flaws?

    We conducted a survey among final year secondary school students in Lagos state in 2019. About 3,000 students across 36 randomly selected schools answered our questions. The results revealed three political participation profiles:

    • disengaged youth – those who do not wish to take part in any type of political activity

    • non-party activists – intent on voting, contacting politicians or officials and protesting, but they reject party membership and campaigning

    • party activists – interested in joining a political party and campaigning as well as voting, contacting politicians or officials and protesting.

    Disengaged youths tended to come from richer socio-economic backgrounds. They showed low trust in institutions. Non-party activists were more informed and held stronger democratic values than party activists. This is likely because they saw political parties as corrupt or violent.

    In a democracy where party politics are often tainted by corruption, the youths’ selective engagement may be a sign not of apathy but of a thoughtful and principled rejection of flawed party politics.

    Despite a growing distrust in political parties, civic education does not appear to discourage pro-democratic political behaviour overall.

    A ‘reverse’ participation gap

    Schools are not the only shapers of youths’ political behaviour. Caregivers and peers play a role. In a large number of countries, youth from richer socio-economic backgrounds are more politically informed, more trusting of institutions, and active. This results in a so-called participation gap between richer and poorer citizens.

    Where democracy is yet to take root, research shows that middle- and higher-middle class citizens also have higher levels of knowledge and stronger democratic norms. But they have lower levels of institutional trust and are less likely to participate in institutional politics. This presents a “reverse” participation gap, so to speak.

    In our research, we found partial evidence of this “reverse participation gap”. Students from wealthier backgrounds were less likely to participate, but not necessarily because they had stronger democratic norms. One possible explanation is that these students were less economically dependent on the state. With no need to rely on public institutions for jobs or welfare, they might feel less of a need to engage with them.

    Retreat from political participation

    In non-established democracies, research shows that more educated citizens often are more critical of their governments. In Ghana and Zimbabwe, these citizens were less likely to participate in elections.

    Concerning civic education programmes specifically, an intervention in the Democratic Republic of Congo showed that these programmes might increase political knowledge and commitment to democratic values, but also decrease satisfaction with democracy in their country.

    School-based research from the continent is lacking. But studies examining school-based civic education in electoral democracies elsewhere also show a retreat from institutionalised political participation. This spans voting, party membership, campaigning, and contacting politicians.

    Our study finds more optimistic results for civic education programmes in Africa. Youths with high knowledge and values – the core objectives of civic education – remain committed to democratic political behaviour.

    The Conversation

    Leila Demarest receives funding from Leiden University Fund (grant reference W19304-5-01).

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

    ref. Young Nigerians learn about democracy at school: how it’s shaping future voters – https://theconversation.com/young-nigerians-learn-about-democracy-at-school-how-its-shaping-future-voters-261030

  • 3D printed food: yuck or yes? Researchers ask South African consumers

    Source: ForeignAffairs4

    Source: The Conversation – Africa (2) – By Oluwafemi Adebo, Professor of Food Technology and Director of the Centre for Innovative Food Research (CIFR), University of Johannesburg

    Would you eat food that was printed by a machine? 3D printed food is built up by equipment (a 3D food printer), layer after layer, using edible pastes, dough and food slurries in three-dimensional forms. These machines use digital models to produce precise, often personalised food items. Most 3D printed foods are made from nutrient-dense sources (plant and animal), which means they can offer health benefits.

    The global market for 3D printed food is growing. It’s been estimated as worth US$437 million in 2024 and projected to reach US$7.1 billion in 2034. But the concept is still emerging in Africa.

    Food science and technology researcher Oluwafemi Ayodeji Adebo and marketing academic Nicole Cunningham share what they learnt from a survey about South African consumers’ feelings on the subject.


    How is food 3D printed and why?

    In 3D food printing, edible food materials are formulated into printable materials (food ink). These inks can be made from pureed vegetables, doughs, or nutrient-rich mixes. The food ink is loaded into a 3D printer and extruded in layers until the selected shape is complete.

    After printing, some products are ready to eat, while others need further processing such as baking or freeze-drying. The most common method is extrusion-based printing, valued for its simplicity and versatility.

    The technique enables the customisation of food. Meals can be highly personalised in texture, appearance and nutritional content.

    It can also transform food waste into food products. For example it can turn imperfect broccoli and carrots into healthy snacks and make noodles from potato peels.

    It’s also useful in texture-modified diets for people with swallowing difficulties (dysphagia), especially the elderly. The products available for these patients tend to be bland and unappealing meals such as mashed potato, pumpkin and soft porridge. 3D food printing can produce nutritionally dense meals that are easier to eat and more appetising.




    Read more:
    How 3D food printers could improve mealtimes for people with swallowing disorders


    Food ink can combine various sources with different nutrients to boost the health benefits. Not having to process the product with heat can also result in higher nutritional content.

    In South Africa, what sorts of foods might be 3D printed?

    Virtually any edible material could be transformed into food inks, although some might require additives to make them printable. The abundance of nutrient-dense and health-promoting food crops in South Africa presents an excellent opportunity for 3D food printing to create novel food.

    Sorghum, cowpea and quinoa have been used to make 3D printed biscuits, for example. They are more nutritious than wheat and don’t contain gluten.




    Read more:
    Africa’s superfood heroes – from teff to insects – deserve more attention


    Research at the Centre for Innovative Food Research at the University of Johannesburg has already demonstrated the feasibility of obtaining 3D printed products from different sources (for example whole-grain sourdough and malt biscuits, biscuits from wholegrain and multigrain flours and nutritious and appetising meals for dysphagia patients).




    Read more:
    3D printing offers African countries an advantage in manufacturing


    3D food printing is still in its infancy in South Africa, compared to developed countries such as China, Japan, the US and some European countries. The best-known companies that have adopted this technology include BluRhapsody, based in Italy, which makes 3D-printed pasta, and Open Meals based in Japan, which specialises in personalised sushi.

    We carried out a study to understand South African consumers’ attitudes toward 3D-printed foods. Although the technology is not yet in wide use, we found some consumers were fairly knowledgeable about these foods and the associated benefits. These findings lay the foundation for business opportunities to commercialise and market 3D printed products in the region.

    Who did you ask about it in your study?

    The study surveyed South African consumers aged 18-65 who were familiar with the concept of 3D-printed food. We collected 355 responses, mostly females aged 24 to 44. They provided information and opinions on several aspects, including:

    • their awareness of 3D-printed food

    • their familiarity with 3D-printed food

    • their food neophobia (fear of new foods)

    • the convenience that 3D-printed food offers

    • their perspective on their health needs

    • the perceived benefits that 3D-printed food offers

    • attitudes towards 3D-printed food.

    What did they say?

    Positive attitudes were strongest among those who recognised the convenience and health-related benefits of this new technology. The potential to reduce waste, customise nutrition, and simplify meal preparation stood out as key motivators.

    Interestingly, food familiarity didn’t play a significant role in people’s responses. This means they aren’t necessarily clinging to traditional or childhood meals when forming attitudes about 3D-printed food.

    In short, novelty alone isn’t a deal-breaker, it’s more about perceived safety, usefulness, and understanding the benefits.

    What does this tell us?

    The findings highlight the crucial role of consumer education and awareness in shaping attitudes toward 3D-printed food. While unfamiliarity with the technology can create some hesitation, the research shows that consumers are not necessarily resistant to innovation. They just need to understand it better and be educated about the benefits it offers.

    If food manufacturers and marketers invest in increasing public knowledge and offering hands-on experiences such as tastings, demonstrations, or transparent production processes, then consumer attitudes could shift positively.

    This approach has shown promise in other markets. For example, educational campaigns in Europe and the US around lab-grown meat and plant-based proteins have improved public perception over time.




    Read more:
    Nigeria isn’t big on 3D printing. Teaching students how to use it could change this


    Marketers should talk about safety, health and sustainability, and demystify the technology through clear, engaging messaging. In countries where such strategies have been used, consumers have shown increased willingness to try novel food technologies. This is significant because of predicted growth in the industry.

    If South African consumers see 3D-printed food more positively, this innovation could unlock opportunities to enhance food security, address malnutrition, and support personalised dietary solutions.

    The Conversation

    Oluwafemi Adebo received funding for this project from the National Research Foundation (NRF) of South Africa Support for Rated and Unrated Researchers (grant number: SRUG2204285188), the University of Johannesburg and Faculty of Science Research Committee Grant, and the South African Medica lResearch Council (SAMRC) Self-Initiated Research (SIR) Grant.

    Nicole Cunningham receives funding from the DHET in order to conduct academic research.

    ref. 3D printed food: yuck or yes? Researchers ask South African consumers – https://theconversation.com/3d-printed-food-yuck-or-yes-researchers-ask-south-african-consumers-255887

  • MIL-OSI Submissions: Long-COVID, viruses and ‘zombie’ cells: new research looks for links to chronic fatigue and brain fog

    Source: The Conversation – Africa (2) – By Burtram C. Fielding, Dean Faculty of Sciences and Professor in the Department of Microbiology, Stellenbosch University

    Millions of people who recover from infections like COVID-19, influenza and glandular fever are affected by long-lasting symptoms. These include chronic fatigue, brain fog, exercise intolerance, dizziness, muscle or joint pain and gut problems. And many of these symptoms worsen after exercise, a phenomenon known as post-exertional malaise.

    Medically the symptoms are known as myalgic encephalomyelitis or chronic fatigue syndrome (ME/CFS). The World Health Organization classifies this as a post viral fatigue syndrome, and it is recognised by both the WHO and the United States Centers for Disease Control and Prevention as a brain disorder.

    Experiencing illness long after contracting an infection is not new, as patients have reported these symptoms for decades. But COVID-19 has amplified the problem worldwide. Nearly half of people with ongoing post-COVID symptoms – a condition known as long-COVID – now meet the criteria for ME/CFS. Since the start of the pandemic in 2020, it is estimated that more than 400 million people have developed long-COVID.

    To date, no widely accepted and testable mechanism has fully explained the biological processes underlying long-COVID and ME/CFS. Our work offers a new perspective that may help close this gap.

    Our research group studies blood and the cardiovascular system in inflammatory diseases, as well as post-viral conditions. We focus on coagulation, inflammation and endothelial cells. Endothelial cells make up the inner layer of blood vessels and serve many important functions, like regulating blood clotting, blood vessel dilation and constriction, and inflammation.

    Our latest review aims to explain how ME/CFS and long-COVID start and progress, and how symptoms show up in the body and its systems. By pinpointing and explaining the underlying disease mechanisms, we can pave the way for better clinical tools to diagnose and treat people living with ME/CFS and long-COVID.

    What is endothelial senescence?

    In our review, our international team proposes that certain viruses drive endothelial cells into a half-alive, “zombie-like” state called cellular senescence. Senescent endothelial cells stop dividing, but continue to release molecules that awaken and confuse the immune system. This prompts the blood to form clots and, at the same time, prevent clot breakdown, which could lead to the constriction of blood vessels and limited blood flow.

    By placing “zombie” blood-vessel cells at the centre of these post-viral diseases, our hypothesis weaves together microclots, oxygen debt (the extra oxygen your body needs after strenuous exercise to restore balance), brain-fog, dizziness, gut leakiness (a digestive condition where the intestinal lining allows toxins into the bloodstream) and immune dysfunction into a single, testable narrative.

    From acute viral infection to ‘zombie’ vessels

    Viruses like SARS-CoV-2, Epstein–Barr virus, HHV-6, influenza A, and enteroviruses (a group of viruses that cause a number of infectious illnesses which are usually mild) can all infect endothelial cells. They enable a direct attack on the cells that line the inside of blood vessels. Some of these viruses have been shown to trigger endothelial senescence.

    Multiple studies show that SARS-CoV-2 (the virus which causes COVID-19 disease) has the ability to induce senescence in a variety of cell types, including endothelial cells. Viral proteins from SARS-CoV-2, for example, sabotage DNA-repair pathways and push the host cell towards a senescent state, while senescent cells in turn become even more susceptible to viral entry. This reciprocity helps explain why different pathogens can result in the same chronic illness. Influenza A, too, has shown the ability to drive endothelial cells into a senescent, zombie-like state.

    What we think is happening

    We propose that when blood-vessel cells turn into “zombies”, they pump out substances that make blood thicker and prone to forming tiny clots. These clots slow down circulation, so less oxygen reaches muscles and organs. This is one reason people feel drained.

    During exercise, the problem worsens. Instead of the vessels relaxing to allow adequate bloodflow, they tighten further. This means that muscles are starved of oxygen and patients experience a crash the day after exercise. In the brain, the same faulty cells let blood flow drop and leak, bringing on brain fog and dizziness.

    In the gut, they weaken the lining, allowing bits of bacteria to slip into the bloodstream and trigger more inflammation. Because blood vessels reach every corner of the body, even scattered patches of these “zombie” cells found in the blood vessels can create the mix of symptoms seen in long-COVID and ME/CFS.

    Immune exhaustion locks in the damage

    Some parts of the immune system kill senescent cells. They are natural-killer cells, macrophages and complement proteins, which are immune molecules capable of tagging and killing pathogens. But long-COVID and ME/CFS frequently have impaired natural-killer cell function, sluggish macrophages and complement dysfunction.

    Senescent endothelial cells may also send out a chemical signal to repel immune attack. So the “zombie cells” actively evade the immune system. This creates a self-sustaining loop of vascular and immune dysfunction, where senescent endothelial cells persist.

    In a healthy person with an optimally functioning immune system, these senescent endothelial cells will normally be cleared. But there is significant immune dysfunction in ME/CFS and long-COVID, and this may enable the “zombie cells” to survive and the disease to progress.

