Category: DJF

  • MIL-OSI Analysis: The Safekeep by Yael van der Wouden wins the 2025 Women’s prize – an expertly woven tale of personal crises and national horror

    Source: The Conversation – UK – By Manjeet Ridon, Associate Dean International, Faculty of Arts, Design & Humanities, De Montfort University

    The Safekeep by Yael van der Wouden has won the 2025 Women’s prize. It revisits a dark, under-explored chapter of Dutch history. It asks what happened to all the possessions that Jews who were forced to flee or were taken to camps during the second world war had to leave behind.

    The trauma of this history hangs over the novel, a haunting buzz beneath this tale of a woman slowly losing control over her small and regimented world one summer in the early 1960s. That woman is Isabel, who lives alone in her sprawling family home in a rural area of the Netherlands.

    The house is the centre of Isabel’s world and she spends most of her time obsessively keeping it in order, as her late mother would have wanted. To her, “a house is a precious thing”. Isabel is its possessive and careful caretaker, suspicious of anyone she perceives as interfering in her relationship with it.

    Isabel’s relationship with the house is tied to a difficult childhood under the influence of her domineering mother, who is still asserting control from beyond the grave. Isabel is stuck in this history, aware that “she belonged to the house in the sense that she had nothing else, no other life than the house”. It is the only place she has, and can assert, a sense of control.

    But the house does not belong to her, she is simply its keeper. It will be inherited by her brother when he wants to start a family – a future which seems incredibly distant because of his playboy and big city ways. That is till he delivers his gauche new girlfriend, Eva, to stay at the house while he is away on business.


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    What lies beneath?

    Set 15 years after the end of the second world war, van der Wouden’s debut novel unearths terrible crimes from the past and the psychological legacies that still ripple across generations of families, ancestral homes and communities. It is a novel about theft, expropriation and convenient cultural memory loss.

    The Safekeep succeeds in blending the political with the domestic and the historical with the personal.

    The writing is restrained yet lyrical and poetic, allowing space for the readers to realise how easily injustice and a historical wrong can be quietly concealed under the surface of everyday respectability. The story unfolds slowly, like coming across an old box of photos long forgotten in a dusty attic, which reveals a devastating narrative in fragments.

    Eva’s penetration of Isabel’s perfectly kept and regimented world, makes it clear to Isabel that the house and the objects she lovingly “kept” over decades were never, and will never, be hers. This graceless young woman stands in contention to everything Isabel (and her mother) thought a woman ought to be.

    As they spend time together and her desperate attempts to enforce control fail, Isabel has to confront the uncomfortable reality of her inheritance – that of the role she plays in her family, the life she has chosen to lead and the house she loves so dearly.

    There is mystery in this novel: pieces of a broken plate, missing objects, imperfect memories. The careful attention to detail and suspenseful prose makes the house take on a ghostly presence in the novel, becoming an archive of both sentimental memory and moral ambiguity.




    Read more:
    Women’s prize for fiction 2025: six experts review the shortlisted novels


    As things become more heated inside the house, we learn more about Isabel’s relationship with her two brothers, which is marked by a similar quiet tension and emotional distance. This family is shaped by its history and by their mother. The ways they grieve their matriarch’s death become entangled with the unravelling of long-held assumptions about their identities, values, each of their ideas about love and relationships, and the meaning of home and family.

    This startling debut has moved the literary world, having been shortlisted for 2024’s Booker and now winning the 2025 Women’s prize. The brilliance of The Safekeep lies in its subtlety and moral complexity. It is beautifully written, tightly constrained and poetic, and a deeply moving story about one woman’s desire for truth, justice and transformation.

    This article features references to books that have been included for editorial reasons, and may contain links to bookshop.org. If you click on one of the links and go on to buy something from bookshop.org The Conversation UK may earn a commission.

    Manjeet Ridon 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 Safekeep by Yael van der Wouden wins the 2025 Women’s prize – an expertly woven tale of personal crises and national horror – https://theconversation.com/the-safekeep-by-yael-van-der-wouden-wins-the-2025-womens-prize-an-expertly-woven-tale-of-personal-crises-and-national-horror-258997

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  • MIL-OSI Analysis: A flesh-eating fly is spreading north to the US. It could devastate livestock farming if not controlled

    Source: The Conversation – UK – By Hannah Rose Vineer, Senior Lecturer at the Institute of Infection, Veterinary & Ecological Sciences, University of Liverpool

    Emily Marie Wilson / Shutterstock

    A flesh-eating parasitic fly is invading North and Central America. The consequences could be severe for the cattle industry, but this parasite is not picky – it will infest a wide range of hosts, including humans and their pets.

    The “New World screwworm” (Cochliomyia hominivorax) was previously eradicated from these regions. Why is it returning and what can be done about it?

    Flies fulfil important ecological functions, like pollination and the decomposition of non-living organic matter. Some, however, have evolved to feed on the living. The female New World screwworm fly is attracted to the odour of any wound to lay her eggs. The larvae (maggots) then feed aggressively on living tissue causing immeasurable suffering to their unlucky host, including death if left untreated.

    Cattle farmers in Texas estimated in the 1960s that they were treating around 1 million cases per year.


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    Between the 1960s and 1990s, scientists and governments worked together to use the fly’s biology against it, eradicating the New World screwworm from the US and Mexico using the sterile insect technique (SIT).

    A female screwworm mates only once before laying her eggs, whereas the males are promiscuous. During the eradication process, billions of sterile males were released from planes, preventing any female that mated with them from producing viable eggs.

    In combination with chemical treatment of cattle and cool weather, populations of the screwworm were extinct in the US by 1982. The eradication campaign reportedly came at cost of US$750 million (£555 million), allowing cattle production to increase significantly.

    For decades, a facility in Panama has regularly released millions of sterile flies to act as a barrier to the New World screwworm spreading north from further south.

    However, since 2022 – and after decades of eradication – the New World screwworm has once again spread northwards through several countries in Central America. Cases exploded in Panama in 2023 and the fly had reached Mexico by November 2024.

    Scientists have suggested several hypotheses for this spread, including flies hitchhiking with cattle movements, higher temperatures enhancing fly development and survival, and the possibility that females are adapting their sexual behaviour to avoid sterile males.

    Around 17 million cattle are now at risk in Central America, but worse may be to come. Mexico has twice as many cattle, and the spread towards the US continues, where around 14 million cattle would be at risk in Texas and Florida alone.

    Humans are not spared, with at least eight cases of the flies infesting people in Mexico since April.

    Live animal ban

    The US has responded by temporarily restricting live animal imports from Mexico. The governments of the US, Central American countries and Mexico are also working together to heighten surveillance and work towards the eradication of the New World screwworm by stepping up sterile insect releases.

    Sterile male screwworm pupae (juveniles) are currently produced and safely sterilised by irradiation at a rate of over 100 million per week at a facility in Panama. This is jointly funded by the US Department of Agriculture (USDA) and Panama’s Ministry of Agriculture Development. However, a successful eradication campaign may need several times this number of sterile flies.

    For example, sterile fly production for releases in Mexico in the 1980s were reportedly in excess of 500 million flies per week. To combat this shortfall, the USDA is focusing releases in critical areas of Mexico and is already investing US$21 million to equip a fruit fly production facility in Metapa, Mexico, to also produce 60 million to
    100 million sterile screwworm per week.

    Fly production, sterilisation and release is a long process, and a reduction in wild screwworm populations would not be immediate. History has shown us that integrated control with anti-parasitic veterinary medicines are essential to repel flies and treat infestations as they arise.

    Surveillance with trained personnel is also essential but is a great challenge due to an entire generation of veterinarians, technicians and farmers who have no living memory of screwworm infestations.

    Finally, climate warming means that we may not be blessed with the cool weather that facilitated previous eradication, and further work is needed to determine how this will impact current eradication plans.

    Hannah Rose Vineer receives research funding from the UKRI (https://www.ukri.org/) research councils.

    Livio Martins Costa Junior receives funding from Brazilian agencies, including CNPq, CAPES, FINEP and FAPEMA.

    ref. A flesh-eating fly is spreading north to the US. It could devastate livestock farming if not controlled – https://theconversation.com/a-flesh-eating-fly-is-spreading-north-to-the-us-it-could-devastate-livestock-farming-if-not-controlled-258937

    MIL OSI Analysis

  • MIL-OSI Analysis: Despite what you learned at school, insulin isn’t just made in the pancreas

    Source: The Conversation – UK – By Craig Beall, Senior Lecturer in Experimental Diabetes, University of Exeter

    Your brain makes insulin – the same insulin produced by your pancreas. The same insulin that is not produced in people with type 1 diabetes and the same insulin that does not work properly in people with type 2 diabetes.

    Scientists have known for over 100 years about insulin producing cells in the pancreas. These spherical islands of cells, called islets, contain insulin producing beta cells.

    But we’ve only just started to learn about brain insulin production. The fact that insulin is made there is still largely unknown, even among diabetes scientists, doctors and people with diabetes.

    Yet, it was discovered there in the late 1970s – then promptly disregarded.


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    A study published in 1978 showed the levels of insulin in the rat brain were “at least 10 times higher than that found in plasma … and in some regions … 100 times higher”. If true, why isn’t this more widely known.

    Because soon after this discovery, clear evidence showed the transfer of insulin from blood to brain. One study in 1983 measuring insulin in rodent brain said that “insulin found in these extracts was ultimately derived from pancreatic insulin”. They could not find the machinery to process insulin in the brain, at least with the tools available at the time.

    This led to the assumption – for nearly the next 30 years – that all brain insulin came from the pancreas.

    Insulin can and does move from the blood to the brain. But local sources of insulin are produced in specific places to do specific things.

    The brain cells that make insulin

    First, what is surprising about brain insulin production is that there is not one but at least six types of insulin-producing brain cell. Some have been confirmed in both rodent and human brain, others currently just in rodents.

    One of the first brain cells shown to make insulin is the neurogliaform cell. These live in a brain area important for learning and memory. Most surprisingly, the production of insulin here depends on the amount of glucose present – a feature shared with pancreatic beta cells.

    Its not clear what this insulin source does. Based on the location, it may contribute to cognitive function.

    This area also has cells that create new neurons throughout life, called “neural progenitors”. These cells also make insulin.

    A similar cell from the olfactory bulb, the processing centre for smell, also has insulin-producing progenitors. What insulin does here is still unknown.

    But one insulin producing brain cell might regulate growth. A 2020 study showed that insulin is made and released from stress-sensing neurons in the mouse hypothalamus. This is a brain area that controls growth and metabolism. It also has the highest insulin levels in the human brain.

    The researchers showed that stressing mice caused hypothalamic insulin production to decrease. This led to poorer growth in the animals. In the case of mice, their bodies were shorter.

    Hypothalamic insulin maintained growth hormone levels in the pituitary gland. This is sometimes called the master gland as its involved in making or controlling production of other hormones. Having less local insulin meant less growth hormone production.

    Then there is the choroid plexus. This is the brain region that makes cerebrospinal fluid. In humans, that is about half a litre of this clear colourless liquid every day.

    Cells lining the choroid plexus – the epithelial cells – make a nourishing broth of growth factors and nutrients to keep the brain healthy. Only recently was insulin production found here in mice.

    The choroid plexus secretes fluid directly into brain ventricles, the spaces deep inside the brain. This fluid flows around the whole brain, perhaps delivering insulin more widely.

    Brain insulin suppresses appetite.
    shisu_ka/Shutterstock.com

    One place it does travel to is the appetite control centre in the hypothalamus.

    A 2023 study in mice showed that genetic control of insulin production by the choroid plexus could change food intake. The hypothalamus was rewired by changing choroid plexus insulin levels. Insulin released from here suppressed appetite.

    Another source of insulin in the brain also reduces food intake. A 2022 found that insulin producing neurons at the back of the brain, called the hindbrain, reduced food intake in mice.

    Might help the brain stay healthy as we age

    So if brain insulin can change appetite, does it control blood sugar?

    No. At least there is no evidence for this currently. It is unlikely this insulin leaves the brain. Therefore, its unlikely to control glucose levels in the same way.