    Where the research goes next

    There is a registered clinical trial in the US that is investigating senescence in long-COVID. Our consortium is testing new ways to spot signs of ageing in the cells that line our blood vessels. First, we expose healthy endothelial cells in the lab to blood from patients to see whether it pushes the cells into a senescent, or “zombie,” state.

    At the same time, we are trialling non‑invasive imaging and fluorescent probes that could one day reveal these ageing cells inside the body. In selected cases, tissue biopsies may later confirm what the scans show. Together, these approaches aim to pinpoint how substances circulating in the blood drive cellular ageing and how that, in turn, fuels disease.

    Our aim is simple: find these ageing endothelial cells in real patients. Pinpointing them will inform the next round of clinical trials and open the door to therapies that target senescent cells directly, offering a route to healthier blood vessels and, ultimately, lighter disease loads.

    Burtram C. Fielding works for Stellenbosch University. He has received funding from the National Research Foundation, South Africa and the Technology Innovation Agency.

    Resia Pretorius is a Distinguished Research Professor at Stellenbosch University and receives funding from Balvi Research Foundation and Kanro Research Foundation. She is also affiliated with University of Liverpool as a Honorary Professor. Resia is a founding director of the Stellenbosch University start-up company, Biocode Technologies and has various patents related to microclot formation in Long COVID.

    Massimo Nunes receives funding from Kanro Research Foundation.

    ref. Long-COVID, viruses and ‘zombie’ cells: new research looks for links to chronic fatigue and brain fog – https://theconversation.com/long-covid-viruses-and-zombie-cells-new-research-looks-for-links-to-chronic-fatigue-and-brain-fog-261108

    MIL OSI

  • MIL-OSI Submissions: Uganda’s land eviction crisis: do populist state measures actually fix problems?

    Source: The Conversation – Africa (2) – By Rose Nakayi, Senior Lecturer of Law, Makerere University

    Populism is rife in various African countries. This political ideology responds to and takes advantage of a situation where a large section of people feels exploited, marginalised or disempowered. It sets up “the people” against “the other”. It promises solidarity with the excluded by addressing their grievances. Populism targets broad social groups, operating across ethnicity and class.

    But how does populism fare when it informs state interventions to address long-standing societal issues under capitalism? Do populist state measures – especially when launched by a politically powerful leader – deliver improvements for the stated beneficiaries?

    As academics who have researched populism for years, we were interested in the implementation and outcomes of such policies and programmes. To answer these questions, we analysed a populist intervention by President Yoweri Museveni in Uganda to address rampant land conflicts. In 2013 he set out to halt land evictions.

    What good came of this? Did it help the poor?

    We analysed land laws, court cases, government statements and media reports and found that, for the most part, the intervention offered short-term relief. Some people returned to the land, but the underlying land conflict was unresolved.

    This created problems that continue to be felt today, including land disputes and land tenure insecurity. The intervention also increased the involvement of the president and his agents personally in providing justice.

    It didn’t make pro-poor structural changes to address the root of the problem.

    Yet, the intervention had several political benefits:

    • it enhanced the political legitimacy of the president and state

    • it offered a politically useful response to a land-related crisis and conflict

    • it addressed broader criticisms over injustice and poverty by sections of the public and opposition leaders, some of whom (like Robert Kyagulanyi) also relied on populist rhetoric.

    The promise to deal with land evictions “once and for all” has yet to be realised over a decade later. During Heroes Day celebrations on 9 June 2024, Museveni’s speech repeated his promise to stop evictions.

    Such promises of getting a grip on and ending evictions via decisive state actions, including proposed new legal guidelines, were also made more recently, for example during Heroes Day 2025. This indicates that evictions – and state responses to them – remain a top issue on the political agenda ahead of Uganda’s 2026 election.

    Persistent evictions

    Evictions were rampant in the 2010s, especially in central Uganda’s Buganda region. They were driven by increased demand for land amid a growing population and legal reforms that seemed to protect tenants over landlords. Some landlords, desperate to free their land of tenants, were carrying out the evictions themselves.

    The president condemned the evictions, but they continued. Soon, the number of evictees was in the thousands.

    In response, Museveni set up a land committee within the presidency. He announced at a press conference in early 2013 that:

    all evictions are halted. There will be no more evictions, especially in the rural areas. All evictions involving peasants are halted.

    The dynamics of populism-in-practice

    Museveni’s attempts to personally deal with evictions illustrate a continued power shift in Uganda, from institutions to the president’s executive units.

    Despite its shortcomings, such as case backlogs, the judicial system offers an opportunity to present cases in a more neutral environment. It also allows parties to appeal decisions. This way, higher courts can correct errors where necessary.

    The presidential land committee, we found, tended to be biased in favour of tenants, paying less attention to the landlords’ cases.

    The president’s intervention wasn’t adequate to address the immediate causes and effects of the evictions, nor the root causes.

    Those included land tenure insecurities. Due to legal reforms, land-rich landlords were unable to get rent at market value from tenants. Neither could they evict them lawfully where rent was in arrears.

    In some cases, legal options such as land sales between landlords and tenants were applied. This was often to the detriment of tenants, especially where there was no neutral actor to oversee negotiations.

    Land reforms need to be institutionalised and funded to deliver the intended outcomes. Otherwise, unlawful sales and evictions become a quick option for landlords.

    Museveni’s populist initiative also unleashed new problems for beneficiaries. Some secured land occupancy in the interim but lived in fear of a relapse of conflict. Mistrust and scarred interpersonal relationships hampered cohesion in some communities. Disputes over land put political actors who would ideally be working together to restore calm at loggerheads.

    Populism as power

    The creation of populist presidential units has become routine in Uganda. More recently, Museveni created a unit to protect investors, which has resolved some investment-related land disputes. Another one was established to fight corruption. Both units remain very active.

    Our research finds that the government needs these units and interventions for a number of reasons. It uses them to govern the country’s conflict-ridden economy and society. They allow the government to assemble a politically useful response to crises and to address some on-the-ground problems. They make the state look concerned and responsive to people’s needs. And they allow ruling party political actors to increase their popularity locally.

    Museveni and his ruling party, the National Resistance Movement, therefore, benefit from a key aspect of populism. It allows the merging of disparate, competing and contradictory views, interests and demands of members of various societal classes and groups into a significantly simplified and uniform narrative that (potentially) speaks to all. This could mean: end corruption, end evictions, wealth for all, and so on.

    A general election is due in early 2026. The steps Museveni has taken on evictions, and the units set up to fight corruption or protect investors, need to be seen with this political context in mind.

    Museveni has put protecting people from evictions high on his government’s agenda. Speaking to party members in August 2024, he emphasised

    the importance of adhering to the mass line, which prioritises the needs and rights of the masses over those of the elite.

    In our view, this pre-election narrative signifies the continued political and social relevance of populism in today’s Uganda. This could result in heightened populist state activity in the run-up to and after the election.

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

    ref. Uganda’s land eviction crisis: do populist state measures actually fix problems? – https://theconversation.com/ugandas-land-eviction-crisis-do-populist-state-measures-actually-fix-problems-260512

    MIL OSI

  • MIL-OSI Submissions: Young Nigerians learn about democracy at school: how it’s shaping future voters

    Source: The Conversation – Africa (2) – By Leila Demarest, Associate Professor, Institute of Political Science, Leiden University

    Democratic consolidation is a continuing struggle, in Africa as elsewhere. The turn to democracy gained momentum in Africa in the late 1980s and early 1990s but has petered out since. Can new generations turn the tide?

    The need to prepare young people to become democratically minded is well established. In western societies, school-based civic education has been considered the means to do it since as early as the 1960s. The assumption is that better knowledge about the democratic functioning of the state promotes stronger democratic values and norms. It is also thought to increase trust in institutions and a willingness to participate in politics in the future.

    Research in western settings indeed shows that classroom instruction strengthens political attitudes and behaviour. Yet can we expect civic education to work in the same way in newer democracies? In weak democracies studies have found that civic education could actually lead young people away from political participation. Young people may become more aware of the flaws of their own system and turn away from politics.

    Nigeria made the move from military rule to multiparty democracy in 1999 but remains a flawed democracy struggling with political corruption, vote buying and episodic violence. Individual liberties are only weakly protected.

    As Africa’s most populous democracy, with a big young population, Nigeria needs young people to participate in democratic politics. And they have done so, as can be seen from events like the #EndSARS protests. Nevertheless many youths also show voter apathy. Or they engage in the country’s well-known cycles of election violence.

    As scholars, we have conducted extensive research on how young people in African countries can overcome some dark legacies, like violent conflict, ethnic tensions and authoritarianism. In a recent study, we focused on democratic engagement among young Nigerians and how formal education could strengthen it.

    Our research among secondary school students in Lagos state shows promising results. A survey of over 3,000 final year students found that those with greater political knowledge and stronger democratic values were more likely to express intent to vote, contact officials, or protest in the future.

    However, these same students rejected party membership and campaigning, which are commonly associated with corruption and violence in Nigeria. In contrast, students with lower levels of knowledge and democratic values remained inclined to participate in party activities. This might be to gain economic benefits.

    These findings show that the core objectives of civic education are not likely to lead youth to abandon democratic politics. Fostering knowledge about how the system (ideally) works and strengthening democratic attitudes remains a valuable approach to achieving democracy.

    Our findings

    Ten years after the transition from military to democratic rule, the Nigerian government made civic education mandatory in primary and secondary schools. The curriculum covers issues such as Nigeria’s independence, the structures of the state, civic rights, political parties and national unity. It also covers corruption and clientelism (the exchange of political support for economic benefits).

    After learning how the government works and gaining awareness of civic rights and responsibilities, would young Nigerians remain committed to political participation with all the country’s democratic flaws?

    We conducted a survey among final year secondary school students in Lagos state in 2019. About 3,000 students across 36 randomly selected schools answered our questions. The results revealed three political participation profiles:

    • disengaged youth – those who do not wish to take part in any type of political activity

    • non-party activists – intent on voting, contacting politicians or officials and protesting, but they reject party membership and campaigning

    • party activists – interested in joining a political party and campaigning as well as voting, contacting politicians or officials and protesting.

    Disengaged youths tended to come from richer socio-economic backgrounds. They showed low trust in institutions. Non-party activists were more informed and held stronger democratic values than party activists. This is likely because they saw political parties as corrupt or violent.

    In a democracy where party politics are often tainted by corruption, the youths’ selective engagement may be a sign not of apathy but of a thoughtful and principled rejection of flawed party politics.

    Despite a growing distrust in political parties, civic education does not appear to discourage pro-democratic political behaviour overall.

    A ‘reverse’ participation gap

    Schools are not the only shapers of youths’ political behaviour. Caregivers and peers play a role. In a large number of countries, youth from richer socio-economic backgrounds are more politically informed, more trusting of institutions, and active. This results in a so-called participation gap between richer and poorer citizens.

    Where democracy is yet to take root, research shows that middle- and higher-middle class citizens also have higher levels of knowledge and stronger democratic norms. But they have lower levels of institutional trust and are less likely to participate in institutional politics. This presents a “reverse” participation gap, so to speak.

    In our research, we found partial evidence of this “reverse participation gap”. Students from wealthier backgrounds were less likely to participate, but not necessarily because they had stronger democratic norms. One possible explanation is that these students were less economically dependent on the state. With no need to rely on public institutions for jobs or welfare, they might feel less of a need to engage with them.

    Retreat from political participation

    In non-established democracies, research shows that more educated citizens often are more critical of their governments. In Ghana and Zimbabwe, these citizens were less likely to participate in elections.

    Concerning civic education programmes specifically, an intervention in the Democratic Republic of Congo showed that these programmes might increase political knowledge and commitment to democratic values, but also decrease satisfaction with democracy in their country.

    School-based research from the continent is lacking. But studies examining school-based civic education in electoral democracies elsewhere also show a retreat from institutionalised political participation. This spans voting, party membership, campaigning, and contacting politicians.

    Our study finds more optimistic results for civic education programmes in Africa. Youths with high knowledge and values – the core objectives of civic education – remain committed to democratic political behaviour.

    Leila Demarest receives funding from Leiden University Fund (grant reference W19304-5-01).

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

    ref. Young Nigerians learn about democracy at school: how it’s shaping future voters – https://theconversation.com/young-nigerians-learn-about-democracy-at-school-how-its-shaping-future-voters-261030

    MIL OSI

  • MIL-OSI Submissions: 3D printed food: yuck or yes? Researchers ask South African consumers

    Source: The Conversation – Africa (2) – By Oluwafemi Adebo, Professor of Food Technology and Director of the Centre for Innovative Food Research (CIFR), University of Johannesburg

    Would you eat food that was printed by a machine? 3D printed food is built up by equipment (a 3D food printer), layer after layer, using edible pastes, dough and food slurries in three-dimensional forms. These machines use digital models to produce precise, often personalised food items. Most 3D printed foods are made from nutrient-dense sources (plant and animal), which means they can offer health benefits.

    The global market for 3D printed food is growing. It’s been estimated as worth US$437 million in 2024 and projected to reach US$7.1 billion in 2034. But the concept is still emerging in Africa.

    Food science and technology researcher Oluwafemi Ayodeji Adebo and marketing academic Nicole Cunningham share what they learnt from a survey about South African consumers’ feelings on the subject.


    How is food 3D printed and why?

    In 3D food printing, edible food materials are formulated into printable materials (food ink). These inks can be made from pureed vegetables, doughs, or nutrient-rich mixes. The food ink is loaded into a 3D printer and extruded in layers until the selected shape is complete.

    After printing, some products are ready to eat, while others need further processing such as baking or freeze-drying. The most common method is extrusion-based printing, valued for its simplicity and versatility.

    The technique enables the customisation of food. Meals can be highly personalised in texture, appearance and nutritional content.