    Instead, insulin in the brain might help the brain stay healthy as we age. For example, Alzheimer’s disease is often, unofficially, termed type 3 diabetes. This is because the brain is insulin resistant in Alzheimer’s. It cannot properly use glucose either.

    This is a big problem. Glucose is the main fuel for the brain. In fact, estimates suggest there is a 20% energy gap in Alzheimer’s. Even without brain cell loss, this alone will impair cognitive performance.

    This has led to attempts to boost brain insulin. Spraying insulin into the nose can improve cognitive performance in Alzheimer’s, in some, but not all studies.

    Brain glucose use also decreases over time and intranasal insulin also seems to limit this decrease.

    Therefore, is more brain insulin always a good thing?

    Not necessarily. In women specifically, higher levels of insulin in cerebrospinal fluid is associated with poorer cognitive performance.

    There is still much to learn about brain insulin production. For example, which insulin source came first? The brain or the beta cell? Hopefully it doesn’t take another 30 years to find out.

    But given the strength of evidence of brain insulin production, it won’t be long until our school textbooks are updated.

    Craig Beall currently receives funding from Diabetes UK, Breakthrough T1D, Steve Morgan Foundation Type 1 Diabetes Grand Challenge, Medical Research Council, NC3Rs, Society for Endocrinology and British Society for Neuroendocrinology.

    ref. Despite what you learned at school, insulin isn’t just made in the pancreas – https://theconversation.com/despite-what-you-learned-at-school-insulin-isnt-just-made-in-the-pancreas-256264

    MIL OSI Analysis

  • MIL-OSI Analysis: Rough sleeping to be decriminalised: what is the Vagrancy Act?

    Source: The Conversation – UK – By Emily Wertans, Research Assistant & PhD Candidate, University of Leicester

    Diana Vucane/Shutterstock

    The Labour government has announced plans to scrap the laws associated with criminalising homelessness from spring 2026. This comes in the form of repealing the Vagrancy Act, which has made rough sleeping and begging illegal in England and Wales for 200 years.

    Rough sleeping has increased 164% from when monitoring began in 2010. While repealing the act won’t end rough sleeping, decriminalisation is an important step to making sure the estimated 4,667 rough sleepers across England can access much needed support.

    With less threat of hostile interactions with the police and incurring fines resulting in debts, there is a chance to instead focus on meeting their more immediate needs to help them exit homelessness.


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    The Vagrancy Act 1824 was designed to address public order and so-called “undesirable” behaviours. Its full name is: An act for the punishment of idle and disorderly persons, and rogues and vagabonds, in England.

    While homelessness as a whole is not made illegal by this act, it does criminalise behaviour associated with homelessness. This includes rough sleeping, loitering and begging.

    However, as very few people rough sleep if they have another choice (and those choices are often also unappealing), the law does not act as a deterrent. In reality, giving people criminal records and potential debt worsens their chances of securing housing.

    Over the years, parts of the act have been repealed, such as the offence of fortune telling. However, statutes covering “sleeping out” and begging are still in effect. Today, the Vagrancy Act gives police in England and Wales the power to issue fines of up to £1,000 and prosecute those caught begging or sleeping out.

    In reality, the act has been used less and less over the years. However, the figures do not reflect how the law is used informally by the police to move people on and seize their possessions, including tents and sleeping bags.

    It is not uncommon for old laws to be repealed as they become outdated. This announcement comes after years of campaigning from the homelessness sector and advocacy groups.

    Organisations such as Crisis called the act “outdated” and “cruel”. Among other reasons, this is because the foundations of the legislation are degrading and overly punitive. In its earliest form, the 1547 Vagrancy Act authorised any able-bodied person who was not in employment to be branded with a “V” for “vagrant”.

    Westminster initially voted in favour of repealing the Vagrancy Act in 2022. However, progress stalled while the former government considered replacement legislation.

    At the same time, the Conservative government was considering making it a civil offence for charities to supply “nuisance” tents. And there were concerns that the last government’s criminal justice bill, which did not pass before the general election, would have allowed for homeless people to be arrested or fined for having “excessive odour”.

    The current government has said it will replace the Vagrancy Act with legislation targeting organised begging by gangs and trespassing.

    What difference will it make?

    Homelessness charity Crisis called the announcement to repeal the Vagrancy Act a “monumental campaign win”.

    However, neither the act, nor repealing it, addresses the real issues causing homelessness. Some key reasons that people become homeless are: family disputes, breakdown of relationships, domestic violence, poverty, unsuitable housing, addiction, long housing waiting lists and losing employment. By criminalising or fining people in these situations, they are less likely to find housing and exit homelessness.

    Rough sleeping is already dangerous. Being visibly homeless increases the risk of becoming a victim of violence, in addition to the health concerns that come with exposure to all types of weather. With rough sleeping decriminalised, agencies will be better placed to offer lifesaving support, including giving out sleeping bags during winter months, without concern or threats of fines.

    There are an estimated 4,667 rough sleepers across England.
    Travers Lewis/Shutterstock

    As well as immediate care, services also offer longer term interventions that address the root causes of rough sleeping. Evidence shows that providing support that focuses on what a person needs, such as help with trauma or addiction, is the most effective way for them to exit homelessness for good.

    Repealing the act is also a positive step towards mending relations between the government, police and homeless people. For many generations, the focus has been on punishment rather than support. Moving our attention away from prosecuting will also help relieve a burden on the criminal justice system, freeing up already strained police and courts.

    While the repeal is one important step to supporting homeless people and ending homelessness, it is only part of the solution. Rough sleeping is the most visible type of homelessness, but a much larger number of homeless people are hidden; people can live in temporary accommodation and shelters for years and others sofa surf with friends, family and strangers to stay off the streets.

    Meanwhile, charities and local councils are supporting more people than ever on insecure and ever shrinking budgets. With an ongoing housing crisis, there are not enough suitable homes to place people in. Families living in hotels are at record high levels. Without responding to these issues, ending homelessness for good is unlikely.

    Emily Wertans 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. Rough sleeping to be decriminalised: what is the Vagrancy Act? – https://theconversation.com/rough-sleeping-to-be-decriminalised-what-is-the-vagrancy-act-258748

    MIL OSI Analysis

  • MIL-OSI Banking: Leong Sing Chiong: Opening remarks – CCI-ILSTC Trade and Financial Conference

    Source: Bank for International Settlements

    Senior Minister of State for Digital Development and Information and Health, Mr Tan Kiat How,
    Chongqing Municipal People’s Government Vice Mayor Xu Jian,
    His Excellency, Ambassador Cao Zhongming,
    Bank Indonesia Executive Director Pak Yoga Affandi,
    Ladies and gentlemen,

    Good morning. It gives me great pleasure to welcome you to Singapore for the CCI-ILSTC Trade and Financial Conference. Today’s Conference is especially meaningful for three reasons.

    First, it marks the 10th anniversary of the China-Singapore (Chongqing) Connectivity Initiative or CCI. The value of the CCI as an important driver for cross-border connectivity cannot be understated. Since the CCI’s inception, there has been sustained growth in trade volumes in both directions. And finance has been an important driver, with over US$21.69 billion in cross-border financing deals since the CCI’s inception.

    Second, the Conference reflects strong interest and active participation of financial institutions from both sides, working hard on new areas to explore partnerships, and work on cross-border financing deals together. All this is taking place against the backdrop of expanding financial collaboration at the China-Singapore Joint Council for Bilateral Cooperation which covers RMB cooperation, capital market connectivity, as well as digital and sustainable finance.

    Third, this Conference brings together, for the first time, the CCI Financial Summit and the CCI-ILSTC International Cooperation Forum. This new format seeks to bring our financial services and trade ecosystems even closer together, more effectively catalysing the discovery of new linkages and business opportunities. This is timely as ASEAN is also Chongqing’s largest trading partner accounting for more than 16% of Chongqing’s total trade.

    As CCI enters its next decade, we look to how Western China and ASEAN can deepen cooperation, harness key structural trends, and identify new opportunities in future-oriented areas such as green finance and digital connectivity. This will improve the quality and scope of cross-border financial services, enabling our financial sectors to better serve the real economy. In doing so, financial institutions can also help businesses with their green transition efforts and capitalise on digitalisation trends to enhance their business models.   

    Both China and ASEAN will require a vast amount of green financing and investments to transition our economies towards a sustainable, low carbon future. 

    Banks from China and Singapore, together with the Singapore Exchange, have been engaging Chongqing corporates on green financing opportunities. For instance, last year, the EU, China and Singapore announced the Multi-Jurisdiction Common Ground Taxonomy, or M-CGT which enhances the comparability of green taxonomies across the EU, China and Singapore. With the M-CGT, corporates from the three regions will benefit from a common framework which aligns their green activities with international standards, making it easier to access cross-border green financing. 

    Aside from capital markets, our financial institutions have also been active in supporting Chongqing’s decarbonisation journey. Some examples include:

    • DBS Bank’s provision of a green loan to Singapore Power Group in 2025, to support the district cooling and heating system project at Raffles City Chongqing. This will reduce its carbon footprint by about 30 percent. 
    • OCBC Bank’s arranging of a green syndicated loan for EBA Investments1 in 2024, for their Chongqing IMIX+ Project in the Chaotianmen Business District. This loan, which references internationally recognised Green Loan Principles, helps promote carbon neutrality for the project. 

    Meanwhile, digital technology has great potential to break down barriers and make cross-border trade simpler, more efficient, and potentially enhance SME trade connectivity between China and ASEAN. As SMS Tan mentioned in his remarks earlier, Proxtera’s network of digital marketplaces will enable small and medium-sized enterprises (SMEs) in Chongqing and the Western Region to access a greater network of buyers and suppliers. The integration of trade discoverability and financing functions on the Proxtera platform can also help these SMEs overcome some of the challenges and complexities of cross-border trade as they seek to access new markets.

    In closing, there is much potential to further grow the trade and financial connectivity between Chongqing and ASEAN. Under the umbrella of the CCI, we hope to bring new ideas, innovations and initiatives that will ensure sustainable growth across our regions. This is in keeping with the JCBC objective of fostering an all-round, high-quality, future-oriented partnership.

    Thanks, and I wish you all a fruitful Conference for the rest of the day.


    MIL OSI Global Banks

  • MIL-OSI Banking: Kevin Greenidge: A legacy of excellence – resilience, reflection, renewal

    Source: Bank for International Settlements

    Good evening, everyone.

    What a joy it is to see all of you here this evening, gathered not just in your finest, but in full celebration mode as we honour a truly remarkable group of colleagues and reaffirm the legacy of excellence that defines the Central Bank of Barbados.

    Tonight, we are recognising 27 members of our Bank family, each of whom is celebrating a significant milestone – five, 10, 15, 20, 25, 30, and even 40 years of dedicated service. That’s not just a list of numbers. That is decades of experience; that is decades of contributions, that is decades of wisdom and above all, that’s decades of resilience.

    In addition to our long service awardees, I want to recognise the recipients of this year’s Special Awards. These honours speak not to the length of service but the quality and impact of that service.  Each Special Award reflects a distinct and valuable dimension of what makes our team exceptional. Whether it’s for innovation, exemplary work, team spirit, or going above and beyond the call of duty, you have each elevated our standards and inspired those around you. I commend you for not only your achievements but the example you set.

    I’m sure you’ll agree with me that this year’s theme, “Legacy of Excellence: Resilience, Reflection, Renewal,” is perfectly suited to the moment. It speaks to who we are, what we’ve been through, and what lies ahead.

    Resilience

    Let’s begin with resilience. It’s a word we’ve become quite familiar with in recent years. But for the Bank, and especially for those we are celebrating tonight, resilience is more than just bouncing back. It’s about standing firm.

    Many of you have navigated the changing tides of our economy, technological transformation, organisational changes, and yes, even a global pandemic. Yet through it all, you showed up. You leaned in. You remained committed to our mission – to maintaining the fixed exchange rate that has served as well for almost 50 years and to promoting financial stability, to educating Barbadians and earning the public’s trust- to safeguarding our economy.

    And let’s be honest: some days weren’t easy. But your ability to adapt, to innovate, to support your colleagues, and to continue moving the Bank forward is the very definition of resilience. You are part of the foundation that keeps this institution strong.

    Reflection

    This evening also calls for reflection – not only on how far you’ve come individually, but on what we’ve built together.

    From those early years when we were spread across multiple locations, to our current home at Tom Adams Financial Centre, to the strategic vision we now pursue as a modern, efficient, forward-thinking central bank, a centre of excellence, every achievement has been made possible because of people like you.

    As we reflect on the past, we acknowledge the impact of your work across every department. Every function, every role, every contribution matters. The work you have done has enabled sound decision-making, safeguarded national assets, and enhanced the financial literacy of our people.

    And you didn’t just do the job. You passed on knowledge. You trained the next generation. You reminded us that institutional memory isn’t stored in files – it lives in people.

    Renewal

    But we cannot stop there. The final pillar of tonight’s theme is renewal – and this speaks to the future.

    We are in the midst of an exciting period of transformation. Digitisation is no longer an aspiration – it’s a reality. We are modernising our systems, redefining how we work, and becoming more agile and data-driven. We are changing not for change’s sake, but because a 21st-century central bank must meet 21st-century challenges.

    And that process of renewal depends on all of us – whether you are just starting your journey at the Bank or you are one of the distinguished individuals marking multiple decades of services tonight. Renewal means embracing new ideas, upskilling, mentoring, and staying open to change. It means choosing excellence – every day. 

    It is why I continue to champion our vision of internalising excellence. Because when excellence becomes embedded in how we think and act – in how we show up to work, how we support one another, how we serve the public – then we do more than meet targets. We create impact.

    A Castle and a Legacy

    Fittingly, we are gathered at a venue rich in legacy. Sam Lord’s Castle – restored and reborn – stands as a symbol of how history and renewal can coexist. Much like the Bank, it reflects endurance, reinvention, and enduring relevance.

    So as we celebrate tonight, let us take pride not only in what has been achieved, but in what is still possible. Let us honour our legacy by building on it – through resilience, through reflection, and with a constant spirit of renewal.

    Congratulations and Thanks

    To each of our awardees – whether this is your first milestone or your eighth – thank you. Thank you for your service, your loyalty, your hard work, and your heart. You represent the best of us. May you feel the pride that you have more than earned.

    To the organising committee: you’ve done a stellar job. This evening has been beautifully executed, and I thank you for giving our colleagues the celebration they deserve.

    And to the rest of us: may the legacy we honour tonight inspire us – and may we each commit to carrying it forward.

    Congratulations, and enjoy the evening.

    Thank you.

    MIL OSI Global Banks

  • MIL-OSI Banking: Soledad Núñez: Address – CREO 2025 Forum

    Source: Bank for International Settlements

    I would like to thank Cinco Días for their kind invitation to participate in this second edition of CREO, a forum for reflection and debate on Spain’s economic future and the challenges facing the financial system. Today two fundamental areas for our country’s development and growth have been addressed.

    First, the technology and innovation industry, which is key for driving a state-of-the-art, efficient and competitive economy.

    Second, the banking sector, which is essential in any economy for channelling the funds needed to make business investments and meet consumer needs.

    Starting with the banking sector, the first point to highlight is the prominent role it plays in our economy:1 the latest National Statistics Institute (INE) data show that the financial sector has contributed more than 5% of gross value added to the Spanish economy, above the European average. Moreover, it generates slightly more than 1% of employment in Spain. The banking sector is the main pillar of the financial industry, which also includes the insurance sector and other financial intermediaries.

    As you are all aware, the Spanish banking sector is in good health, having undergone a major transformation in recent years. Indeed, the current Spanish banking landscape looks little like that of 15 years ago. The great financial crisis triggered a series of legislative reforms, propelled by the Basel Capital Accord, which strengthened banking solvency and fuelled advances in other areas, such as governance. All this led to an improvement in risk management, which is key to ensuring the good health of the sector.

    Thanks to this prudent risk management, Spanish banks now have historically low non-performing loan ratios, profitability levels above the European average and significantly more robust solvency levels than in the past. These legislative and management changes have also been accompanied by a new supervisory framework: the Single Supervisory Mechanism for the leading banks, or so-called “significant institutions”, which in Spain account for 94% of total banking sector assets.

    As has already been noted during today’s session, the banking sector faces a range of challenges, some unique to it and others shared by the economy as a whole.

    Among the latter, the present uncertain global environment cannot go unmentioned. The new geopolitical setting, in which trade positions are still unclear, will undoubtedly affect the global economy. The projection models suggest that the direct impact on the Spanish economy will not be very significant. However, there could clearly be an indirect impact through other economies with which we have closer ties. In consequence, the banking sector will have to keep a close watch on credit risk developments, especially in the sectors that are, a priori, most exposed to changes in the new international trade order. Other risks – such as liquidity or market risk – should also be monitored in view of the potential impact of possible financial market instability owing to unexpected events.

    Another challenge faced by all economic sectors is adapting to the ongoing technological revolution, as the use of technology clearly affects the financial industry, albeit not exclusively. The emergence of new tools, new communication channels, new competitors, etc., poses a challenge for the banking sector, as banks will have to make major investments within a pre-defined strategic framework.

    New technologies – today notably including artificial intelligence – represent a business opportunity, paving the way for new banking products more in line with customers’ needs and delivered through new, faster channels. Although the use of artificial intelligence by banks is not yet widespread, it is a galvanising factor that will prompt efficiency gains, reducing costs and boosting profitability.

    Banks’ use of technology and artificial intelligence will have to be prudently managed, as they increase operational risk, owing to possible system failures or cyberattacks. Banks must be ready to quickly and diligently manage any such failures, as well as the risks associated with reliance on third-party providers for certain critical activities. Moreover, the use of artificial intelligence has ethical connotations that must also be considered, avoiding undue bias or inexplicable results.

    As it advances in this unstoppable digitalisation process, the banking sector, as an essential service provider, cannot leave anyone behind. This is why it must continue its efforts to ensure access to banking services for population groups who face the most barriers, whether due to a digital divide, physical distance from a bank branch or their lack of the basic financial knowledge to make sound economic decisions.

    The last challenge I wish to mention briefly here today is the sustainable transition of the banking sector. Although banking is not a highly polluting sector per se, it does play a leading role in enabling all productive sectors to transition towards a more sustainable economy. Sustainability and competitiveness are two essential and interlinked concepts; a sustainable economy tends to be more competitive because it uses fewer resources. The banking sector should play a leading role in providing appropriate funding for that transition, for which purpose it needs both data and metrics. In the current debate on regulatory simplification under way at various fora, one of the focal points is sustainability reporting. Certainly, we need to reflect on this and other requirements, but any attempt to simplify firms’ sustainability reporting must not compromise the harmonised or sufficient disclosure of critical metrics and data points for climate and nature-related risk management.

    We need to move towards a more sustainable and competitive economy, and the banking sector will play an essential role in that process.

    Moreover, as I mentioned at the start, the technology and innovation industry is key, to boost our economy and make it more competitive and productive.

    The role of the technology and communication sector is particularly crucial. Compared with the European Union (EU) average, it accounts for a smaller share of the Spanish economy in terms of gross value added (6% versus 8%) and employment (4% versus 4.5%). But our economy is very well positioned for technological change for various reasons. First, Spain has good digital skills; indeed, in 2023, 66% of the Spanish population aged between 16 and 74 had high digital skills, the fourth highest figure in the EU after the Netherlands, Finland and Ireland. It also has a good digital infrastructure, with a high penetration rate of high-speed networks. In 2023, 96% of households had access to high-capacity networks, the third highest figure in the EU.

    Second, Spanish firms are very open to adopting and using digital technologies. According to a recent survey by the European Investment Bank,2 innovation and digitalisation are the key to our firms’ competitiveness and Spain leads the way in the use of advanced digital technologies (80% versus 74%).

    Third, the industrial production index of high-tech manufacturing industries has risen more in recent years than among our main European peers. Indeed, since 2021 this sector has grown by more than 25% in Spain, compared with 12% in France and 2% in Germany.

    In short, integrating new technologies and artificial intelligence in the banking and tech sector presents significant opportunities for achieving efficiency gains, reducing costs and boosting profitability. But this progress must be prudently managed, taking into account operational and ethical risks, as well as the need for digital inclusion.

    Furthermore, the banking sector has an essential role to play in the transition towards a more sustainable economy, providing appropriate funding and correctly managing risks, drawing on data and metrics backed by clear sustainability reporting. Spain’s technological environment is well positioned to continue leading in innovation and digitalisation, with a highly skilled population and state-of-the-art digital infrastructure. As we move forward, collaboration between these sectors will be vital to drive a more competitive, productive and sustainable economy.


    MIL OSI Global Banks

  • MIL-OSI Banking: Soledad Núñez: Embracing the future on solid grounds – reinforcing financial stability

    Source: Bank for International Settlements

    We are living in an age of profound uncertainty.

    In recent months, geopolitical actions have greatly affected the global economy. The United States imposed tariffs, leading to retaliatory measures from other countries, which disrupted global trade. In Europe, these issues are worsened by the ongoing conflict in Ukraine, which has had severe human and economic impacts since it began in 2022.

    However, the challenges do not end there. Europe’s economic performance lags behind other regions, particularly the United States and China. The Letta and Draghi reports have made this clear: Europe must act with urgency, implementing policies that drive productivity and innovation.

    The gap is particularly wide in the field of technological innovation. The world’s largest tech companies by market capitalization are either American or Asian. Not a single European startup has reached a valuation of 100 billion USD in the past fifty years. Closing this gap will require significant public and private investment.

    Investment alone isn’t enough. As Mario Draghi recently said, “Integration is our last hope.” We need not just a single market for goods, but a unified financial system where European and national authorities work together for stability.

    This principle of unity applies equally to our financial safety net. Cooperation between central banks, supervisory authorities, resolution bodies, and deposit insurers is essential.

    It is in this context that this European Forum of Deposit Insurances (EFDI) International Conference provides a valuable platform to reflect on these challenges from the perspective of financial stability.

    I would like to thank the Spanish Directorate-General for Insurance and Pension Funds and EFDI for bringing together such a distinguished line-up of speakers.

    1 European Economic Situation

    Recent episodes of protectionism, including the generalised tariffs announced by the United States and the retaliation of China, require continued attention, as they continue to have an impact on capital flows and thus on the stability of financial markets. In Europe, this difficult situation is compounded by the tensions of other conflicts in Ukraine or in the Middle East, with an unbearable and unacceptable cost in human lives.

    Against this international background of unprecedented uncertainty, as Letta and Draghi’s past diagnostic reports have already pointed out, Europe faces a structural competitiveness gap compared to the United States and China. This gap is aggravated by differences in Research and Development investment, industrial scalability and access to venture capital.

    The current climate of uncertainty and such competitiveness gap mean that the only valid response at European level is unity and swift action.

    In response, the European Commission recently launched the Competitiveness Compass, a road map to revamp the EU’s economy. It transforms Draghi’s recommendations into a concrete roadmap – backed by the political support needed to act rapidly and in a coordinated way.

    The Compass aims to close the competitiveness gap while reducing strategic dependencies for the Union. The Compass proposes measures such as a call for deepening the single market, prioritising European Union policies, reducing bureaucracy and simplifying regulatory and fiscal frameworks.

    Europe needs to act together to boost its economy. To face challenges like climate change, technological changes, and geopolitical issues, Europe must invest significantly. The Draghi report suggests an additional €750-800 billion per year is needed by 2030, especially for small and medium-sized businesses and start-ups, which can’t rely just on bank financing.

    2 Savings and Investment Union and the Single Capital Market

    One initiative deserves particular attention – and I’m sure Commissioner Albuquerque will speak to it as well: the Savings and Investment Union.

    The EU is equipped with a talented workforce, innovative companies and a large pool of household savings of around €10 trillion in bank deposits. Bank deposits are safe and easy to access, but they usually earn less money than investments in capital markets. The Savings and Investment Union will make it easier for citizens’ savings to be mobilised for productive activities both through traditional bank financing and by putting their savings to work in capital markets. In this way companies – especially innovative start-ups and SMEs – will gain greater access to finance and venture capital.

    This initiative will also help us move towards the long-standing goal of a genuine capital single market.

    These changes will not, however, be immediate. European banks, including Spanish banks, must continue to play a key role in channelling savings into productive investments. Their better competitive position allowed them to cope with the turmoil that affected US regional banks a couple of years ago as well as more recent shocks.