    It can also transform food waste into food products. For example it can turn imperfect broccoli and carrots into healthy snacks and make noodles from potato peels.

    It’s also useful in texture-modified diets for people with swallowing difficulties (dysphagia), especially the elderly. The products available for these patients tend to be bland and unappealing meals such as mashed potato, pumpkin and soft porridge. 3D food printing can produce nutritionally dense meals that are easier to eat and more appetising.




    Read more:
    How 3D food printers could improve mealtimes for people with swallowing disorders


    Food ink can combine various sources with different nutrients to boost the health benefits. Not having to process the product with heat can also result in higher nutritional content.

    In South Africa, what sorts of foods might be 3D printed?

    Virtually any edible material could be transformed into food inks, although some might require additives to make them printable. The abundance of nutrient-dense and health-promoting food crops in South Africa presents an excellent opportunity for 3D food printing to create novel food.

    Sorghum, cowpea and quinoa have been used to make 3D printed biscuits, for example. They are more nutritious than wheat and don’t contain gluten.




    Read more:
    Africa’s superfood heroes – from teff to insects – deserve more attention


    Research at the Centre for Innovative Food Research at the University of Johannesburg has already demonstrated the feasibility of obtaining 3D printed products from different sources (for example whole-grain sourdough and malt biscuits, biscuits from wholegrain and multigrain flours and nutritious and appetising meals for dysphagia patients).




    Read more:
    3D printing offers African countries an advantage in manufacturing


    3D food printing is still in its infancy in South Africa, compared to developed countries such as China, Japan, the US and some European countries. The best-known companies that have adopted this technology include BluRhapsody, based in Italy, which makes 3D-printed pasta, and Open Meals based in Japan, which specialises in personalised sushi.

    We carried out a study to understand South African consumers’ attitudes toward 3D-printed foods. Although the technology is not yet in wide use, we found some consumers were fairly knowledgeable about these foods and the associated benefits. These findings lay the foundation for business opportunities to commercialise and market 3D printed products in the region.

    Who did you ask about it in your study?

    The study surveyed South African consumers aged 18-65 who were familiar with the concept of 3D-printed food. We collected 355 responses, mostly females aged 24 to 44. They provided information and opinions on several aspects, including:

    • their awareness of 3D-printed food

    • their familiarity with 3D-printed food

    • their food neophobia (fear of new foods)

    • the convenience that 3D-printed food offers

    • their perspective on their health needs

    • the perceived benefits that 3D-printed food offers

    • attitudes towards 3D-printed food.

    What did they say?

    Positive attitudes were strongest among those who recognised the convenience and health-related benefits of this new technology. The potential to reduce waste, customise nutrition, and simplify meal preparation stood out as key motivators.

    Interestingly, food familiarity didn’t play a significant role in people’s responses. This means they aren’t necessarily clinging to traditional or childhood meals when forming attitudes about 3D-printed food.

    In short, novelty alone isn’t a deal-breaker, it’s more about perceived safety, usefulness, and understanding the benefits.

    What does this tell us?

    The findings highlight the crucial role of consumer education and awareness in shaping attitudes toward 3D-printed food. While unfamiliarity with the technology can create some hesitation, the research shows that consumers are not necessarily resistant to innovation. They just need to understand it better and be educated about the benefits it offers.

    If food manufacturers and marketers invest in increasing public knowledge and offering hands-on experiences such as tastings, demonstrations, or transparent production processes, then consumer attitudes could shift positively.

    This approach has shown promise in other markets. For example, educational campaigns in Europe and the US around lab-grown meat and plant-based proteins have improved public perception over time.




    Read more:
    Nigeria isn’t big on 3D printing. Teaching students how to use it could change this


    Marketers should talk about safety, health and sustainability, and demystify the technology through clear, engaging messaging. In countries where such strategies have been used, consumers have shown increased willingness to try novel food technologies. This is significant because of predicted growth in the industry.

    If South African consumers see 3D-printed food more positively, this innovation could unlock opportunities to enhance food security, address malnutrition, and support personalised dietary solutions.

    Oluwafemi Adebo received funding for this project from the National Research Foundation (NRF) of South Africa Support for Rated and Unrated Researchers (grant number: SRUG2204285188), the University of Johannesburg and Faculty of Science Research Committee Grant, and the South African Medica lResearch Council (SAMRC) Self-Initiated Research (SIR) Grant.

    Nicole Cunningham receives funding from the DHET in order to conduct academic research.

    ref. 3D printed food: yuck or yes? Researchers ask South African consumers – https://theconversation.com/3d-printed-food-yuck-or-yes-researchers-ask-south-african-consumers-255887

    MIL OSI

  • MIL-Evening Report: Bougainville woman Cabinet minister battling nine men to hold her seat

    INTERVIEW: By Don Wiseman, RNZ Pacific senior journalist

    One of the first women to hold an open seat in Bougainville, Theonila Roka Matbob, is confident she can win again.

    Bougainville goes to the polls in the first week of September, and Roka Matbob aims to hold on to her Ioro seat in central Bougainville, where she is up against nine men.

    The MP, who is also the Minister of Community Government, recently led the campaign that convinced multinational Rio Tinto to clean up the mess caused by the Panguna Mine.

    RNZ Pacific asked her if she is enjoying running for a second election campaign.

    THEONILA ROKA MATBOB: Very, very much, yes. I guess compared to 2020, it is because it was my first time. I had a lot of butterflies, I would say. But this time has been very different. So I am more relaxed, more focused, and also I am more aware of issues that I can actually concentrate on.

    DON WISEMAN: And one of those issues you’ve been concentrating on is the aftermath of the Panguna Mine and the destruction and so on caused both environmentally and socially. And I guess that sort of work is going to continue for you?

    TRM: Yes, so the work is continuing. I had three platforms when I was contesting in 2020: leadership, governance, institutional governance and the accountability on the issues, legacy issues of Panguna Mine. I thought that the third one was going to be very challenging, given that it involved international stakeholders.

    But I would say that the one that I thought was going to be very challenging was actually the one that got a lot of traction, and it’s already in motion while I’m like back on the trail, defending my seat.

    DW: In terms of the work that has been undertaken on an assessment of the environmental damage, the impact that the process had had, and the report that has come out, and the obligations that this now places on Rio Tinto?

    TRM: The recommendations that were made by the report was on a lot of like imminent survey areas that is like on infrastructure that were built by the company back then in the operation days that is now tearing down.

    And also a lot more than that, there was a call for more intrusive assessment to be done on health and bloodstreams as well for the people, but those other things and also now to into the remediation vehicle, what is it going to look like?

    These are clear responsibilities that are at the overarching highest level of engagement through the what we call this process, the CP process. It has put the responsibility on Rio Tinto to now tell us, what does the remediation vehicle look like.

    At the moment, Rio Tinto is looking into that to be able to engage expertise in communication with us, to see how the design for the remediation vehicle would look. It is from the report that the build-up is now coming up, and there is more tangible or visible presence on the ground as compared to the time we started.

    DW: So that process in terms of the removal of the old buildings that’s actually got underway, has it?

    TRM: That process is already underway, the demolition process is underway, and BCL [Bougainville Copper Limited] is the one that’s taking the lead. It has engaged our local expertise, who are actually working abroad, but they have hired them because under the process we have local content policy where we have to do shopping for experts from Bougainville, before we’ll look into experts from overseas.

    Apart from that as well, one of the things that I have seen is there is an increased interest from both international and national and local partners as well in understanding the areas where the report, assessment report has pointed out.

    There is quite a lot happening, as compared to the past years when, towards the end of our political phase in parliament, usually there is always silence and only campaigns go on. But for now, it has been different.

    A lot of people are more engaged, even participating on the policy programmes and projects.

    DW: Yes, your government wants to reopen the Panguna Mine and open it fairly soon. You must have misgivings about that?

    TRM: I have been getting a lot of questions around that, and I have been telling them my personal stance has never changed.

    But I can never come in between the government’s interest. What I have been doing recently as a way of responding and uniting people, both who are believers of reopening and those that do not believe in reopening, like myself.

    We have created a platform by registering a business entity that can actually work in between people and the government, so that there is more or less a participatory approach.

    The company that we have registered is the one that will be tasked to work more on the politics of economics around Panguna and all the other prospects that we have in other natural resources as well.

    I would say that whichever way the government points us, I can now, with conviction, say that I am ready with my office and the workforce that I have right now, I can comfortably say that we can be able to accommodate for both opinions, pro and against.

    DW: In your Ioro electorate seat it’s not the biggest lineup of candidates, but the thing about Bougainville politics is they can be fairly volatile. So how confident are you?

    TRM: I am confident, despite the long line up that we have about nine people who are against me — nine men, interestingly, were against me. I would say that, given the grasp that I have and also building up from 2020, I can clearly say that I am very confident.

    If I am not confident, then it will take the space of giving opportunity for other people and also on campaign strategies as well. I have learnt my way through in diversifying and understanding the different experiences that I have in the constituency as well.

    This article is republished under a community partnership agreement with RNZ.

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Bougainville woman Cabinet minister battling nine men to hold her seat

    INTERVIEW: By Don Wiseman, RNZ Pacific senior journalist

    One of the first women to hold an open seat in Bougainville, Theonila Roka Matbob, is confident she can win again.

    Bougainville goes to the polls in the first week of September, and Roka Matbob aims to hold on to her Ioro seat in central Bougainville, where she is up against nine men.

    The MP, who is also the Minister of Community Government, recently led the campaign that convinced multinational Rio Tinto to clean up the mess caused by the Panguna Mine.

    RNZ Pacific asked her if she is enjoying running for a second election campaign.

    THEONILA ROKA MATBOB: Very, very much, yes. I guess compared to 2020, it is because it was my first time. I had a lot of butterflies, I would say. But this time has been very different. So I am more relaxed, more focused, and also I am more aware of issues that I can actually concentrate on.

    DON WISEMAN: And one of those issues you’ve been concentrating on is the aftermath of the Panguna Mine and the destruction and so on caused both environmentally and socially. And I guess that sort of work is going to continue for you?

    TRM: Yes, so the work is continuing. I had three platforms when I was contesting in 2020: leadership, governance, institutional governance and the accountability on the issues, legacy issues of Panguna Mine. I thought that the third one was going to be very challenging, given that it involved international stakeholders.

    But I would say that the one that I thought was going to be very challenging was actually the one that got a lot of traction, and it’s already in motion while I’m like back on the trail, defending my seat.

    DW: In terms of the work that has been undertaken on an assessment of the environmental damage, the impact that the process had had, and the report that has come out, and the obligations that this now places on Rio Tinto?

    TRM: The recommendations that were made by the report was on a lot of like imminent survey areas that is like on infrastructure that were built by the company back then in the operation days that is now tearing down.

    And also a lot more than that, there was a call for more intrusive assessment to be done on health and bloodstreams as well for the people, but those other things and also now to into the remediation vehicle, what is it going to look like?

    These are clear responsibilities that are at the overarching highest level of engagement through the what we call this process, the CP process. It has put the responsibility on Rio Tinto to now tell us, what does the remediation vehicle look like.

    At the moment, Rio Tinto is looking into that to be able to engage expertise in communication with us, to see how the design for the remediation vehicle would look. It is from the report that the build-up is now coming up, and there is more tangible or visible presence on the ground as compared to the time we started.

    DW: So that process in terms of the removal of the old buildings that’s actually got underway, has it?

    TRM: That process is already underway, the demolition process is underway, and BCL [Bougainville Copper Limited] is the one that’s taking the lead. It has engaged our local expertise, who are actually working abroad, but they have hired them because under the process we have local content policy where we have to do shopping for experts from Bougainville, before we’ll look into experts from overseas.

    Apart from that as well, one of the things that I have seen is there is an increased interest from both international and national and local partners as well in understanding the areas where the report, assessment report has pointed out.

    There is quite a lot happening, as compared to the past years when, towards the end of our political phase in parliament, usually there is always silence and only campaigns go on. But for now, it has been different.

    A lot of people are more engaged, even participating on the policy programmes and projects.

    DW: Yes, your government wants to reopen the Panguna Mine and open it fairly soon. You must have misgivings about that?

    TRM: I have been getting a lot of questions around that, and I have been telling them my personal stance has never changed.

    But I can never come in between the government’s interest. What I have been doing recently as a way of responding and uniting people, both who are believers of reopening and those that do not believe in reopening, like myself.

    We have created a platform by registering a business entity that can actually work in between people and the government, so that there is more or less a participatory approach.

    The company that we have registered is the one that will be tasked to work more on the politics of economics around Panguna and all the other prospects that we have in other natural resources as well.

    I would say that whichever way the government points us, I can now, with conviction, say that I am ready with my office and the workforce that I have right now, I can comfortably say that we can be able to accommodate for both opinions, pro and against.

    DW: In your Ioro electorate seat it’s not the biggest lineup of candidates, but the thing about Bougainville politics is they can be fairly volatile. So how confident are you?

    TRM: I am confident, despite the long line up that we have about nine people who are against me — nine men, interestingly, were against me. I would say that, given the grasp that I have and also building up from 2020, I can clearly say that I am very confident.

    If I am not confident, then it will take the space of giving opportunity for other people and also on campaign strategies as well. I have learnt my way through in diversifying and understanding the different experiences that I have in the constituency as well.

    This article is republished under a community partnership agreement with RNZ.

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Donald Trump cannot make the Epstein files go away. Will this be the story that brings him down?

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

    Conspiracy theories are funny things.

    The most enduring ones usually take hold for two reasons: first, because there’s some grain of truth to them, and second, because they speak to foundational historical divisions.

    The theories morph and change, distorting the grain of truth at their centre beyond reality. In the process, they reinforce and deepen existing divisions, encouraging hateful blindness.