    It should not be forgotten that a strong regulatory framework together with robust governance and effective supervision are essential elements to contribute to a sound banking system.

    The ECB has recently launched an initiative aimed at identifying redundancies and unnecessary complexities in regulation that affect the efficiency and competitiveness of European banks. The necessary reduction of the bureaucratic burden should not, however, affect the quality of compliance and reporting standards, which have made a decisive contribution, especially in the area of capital and solvency, to the solid position that European banks enjoy today.

    Current historical low NPL ratios, high profitability and strengthened solvency ratios will allow European banks to best meet the challenges associated with the environment I have mentioned. One of these will be related to digitalisation and the use of artificial intelligence. Banks can take advantage of their good momentum to boost digitalisation and prepare for competition from new competitors.

    3 Digitalization and Technological Innovation

    The digital transformation of the banking sector is irreversible. AI, asset tokenisation, and quantum computing are already reshaping finance, and their impact will only grow. But they also introduce new risks. These risks relate to the possibility of cyber-attacks but also to the dependence of financial institutions on technology providers. The DORA Regulation establishes mandatory standards for technological risk management, focusing on cybersecurity and testing but also on the management of technological suppliers, which recognises their critical role.

    I am sure that the panellists in the conference sessions will address the relevance of this new regulatory framework, the implementation of which will require strong support from institutions, providers and of course authorities. Lessons learned in the implementation of this new regulatory framework may be useful as a reference, with appropriate proportionality, for the management of technology risk by the deposit insurers sector, as their systems and processes are exposed to similar risks.

    The transformative potential of AI for the economy in general and the financial sector in particular is obvious. The use of AI will make it possible to automate repetitive tasks, free up human resources for higher value-added activities and improve decision-making through advanced data analytics. Banking should in turn support the use of AI in its relationship with customers, personalising and improving the customer experience. However, AI management entails relevant risks that must be monitored, from the misuse or bias of models, their lack of explainability or the increase in cyber-attacks.

    The European Union has taken a decisive step in regulating these risks. The new European AI Regulation grants specific competences to national authorities for the supervision of high-risk AI systems in the financial sector, which implies additional tasks for supervisors such as the Banco de España. Again, the successful implementation of this framework will be crucial for authorities, institutions and providers.

    Let me also make a brief reference to the importance of a digital euro in the area of payments. The digital euro won’t replace cash, but will reduce dependence on big tech and thereby boost competitiveness in the Union. Card payments in Europe are dependent on foreign networks, which is a strategic weakness for the continent.

    This dependence may become even greater with the emergence of foreign providers of digital mobile wallets or the expansion of dollar-denominated stable coins. There are still important elements to be defined in the design of the digital euro, in particular how it operates with private systems. Despite some concerns for the financial sector about the cost of adaptation and balance limits – which will need to be addressed in the ongoing design phase – the digital euro will bring strategic advantages for the future of the Union.

    Also in the area of payments, it is also likely that in 2025 the future PSD3 will see the light of day. The new Directive will replace the current PSD2. Its development responds to the need to adapt regulation to the growth of electronic payments, reinforcing consumer protection in accessing digital services and reducing payment fraud. PSD3 will also impose a single authorisation and operating regime for electronic money institutions and payment institutions, with a growing presence in the financial sector.

    The new regulation will remove barriers to the entry of these competitors into payment systems. As with any innovation, its development must be accompanied by an appropriate balance of responsibilities and rights of the parties involved.

    We have also seen the adoption of the immediate transfer regulation for the euro area from early 2025, which will be implemented gradually until 2027. Since the beginning of this year, payment operators in the euro area have already been offering their customers the same or better rates for immediate and ordinary bank transfers, with the addition of verification of the identity of the beneficiary.

    I am sure that the Conference will also address the challenges and implications for deposit insurers of these innovations in the scope of their functions, in particular in the reimbursement of guaranteed balances to depositors in case of a payout event.

    4 CMDI: The role of deposit insurers

    Equally important for guarantee funds will be the framework resulting from the negotiations between the European co-legislators on the ongoing revision of the Resolution Directives (BRRD) and its Regulation (SRMR) as well as the Guarantee Funds Directive (DGSD), the Crisis Management and Deposit Insurance (CMDI) legislative package. The reform of the CMDI represents an important step towards a more integrated, resilient and, above all, better prepared Banking Union to cope with future crises, and promises important benefits in terms of financial stability and depositor protection.

    The Commission’s original proposal of April 2023 was followed by two more alternative proposals from the Council and the Parliament, in its old composition. The different proposals share the need to strengthen crisis management to protect depositors’ access to their deposits by reinforcing the use of funding mechanisms such as the Resolution Fund, the SRF for the Eurozone, and national deposit guarantee funds. The reform seeks to expand the perimeter of resolution, applying the resolution mechanisms to a greater number of credit institutions, by enabling easier access to the resolution funds thanks to the contribution of deposit guarantee funds to resolution. The contribution from private sources such as the one from deposit insurers, will complement adequately the internal bail-inable resources of the bank, without resorting to public money.

    Equally important, the CDMI proposal will review the use of guarantee fund resources for other purposes than deposit payouts, as the measures to prevent the failure of a credit institution or the alternative measures to be used in insolvency proceedings, acknowledging the effectiveness and benefits of these tools for the management of banking crises. The wider the tool-kit, the better.

    The framework will also deepen the coordination between resolution authorities and deposit guarantee schemes. Robust communication protocols, joint crisis preparedness exercises and early access to information are essential elements to ensure an effective crisis management mechanism.

    In any case, the final text should provide a framework that facilitates its effective implementation, especially important when it comes to acting decisively in a short time frame, such as the “weekend” of resolution. It should also reinforce the role of guarantee funds in the management of banking crises.

    In this regard, let me point out the importance of the role that the Spanish DGS played in crisis management of the Global Financial Crisis, which severely affected the Spanish financial sector and particularly the savings banks. The contribution of the Spanish DGS, and thus of Spanish banks, was decisive in the management of the crisis that affected these institutions from 2010. The contribution of FGD’s resources for the absorption of losses and recapitalisation amounted to 23 billion euros, approximately a third of the total granted to the sector including public aid, and it served to reduce the cost to the taxpayer.

    Since then, the FGD has been improving its financial capabilities besides its systems and processes. On the financial side, it has already reached a capitalisation level exceeding the minimum regulatory target, well complemented by a private commercial line. In the operational area, the EBA, in charge of assessing the implementation of its standards on stress testing for guarantee funds, recently published a benchmark report among 7 EU deposit insurers, including the Spanish DGS. In the report the EBA acknowledges the FGD has in place adequate arrangements to test its capacities under stressed scenarios, and therefore in good position to be prepared to face an intervention.

    5 Conclusion

    Let me conclude.

    I believe a strong crisis management framework with a flexible toolkit is essential. Equally important is the coordination among authorities before, during, and after any disruption. This means authorities and deposit insurers must act quickly, decisively, and together.

    This unity is crucial now more than ever. In a time of increasing fragmentation, both globally and regionally, Europe must respond with a single purpose and strategy, especially in maintaining financial stability.

    Today, I’ve highlighted some of the missing pieces in Europe’s financial integration – and the need for national authorities to step up. The Spanish Deposit Guarantee Fund is committed to this goal. Through its active role in European forums, it will continue to contribute to the strengthening of our shared framework.

    As Mario Draghi recently reminded us in his report presentation: “In this world, it will be only through unity that we will be able to retain our strength and defend our values.”

    I am confident that the distinguished speakers we will hear today and tomorrow will help illuminate the path ahead.

    MIL OSI Global Banks

  • MIL-OSI Banking: Aleš Michl: Remarks on euro adoption

    Source: Bank for International Settlements

    Delivering on our mandate of price stability

    The new Bank Board was appointed in mid-2022. At that time, inflation in the Czech Republic was 17.5 percent. Today, it is back under control, down to just 2.4 percent.

    The base repo rate is currently at 3.5%, and I expect it will remain at this level for some time.

    Our strategy is clear: to keep interest rates higher for longer compared to the period before COVID, to avoid any unconventional policies, and to follow the vision that in monetary policy, less is more (Michl, 2024b).

    This year, our currency – the koruna – appreciated by 11% against the US dollar and by 2% against the euro. This helps us in the fight against inflation.

    The Czech National Bank is the most trusted institution in the country (STEM, 2025)1. We take this trust seriously.

    The pros and cons of having an independent monetary policy

    Two main advantages:

    First, exchange rate flexibility. A stronger koruna makes imports cheaper, which helps fight inflation. On the other hand, a weaker koruna supports exports during a recession. We can call it an adjustment mechanism for the economy – or, to be exact, an adjustment mechanism for the balance of payments.

    And the second one:

    The current policy of the European Central Bank does not fit the Czech economy. Our key interest rate is 3.5%, while in the eurozone it is 2%. We still need high interest rates to keep inflation low. We also need positive real interest rates to maintain price stability.

    In Croatia and Slovakia, inflation is around 4%, which means they currently have negative real interest rates. That makes it harder for them to fight inflation.

    Our goal is price stability – not to support exporters. The key is to keep the growth of money in the economy under control.

    One key disadvantage:

    Everyone can make mistakes. In the history of the Czech National Bank, there were two major ones: keeping real interest rates negative for more than 10 years before COVID, and increasing the money supply (banking liquidity) by 100% in 2017 in order to weaken the koruna. This is one of the reasons why core inflation after COVID was higher in the Czech Republic than in the eurozone. We must not repeat these mistakes.

    That is why our strategy is to keep interest rates higher for longer, avoid any unconventional policies, and follow the vision that in monetary policy, less is more.

    The “perfect” timing of euro adoption

    Just to remind you, the government makes the final decision about euro adoption, not the central bank.

    My PhD thesis was about the perfect timing for euro adoption.  And the main conclusion was that one day, the exchange rate adjustment mechanism may stop working for the economy.

    Let me give two situations as examples:

    First, a weaker koruna might help exporters – but at the same time, it brings very high inflation into the country (Michl, 2016).

    Second, if there is already a large amount of loans in euros in the economy – like in Croatia (Croatia: 70%, vs 20% in the Czech Republic) – independent monetary policy effectively stops working. A weaker koruna in such a situation could lead to large-scale defaults.

    For now, the exchange rate adjustment mechanism still works. There is no need to rush to adopt the euro. We should remain a country with a strong koruna, an independent monetary policy, and robust FX reserves – not follow the example of Croatia.

    Our experience with fighting high inflation

    Inflation was 17.5% in July 2022 and still rising. The key interest rate was already at 7%. Then, a new Bank Board was appointed – and we changed the strategy.

    The gamechanger was the strong koruna strategy, which we introduced in late 2022 (Michl, 2022). We announced that we would keep interest rates stable for an extended period. At the same time, we clearly communicated that a strong koruna is crucial for the Czech economy.

    This strategy worked. In spring 2023, we saw the strongest koruna in our history. The strong koruna helped reduce inflation by making imported raw materials cheaper. It also created tougher conditions for exporters – a necessary trade-off.

    The market understood and trusted our strategy because we communicated it openly and transparently. And that was enough. Sometimes, less is more in monetary policy. It is better to maintain a steady and credible restrictive stance than to keep interest rates at zero for a decade – and then hope to control inflation with a sudden, sharp rate hike.

    On FX volatility and risk premia

    Yes, FX volatility brings hedging costs for companies. But the mission of monetary policy is price stability – not cheap financing.

    Let me measure the risk premium using the asset swap spread: the difference between the 5-year government bond yield and the interest rate swap rate, measured in percentage points. Currently, this spread stands at 0.2 percentage points in Croatia, 0.3 percentage points in Slovakia, and 0.2 percentage points in the Czech Republic.

    We aim to keep the risk premium low through credible and independent monetary policy – and by putting pressure on the government to balance public finances.

    Within the eurozone, governments often feel less pressure to save money or balance their budgets. The bailout system reduces the risk premium – but it also weakens the incentive for fiscal responsibility. In a country without market pressure, politicians become less motivated to reduce deficits, and a real estate bubble can form more easily.

    We also learned the wrong lesson from the eurozone fiscal rules – the idea that a deficit under 3% of GDP is always acceptable. It’s not. What really matters is maintaining balanced public finances over time.

    Cheap euro loans and the koruna’s higher borrowing costs

    Yes, corporate loans in euros are cheaper, but interest rates on savings are higher in our country. In the Czech Republic, we need higher interest rates to fight inflation.

    Those higher rates help slow down borrowing – for everyone: households, the government, and businesses (Michl, 2024a).

    Monetary policy’s mission is price stability – not cheap financing.

    Keeping money too cheap for too long was one of the mistakes in the past that led to high inflation.

    References

    Michl, A. (2016). Nová kritéria pro přijetí Eura [New Euro Convergence Criteria]. Politická ekonomie, 2016(6), 713–729.

    Michl, A. (2022). Policy for a Strong Koruna. CNB Discussion Forum. Faculty of Economics and Administration at Masaryk University, Brno, 23 November 2022.

    Michl, A. (2024). The Target. University of Pardubice, CNB Discussion Forum 2024, 23 April 2024.

    Michl, A. (2024b). CNB’s Aleš Michl on Tackling Inflation, Friedman’s Legacy and Ditching DSGE. Central Banking, 19 December 2024.


    MIL OSI Global Banks

  • MIL-OSI Banking: Great Health Can Happen Overnight With Galaxy Watch

    Source: Samsung

    When it comes to your health, small changes can make a big difference. Every incremental improvement to your daily habits adds up to a healthier whole, and the upcoming Galaxy Watch will help build these habits even more effectively with a slate of new features to improve sleep, heart health, fitness, and nutrition.
    What’s New:

    New features1 include Bedtime Guidance,2 to optimize your sleep; Vascular Load,3 which measures stress on your vascular system while sleeping; Running Coach,4 to help strategize your training; and Antioxidant Index,5 to measure your carotenoids for healthy aging.
    The new features are part of One UI 8 Watch, which will be available on the newest Galaxy Watch series. Starting this month, the features can be experienced through a beta program6 to a limited number of Galaxy Watch users.

    Why it Matters: 
    The goal of these new features is to help you build healthier daily habits, which can be challenging because they don’t develop instantly. It takes time to accumulate these behavior patterns, and meaningful changes are often only apparent after a long period. But the rewards are worth it.

    For example, eating unhealthy food may not immediately impact your health, but over time, it can have significant consequences.
    Conversely, adopting healthy habits may not show immediate results, but over time, they lead to positive changes in your body and mind.
    Samsung Health’s new features aim to help you develop healthy habits by motivating you through regular feedback. These features inspire you to maintain your habits by providing rewards or warning signs and demonstrating immediate impact of your behaviors.

    “Sleep remains a cornerstone of our approach to health, as it influences physical and mental well-being, social relationships and even work performance,” said Dr. Hon Pak, Senior Vice President and Head of Digital Health Team, Mobile eXperience, Samsung Electronics. “Now, we envision our Galaxy Watch delivering holistic insights centered around sleep — insights that lead to meaningful changes in daily life. We believe this aligns with our vision of empowering you to lead healthier lives through proactive care and holistic health management.”
    Explore New Health Features
    Samsung Health’s new features aim to help users develop healthy habits, using instant health feedback as a motivating tool.
    Bedtime Guidance 

    A single night of restful sleep offers immediate health benefits, encouraging more proactive behavior changes and leading to a healthier tomorrow. This starts with a regular and optimal bedtime.

    We constantly seek to advance our sleep-related tools, which include sleep pattern analysis, sleep coaching, and optimizing sleep environments. They also include a feature that can detect signs of moderate to severe sleep apnea[7] — a sleep disorder — and help you take proactive steps.
    Now, we are providing additional tools for better sleep by suggesting an optimal bedtime based on your lifestyle and sleep patterns while sending reminders to help you stick to it.
    By analyzing your past three days’ sleep patterns, the feature evaluates your need for sleep pressure and your circadian rhythm to calculate a bedtime that maximizes alertness the next day.
    This feature is particularly helpful for those trying to optimize their sleep after periods of irregular bedtimes. For example, if you go to bed later than planned over several days, or have inconsistent sleep schedules between weekdays and weekends, the bedtime guidance will consider these factors as well.

    Vascular Load

    Sleep is a window into overall health, as it impacts holistic well-being. Galaxy Watch uses this opportunity to measure vascular load — the amount of stress on your vascular system while sleeping.

    The human vascular system carries blood throughout the body to deliver oxygen and nutrients and remove waste, making it a strong indicator to determine good heart health.
    During sleep, stress on your vascular system should naturally dip; however, excessive fluctuations can negatively impact cardiovascular health.
    Simply wear your Watch while sleeping, and it will measure your vascular load, helping you track the stress on your vascular system.
    Additionally, since health factors are interconnected, the feature also provides insights into lifestyle factors such as sleep, exercise, and stress to help you maintain a healthier lifestyle and develop positive habits.

    Running Coach
     
    While sleep is a precious time to cultivate and care for your health, managing your health during active moments is equally important. Running is one of the most basic and universally available fitness activities, and Samsung has long sought to support runners, offering features to help everyone stay active and achieve their fitness goals.

    Many runners face injuries due to over-pacing or are not optimally pushing themselves. Running Coach is designed to help runners safely complete marathons through optimized-intensity and injury-preventive training, making it ideal for beginners.
    Our new Running Coach feature delivers motivation and real-time guidance, creating a unique training program based on your fitness level to help you achieve your goals.
    Just wear your watch and run outside for 12 minutes; it will analyze your performance and rate your running level from 1-10. You’ll receive a detailed training plan to help you complete a 5K, 10K, half marathon, or full marathon based on your level. Complete your training session, and you’ll level up and unlock your next running challenge.

    Antioxidant Index 

    When taking a holistic approach to health, we naturally focus on aging and inspiring healthy aging.
    However, behavioral factors, such as drinking alcohol, smoking, UV exposure, stress, and lack of sleep, can accelerate aging by increasing free radicals in the body. These free radicals damage cells and accelerate aging. Antioxidants, nutrients found in many healthy foods, are molecules that neutralize these free radicals, helping prevent chronic illnesses and promote healthy aging.

    Use Galaxy Watch to measure carotenoids, which are antioxidants found in green and orange vegetables and fruits, stored in your skin.
    Galaxy Watch employs a feature to measure carotenoids in as little as five seconds via its advanced, light-activated BioActive sensor.
    These insights reflect behavioral changes. For example, drinking carrot juice can show changes in the index, providing motivation to adopt healthier habits.

    MIL OSI Global Banks

  • MIL-OSI Russia: Wang Huning calls for integrated development across Taiwan Strait

    Translation. Region: Russian Federal

    Source: People’s Republic of China in Russian –

    Source: People’s Republic of China – State Council News

    XIAMEN, FUJIAN PROVINCE, June 16 (Xinhua) — Wang Huning, a member of the Standing Committee of the Political Bureau of the Communist Party of China (CPC) Central Committee and chairman of the National Committee of the Chinese People’s Political Consultative Conference (CPPCC), has called for high-quality development of the cross-Strait integrated development demonstration zone in east China’s Fujian Province.

    Wang Huning made this statement at a meeting held in Xiamen on Sunday.

    Stressing the need to leverage Fujian Province’s unique advantages and its pioneering role in cross-Strait relations, Wang Huning called for greater innovation in policies and mechanisms to deepen economic and cultural exchanges and cooperation across the Taiwan Strait.

    He noted the importance of coordinating relevant policies to promote integrated development across the Strait, as well as creating a more favorable business environment to attract more Taiwanese and companies to develop on the Chinese mainland.

    Wang Huning also stressed the need to push forward the normalization of cross-shore people-to-people contacts and exchanges, calling for efforts to optimize channels for Taiwanese youth to seek opportunities and development on the Chinese mainland. -0-

    MIL OSI Russia News

  • MIL-OSI Russia: One dead, six missing after explosion at fireworks factory in central China

    Translation. Region: Russian Federal

    Source: People’s Republic of China in Russian – People’s Republic of China in Russian –

    Source: People’s Republic of China – State Council News

    CHANGSHA, June 16 (Xinhua) — One person was killed, six were missing and nine were injured as of 5 p.m. Monday in an explosion at a fireworks factory in central China’s Hunan Province on the same day.

    The blast occurred at Shanzhou Fireworks Co., Ltd. in Linli County, Changde City, at around 8:23 a.m., the county party committee said. All the victims have been given medical treatment and their condition is not life-threatening, it said.

    The explosion occurred in a one-story reinforced concrete building. The company, founded in July 2017, employs more than 150 people, most of whom were outside the blast zone at the time of the accident.

    Emergency rescue teams of various levels arrived at the scene immediately after the accident. The rescuers’ efforts are focused on searching for missing persons, providing assistance to victims, evacuating nearby residents and investigating the causes of the accident. -0-

    MIL OSI Russia News

  • MIL-OSI Russia: Chinese Foreign Ministry: China and Central Asian countries will jointly outline a new grand plan for future development

    Translation. Region: Russian Federal

    Source: People’s Republic of China in Russian – People’s Republic of China in Russian –

    Source: People’s Republic of China – State Council News

    BEIJING, June 16 (Xinhua) — At the upcoming second China-Central Asia Summit, the heads of state of China and Central Asian countries will jointly map out a new grand plan for future development and open up a wider space for jointly building the Belt and Road, Chinese Foreign Ministry spokesperson Guo Jiakun said Monday.

    He made this statement at a regular departmental press conference, answering a journalist’s question regarding the joint construction of the “Belt and Road” by China and the Central Asian countries.

    The Central Asian region is not only the place where China first put forward the Belt and Road Initiative, but also an advanced area in its high-quality joint implementation, Guo Jiakun noted, adding that China has signed cooperation documents on jointly building the Belt and Road with all five Central Asian countries and implemented a number of landmark projects with them aimed at promoting development and improving people’s well-being.

    According to him, in 2024, China’s foreign trade volume with Central Asian countries reached a record high of 674.15 billion yuan, an increase of 116 percent compared with 2013.

    Guo Jiakun noted that the China-Kazakhstan oil pipeline and the China-Central Asia gas pipeline have created a new model of win-win cooperation. The China-Tajikistan highway, China-Kyrgyzstan-Uzbekistan highway and China-Kyrgyzstan-Uzbekistan railway have taken regional connectivity to a new level. The digital economy and green transformation have expanded new areas of practical cooperation.

    In addition, China has introduced a mutual visa-free regime with Kazakhstan and Uzbekistan, the Luban Workshop projects are being implemented at an accelerated pace, and humanitarian exchanges and people-to-people ties are gaining momentum, he added.

    High-quality joint construction of the Belt and Road is becoming a key area of cooperation between China and Central Asia every day, the Chinese diplomat stressed.

    According to Guo Jiakun, the second China-Central Asia Summit will be held in the near future, where the heads of state will jointly outline a new grand plan for future development, open up a wider space for jointly building the Belt and Road, and promote the building of a closer China-Central Asia community with a shared future. -0-

    MIL OSI Russia News

  • MIL-OSI Canada: Province Awards Nova Scotia Lighthouse Project Funding

    Source: Government of Canada regional news

    Three organizations have been awarded funding under the Nova Scotia Lighthouse Project to address childhood obesity and chronic disease in the province.

    The successful applicants are Acadia University, Upward Mobility Kitchens East Inc., and Wasoqopa’q First Nation. The total amount of funding is $1.05 million.

    “Reducing childhood obesity and helping young people to establish healthy habits will help reduce the burden on our healthcare system and make a lasting impact on the overall health of our province,” said Health and Wellness Minister Michelle Thompson. “These investments will provide more communities with the resources they need to raise healthy children.”

    The three projects, with funding amounts, are:

    • $320,643 to Acadia University in Wolfville to create a self-sustaining farm-to-school initiative that includes a greenhouse. It will address childhood obesity, food insecurity and declining physical activity by integrating nutrition education, sustainable agriculture and mental health support directly into the school curriculum at Northeast Kings Education Centre in Canning.

    • $334,384 to Upward Mobility Kitchens East Inc. to transform The Nook on Halifax’s Gottingen Street into a hub for youth-focused cooking classes and food literacy education. The Sharpen Up initiative will give youth the skills to take control of their nutrition, improve health outcomes and host community-centred meal events.