    US President Donald Trump is perhaps the most successful conspiracy trafficker in modern American history.

    Trump built his political career by trading on conspiracy. These have included a combination of racist birther conspiracies about former president Barack Obama, nebulous ideas about the “Deep State” that conspired against the interests of regular Americans, and nods to a more recent online universe centered on QAnon that alleged a Satanist ring of “elite” pedophiles involving Hillary Clinton was trafficking children.

    These theories all had their own grain of truth and tapped into deep-seated historical fears. For example, Obama does have Kenyan heritage, and his Blackness threatened many white Americans’ sense of their own power.

    Revelations about disgraced financier Jeffery Epstein’s trafficking in children and the way in which that implicated the “elite” of New York seemed to confirm at least parts of the final theory. It tapped into the belief – one that does have some basis in reality – that America’s elite play by rules of their own, above justice and accountability.

    In the lead-up to the 2024 presidential election, Trump increasingly engaged with this online universe. He seemed to quietly enjoy suggestions that he might be “Q” – the anonymous leader who, according to the theory, was going to break the paedophile ring wide open in a “day of reckoning”.

    Many of Trump’s perennially online supporters based their championing of him around these conspiracy theories. QAnon believers were among those who stormed the Capitol on January 6 2021. A core section of Trump’s base continues to believe his promises that he would at last reveal the truth – about John F. Kennedy’s assassination, the Deep State, and Epstein.

    That it has long been public knowledge that Trump and Epstein had a longstanding friendship did not impinge on these beliefs.

    Conspiracy theories have swirled around Epstein since at least his first arrest nearly two decades ago, in 2006. After allegations of unlawful sex with a minor, Epstein was charged with soliciting prostitution. This elicited suggestions he was receiving special treatment because of his elite status as a New York financier and philanthropist.

    That pattern continued over the next decade as accusations multiplied, culminating in his arrest in 2019 on federal charges of sex trafficking, including to a private island. The allegations touched the global elite, including former president Bill Clinton, the United Kingdom’s Prince Andrew, and Trump. In August 2019, Epstein was found dead in his cell, allegedly by suicide – adding further fuel to the already intense conspiracy fire.

    Epstein’s arrest and death occurred during the first Trump administration. Since then, there has been a steady trickle of accusations and revelations that have increased pressure on the administration to declassify and release material relating to the case. Many of Trump’s most loyal supporters, including a set of influential podcasters and influencers, have built their audiences around Epstein and the insistence that the truth be revealed.

    Early in the life of the current administration, Attorney-General Pam Bondi – whom Trump is wont to treat as his personal lawyer – said she was reviewing the Epstein “client list”.

    In the past few weeks, however, the administration has indicated it will not release the list or other materials relating to the case. At the same time, more information about Trump’s relationship with Epstein has trickled out, including more photos of the two together. It’s hard to deny the sense there is more to come.

    Trump’s posting about the issue, despite his apparent wish to divert from it, seems only to compel more interest. Sections of his online conspiracy base, including vocal supporters such as Tucker Carlson, are outraged at what they see as a betrayal. Reports suggest a significant rift developing between Trump and key backer Rupert Murdoch over the issue. Democrats, rightly, sense weakness.




    Read more:
    Could Rupert Murdoch bring down Donald Trump? A court case threatens more than just their relationship


    Loyal Republicans seem rattled enough that Speaker of the House Mike Johnson called an early summer recess, sending congresspeople home in an apparent effort to avoid any forced vote on the issue.

    The obvious inference – though it is inference only – is that Trump and Republicans are so worried about what is in the Epstein material they would rather cop strong backlash from the base, looking scared and weak, than release the information. If nothing else, that is a guaranteed way to fuel an already raging fire.

    Trump’s tanking approval rating and the salience of this issue lead to an obvious question: is this going to be the thing that finally scratches the Teflon president? Will his base turn on him at last?

    If history is anything to go by, that seems unlikely. Trump is remarkably resilient, using crises like this to consolidate his power. Trump commands loyalty, and he has it from Bondi, Johnson and others in this weakened and increasingly ideologically driven federal government. And his conspiracy-fuelled base is in so deep that turning on the president now is not just a question of admitting error, but one of core identity.

    US mainstream media has long pursued a “gotcha” approach to Trump, driven by a model of journalism that still seeks out smoking guns and dreams of Watergate. Not unlike the conspiracy theories it reports on, this framing hopes for a neat, clear resolution to the story of US politics. But politics doesn’t work like that – especially not for Trump.

    From the outside, Trump’s attempts to pivot on the issue and build on his existing conspiracies around Obama and Hillary Clinton might look feeble, but they are tried and true. Trump is now focused on fanning theories around Obama and Clinton, broadening them to include accusations of “treason”. Trump’s Director of National Intelligence Tulsi Gabbard went so far as to claim Obama had “manufactured […] a years-long coup against President Trump”. Even reporting on these claims with rightful incredulity adds fuel to the raging fire.

    In the personality cult of an authoritarian leader, conspiracy is easily weaponised against enemies, perceived and real. In the febrile environment of US politics, these conspiracy theories tap into and encourage a long vein of white supremacy and racial revanchism that has shaped American politics since even before the nation’s founding.

    Trump can morph and change conspiracy theories like no one else, building on fears and deepening existing divisions. He understands the power of pointing to “enemies from within”, and just how well that reinforces the narrative he has already so successfully ingrained in US political culture. We underestimate him, and the power of conspiracy theory, at our peril.

    Emma Shortis is Director of International and Security Affairs at The Australia Institute, an independent think tank.

    ref. Donald Trump cannot make the Epstein files go away. Will this be the story that brings him down? – https://theconversation.com/donald-trump-cannot-make-the-epstein-files-go-away-will-this-be-the-story-that-brings-him-down-261843

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Gaza condemns Israeli ‘piracy’ over storming of Handala aid ship

    Asia Pacific Report

    The Gaza Government Media Office has condemned “in the strongest terms” Israel’s storming of the Handala aid ship, calling it an act of “maritime piracy”, reports Al Jazeera.

    “This blatant aggression represents a flagrant violation of international law and maritime navigation rules,” the office said in a statement.

    “It reaffirms once again that the [illegal Israeli] occupation acts as a thuggish force outside the law, targeting every humanitarian initiative seeking to rescue more than 2.4 million besieged and starving Palestinians in the Gaza Strip.”

    The office also called on the international community, including the United Nations and rights groups, “to take an urgent and firm stance against this aggression and to work to secure international protection for the convoys”.

    Israel’s Foreign Ministry confirmed in a statement today that the Israeli navy had intercepted the Gaza-bound Handala, and it was now heading towards Israel.

    “The Israeli navy has stopped the vessel Navarn from illegally entering the maritime zone of the coast of Gaza,” said the statement, using the aid ship’s original name.

    “The vessel is safely making its way to the shores of Israel,” it added. “All passengers are safe.”

    Freedom Flotilla slams ‘abductions’
    A statement by the Freedom Flotilla Coalition accused Israel military of “abducting” the 21 crew members of the Handala, saying the ship had been “violently intercepted by the Israeli military in international waters about 40 nautical miles from Gaza.

    “At 23:43 EEST Palestine time, the Occupation cut the cameras on board Handala and we have lost all communication with our ship.

    “The unarmed boat was carrying life-saving supplies when it was boarded by Israeli forces, its passengers abducted, and its cargo seized.

    “The interception occurred in international waters outside Palestinian territorial waters off Gaza, in violation of international maritime law.”

    The Handala carried a shipment of critical humanitarian aid for Palestinians in Gaza, including baby formula, diapers, food, and medicine, the statement said.

    “All cargo was non-military, civilian, and intended for direct distribution to a population facing deliberate starvation and medical collapse under Israel’s illegal blockade.”

    The Handala carried 21 civilians representing 12 countries, including parliamentarians, lawyers, journalists, labour organisers, environmentalists, and other human rights defenders.

    Seized crew members, journalists
    The seized crew includes:

    United States: Christian Smalls — Amazon Labor Union founder; Huwaida Arraf — Human rights attorney (Palestine/US); Jacob Berger — Jewish-American activist; Bob Suberi — Jewish US war veteran; Braedon Peluso — sailor and direct action activist; Dr Frank Romano — International lawyer and actor (France/US).

    France: Emma Fourreau — MEP and activist (France/Sweden); Gabrielle Cathala — Parliamentarian and former humanitarian worker; Justine Kempf — nurse, Médecins du Monde; Ange Sahuquet — engineer and human rights activist.

    Italy: Antonio Mazzeo — teacher, peace researcher, journalist; Antonio “Tony” La Picirella — climate and social justice organiser.

    Spain: Santiago González Vallejo — economist and activist; Sergio Toribio — engineer and environmentalist.

    Australia: Robert Martin — human rights activist; Tania “Tan” Safi — Journalist and organiser of Lebanese descent.

    Norway: Vigdis Bjorvand — 70-year-old lifelong justice activist.

    United Kingdom/France: Chloé Fiona Ludden — former UN staff and scientist.

    Tunisia: Hatem Aouini — Trade unionist and internationalist activist.

    The two journalists on board:

    Morocco: Mohamed El Bakkali — senior journalist with Al Jazeera (based in Paris).

    Iraq/United States: Waad Al Musa — cameraman and field reporter with Al Jazeera.

    The attack on Handala is the third violent act by Israeli forces against Freedom Flotilla missions this year alone, said the statement.

    “It follows the drone bombing of the civilian aid ship Conscience in European waters in May, which injured four people and disabled the vessel, and the illegal seizure of the Madleen in June, where Israeli forces abducted 12 civilians, including a Member of the European Parliament.

    “Shortly before their abduction, the Handala‘s crew affirmed that they would be hunger-striking if detained by Israeli forces and not accepting any food from the Israeli Occupation Forces.”

    Israeli officials have ignored the International Court of Justice’s binding orders that require the facilitation of humanitarian access to Gaza.

    The continued attacks on peaceful civilian missions represent a grave violation of international law, said the Freedom Flotilla Coalition.

    Kia Ora Gaza support for Handala
    In Auckland, Kia Ora Gaza spokesperson Roger Fowler, who is recovering from cancer treatment, said in a statement:

    “Kia Ora Gaza is a longtime member of the Freedom Flotilla Coalition and supports the current Handala civil mission to break Israel’s illegal siege of Gaza and end Israel’s campaign to wipe out the Palestinian population.

    “All governments must urgently take strong effective action to stop the genocide and occupation and end all complicity with Israel. There are no Kiwis on the Handala which was intercepted under an enforced communications blackout today.”

    Activists on board the Handala aid ship before leaving Italy’s Gallipoli Port on July 20, 2025. Image: Valeria Ferraro/Anadolu

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: ER Report: A Roundup of Significant Articles on EveningReport.nz for July 27, 2025

    ER Report: Here is a summary of significant articles published on EveningReport.nz on July 27, 2025.

    Handala freedom ship loaded with Gaza aid bracing for Israeli forces
    Asia Pacific Report An activist on board the Handala, a Gaza Freedom Flotilla ship carrying aid to the besieged enclave in a bid to break Israel’s blockade, says the crew are preparing themselves for the possibility of Israeli forces storming the vessel. Jacob Berger, an actor from the US, made the comments to Al Jazeera

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Submissions: Which wildfire smoke plumes are hazardous? New satellite tech can map them in 3D for air quality alerts at neighborhood scale

    Source: The Conversation – USA (2) – By Jun Wang, Professor of Chemical and Biochemical Engineering, University of Iowa

    Smoke from Canadian wildfires prompted air quality alerts in Chicago as it blanketed the city on June 5, 2025. Scott Olson/Getty Images

    Canada is facing another dangerous wildfire season, with burning forests sending smoke plumes across the provinces and into the U.S. again. The pace of the 2025 fires is reminiscent of the record-breaking 2023 wildfire season, which exposed millions of people in North America to hazardous smoke levels.

    For most of the past decade, forecasters have been able to use satellites to track these smoke plumes, but the view was only two-dimensional: The satellites couldn’t determine how close the smoke was to Earth’s surface.

    The altitude of the smoke matters.

    If a plume is high in the atmosphere, it won’t affect the air people breathe – it simply floats by far overhead.

    But when smoke plumes are close to the surface, people are breathing in wildfire chemicals and tiny particles. Those particles, known as PM2.5, can get deep into the lungs and exacerbate asthma and other respiratory and cardiac problems.

    An animation on May 30, 2025, shows a thick smoke plume from Canada moving over Minnesota, but the air quality monitors on the ground detected minimal risk, suggesting it was a high-level smoke plume.
    NOAA NESDIS Center for Satellite Applications and Research

    The Environmental Protection Agency uses a network of ground-based air quality monitors to issue air quality alerts, but the monitors are few and far between, meaning forecasts have been broad estimates in much of the country.

    Now, a new satellite-based method that I and colleagues at universities and federal agencies have been working on for the past two years is able to give scientists and air quality managers a 3D picture of the smoke plumes, providing detailed data of the risks down to the neighborhood level for urban and rural areas alike.

    Building a nationwide smoke monitoring system

    The new method uses data from a satellite that NASA launched in 2023 called the Tropospheric Emissions: Monitoring of Pollution, or TEMPO, satellite.

    Data from the TEMPO satellite shows the height of the smoke plume, measured in kilometers. Light blue areas are closest to the ground, suggesting the worst air quality. Pink areas suggest the smoke is more than 2 miles (3.2 kilometers) above the ground, where it poses little risk to human health. The data aligns with air monitor readings taken on the ground at the same time.
    NOAA NESDIS Center for Satellite Applications and Research

    TEMPO makes it possible to determine a smoke plume’s height by providing data on how much the oxygen molecules absorb sunlight at the 688 nanometer wavelength. Smoke plumes that are high in the atmosphere reflect more solar radiation at this wavelength back to space, while those lower in the atmosphere, where there is more oxygen to absorb the light, reflect less.