    The kitchen at the Nook (Province of Nova Scotia) Click or tap for larger image

    • $400,000 to Wasoqopa’q First Nation to create a space that fosters physical activity, mental resilience and community well-being through traditional Mi’kmaw teachings. The project includes an outdoor structure that supports traditional food sourcing, cleaning and preparation.

    Ninety-seven organizations applied for funding; nine were invited to submit a proposal and eight were received.

    The Nova Scotia Lighthouse Project is a partnership between the Province and Novo Nordisk Canada Inc. that brought together healthcare, academic and economic leaders to identify barriers and challenges that contribute to poor health outcomes. It invited businesses and academic and community organizations to submit proposals for funding to address them. The initiative is delivered in collaboration with the Nova Scotia Health Innovation Hub and Life Sciences Nova Scotia.


    Quotes:

    “At Novo Nordisk Canada, we are committed to engaging as a valuable and dedicated partner in improving the lives of Nova Scotians and fighting childhood obesity. We are proud to partner on this important issue and excited by this first round of funding announcements; these projects have the potential to drive change for a healthier Canada.”
    Vince Lamanna, President, Novo Nordisk Canada Inc.

    “Over the past two years, we’ve delivered more than half a million meals to people in need in HRM, and we’re just getting started. After 15 years of building kitchens with purpose and running Sharpen Up in communities from New York to Vancouver, I’ve learned the most powerful thing we can give youth is belief, and the tools to back it up. Sharpen Up is not just a cooking class. It’s skill-building with real chefs, instilling confidence in yourself, and a chance to see all the pathways food can create through our non-profit and entrepreneur network. In a time when one in four kids in the Maritimes is food insecure, this kind of education and support is essential. I was raised in Dartmouth, and it’s an honour to come home and create this opportunity for my community.”
    Mark Brand, founder, Upward Mobility Kitchens & A Better Life Foundation

    “When our Mi’kmaw youth are free to move, play and learn in culturally safe spaces, they build strength not only in body, but in spirit. When our Mi’kmaw families and community members have our own culturally safe spaces to learn through land-based knowledge and traditional food harvesting on our lands, we reclaim our health, our identity and our honour. We will build strong foundations for all our relations from our neighbouring communities and all Mi’kma’ki. That is true reconciliation.”
    Melanie Robinson-Purdy, Director, Community Enhancement and Cultural Revitalization, Wasoqopa’q First Nation

    “The best way to build a healthier tomorrow is to begin upstream – where good food, joyful movement and self-worth take root early. Grow & Go is how we nurture that growth: from greenhouse to classroom, from kitchen to community. This is more than a project – it’s a path forward, and we invite others to walk and grow it with us.”
    Tavis Bragg, project lead, Grow & Go; adjunct professor, Acadia University, and teacher, Northeast Kings Education Centre


    Quick Facts:

    • for profit, not-for-profit and public-sector organizations registered to do business in Canada were eligible to submit a proposal
    • the Province and Novo Nordisk Canada have each contributed $1.5 million toward the Nova Scotia Lighthouse Project, with another call for proposals to be announced later
    • the Nova Scotia Lighthouse Project is the result of a partnership with Denmark and is based on a concept from the Danish Business Promotion Agency; Danish Ministry of Industry, Business and Financial Affairs; Novo Nordisk; research institutions; and technology companies

    Additional Resources:

    Nova Scotia Lighthouse Project: https://www.lighthousens.ca/

    News release – New Partnership Will Address Childhood Obesity, Chronic Disease: https://news.novascotia.ca/en/2024/03/05/new-partnership-will-address-childhood-obesity-chronic-disease

    News release – Nova Scotia Signs Health Agreement with Denmark: https://news.novascotia.ca/en/2023/05/24/nova-scotia-signs-health-agreement-denmark


    Other than cropping, Province of Nova Scotia photos are not to be altered in any way.

    MIL OSI Canada News

  • MIL-OSI Global: A new book of Edward Gorey’s drawings shows what’s lost when the artist’s sexuality is glossed over

    Source: The Conversation – USA – By Elizabeth Wolfson, Assistant Director of Campus Partnerships for the Office of Public Scholarship, Washington University in St. Louis

    Edward Gorey on the set he designed for the Broadway revival of Bram Stoker’s ‘Dracula’ in 1977. Jack Mitchell/Getty Images

    Artist, illustrator and writer Edward Gorey would have turned 100 this year, and the recently published “From Ted to Tom: The Illustrated Envelopes of Edward Gorey” is a fitting celebration of his wit and talent.

    The book reproduces, in stunning detail, a series of 50 elaborately illustrated envelopes Gorey created in the mid-1970s. But when I started reading “From Ted to Tom,” I felt confused – and a little let down.

    The book makes no mention of Gorey’s queerness. To me, this is a missed opportunity to shed light on how being gay may have fueled some of his most personal work.

    The master of macabre

    Today, Edward Gorey is widely known for his sprawling, macabre-yet-humorous body of work, which spans nearly every medium.

    There are dozens of his own books, notably “The Doubtful Guest” and “The Gashlycrumb Tinies,” as well as cover designs for many others; sets and costumes for the 1977 Tony Award-winning revival of Bram Stoker’s “Dracula”; the opening credit sequence for the PBS television series “Mystery!”; “The Fantod Pack,” a deck of Tarot-like cards; and hand-sewn, surrealist dolls.

    His stories often feature adults and children alike who meet untimely ends through mostly hilarious, unlikely accidents – and, yes, the occasional straight-up murder. But they’re never gratuitous, nor do they glorify violence for violence’s sake.

    As for his personal life, Gorey may have been what today we’d call asexual; Gorey himself used the term “undersexed,” but he also acknowledged, when asked directly about his sexuality, that he “supposed” he was gay.

    Mark Dery’s 2018 Gorey biography, “Born to be Posthumous: The Eccentric Life and Mysterious Genius of Edward Gorey,” documents the artist’s participation in postwar gay life. The book details a handful of crushes Gorey had on various men, at least one of which – a brief affair with a man named Victor – involved some physical intimacy.

    To whatever extent Gorey entertained sex or romance, it was with men. As Dery points out, however, this fact largely goes unaddressed in discussions of the artist’s work.

    A chance encounter

    “From Ted to Tom” reinforces this silence.

    The “Tom” is Tom Fitzharris, the author of the book’s introduction and some commentary at the book’s end.

    In the introduction, Fitzharris explains that before he met Gorey, he was already collecting the artist’s “small, exquisite books.”

    After attending a gallery exhibit of Gorey’s work in 1974, Fitzharris mailed him one of the books from his collection to request Gorey’s signature, along with a cryptic inquiry about two of the book’s characters. Gorey obliged and returned the book with a similarly cryptic reply.

    Soon after this exchange, Fitzharris spotted Gorey on the street and introduced himself. The two soon began meeting regularly “for dinner, the theater, coffee, and especially the ballet, his great passion,” one that Fitzharris shared. When Gorey left to summer on Cape Cod, he began sending Fitzharris the envelopes collected in “From Ted to Tom.”

    Fitzharris shares almost no information about himself in the book, and he has never commented publicly about his own sexuality. However, even his dry, minimalist narration cannot conceal the intensity of their connection.

    Describing his first visit to Gorey’s apartment, he writes: “I thought I’d be at Gorey’s for ten minutes, but I left two hours later.” Whether Fitzharris lost track of time as the two explored their “dozens of shared interests” or simply couldn’t tear himself away, when he finally made it back to work, he was surprised that he still had a job.

    The envelope as canvas

    Given this voracious drive to create, it is no surprise that Gorey saw an object as humble as a letter envelope as a creative opportunity. As Dery points out, Gorey was also making his illustrated envelopes as the mail art movement was becoming popular. Sparked by artist Ray Johnson in the 1960s – who, like Gorey, lived in New York City – it involved artists using the postal service to exchange works of art, using it as an alternative to the commercial galleries and museums that artists had largely depended on.

    The 50 envelopes reproduced in “From Ted to Tom” was not Gorey’s first dalliance with the envelope as canvas; he’d experimented with it six years earlier, while in the midst of a collaboration with author and editor Peter Neumeyer, with whom he produced three children’s books.

    In his drawings to Neumeyer, Gorey mostly seems to be having fun playing around with a new formal challenge: how to integrate drawings with the prerequisite address text in a satisfying way.

    Because I study how people use images to make sense of the world, I couldn’t help but notice key differences between the Neumeyer envelopes and those that Gorey sent to Fitzharris.

    The Fitzharris series is poised and polished from the jump. Gorey’s distinctive hand-lettering is crisp, precise and perfectly straight, each envelope a complete scene. Some scenes are more complex than others, but each is a complete thought.

    There’s another notable difference between the Neumeyer and Fitzharris envelopes. While the former features a revolving cast of real and imaginary creatures, the latter has two co-stars: two black-and-white dogs, sides emblazoned with matching, serifed T’s.

    In his introduction to the book, Fitzharris confirms that the animals represent Gorey and him. Fitzharris is also clearly more than the lucky witness to a burst of creative genius. He is its muse.

    ‘Pen pal’ or something more?

    Whatever Gorey’s artistic ambitions for the project, it is also a visual diary of sorts: an album of their shared experiences, their common interests and hobbies, and a document of Gorey’s goings-on while they were apart.

    Take, for example, an envelope that depicts the canine duo standing amid a vast assemblage of blue bottles, with Fitzharris’ address displayed as labels.

    “All the blue bottles are a recollection of a window full of them in one of the antique shops I stopped in after you left that Sunday,” Gorey wrote in the accompanying letter. “The sun coming through them is not reproducible, at least by me.”

    In the same letter, Gorey struggles to convey the depth of his feeling upon receiving a recent letter from Fitzharris.

    “I used to maintain that if it couldn’t be put into words it didn’t exist; if anything I believe rather the opposite now. All of which is rather a strangled attempt to say that I appreciated your letter of the 23rd very much, but that I don’t know how to say so directly. Yes.”

    What did Fitzharris’ letter say that moved Gorey so much? What is the meaning of his singular, elliptical “yes”? Is it simply stylistic? Or is it a response?

    We’ll likely never know. But evidently whatever Fitzharris said moved him deeply.

    There are other poignant scenes. In his notes to “From Ted to Tom,” Fitzharris takes credit for introducing Gorey to the French phrase “heure bleue,” which translates to “the blue hour” and refers to the time of day just after the sun sets. Gorey’s delight is reflected in a lovely scene of quiet companionship.

    Tom and Ted stand at a low fence or porch railing, sharing drinks and gazing up at a darkening sky as dusk settles over thick foliage. For once leaving nothing to the imagination, he inscribes “HEURE BLEUE” next to the image in thick, bold letters – a rare act of captioning.

    This unusual relative directness continues into the accompanying letter. Though he can hardly bear admitting it, Gorey describes their recent visit as “a happy day,” immediately qualifying the comment as a “revolting phrase.”

    One “cannot help but think how seldom in life one knows one is having one at the time,” he continues. The phrasing is somewhat innocuous. But I wonder how much pleasure Gorey must have felt – and how strong his need to convey it must have been – to overcome the force of his “revulsion.”

    This push and pull between attraction to one another and repulsion at one’s own spontaneous emotion supplies the dynamism that make the drawings in “From Ted to Tom” so compelling.

    Despite this powerful current, Fitzharris, who is credited as the book’s editor, leaves the topic of Gorey’s sexuality untouched in both his introduction to the book and its end notes, where he provides a guide to some of the personal and cultural references in Gorey’s drawings and letters. The book’s back cover refers to Fitzharris as the artist’s “pen pal.”

    Denied access to the underlying details driving this dynamism, the reader loses the chance to reflect on the source of this electrical current, its impact on his art, and how Gorey’s struggles with intimacy and desire, which are all too universal, were also undoubtedly shaped by the challenge of being gay in a deeply homophobic society.

    Rather than limiting the understanding of his work, accounting for Gorey’s queerness invites viewers of his art and readers of his work into deeper communion with the artist – and themselves.