    Understanding the physics allowed scientists to develop algorithms that use TEMPO’s data to infer the smoke plume’s altitude and map its 3D movement in nearly real time.

    Aerosol particles in high smoke plumes reflect more light back into space. Closer to Earth’s surface, there is more oxygen to absorb light at the 688 nanometer wavelength, so less light is reflected. Satellites can detect the difference, and that can be used to determine the height of the smoke plume.
    Adapted from Xu et al, 2019, CC BY

    By combining TEMPO’s data with measurements of particles in the atmosphere, taken by the Advanced Baseline Imager on the NOAA’s GOES-R satellites, forecasters can better assess the health risk from smoke plumes in almost real time, provided clouds aren’t in the way.

    That’s a big jump from relying on ground-based air quality monitors, which may be hundreds of miles apart. Iowa, for example, had about 50 air quality monitors reporting data on a recent day for a state that covers 56,273 square miles. Most of those monitors were clustered around its largest cities.

    NOAA’s AerosolWatch tool currently provides a near-real-time stream of wildfire smoke images from its GOES-R satellites, and the agency plans to incorporate TEMPO’s height data. A prototype of this system from my team’s NASA-supported research project on fire and air quality, called FireAQ, shows how users can zoom in to the neighborhood level to see how high the smoke plume is, however the prototype is currently only updated once a day, so the data is delayed, and it isn’t able to provide smoke height data where clouds are also overhead.

    Wildfire health risks are rising

    Fire risk is increasing across North America as global temperatures rise and more people move into wildland areas.

    While air quality in most of the U.S. improved between 2000 and 2020, thanks to stricter emissions regulations on vehicles and power plants, wildfires have reversed that trend in parts of the western U.S. Research has found that wildfire smoke has effectively erased nearly two decades of air quality progress there.

    Our advances in smoke monitoring mark a new era in air quality forecasting, offering more accurate and timely information to better protect public health in the face of these escalating wildfire threats.

    Prof. Wang’s group have been supported from NOAA, NASA, and Naval ONR to develop research algorithm to retrieve aerosol layer height. The compute codes of the research algorithm were shared with colleagues in NOAA.

    ref. Which wildfire smoke plumes are hazardous? New satellite tech can map them in 3D for air quality alerts at neighborhood scale – https://theconversation.com/which-wildfire-smoke-plumes-are-hazardous-new-satellite-tech-can-map-them-in-3d-for-air-quality-alerts-at-neighborhood-scale-259654

    MIL OSI

  • Which wildfire smoke plumes are hazardous? New satellite tech can map them in 3D for air quality alerts at neighborhood scale

    Source: ForeignAffairs4

    Source: The Conversation – USA (2) – By Jun Wang, Professor of Chemical and Biochemical Engineering, University of Iowa

    Smoke from Canadian wildfires prompted air quality alerts in Chicago as it blanketed the city on June 5, 2025. Scott Olson/Getty Images

    Canada is facing another dangerous wildfire season, with burning forests sending smoke plumes across the provinces and into the U.S. again. The pace of the 2025 fires is reminiscent of the record-breaking 2023 wildfire season, which exposed millions of people in North America to hazardous smoke levels.

    For most of the past decade, forecasters have been able to use satellites to track these smoke plumes, but the view was only two-dimensional: The satellites couldn’t determine how close the smoke was to Earth’s surface.

    The altitude of the smoke matters.

    If a plume is high in the atmosphere, it won’t affect the air people breathe – it simply floats by far overhead.

    But when smoke plumes are close to the surface, people are breathing in wildfire chemicals and tiny particles. Those particles, known as PM2.5, can get deep into the lungs and exacerbate asthma and other respiratory and cardiac problems.

    An animation shows mostly green (safe) air quality from ground-level monitors. However, in Canada, closer to the fire, the same plume shows high levels of PM2.5.
    An animation on May 30, 2025, shows a thick smoke plume from Canada moving over Minnesota, but the air quality monitors on the ground detected minimal risk, suggesting it was a high-level smoke plume.
    NOAA NESDIS Center for Satellite Applications and Research

    The Environmental Protection Agency uses a network of ground-based air quality monitors to issue air quality alerts, but the monitors are few and far between, meaning forecasts have been broad estimates in much of the country.

    Now, a new satellite-based method that I and colleagues at universities and federal agencies have been working on for the past two years is able to give scientists and air quality managers a 3D picture of the smoke plumes, providing detailed data of the risks down to the neighborhood level for urban and rural areas alike.

    Building a nationwide smoke monitoring system

    The new method uses data from a satellite that NASA launched in 2023 called the Tropospheric Emissions: Monitoring of Pollution, or TEMPO, satellite.

    A map shows blue over the Dakotas, Nebraska and western parts of Minnesota and Iowa. Pink is over Pennsylvania up through Maine.
    Data from the TEMPO satellite shows the height of the smoke plume, measured in kilometers. Light blue areas are closest to the ground, suggesting the worst air quality. Pink areas suggest the smoke is more than 2 miles (3.2 kilometers) above the ground, where it poses little risk to human health. The data aligns with air monitor readings taken on the ground at the same time.
    NOAA NESDIS Center for Satellite Applications and Research

    TEMPO makes it possible to determine a smoke plume’s height by providing data on how much the oxygen molecules absorb sunlight at the 688 nanometer wavelength. Smoke plumes that are high in the atmosphere reflect more solar radiation at this wavelength back to space, while those lower in the atmosphere, where there is more oxygen to absorb the light, reflect less.

    Understanding the physics allowed scientists to develop algorithms that use TEMPO’s data to infer the smoke plume’s altitude and map its 3D movement in nearly real time.

    An illustration shows a satellite, Sun and smoke plume at different heights. Higher plumes reflect more light.
    Aerosol particles in high smoke plumes reflect more light back into space. Closer to Earth’s surface, there is more oxygen to absorb light at the 688 nanometer wavelength, so less light is reflected. Satellites can detect the difference, and that can be used to determine the height of the smoke plume.
    Adapted from Xu et al, 2019, CC BY

    By combining TEMPO’s data with measurements of particles in the atmosphere, taken by the Advanced Baseline Imager on the NOAA’s GOES-R satellites, forecasters can better assess the health risk from smoke plumes in almost real time, provided clouds aren’t in the way.

    That’s a big jump from relying on ground-based air quality monitors, which may be hundreds of miles apart. Iowa, for example, had about 50 air quality monitors reporting data on a recent day for a state that covers 56,273 square miles. Most of those monitors were clustered around its largest cities.

    NOAA’s AerosolWatch tool currently provides a near-real-time stream of wildfire smoke images from its GOES-R satellites, and the agency plans to incorporate TEMPO’s height data. A prototype of this system from my team’s NASA-supported research project on fire and air quality, called FireAQ, shows how users can zoom in to the neighborhood level to see how high the smoke plume is, however the prototype is currently only updated once a day, so the data is delayed, and it isn’t able to provide smoke height data where clouds are also overhead.

    Wildfire health risks are rising

    Fire risk is increasing across North America as global temperatures rise and more people move into wildland areas.

    While air quality in most of the U.S. improved between 2000 and 2020, thanks to stricter emissions regulations on vehicles and power plants, wildfires have reversed that trend in parts of the western U.S. Research has found that wildfire smoke has effectively erased nearly two decades of air quality progress there.

    Our advances in smoke monitoring mark a new era in air quality forecasting, offering more accurate and timely information to better protect public health in the face of these escalating wildfire threats.

    The Conversation

    Prof. Wang’s group have been supported from NOAA, NASA, and Naval ONR to develop research algorithm to retrieve aerosol layer height. The compute codes of the research algorithm were shared with colleagues in NOAA.

    ref. Which wildfire smoke plumes are hazardous? New satellite tech can map them in 3D for air quality alerts at neighborhood scale – https://theconversation.com/which-wildfire-smoke-plumes-are-hazardous-new-satellite-tech-can-map-them-in-3d-for-air-quality-alerts-at-neighborhood-scale-259654

  • MIL-Evening Report: ER Report: A Roundup of Significant Articles on EveningReport.nz for July 26, 2025

    ER Report: Here is a summary of significant articles published on EveningReport.nz on July 26, 2025.

    Gaza: Global community must act amid reports of starvation of journalists, says IPI
    By Jamie Wiseman The International Press Institute (IPI) has joined calls for urgent action to halt the unfolding humanitarian crisis in Gaza as global news organisations warn that their journalists there are experiencing starvation. Israel must immediately allow life-saving food aid to reach journalists and other civilians in Gaza, IPI said in a statement today.

    Caitlin Johnstone: It’s a genocide, but it’s also so much more than that
    Report by Dr David Robie – Café Pacific. – COMMENTARY: By Caitlin Johnstone The mass atrocity in Gaza is a genocide, obviously, and is an undisguised ethnic cleansing operation. But it’s also a lot more than that. It’s an experiment  —  to see what kinds of abuses the public will accept without causing significant disruption

    Leaked document reveals proposed law revisions in NZ, as Western defence of Zionist genocide threatens Pacific
    SPECIAL REPORT: By Mick Hall A leaked document has revealed secretive plans to revise terror laws in New Zealand so that people can be charged over statements deemed to constitute material support for a proscribed organisation. It shows the government also wants to widen the criteria for proscribing organisations to include groups that are judged

    Ceasefire talks collapse – what does that mean for the humanitarian catastrophe in Gaza?
    Source: The Conversation (Au and NZ) – By Ali Mamouri, Research Fellow, Middle East Studies, Deakin University Efforts to end the relentless siege of Gaza have been set back by the abrupt end to peace talks in Qatar. Both the United States and Israel have withdrawn their negotiating teams, accusing Hamas of a “lack of

    As oceans warm, tropical fish are moving south. New friendships may be helping them survive
    Source: The Conversation (Au and NZ) – By Angus Mitchell, Postdoctoral Researcher in Marine Ecology, University of Adelaide Angus Mitchell When you think about climate change in our oceans, you may picture coral bleaching, melting sea ice, or extreme weather events. But beneath the ocean’s surface, another quiet shift is underway. Australia’s tropical fish are

    As oceans warm, tropical fish are moving south. New friendships may be helping them survive
    Source: The Conversation (Au and NZ) – By Angus Mitchell, Postdoctoral Researcher in Marine Ecology, University of Adelaide Angus Mitchell When you think about climate change in our oceans, you may picture coral bleaching, melting sea ice, or extreme weather events. But beneath the ocean’s surface, another quiet shift is underway. Australia’s tropical fish are

    What is chikungunya virus, and should we be worried about it in Australia?
    Source: The Conversation (Au and NZ) – By Jacqueline Stephens, Associate Professor in Public Health, Flinders University Noppharat05081977/Getty Images This week, the World Health Organization (WHO) raised concerns about a surge in the number of cases of a mosquito-borne viral infection called chikungunya. Diana Rojas Alvarez, a medical officer at the WHO, highlighted an outbreak

    What makes a song ‘Australian’? Triple J’s Hottest 100 reignites a bigger question of national identity
    Source: The Conversation (Au and NZ) – By Catherine Strong, Associate Professor, Music Industry, RMIT University On July 26, Triple J will broadcast the Hottest 100 Australian Songs, as voted by the public. While predictions for winners and even preemptive complaining about the shortlist are taking up column space and social media posts, there is

    ER Report: A Roundup of Significant Articles on EveningReport.nz for July 25, 2025
    ER Report: Here is a summary of significant articles published on EveningReport.nz on July 25, 2025.

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: ER Report: A Roundup of Significant Articles on EveningReport.nz for July 26, 2025

    ER Report: Here is a summary of significant articles published on EveningReport.nz on July 26, 2025.

    Gaza: Global community must act amid reports of starvation of journalists, says IPI
    By Jamie Wiseman The International Press Institute (IPI) has joined calls for urgent action to halt the unfolding humanitarian crisis in Gaza as global news organisations warn that their journalists there are experiencing starvation. Israel must immediately allow life-saving food aid to reach journalists and other civilians in Gaza, IPI said in a statement today.

    Caitlin Johnstone: It’s a genocide, but it’s also so much more than that
    Report by Dr David Robie – Café Pacific. – COMMENTARY: By Caitlin Johnstone The mass atrocity in Gaza is a genocide, obviously, and is an undisguised ethnic cleansing operation. But it’s also a lot more than that. It’s an experiment  —  to see what kinds of abuses the public will accept without causing significant disruption

    Leaked document reveals proposed law revisions in NZ, as Western defence of Zionist genocide threatens Pacific
    SPECIAL REPORT: By Mick Hall A leaked document has revealed secretive plans to revise terror laws in New Zealand so that people can be charged over statements deemed to constitute material support for a proscribed organisation. It shows the government also wants to widen the criteria for proscribing organisations to include groups that are judged

    Ceasefire talks collapse – what does that mean for the humanitarian catastrophe in Gaza?
    Source: The Conversation (Au and NZ) – By Ali Mamouri, Research Fellow, Middle East Studies, Deakin University Efforts to end the relentless siege of Gaza have been set back by the abrupt end to peace talks in Qatar. Both the United States and Israel have withdrawn their negotiating teams, accusing Hamas of a “lack of

    As oceans warm, tropical fish are moving south. New friendships may be helping them survive
    Source: The Conversation (Au and NZ) – By Angus Mitchell, Postdoctoral Researcher in Marine Ecology, University of Adelaide Angus Mitchell When you think about climate change in our oceans, you may picture coral bleaching, melting sea ice, or extreme weather events. But beneath the ocean’s surface, another quiet shift is underway. Australia’s tropical fish are

    As oceans warm, tropical fish are moving south. New friendships may be helping them survive
    Source: The Conversation (Au and NZ) – By Angus Mitchell, Postdoctoral Researcher in Marine Ecology, University of Adelaide Angus Mitchell When you think about climate change in our oceans, you may picture coral bleaching, melting sea ice, or extreme weather events. But beneath the ocean’s surface, another quiet shift is underway. Australia’s tropical fish are

    What is chikungunya virus, and should we be worried about it in Australia?
    Source: The Conversation (Au and NZ) – By Jacqueline Stephens, Associate Professor in Public Health, Flinders University Noppharat05081977/Getty Images This week, the World Health Organization (WHO) raised concerns about a surge in the number of cases of a mosquito-borne viral infection called chikungunya. Diana Rojas Alvarez, a medical officer at the WHO, highlighted an outbreak

    What makes a song ‘Australian’? Triple J’s Hottest 100 reignites a bigger question of national identity
    Source: The Conversation (Au and NZ) – By Catherine Strong, Associate Professor, Music Industry, RMIT University On July 26, Triple J will broadcast the Hottest 100 Australian Songs, as voted by the public. While predictions for winners and even preemptive complaining about the shortlist are taking up column space and social media posts, there is

    ER Report: A Roundup of Significant Articles on EveningReport.nz for July 25, 2025
    ER Report: Here is a summary of significant articles published on EveningReport.nz on July 25, 2025.

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Gaza: Global community must act amid reports of starvation of journalists, says IPI

    By Jamie Wiseman

    The International Press Institute (IPI) has joined calls for urgent action to halt the unfolding humanitarian crisis in Gaza as global news organisations warn that their journalists there are experiencing starvation.

    Israel must immediately allow life-saving food aid to reach journalists and other civilians in Gaza, IPI said in a statement today.

    “The international community must also put effective pressure on Israel to allow all journalists to enter and exit the territory and to document the ongoing catastrophe,”it said.

    In an unprecedented joint statement this week, the Associated Press, Agence France-Presse, BBC News, and Reuters — four of the world’s leading news agencies — said their journalists on the ground “are increasingly unable to feed themselves and their families”.

    The news outlets added: “Journalists endure many deprivations and hardships in warzones. We are deeply alarmed that the threat of starvation is now one of them.”

    Separately, Al Jazeera Media Network said in a statement that journalists on the ground “now find themselves fighting for their own survival” due to mass starvation.

    Harrowing accounts
    AFP and Al Jazeera journalists shared harrowing accounts of conditions on the ground.

    One AFP photographer was quoted as saying, “I no longer have the strength to work for the media. My body is thin and I can’t work anymore.”

    Al Jazeera Arabic’s Gaza correspondent said he was “drowning in hunger”.

    In an interview with NPR, AFP global news director Phil Chetwynd said that the news agency had been working to evacuate its remaining contributors from Gaza, which requires Israeli permission.

    The dramatic warnings come as more than 100 international humanitarian organisations said that mass starvation in Gaza was now threatening the lives of humanitarian aid workers themselves, while the civilian death toll continues to rise.


    Gaza under siege — a journalist reports on daily survival   Video: Al Jazeera

    Meanwhile, Israel continues to refuse to allow international reporters into Gaza to report and cover the war and humanitarian situation independently, obstructing the free flow of news and limiting coverage of the humanitarian crisis.

    The ongoing conflict has taken a devastating toll on journalists and media outlets in Gaza.

    Highest media death toll
    Since October 2023, at least 186 journalists and media workers have been killed in Gaza — Al Jazeera puts the figure as at least 230 — the West Bank, Israel, and Lebanon, according to monitoring by the Committee to Protect Journalists (CPJ).

    This is the largest number of journalists to be killed in any armed conflict in this span of time.

    Independent investigations such as those conducted by Forbidden Stories have found more than a dozen cases in which journalists were intentionally targeted and killed by the Israeli military — which constitutes a war crime under international law.

    IPI has made repeated calls, in conjunction with its partners, urging the international community to take immediate measures to protect journalists and allow unimpeded access to the strip from international media.

    Today, IPI has strongly and urgently reiterated these calls, as humanitarian conditions in Gaza rapidly deteriorate and as journalists and other civilians face man-made starvation.

    The international community must use all diplomatic means at its disposal to pressure Israel to ensure the safe flow of food aid to journalists and other civilians, said IPI in a statement.

    “The response by the international community in this critical moment could be the difference between life and death. There is no more time to lose,” IPI said.

    Jamie Wiseman is a journalist of the Vienna-based International Press Institute.

    MIL OSI AnalysisEveningReport.nz

  • MIL-Evening Report: Gaza: Global community must act amid reports of starvation of journalists, says IPI

    By Jamie Wiseman

    The International Press Institute (IPI) has joined calls for urgent action to halt the unfolding humanitarian crisis in Gaza as global news organisations warn that their journalists there are experiencing starvation.

    Israel must immediately allow life-saving food aid to reach journalists and other civilians in Gaza, IPI said in a statement today.

    “The international community must also put effective pressure on Israel to allow all journalists to enter and exit the territory and to document the ongoing catastrophe,”it said.

    In an unprecedented joint statement this week, the Associated Press, Agence France-Presse, BBC News, and Reuters — four of the world’s leading news agencies — said their journalists on the ground “are increasingly unable to feed themselves and their families”.

    The news outlets added: “Journalists endure many deprivations and hardships in warzones. We are deeply alarmed that the threat of starvation is now one of them.”

    Separately, Al Jazeera Media Network said in a statement that journalists on the ground “now find themselves fighting for their own survival” due to mass starvation.

    Harrowing accounts
    AFP and Al Jazeera journalists shared harrowing accounts of conditions on the ground.

    One AFP photographer was quoted as saying, “I no longer have the strength to work for the media. My body is thin and I can’t work anymore.”

    Al Jazeera Arabic’s Gaza correspondent said he was “drowning in hunger”.

    In an interview with NPR, AFP global news director Phil Chetwynd said that the news agency had been working to evacuate its remaining contributors from Gaza, which requires Israeli permission.

    The dramatic warnings come as more than 100 international humanitarian organisations said that mass starvation in Gaza was now threatening the lives of humanitarian aid workers themselves, while the civilian death toll continues to rise.


    Gaza under siege — a journalist reports on daily survival   Video: Al Jazeera

    Meanwhile, Israel continues to refuse to allow international reporters into Gaza to report and cover the war and humanitarian situation independently, obstructing the free flow of news and limiting coverage of the humanitarian crisis.

    The ongoing conflict has taken a devastating toll on journalists and media outlets in Gaza.

    Highest media death toll
    Since October 2023, at least 186 journalists and media workers have been killed in Gaza — Al Jazeera puts the figure as at least 230 — the West Bank, Israel, and Lebanon, according to monitoring by the Committee to Protect Journalists (CPJ).

    This is the largest number of journalists to be killed in any armed conflict in this span of time.

    Independent investigations such as those conducted by Forbidden Stories have found more than a dozen cases in which journalists were intentionally targeted and killed by the Israeli military — which constitutes a war crime under international law.

    IPI has made repeated calls, in conjunction with its partners, urging the international community to take immediate measures to protect journalists and allow unimpeded access to the strip from international media.

    Today, IPI has strongly and urgently reiterated these calls, as humanitarian conditions in Gaza rapidly deteriorate and as journalists and other civilians face man-made starvation.

    The international community must use all diplomatic means at its disposal to pressure Israel to ensure the safe flow of food aid to journalists and other civilians, said IPI in a statement.

    “The response by the international community in this critical moment could be the difference between life and death. There is no more time to lose,” IPI said.

    Jamie Wiseman is a journalist of the Vienna-based International Press Institute.

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI Submissions: Neanderthals likely ate fermented meat with a side of maggots

    Source: The Conversation – USA – By Melanie Beasley, Assistant Professor of Anthropology, Purdue University

    Black soldier fly maggots can feed on decomposing animals. Melanie M. Beasley

    Scientists long thought that Neanderthals were avid meat eaters. Based on chemical analysis of Neanderthal remains, it seemed like they’d been feasting on as much meat as apex predators such as lions and hyenas. But as a group, hominins – that’s Neanderthals, our species and other extinct close relatives – aren’t specialized flesh eaters. Rather, they’re more omnivorous, eating plenty of plant foods, too.

    It is possible for humans to subsist on a very carnivorous diet. In fact, many traditional northern hunter–gatherers such as the Inuit subsisted mostly on animal foods. But hominins simply cannot tolerate consuming the high levels of protein that large predators can. If humans eat as much protein as hypercarnivores do over long periods without consuming enough other nutrients, it can lead to protein poisoning – a debilitating, even lethal condition historically known as “rabbit starvation.”

    So, what could explain the chemical signatures found in Neanderthal bones that seem to suggest they were healthily eating tons of meat?

    I am an anthropologist who uses elements such as nitrogen to study the diets of our very ancient ancestors. New research my colleagues and I conducted suggests a secret ingredient in the Neanderthal diet that might explain what was going on: maggots.

    A black soldier fly adult. The larvae of this fly are one of the species of maggots studied.
    GordZam/iStock via Getty Images Plus

    Isotope ratios reveal what an animal ate

    The ratios of various elements in the bones of animals can provide insights into what they ate while alive. Isotopes are alternate forms of the same element that have slightly different masses. Nitrogen has two stable isotopes: nitrogen-14, the more abundant form, and nitrogen-15, the heavier, less common form. Scientists denote the ratio of nitrogen-15 to nitrogen-14 as δ¹⁵N and measure it in a unit called permil.

    As you go higher up the food chain, organisms have relatively more of the isotope nitrogen-15. Grass, for example, has a very low δ¹⁵N value. An herbivore accumulates the nitrogen-15 that it consumes eating grass, so its own body has a slightly higher δ¹⁵N value. Meat-eating animals have the highest nitrogen ratio in a food web; the nitrogen-15 from their prey concentrates in their bodies.

    By analyzing stable nitrogen isotope ratios, we can reconstruct the diets of Neanderthals and early Homo sapiens during the late Pleistocene, which ran from 11,700 to 129,000 years ago. Fossils from various sites tell the same story – these hominins have high δ¹⁵N values. High δ¹⁵N values would typically place them at the top of the food web, together with hypercarnivores such as cave lions and hyenas, whose diet is more than 70% meat.

    But maybe something else about their diet was inflating Neanderthals’ δ¹⁵N values.

    Uncovering the Neanderthal menu

    We suspected that maggots could have been a different potential source of enriched nitrogen-15 in the Neanderthal diet. Maggots, which are fly larvae, can be a fat-rich source of food. They are unavoidable after you kill another animal, easily collectible in large numbers and nutritionally beneficial.

    To investigate this possibility, we used a dataset that was originally created for a very different purpose: a forensic anthropology project focused on how nitrogen might help estimate time since death.

    I had originally collected modern muscle tissue samples and associated maggots at the Forensic Anthropology Center at University of Tennessee, Knoxville, to understand how nitrogen values change during decomposition after death.

    Maggots feeding on and decomposing an animal carcass.
    Hari Sucahyo/iStock via Getty Images Plus

    While the data can assist modern forensic death investigations, in our current study we repurposed it to test a very different hypothesis. We found that stable nitrogen isotope values increase modestly as muscle tissue decomposes, ranging from -0.6 permil to 7.7 permil.

    This increase is more dramatic in maggots feeding on decomposing tissue: from 5.4 permil to 43.2 permil. To put the maggot values in perspective, scientists estimate δ¹⁵N values for Pleistocene herbivores to range between 0.9 permil to 11.2 permil. Maggots are measuring up to almost four times higher.

    Our research suggests that the high δ¹⁵N values observed in Late Pleistocene hominins may be inflated by year-round consumption of ¹⁵N-enriched maggots found in dried, frozen or cached animal foods.

    Cultural practices shape diet

    In 2017, my collaborator John Speth proposed that the high δ¹⁵N values in Neanderthals were due to the consumption of putrid or rotting meat, based on historical and cultural evidence of diets in northern Arctic foragers.

    Traditionally, Indigenous peoples almost universally viewed thoroughly putrefied, maggot-infested animal foods as highly desirable fare, not starvation rations. In fact, many such peoples routinely and often intentionally allowed animal foods to decompose to the point where they were crawling with maggots, in some cases even beginning to liquefy.

    This rotting food would inevitably emit a stench so overpowering that early European explorers, fur trappers and missionaries were sickened by it. Yet Indigenous peoples viewed such foods as good to eat, even a delicacy. When asked how they could tolerate the nauseating stench, they simply responded, “We don’t eat the smell.”

    Reconstruction of a Neanderthal man butchering a goat at the Neanderthal Museum in Mettman, Germany.
    Pressebilder Neanderthal Museum, Mettmann/Wikimedia Commons, CC BY-SA

    Neanderthals’ cultural practices, similar to those of Indigenous peoples, might be the answer to the mystery of their high δ¹⁵N values. Ancient hominins were butchering, storing, preserving, cooking and cultivating a variety of items. All these practices enriched their paleo menu with foods in forms that nonhominin carnivores do not consume. Research shows that δ¹⁵N values are higher for cooked foods, putrid muscle tissue from terrestrial and aquatic species, and, with our study, for fly larvae feeding on decaying tissue.

    The high δ¹⁵N values of maggots associated with putrid animal foods help explain how Neanderthals could have included plenty of other nutritious foods beyond only meat while still registering δ¹⁵N values we’re used to seeing in hypercarnivores.

    We suspect the high δ¹⁵N values seen in Neanderthals reflect routine consumption of fatty animal tissues and fermented stomach contents, much of it in a semi-putrid or putrid state, together with the inevitable bonus of both living and dead ¹⁵N-enriched maggots.