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

    ref. A new book of Edward Gorey’s drawings shows what’s lost when the artist’s sexuality is glossed over – https://theconversation.com/a-new-book-of-edward-goreys-drawings-shows-whats-lost-when-the-artists-sexuality-is-glossed-over-257938

    MIL OSI – Global Reports

  • MIL-OSI Global: Conflicted, disillusioned, disengaged: The unsettled center of Jewish student opinion after Oct. 7

    Source: The Conversation – USA – By Jonathan Krasner, Associate Professor of Jewish Education Research, Brandeis University

    Pro-Palestinian students pass the flag of Israel while walking out of commencement in protest at the Massachusetts Institute of Technology on May 30, 2024. AP Photo/Charles Krupa

    As commencement season comes to a close, many campuses remain riven by the Israel-Hamas war. At the Massachusetts Institute of Technology, the undergraduate class president was banned from walking at her graduation after delivering a fiery – and unauthorized – speech accusing her school of complicity in Israel’s campaign to “wipe out Palestine off the face of the earth.” Anti-Israel protests broke out at graduation ceremonies across the United States, from Columbia to the University of California at Berkeley.

    Since Hamas’ Oct. 7, 2023, attack and Israel’s retaliatory invasion of Gaza, many American campuses have been punctuated by vigils, demonstrations and disruptions. But the loudest voices aren’t necessarily the most representative. Activists’ pronouncements on either side fail to capture the range of student opinion about the war and its reverberations at home, including the documented rise in antisemitism and Islamophobia.

    This is certainly true for Jewish students – buffeted by the war, the hostage crisis, campus protests and federal politics. Since January 2025, the Trump administration has used campus antisemitism and anti-Zionism as a pretext to assault higher education and implement hard-line immigration policies.

    Indeed, one of the most striking findings of my study
    on Jewish undergraduate attitudes, published in May 2025, is how many students described themselves as conflicted, uncertain, disaffected and even detached. Interviews across the country convinced my research team that any attempt to gauge Jewish student opinion with either/or categories are reductive and misleading.

    Moving beyond numbers

    In the wake of Oct. 7, my office hours quickly became a refuge for distraught Jewish students as they processed their thoughts. Few were content with pat answers.

    Students at USC attend a vigil on Oct. 10, 2023, days after Hamas’ attack on Israel.
    Luis Sinco/Los Angeles Times via Getty Images

    I began wondering how representative they were. Tufts researchers Eitan Hersh and Dahlia Lyss found that since Oct. 7, more students were valuing and prioritizing their Jewish identities, even while an increased number were hiding their Jewishness on campus.

    My Brandeis colleagues Graham Wright, Leonard Saxe and their research team, meanwhile, found that a clear majority of Jewish students said they felt a connection to Israel but were sharply divided in their views of its government. While most considered statements calling for the country’s destruction to be antisemitic, they differed about where to draw the line between reasonable and illegitimate criticisms of Israel.

    These findings were instructive. But I was interested in learning more about the “how” and the “why” behind the numbers. Over the spring 2024 semester, my team and I interviewed 38 students on 24 campuses across 16 states and the District of Columbia. Participants reflected the broad religious, political, economic, geographical, sexual and racial diversity within the American Jewish population, particularly among Jews under 30. Some of the campuses were relatively placid; others were hotbeds of protest.

    The ‘missing middle’

    As my team analyzed transcripts, we identified six categories.

    About one-third of the Jewish students we spoke with were actively engaged on either side of the conflict, whether through demonstrations or online advocacy. “Affirmed” students’ connection to Israel deepened after Oct. 7. “Aggrieved” students, on the other hand, had joined anti-war protests and voiced anger at Jewish organizations for ignoring Israel’s culpability for Palestinian suffering.

    Many more of our participants, however, were ambivalent, despondent or even apathetic. As journalist Arno Rosenfeld put it in an article about my research, the majority of Jewish students inhabit a “great missing middle” in Israeli-Palestinian discourse.

    Two-thirds of the students we spoke with are in this “missing middle,” divided into four categories:

    • “Conflicted” students were inconclusively grappling with the moral and political complexities of the Israeli-Palestinian conflict.
    • “Disillusioned” students struggled to reconcile their sentimental attachment to Israel with their disappointment – their sense that the country betrayed its own values in its treatment of Palestinians.
    • “Retrenched” students turned inward, fearful of being identified as Jewish on campuses they perceived as hostile to Jews.
    • The last category, “disengaged” students, were detached or actively steering clear of controversy.
    Students gather at the University of Maryland to celebrate Hanukkah with a menorah lighting ceremony in 2007.
    Jahi Chikwendiu/The Washington Post via Getty Images

    Out of the fray

    The most straightforward of these categories is the “disengaged” students. Some, like Bella, on the West Coast – all of the names in this article are pseudonyms – knew little about the conflict before the war. What they learned since convinced them it was unsolvable and that they were powerless to promote change.

    The distance that some students felt from events in Israel and Gaza made it all the more baffling and odious to them when peers protested in ways that implied Jewish Americans were complicit.

    “I’m not personally doing anything,” complained Salem, a first-year student in the Midwest. “I don’t have anything to do with this.”

    Students whom we classified as “retrenched” reported anxiety, loss of sleep and a sense of isolation. Many of them were concerned that rejecting Zionism – that is, the movement supporting the creation and preservation of Israel as a national homeland for the Jewish people – had become a litmus test in their progressive circles. That was untenable for these students, because they viewed Zionism as a constituent part of being Jewish.

    Interviewees like Jack, a junior in the Pacific Northwest, spoke of removing their Star of David necklaces and censoring elements of their biography, because they perceived a social penalty for being Jewish.

    Since the start of the war, more students have said they try to hide their Jewish identity at times.
    Maor Winetrob/iStock via Getty Images

    Rejecting simple narratives

    By far, the largest group of Jewish students were struggling with mixed feelings about the war and its reverberations. What united these “conflicted” or “disillusioned” students was wariness of grand narratives and talking points that reduce the Israeli-Palestinian conflict to a contest between good and evil, or the powerful and the powerless. They also eschewed labels such as “Zionist” or “anti-Zionist,” saying they lacked nuance.

    Consider Elana, a “conflicted” sophomore in the mid-Atlantic, who told us she was uncomfortable in most Jewish spaces on campus because they effectively demanded that she declare her Israel politics at the door. It seemed to her that activists on both sides were more comfortable retreating into echo chambers than engaging in dialogue across differences.

    Then there was Shira, a “disillusioned” first year in the Midwest who viewed Israeli-Palestinian coexistence, however implausible, as the only alternative to mutual destruction. She refused to participate in anti-war demonstrations on her campus because she couldn’t abide the organizers’ confrontational tactics – but also to avoid blowback from pro-Israel family and friends.

    Students from Bowdoin College light Shabbat candles during a visit to Shaarey Tphiloh Synagogue in Portland, Maine, in 2011.
    Gregory Rec/Portland Press Herald via Getty Images

    ‘Safe spaces’ and ‘groupthink’

    One unambiguous finding from our study was how often our interviewees used language prevalent in progressive discourse. They spoke repeatedly about the importance of “safe spaces,” and felt that listeners’ understandings mattered more than speakers’ intentions when evaluating “hate speech” and “microaggressions.”

    Leo, a “conflicted” junior in the Deep South who uses they/them pronouns, acknowledged that some protesters who chant slogans such as “Free Palestine” and “Globalize the Intifada” may not recognize how many Jewish students interpret them: as antisemitic calls for Israel’s destruction. But that was no excuse, they insisted. “What I’ve noticed is that the people who are at those demonstrations have created their own definition of antisemitism,” without input from the vast majority of Jews – something progressive protesters would not have stood for if another racial, religious or ethnic minority were being discussed.

    The use of provocative and arguably antisemitic language was responsible for keeping Jews like Leo and Shira, who evinced deep sympathy for the plight of the Palestinians, from joining the protests.

    Fundamentally, however, many of the Jewish students we spoke with said they’d welcome opportunities to discuss the war and the broader conflict. But the “groupthink” on campus was stifling, they complained, whether in Hillel centers that toe a reflexively pro-Israel line or student organizations that demand unquestioned buy-in to a set of progressive orthodoxies.

    Joe, a “disillusioned” student in New England who just received his diploma two weeks ago, reflected, “When my friends complain that the ‘Free Palestine’ stickers on my campus are antisemitic, I think they just don’t want to be uncomfortable.” Discomfort can be productive, he added – as long as it is expressed in an environment that values intellectual risk-taking, dialogue across difference, and empathy.

    Research discussed in this article was sponsored by the Mandel Center for Studies in Jewish Education at Brandeis University.

    ref. Conflicted, disillusioned, disengaged: The unsettled center of Jewish student opinion after Oct. 7 – https://theconversation.com/conflicted-disillusioned-disengaged-the-unsettled-center-of-jewish-student-opinion-after-oct-7-257521

    MIL OSI – Global Reports

  • MIL-OSI Global: Sleep loss rewires the brain for cravings and weight gain – a neurologist explains the science behind the cycle

    Source: The Conversation – USA – By Joanna Fong-Isariyawongse, Associate Professor of Neurology, University of Pittsburgh

    Getting enough sleep is one of the most effective ways to restore metabolic balance in the brain and body. SimpleImages/Moment via Getty Images

    You stayed up too late scrolling through your phone, answering emails or watching just one more episode. The next morning, you feel groggy and irritable. That sugary pastry or greasy breakfast sandwich suddenly looks more appealing than your usual yogurt and berries. By the afternoon, chips or candy from the break room call your name. This isn’t just about willpower. Your brain, short on rest, is nudging you toward quick, high-calorie fixes.

    There is a reason why this cycle repeats itself so predictably. Research shows that insufficient sleep disrupts hunger signals, weakens self-control, impairs glucose metabolism and increases your risk of weight gain. These changes can occur rapidly, even after a single night of poor sleep, and can become more harmful over time if left unaddressed.

    I am a neurologist specializing in sleep science and its impact on health.

    Sleep deprivation affects millions. According to the Centers for Disease Control and Prevention, more than one-third of U.S. adults regularly get less than seven hours of sleep per night. Nearly three-quarters of adolescents fall short of the recommended 8-10 hours sleep during the school week.

    While anyone can suffer from sleep loss, essential workers and first responders, including nurses, firefighters and emergency personnel, are especially vulnerable due to night shifts and rotating schedules. These patterns disrupt the body’s internal clock and are linked to increased cravings, poor eating habits and elevated risks for obesity and metabolic disease. Fortunately, even a few nights of consistent, high-quality sleep can help rebalance key systems and start to reverse some of these effects.

    How sleep deficits disrupt hunger hormones

    Your body regulates hunger through a hormonal feedback loop involving two key hormones.

    Ghrelin, produced primarily in the stomach, signals that you are hungry, while leptin, which is produced in the fat cells, tells your brain that you are full. Even one night of restricted sleep increases the release of ghrelin and decreases leptin, which leads to greater hunger and reduced satisfaction after eating. This shift is driven by changes in how the body regulates hunger and stress. Your brain becomes less responsive to fullness signals, while at the same time ramping up stress hormones that can increase cravings and appetite.

    These changes are not subtle. In controlled lab studies, healthy adults reported increased hunger and stronger cravings for calorie-dense foods after sleeping only four to five hours. The effect worsens with ongoing sleep deficits, which can lead to a chronically elevated appetite.

    Sleep is as important as diet and exercise in maintaining a healthy weight.

    Why the brain shifts into reward mode

    Sleep loss changes how your brain evaluates food.

    Imaging studies show that after just one night of sleep deprivation, the prefrontal cortex, which is responsible for decision-making and impulse control, has reduced activity. At the same time, reward-related areas such as the amygdala and the nucleus accumbens, a part of the brain that drives motivation and reward-seeking, become more reactive to tempting food cues.

    In simple terms, your brain becomes more tempted by junk food and less capable of resisting it. Participants in sleep deprivation studies not only rated high-calorie foods as more desirable but were also more likely to choose them, regardless of how hungry they actually felt.

    Your metabolism slows, leading to increased fat storage

    Sleep is also critical for blood sugar control.

    When you’re well rested, your body efficiently uses insulin to move sugar out of your bloodstream and into your cells for energy. But even one night of partial sleep can reduce insulin sensitivity by up to 25%, leaving more sugar circulating in your blood.