    What still isn’t known

    Fly larvae are a fat-rich, nutrient-dense, ubiquitous and easily procured insect resource, and both Neanderthals and early Homo sapiens, much like recent foragers, would have benefited from taking full advantage of them. But we cannot say that maggots alone explain why Neanderthals have such high δ¹⁵N values in their remains.

    Several questions about this ancient diet remain unanswered. How many maggots would someone need to consume to account for an increase in δ¹⁵N values above the expected values due to meat eating alone? How do the nutritional benefits of consuming maggots change the longer a food item is stored? More experimental studies on changes in δ¹⁵N values of foods processed, stored and cooked following Indigenous traditional practices can help us better understand the dietary practices of our ancient relatives.

    Melanie Beasley received funding from the Haslam Foundation for this research.

    ref. Neanderthals likely ate fermented meat with a side of maggots – https://theconversation.com/neanderthals-likely-ate-fermented-meat-with-a-side-of-maggots-261628

    MIL OSI

  • Neanderthals likely ate fermented meat with a side of maggots

    Source: ForeignAffairs4

    Source: The Conversation – USA – By Melanie Beasley, Assistant Professor of Anthropology, Purdue University

    Black soldier fly maggots can feed on decomposing animals. Melanie M. Beasley

    Scientists long thought that Neanderthals were avid meat eaters. Based on chemical analysis of Neanderthal remains, it seemed like they’d been feasting on as much meat as apex predators such as lions and hyenas. But as a group, hominins – that’s Neanderthals, our species and other extinct close relatives – aren’t specialized flesh eaters. Rather, they’re more omnivorous, eating plenty of plant foods, too.

    It is possible for humans to subsist on a very carnivorous diet. In fact, many traditional northern hunter–gatherers such as the Inuit subsisted mostly on animal foods. But hominins simply cannot tolerate consuming the high levels of protein that large predators can. If humans eat as much protein as hypercarnivores do over long periods without consuming enough other nutrients, it can lead to protein poisoning – a debilitating, even lethal condition historically known as “rabbit starvation.”

    So, what could explain the chemical signatures found in Neanderthal bones that seem to suggest they were healthily eating tons of meat?

    I am an anthropologist who uses elements such as nitrogen to study the diets of our very ancient ancestors. New research my colleagues and I conducted suggests a secret ingredient in the Neanderthal diet that might explain what was going on: maggots.

    A close-up photograph of a black-colored fly with green and brown patterned eyes
    A black soldier fly adult. The larvae of this fly are one of the species of maggots studied.
    GordZam/iStock via Getty Images Plus

    Isotope ratios reveal what an animal ate

    The ratios of various elements in the bones of animals can provide insights into what they ate while alive. Isotopes are alternate forms of the same element that have slightly different masses. Nitrogen has two stable isotopes: nitrogen-14, the more abundant form, and nitrogen-15, the heavier, less common form. Scientists denote the ratio of nitrogen-15 to nitrogen-14 as δ¹⁵N and measure it in a unit called permil.

    As you go higher up the food chain, organisms have relatively more of the isotope nitrogen-15. Grass, for example, has a very low δ¹⁵N value. An herbivore accumulates the nitrogen-15 that it consumes eating grass, so its own body has a slightly higher δ¹⁵N value. Meat-eating animals have the highest nitrogen ratio in a food web; the nitrogen-15 from their prey concentrates in their bodies.

    By analyzing stable nitrogen isotope ratios, we can reconstruct the diets of Neanderthals and early Homo sapiens during the late Pleistocene, which ran from 11,700 to 129,000 years ago. Fossils from various sites tell the same story – these hominins have high δ¹⁵N values. High δ¹⁵N values would typically place them at the top of the food web, together with hypercarnivores such as cave lions and hyenas, whose diet is more than 70% meat.

    But maybe something else about their diet was inflating Neanderthals’ δ¹⁵N values.

    Uncovering the Neanderthal menu

    We suspected that maggots could have been a different potential source of enriched nitrogen-15 in the Neanderthal diet. Maggots, which are fly larvae, can be a fat-rich source of food. They are unavoidable after you kill another animal, easily collectible in large numbers and nutritionally beneficial.

    To investigate this possibility, we used a dataset that was originally created for a very different purpose: a forensic anthropology project focused on how nitrogen might help estimate time since death.

    I had originally collected modern muscle tissue samples and associated maggots at the Forensic Anthropology Center at University of Tennessee, Knoxville, to understand how nitrogen values change during decomposition after death.

    A photo of an animal carcass with maggots covering it
    Maggots feeding on and decomposing an animal carcass.
    Hari Sucahyo/iStock via Getty Images Plus

    While the data can assist modern forensic death investigations, in our current study we repurposed it to test a very different hypothesis. We found that stable nitrogen isotope values increase modestly as muscle tissue decomposes, ranging from -0.6 permil to 7.7 permil.

    This increase is more dramatic in maggots feeding on decomposing tissue: from 5.4 permil to 43.2 permil. To put the maggot values in perspective, scientists estimate δ¹⁵N values for Pleistocene herbivores to range between 0.9 permil to 11.2 permil. Maggots are measuring up to almost four times higher.

    Our research suggests that the high δ¹⁵N values observed in Late Pleistocene hominins may be inflated by year-round consumption of ¹⁵N-enriched maggots found in dried, frozen or cached animal foods.

    Cultural practices shape diet

    In 2017, my collaborator John Speth proposed that the high δ¹⁵N values in Neanderthals were due to the consumption of putrid or rotting meat, based on historical and cultural evidence of diets in northern Arctic foragers.

    Traditionally, Indigenous peoples almost universally viewed thoroughly putrefied, maggot-infested animal foods as highly desirable fare, not starvation rations. In fact, many such peoples routinely and often intentionally allowed animal foods to decompose to the point where they were crawling with maggots, in some cases even beginning to liquefy.

    This rotting food would inevitably emit a stench so overpowering that early European explorers, fur trappers and missionaries were sickened by it. Yet Indigenous peoples viewed such foods as good to eat, even a delicacy. When asked how they could tolerate the nauseating stench, they simply responded, “We don’t eat the smell.”

    A Neanderthal wearing animal fur butchering a goat with a stone tool
    Reconstruction of a Neanderthal man butchering a goat at the Neanderthal Museum in Mettman, Germany.
    Pressebilder Neanderthal Museum, Mettmann/Wikimedia Commons, CC BY-SA

    Neanderthals’ cultural practices, similar to those of Indigenous peoples, might be the answer to the mystery of their high δ¹⁵N values. Ancient hominins were butchering, storing, preserving, cooking and cultivating a variety of items. All these practices enriched their paleo menu with foods in forms that nonhominin carnivores do not consume. Research shows that δ¹⁵N values are higher for cooked foods, putrid muscle tissue from terrestrial and aquatic species, and, with our study, for fly larvae feeding on decaying tissue.

    The high δ¹⁵N values of maggots associated with putrid animal foods help explain how Neanderthals could have included plenty of other nutritious foods beyond only meat while still registering δ¹⁵N values we’re used to seeing in hypercarnivores.

    We suspect the high δ¹⁵N values seen in Neanderthals reflect routine consumption of fatty animal tissues and fermented stomach contents, much of it in a semi-putrid or putrid state, together with the inevitable bonus of both living and dead ¹⁵N-enriched maggots.

    What still isn’t known

    Fly larvae are a fat-rich, nutrient-dense, ubiquitous and easily procured insect resource, and both Neanderthals and early Homo sapiens, much like recent foragers, would have benefited from taking full advantage of them. But we cannot say that maggots alone explain why Neanderthals have such high δ¹⁵N values in their remains.

    Several questions about this ancient diet remain unanswered. How many maggots would someone need to consume to account for an increase in δ¹⁵N values above the expected values due to meat eating alone? How do the nutritional benefits of consuming maggots change the longer a food item is stored? More experimental studies on changes in δ¹⁵N values of foods processed, stored and cooked following Indigenous traditional practices can help us better understand the dietary practices of our ancient relatives.

    The Conversation

    Melanie Beasley received funding from the Haslam Foundation for this research.

    ref. Neanderthals likely ate fermented meat with a side of maggots – https://theconversation.com/neanderthals-likely-ate-fermented-meat-with-a-side-of-maggots-261628

  • Using cosmetics on babies and children could disrupt horomones and trigger allergies

    Source: ForeignAffairs4

    Source: The Conversation – UK – By Adam Taylor, Professor of Anatomy, Lancaster University

    Evgeniya Yantseva/Shutterstock

    Would you dab perfume on a six-month-old? Paint their tiny nails with polish that contains formaldehyde? Dust bronzer onto their cheeks?

    An investigation by the Times has found that babies and toddlers are routinely exposed to adult cosmetic products, including fragranced sprays, nail polish and even black henna tattoos.

    While these may sound harmless – or even Instagram-friendly – the science tells a more concerning story. Infant skin is biologically different from adult skin: it’s thinner, more absorbent and still developing. Exposure to certain products can lead to immediate problems like irritation or allergic reactions, and in some cases, may carry longer term health-risks such as hormone disruption.

    This isn’t a new concern. A 2019 study found that every two hours in the US, a child was taken to hospital because of accidental exposure to cosmetic products.

    Newborn skin has the same number of layers as adult skin but those layers are up to 30% thinner. That thinner barrier makes it easier for substances, including chemicals, to penetrate through to deeper tissues and the bloodstream.

    Young skin also has a higher water content and produces less sebum (the natural oil that protects and moisturises the skin). This makes it more prone to water loss, dryness and irritation, particularly when exposed to fragrances or creams not formulated for infants.

    The skin’s microbiome – its protective layer of beneficial microbes – also takes time to develop. By age three, a child’s skin finishes establishing its first microbiome. Before then, products applied to the skin can disrupt this delicate balance. At puberty, the skin’s structure and microbiome change again, altering how it responds to products.

    The investigation found that bronzers and nail polish were being used on young children. These products often contain harmful or even carcinogenic chemicals, such as formaldehyde, toluene and dibutyl phthalate.

    Toluene is a known neurotoxin, and dibutyl phthalate is an endocrine disruptor – a chemical that can interfere with hormone function, potentially affecting growth, development and fertility. Both substances can more easily pass through infants’ thinner, more permeable skin.

    Even low-level exposure to formaldehyde, such as from furniture or air pollution, has been linked to higher rates of lower respiratory infections in children (that’s infections affecting the lungs, airways and windpipe).

    Irritating ingredients

    In the US, one in three adults experiences skin or respiratory symptoms after exposure to fragranced products. If adults are reacting, it’s no surprise that newborns and children with their developing immune systems are at even greater risk.

    Perfumes often contain alcohol and volatile compounds that dry out the skin, leading to redness, itching and discomfort.

    Certain skincare ingredients have also been studied for their potential to affect hormones, trigger allergies or pose long-term health concerns:

    While many of these ingredients are permitted in regulated concentrations, some researchers warn of a “cocktail effect”: the cumulative impact of daily exposure to multiple chemicals, especially in young, developing bodies.




    Read more:
    Scroll, watch, burn: sunscreen misinformation and its real‑world damage


    Temporary tattoos

    Temporary tattoos, particularly black henna, are popular on holidays but they aren’t always safe. Black henna is a common cause of contact dermatitis in children and may contain para-phenylenediamine (PPD), a chemical approved for use in hair dyes but not for direct application to skin.

    PPD exposure can cause severe allergic reactions and, in rare cases, cancer. Children may develop hypopigmentation – pale patches where colour is lost – or, in adults, hyperpigmentation that can last for months or become permanent.

    Worryingly, children exposed to PPD may experience more severe reactions later in life if they use hair dyes containing the same compound. This can sometimes lead to hospitalisation or even fatal anaphylaxis. Because of these risks, European legislation prohibits PPD from being applied directly to the skin, eyebrows, or eyelashes.

    ‘Natural’ doesn’t mean harmless

    Products marketed as “natural” or “clean” can also cause allergic reactions. Propolis (bee glue), for instance, is found in many natural skincare products but causes contact dermatitis in up to 16% of children.

    A study found an average of 4.5 contact allergens per product in “natural” skincare ranges. Out of 1,651 “natural” personal care products on the US market, only 96 (5.8%) were free from contact allergens. Even claims like “dermatologically tested” don’t guarantee safety; they simply mean the product was tested on skin, not that it’s free from allergens.

    Babies and young children aren’t just miniature adults. Their skin is still developing and is more vulnerable to irritation, chemical absorption and systemic effects: substances that penetrate the skin can enter the bloodstream and potentially affect organs or biological systems throughout the body. Applying adult-targeted products, or even well-meaning “natural” alternatives, can therefore carry real risks.

    Adverse reactions can appear as rashes, scaling or itchiness and, in severe cases, blistering or crusting. Respiratory symptoms like coughing or wheezing should always be investigated by a medical professional.

    When in doubt, keep it simple. Limit what goes on your child’s skin, especially in the early years.


    Get your news from actual experts, straight to your inbox. Sign up to our daily newsletter to receive all The Conversation UK’s latest coverage of news and research, from politics and business to the arts and sciences.

    The Conversation

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

    ref. Using cosmetics on babies and children could disrupt horomones and trigger allergies – https://theconversation.com/using-cosmetics-on-babies-and-children-could-disrupt-horomones-and-trigger-allergies-261204

  • A company says it could turn mercury into gold using nuclear fusion. Can we take this claim seriously?

    Source: ForeignAffairs4

    Source: The Conversation – UK – By Adrian Bevan, Professor of Physics, School of Physical and Chemical Sciences, Queen Mary University of London

    RHJPhotos / Shutterstock

    The alchemist’s dream is to make gold from common metals, but can this be done?
    The physics needed to explain how to change one element into another is well
    understood and has been used for decades in accelerators and colliders, which smash sub-atomic particles together.

    The most notable present-day example is the Large Hadron Collider at Cern, based in Geneva. But the costs of making gold this way are vast, and the quantities generated are minuscule.

    For example, Cern’s Alice experiment estimated it produced only 29 picogrammes of gold while operating over four years. At that rate, it would take hundreds of times the lifetime of the universe to make a troy ounce of gold.

    The Californian startup company Marathon Fusion has proposed a very different approach: to use the radioactivity from neutron particles in a nuclear fusion reactor to transform one form of mercury into another, called mercury-197.

    This then decays into a stable form of gold: gold-197. This process of particle decay is where one subatomic particle spontaneously transforms into two or more lighter particles. The team from Marathon Fusion estimates that a fusion power plant could produce several tonnes of gold per gigawatt of thermal power in a single year of operation.

    Bombarding the isotope mercury-198 with neutrons leads to the creation of the
    radioactive isotope mercury-197 – which subsequently decays to the only stable
    isotope of gold.

    The key is to have energetic enough neutrons to trigger the mercury decay sequence. If this could be made to work, then it is an interesting idea. But whether it could make a tidy profit is another matter.

    To do this, a large neutron flux (a measure of the intensity of neutron radiation) is required. This can be generated using a standard fuel mix for fusion reactors, deuterium and tritium (both of which are forms of hydrogen), to create energy in the plasma of a fusion reactor.

    Neutrons penetrate material easily and scatter off the nuclei (cores) in atoms, slowing down as they do so. Neutrons with energies above 6 million electron volts are required to transform mercury-198 into gold.

    To come up with its estimates, Marathon Fusion has been using a fusion reactor’s “digital twin” – a computer model that simulates the physics of the fusion reaction and the resulting radioactive processes. A limitation of this type of work is that the digital twin needs to be validated against a real commercial fusion reactor – but none currently exist.

    There are many challenges to overcome before scientists can realise a commercial fusion reactor. These include the creation of new materials for its construction, and understanding the science required both to operate the system to continuously extract power, and to develop AI systems that can help keep the plasma fusion reaction running.

    Even some of the most advanced fusion experiments, such as the UK-based JET (Joint European Torus) project, could only generate relatively small amounts of energy. However, researchers in the UK have devised a new way to shrink the size of fusion reactors by changing the way the exhaust plasma is controlled. A prototype of this novel fusion reactor concept, called Spherical Tokomak for Energy Production (Step), aims to be ready by 2040.

    Radioactive waste

    On paper, it is possible to make gold from mercury in a fusion reactor. However, until commercial fusion reactors are realised, the assumptions used by Marathon Fusion in its digital twin studies will remain untested.

    Furthermore, any gold produced at a fusion reactor would initially be radioactive, meaning it would be classified as radioactive waste – and thus need to be managed for quite some time after production.

    As nuclear and particle physicists know well, it is very easy to forget to include important physical effects and critical details when creating a digital twin of an experiment. But while the processing of that waste into usable forms of pure gold would be a further challenge to address, it will not necessarily deter long-term investors.

    For now, this remains an attractive proposition on paper – but we’re still some way off from kickstarting a new kind of Californian gold rush.

    The Conversation

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

    ref. A company says it could turn mercury into gold using nuclear fusion. Can we take this claim seriously? – https://theconversation.com/a-company-says-it-could-turn-mercury-into-gold-using-nuclear-fusion-can-we-take-this-claim-seriously-261891

  • Why you can’t judge health by weight alone

    Source: ForeignAffairs4

    Source: The Conversation – UK – By Rachel Woods, Senior Lecturer in Physiology, University of Lincoln

    Pratchaya.Lee/Shutterstock

    How much does your weight really say about your health? Probably less than you think. You could eat your five-a-day, hit the gym regularly, have textbook blood pressure and cholesterol levels – and still be dismissed as “unhealthy” based on the number on the scale. Meanwhile, someone with a so-called “healthy” weight might be skipping meals, running on stress and caffeine, and rarely moving their body.

    We’ve been taught to equate thinness with wellness and excess weight with illness. But the science tells a more nuanced story – one where weight is just a single data point in a far more complex picture. So if weight alone doesn’t reflect how healthy we really are, what does?

    Body weight is one of the most measured aspects of health. Society places huge emphasis on it, and criticism of a person’s weight is often framed as a health concern. So how much meaningful health information does weight actually offer?

    Simply put, body weight measures exactly that – the total weight of a body. Changes in weight over time can give an indication of a person’s calorie intake. If they are gaining weight, they are eating more calories than they burn. If they are losing weight, they are burning more than they eat.




    Read more:
    The body mass index can’t tell us if we’re healthy. Here’s what we should use instead


    It is perhaps more useful to consider the health information weight doesn’t give us. Important health indicators, such as cholesterol, blood sugar, blood pressure and heart rate are not visible on the scales.

    Neither does weight reflect the quality of someone’s diet. A person could be eating plenty of fruit, vegetables and whole foods, getting the vitamins and minerals needed for good energy, bone strength and immune function. Or they might not. They might be eating mostly healthy fats, like those found in olive oil, nuts and fish, which are linked to better heart health. Or they may get their fat from processed foods, high in saturated and trans fats, which increase the risk of heart disease. They may be getting plenty of fibre to support digestion, regulate their blood sugar and maintain healthy cholesterol, or they may be getting very little. Weight alone reveals none of these important dietary details.

    Weight also doesn’t accurately reflect how much body fat someone carries, or more importantly, where that fat is located. Visceral fat (which surrounds the internal organs) is linked to a higher risk of heart disease, type 2 diabetes and some types of cancer, whereas subcutaneous fat, found just beneath the skin, poses fewer health risks .

    Weight doesn’t give details about how much exercise someone does, which improves health even if it doesn’t lead to weight loss. Nor does weight reflect other major influences on health, like sleep quality or stress.

    All of these factors are harder to measure than body weight, and far less visible at first glance, but they provide a much more meaningful picture of someone’s health.

    This is not to say that there is no association between weight and these factors, but the link is not clear cut. Details such as someone’s diet quality or their activity patterns cannot be found by simply looking at their weight.

    At a population level, there is a clear association between higher body weight and increased risk of disease. For instance, studies show that people classified as overweight or obese using body mass index (BMI), which is a measure of weight relative to height, tend to have higher rates of cardiovascular disease, type 2 diabetes and certain types of cancer.

    Some people who are classified as overweight or obese have healthy blood pressure, cholesterol and blood sugar levels. This is often referred to as “metabolically healthy obesity”. On the other hand, someone with a “healthy” body weight might have high visceral fat, poor diet quality, or a sedentary lifestyle – increasing their health risks, despite appearing thin. Terms like “Tofi” (thin outside, fat inside) or “skinny-fat” have emerged to describe this.

    These examples highlight how health cannot be judged accurately by weight alone. Someone eating a fibre-rich diet, high in vegetables, whole grains and healthy fats – all of which are linked to better health outcomes, might still fall into the “overweight” category, and be perceived as unhealthy simply because they eat more calories than they burn.

    Conversely, a person eating a diet low in nutrients but not exceeding their calorie requirements may be considered a “healthy” weight. Which of these people would be viewed as healthy by society, and which by a doctor?

    Why we think weight matters

    So, why is so much emphasis put on a person’s weight? In truth, it probably shouldn’t be. However, it is a cheap and easy thing to measure, unlike blood tests, dietary assessments or body scans, which require more time, money and expertise. It’s not to say that more detailed tests are never carried out, but cost is usually a consideration.

    Weight is also very visible. It is one of the few aspects of health that’s apparent to others at a glance. This makes it easy for society to pass judgement. But what is visible isn’t always what matters most. Societal ideas about what a “healthy” body looks like are deeply ingrained and not necessarily evidence based.

    While losing weight as a result of healthy lifestyle modifications improves health, these modifications, such as increasing exercise and improving diet, have been shown to benefit health even if weight is not lost.

    It has also been shown that the societal stigma surrounding obesity is not helpful in achieving weight loss, and can actually undermine it.

    Therefore, if health really is the main concern, attention should shift away from weight as the primary focus and towards factors such as diet quality, physical activity, sleep and stress. Improvements in these areas can offer health benefits to people of all sizes.


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

    ref. Why you can’t judge health by weight alone – https://theconversation.com/why-you-cant-judge-health-by-weight-alone-260659

  • The anatomy of a lie-in: why you sleep more on holiday

    Source: ForeignAffairs4

    Source: The Conversation – UK – By Michelle Spear, Professor of Anatomy, University of Bristol

    Gladskikh Tatiana/Shutterstock.com

    There’s something oddly luxurious about a lie-in. The sun filters through the curtains, the alarm clock is blissfully silent, and your body stays at rest. Yet lie-ins are often treated as indulgences, sometimes framed as laziness or a slippery slope to soft living.

    When the holidays arrive and alarm clocks are switched off, or are set later, something else emerges: your body reclaims sleep. Not just more of it, but deeper, richer and more restorative sleep. Anatomically and neurologically, a lie-in might be exactly what your body needs to recover and recalibrate.

    Throughout the working year, it’s common to accumulate a chronic sleep debt – a shortfall in the sleep the body biologically needs, night after night. And the body keeps score.

    On holiday, freed from early starts and late-night emails, our internal systems seize the opportunity to rebalance. It’s not uncommon to sleep an hour or two longer per night in the first few days away. That’s not laziness; it’s recovery.

    Importantly, holiday sleep doesn’t just extend in duration. It shifts in structure. With fewer disturbances and less external pressure, sleep cycles become more regular, and we often experience more slow-wave sleep – the deepest phase, linked to physical healing and immune support.

    The body uses this window not only to repair tissue but also to regulate metabolism, dial down inflammation and restore energy reserves.

    Our sleep-wake cycle is governed by circadian rhythms, which are controlled by the brain’s master clock – the suprachiasmatic nucleus in the hypothalamus. These rhythms respond to light, temperature and routine. And when we’re overworked or overstimulated, they can drift out of sync with our environment.

    A lie-in allows your circadian system to recalibrate, aligning internal time with actual daylight. This re-training leads to more coherent sleep cycles and better daytime alertness.

    Holiday lie-ins also owe something to the drop in stress hormones. Cortisol, released by the adrenal glands, follows a diurnal pattern, peaking in the early morning to get us going.

    Chronic stress – from work demands, commuting or constant notifications – can raise cortisol levels and disrupt this rhythm. When you take time off, cortisol production normalises. Waking up without a jolt of adrenaline allows the sleep architecture (the pattern of sleep stages) to stabilise, leading to fewer interruptions and more restful nights.

    One of the more striking features of holiday sleep is a surge in vivid dreaming – sometimes unsettlingly so. This is because of a phenomenon called REM rebound. When we’re sleep-deprived, the brain suppresses REM (rapid eye movement) sleep to prioritise deep, restorative phases.

    Once the pressure lifts – say, during a lazy week in the sun – the brain makes up for lost REM, leading to longer and more intense dream episodes. Far from frivolous, REM sleep is crucial for memory consolidation, mood regulation and cognitive flexibility.

    Sleep also affects your body’s structure. When you lie down, your spine gets a break from the constant pressure of gravity. During the day, as you stand and move around, the intervertebral discs – soft, cushion-like pads between the vertebrae – slowly lose fluid and become slightly flatter. A lie-in gives these discs more time to rehydrate and return to their normal shape. That’s why you’re a little taller in the morning – and even more so after a long sleep.

    Meanwhile, microtears in muscles, strained ligaments and overworked joints benefit from prolonged periods of cellular repair, especially during deep sleep stages.

    Should we all be sleeping in every weekend? Not necessarily. While occasional lie-ins can help with recovery from acute sleep deprivation, habitual oversleeping –especially beyond nine hours a night – can be a red flag. It’s associated in some studies with higher rates of depression, heart disease and early death. Although long sleep might be a symptom, not a cause.

    A person in a white lab coat pointing to discs on a model of a spine.
    A lie-in helps the discs between your vertebrae to rehydrate.
    SORASIT SRIKHAM-ON/Shutterstock.com

    Larks and owls

    That said, the occasional lie-in remains anatomically restorative, especially when aligned with your body’s natural chronotype – a biological predisposition that determines when you feel most alert and when you feel naturally inclined to sleep.

    Some people are naturally “larks”, who rise early and function best in the morning. Others are “owls”, who tend to feel sleepy late and wake later, with their peak cognitive and physical performance occurring in the afternoon or evening. Many fall somewhere in between.

    Chronotype is governed by the same internal circadian system that regulates sleep-wake cycles, and it appears to be strongly influenced by genetics, age and light exposure. Adolescents typically have later chronotypes, while older adults often revert to earlier ones.

    Crucially, chronotype doesn’t just affect sleep. It also plays a role in hormone release, body temperature, digestive timing and mental alertness throughout the day.

    Conflict arises when social expectations, such as early work or school start times, force people, especially night owls, to adopt sleep-wake schedules that are out of sync with their biology. This mismatch, known as social jetlag, can lead to persistent tiredness, mood changes and even long-term health risks.

    So if you find yourself sleeping in until 9 or 10am on the third day of your holiday, don’t berate yourself. Your body is taking the opportunity to repair, replenish and rebalance. The anatomical systems involved – from your brainstem to your adrenal glands, your intervertebral discs to your dream-rich REM phases – are doing what they’re designed to do when finally given the time.


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

    ref. The anatomy of a lie-in: why you sleep more on holiday – https://theconversation.com/the-anatomy-of-a-lie-in-why-you-sleep-more-on-holiday-260149