    If your body can’t process sugar effectively, it’s more likely to convert it into fat. This contributes to weight gain, especially around the abdomen. Over time, poor sleep is associated with higher risk for Type 2 diabetes and metabolic syndrome, a group of health issues such as high blood pressure, belly fat and high blood sugar that raise the risk for heart disease and diabetes.

    On top of this, sleep loss raises cortisol, your body’s main stress hormone. Elevated cortisol encourages fat storage, especially in the abdominal region, and can further disrupt appetite regulation.

    Sleep is your metabolic reset button

    In a culture that glorifies hustle and late nights, sleep is often treated as optional. But your body doesn’t see it that way. Sleep is not downtime. It is active, essential repair. It is when your brain recalibrates hunger and reward signals, your hormones reset and your metabolism stabilizes.

    Just one or two nights of quality sleep can begin to undo the damage from prior sleep loss and restore your body’s natural balance.

    So the next time you find yourself reaching for junk food after a short night, recognize that your biology is not failing you. It is reacting to stress and fatigue. The most effective way to restore balance isn’t a crash diet or caffeine. It’s sleep.

    Sleep is not a luxury. It is your most powerful tool for appetite control, energy regulation and long-term health.

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

    ref. Sleep loss rewires the brain for cravings and weight gain – a neurologist explains the science behind the cycle – https://theconversation.com/sleep-loss-rewires-the-brain-for-cravings-and-weight-gain-a-neurologist-explains-the-science-behind-the-cycle-255726

    MIL OSI – Global Reports

  • MIL-OSI Global: Most Americans believe misinformation is a problem — federal research cuts will only make the problem worse

    Source: The Conversation – USA – By H. Colleen Sinclair, Associate Research Professor of Social Psychology, Louisiana State University

    Americans say the government and social media companies need to do something about misinformation and disinformation. Boris Zhitkov/Getty Images

    Research on misinformation and disinformation has become the latest casualty of the Trump administration’s restructuring of federal research priorities.

    Following President Donald Trump’s executive order on “ending federal censorship,” the National Science Foundation canceled hundreds of grants that supported research on misinformation and disinformation.

    Misinformation refers to misleading narratives shared by people unaware that content is false. Disinformation is deliberately generated and shared misleading content, when the sharer knows the narrative is suspect.

    The overwhelming majority of Americans – 95% – believe misinformation’s misleading narratives are a problem.

    Americans also believe that consumers, the government and social media companies need to do something about it. Defunding research on misinformation and disinformation is, thus, the opposite of what Americans want. Without research, the ability to combat misleading narratives will be impaired.

    The attack on misleading narrative research

    Trump’s executive order claims that the Biden administration used research on misleading narratives to limit social media companies’ free speech.

    The Supreme Court had already rejected this claim in a 2024 case.

    Still, Trump and GOP politicians continue to demand disinformation researchers defend themselves, including in the March 2025 “censorship industrial complex” hearings, which explored alleged government censorship under the Biden administration.

    The U.S. State Department, additionally, is soliciting all communications between government offices and disinformation researchers for evidence of censorship.

    Trump’s executive order to “restore free speech,” the hearings and the State Department decision all imply that those conducting misleading narrative research are enemies of the First Amendment’s guarantee of free speech.

    These actions have already led to significant problems – death threats and harassment included – for disinformation researchers, particularly women.

    So let’s tackle what research on misinformation and disinformation is and isn’t.

    Misleading content

    Misinformation and disinformation researchers examine the sources of misleading content. They also study the spread of that content. And they investigate ways to reduce its harmful impacts.

    For instance, as a social psychologist who studies disinformation and misinformation, I examine the nature of misleading content. I study and then share information about the manipulation tactics used by people who spread disinformation to influence others. My aim is to better inform the public about how to protect themselves from deception.

    Sharing this information is free speech, not barring free speech.

    Yet, some think this research leads to censorship when platforms choose to use the knowledge to label or remove suspect content or ban its primary spreaders. That’s what U.S. Rep. Jim Jordan argued in launching investigations in 2023 into disinformation research.

    It is important to note, however, that the constitutional definition of censorship establishes that only the government – not citizens or businesses – can be censors.

    So private companies have the right to make their own decisions about the content they put on their platforms.

    Trump’s own platform, Truth Social, bans certain material such as “sexual content and explicit language,” but also anything moderators deem as trying to “trick, defraud, or mislead us and other users.” Yet, 75% of the conspiracy theories shared on the platform come from Trump’s account.

    Further, both Trump and Elon Musk, self-proclaimed free speech advocates, have been accused of squelching content on their platforms that is critical of them.

    Musk claimed the suppression of accounts on X was a result of the site’s algorithm reducing “the reach of a user if they’re frequently blocked or muted by other, credible users.” Truth Social representatives claim accounts were banned due to “bot mitigation” procedures, and authentic accounts may be reinstated if their classification as inauthentic was invalid.

    Research shows that conservatives are more susceptible to misinformation than liberals.
    klevo/Getty Images

    Is it censorship?

    Republicans say social media companies have been biased against their content, censoring it or banning conservatives unfairly.

    The “censorship industrial complex” hearings held by the House Foreign Affairs South and Central Asia Subcommittee were based on the premise that not only was misleading narrative research part of the alleged “censorship industrial complex,” but that it was focused on conservative voices.

    But there isn’t evidence to support this assertion.

    Research from 2020 shows that conservative voices are amplified on social media networks.

    When research does show that conservative authors have posts labeled or removed, or that their accounts are suspended at higher rates than liberal content, it also reveals that it is because conservative posts are significantly more likely to share misinformation than liberal posts.

    This was found in a recent study of X users. Researchers tracked whose posts got tagged as false or misleading more in “community notes” – X’s alternative and Meta’s proposed alternative to fact checking – and it was conservative posts, because they were more likely to include false content than liberal posts.

    Furthermore, an April 2025 study shows conservatives are more susceptible to misleading content and more likely to be targeted by it than liberals.

    Misleading America

    Those accusing misleading narrative researchers of censorship misrepresent the nature and intent of the research and researchers. And they are using disinformation tactics to do so.

    Here’s how.

    The misleading information about censorship and bias has been repeated so much through the media and from political leaders, as evident in Trump’s executive order, that many Republicans believe it’s true. This repetition produces what psychologists call the illusory truth effect, where as few as three repetitions convince the human mind something is true.

    Researchers have also identified a tactic known as “accusation in a mirror.” That’s when someone falsely accuses one’s perceived opponents of conducting, plotting or desiring to commit the same transgressions that one plans to commit or is already committing.

    So censorship accusations from an administration that is removing books from libraries, erasing history from monuments and websites, and deleting data archives constitute “accusations in a mirror.”

    Other tactics include “accusation by anecdote.” When strong evidence is in short supply, people who spread disinformation point repeatedly to individual stories – sometimes completely fabricated – that are exceptions to, and not representative of, the larger reality.

    Facts on fact-checking

    Similar anecdotal attacks are used to try to dismiss fact-checkers, whose conclusions can identify and discredit disinformation, leading to its tagging or removal from social media. This is done by highlighting an incident where fact-checkers “got it wrong.”

    These attacks on fact-checking come despite the fact that many of those most controversial decisions were made by platforms, not fact-checkers.

    Indeed, fact-checking does work to reduce the transmission of misleading content.

    Research shows little bias in choice of who is fact-checked.
    Liudmila Chernetska/Getty Images

    In studies of the perceived effectiveness of professional fact-checkers versus algorithms and everyday users, fact-checkers are rated the most effective.

    When Republicans do report distrust of fact-checkers, it’s because they perceive the fact-checkers are biased. Yet research shows little bias in choice of who is fact-checked, just that prominent and prolific speakers get checked more.

    When shown fact-checking results of specific posts, even conservatives often agree the right decision was made.

    Seeking solutions

    Account bans or threats of account suspensions may be more effective than fact-checks at stopping the flow of misinformation, but they are also more controversial. They are considered more akin to censorship than fact-check labels.

    Misinformation research would benefit from identifying solutions that conservatives and liberals agree on.

    Examples include giving people the option, like on social media platform Bluesky, to turn misinformation moderation on or off.

    But Trump’s executive order seeks to ban that research. Thus, instead of providing protections, the order will likely weaken Americans’ defenses.

    H. Colleen Sinclair receives funding from a variety of government and foundation sources. The statements and opinions included in this The Conversation article are solely the author’s. Any statements and opinions included in these pages are not those of the Social Research and Evaluation Center, the College of Human Sciences & Education, the Louisiana State University, or the LSU Board of Supervisors.

    ref. Most Americans believe misinformation is a problem — federal research cuts will only make the problem worse – https://theconversation.com/most-americans-believe-misinformation-is-a-problem-federal-research-cuts-will-only-make-the-problem-worse-255355

    MIL OSI – Global Reports

  • MIL-OSI Global: Is Mars really red? A physicist explains the planet’s reddish hue and why it looks different to some telescopes

    Source: The Conversation – USA – By David Joffe, Associate Professor of Physics, Kennesaw State University

    Siccar Point, photographed by the Curiosity rover, is near Mars’ Gale Crater. NASA/JPL-Caltech/MSSS; Processing & License: Kevin M. Gill

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


    Is Mars really as red as people say it is? – Jasmine, age 14, Everson, Washington


    People from cultures across the world have been looking at Mars since ancient times. Because it appears reddish, it has often been called the red planet.

    The English name for the planet comes from the Romans, who named it after their god of war because its color reminded them of blood. In reality, the reddish color of Mars comes from iron oxide in the rocks and dust covering its surface.

    Your blood is also red because of a mixture of iron and oxygen in a molecule called hemoglobin. So in a way, the ancient connection between the planet Mars and blood wasn’t completely wrong. Rust, which is a common form of iron oxide found here on Earth, also often has a reddish color.

    Iron oxide, found in rust on old metal machinery, is the compound that colors rocks and dust on Mars’ surface reddish brown.
    Lars Hammar/Flickr, CC BY-NC-SA

    In my current research on exoplanets, I observe different types of signals from planets beyond Earth. Lots of interesting physics goes into how researchers perceive the colors of planets and stars through different types of telescopes.

    Observing Mars with probes

    If you look closely at pictures of Mars taken by rovers on its surface, you can see that most of the planet isn’t purely red, but more of a rusty brown or tan color.

    You can see Mars’ rusty color in this photo taken by the Viking lander.
    NASA/JPL

    Probes sent from Earth have taken pictures showing rocks with a rusty color. A 1976 picture from the Viking lander, the very first spacecraft to land on Mars, shows the Martian ground covered with a layer of rusty orange dust.

    Not all of Mars’ surface has the same color. At the poles, its ice caps appear white. These ice caps contain frozen water, like the ice we usually find on Earth, but these ice caps are also covered by a layer of frozen carbon dioxide – dry ice.

    This layer of dry ice can evaporate very quickly when sunlight shines on it and grows back again when it becomes dark. This process causes the white ice caps to grow and shrink in size depending on the Martian seasons.

    This picture from the Hubble Space Telescope shows the planet with the same rusty color covering large parts of its surface.
    NASA, ESA, Zolt G. Levay (STScI)

    Beyond visible light

    Mars also gives off light in colors that you can’t see with your eyes but that scientists can measure with special cameras on telescopes.

    Light itself can be thought of not only as a wave but also as a stream of particles called photons. The amount of energy carried by each photon is related to its color. For example, blue and violet photons have more energy than orange and red photons.

    The rainbow of visible light that you can see is only a small slice of all the kinds of light. Some telescopes can detect light with a longer wavelength, such as infrared light, or light with a shorter wavelength, such as ultraviolet light. Others can detect X-rays or radio waves.
    Inductiveload, NASA/Wikimedia Commons, CC BY-SA

    Ultraviolet photons have even more energy than the photons you can see with your eyes. These photons are found in direct sunlight, and because they have so much energy, they can damage the cells in your body. You can use sunscreen to protect yourself from them.

    Infrared photons have less energy than the photons you can see with your eyes, and you don’t need any special protection from them. This is how some types of night-vision goggles work: They can see light in the infrared spectrum as well as the visible color spectrum. Scientists can take pictures of Mars in the infrared spectrum using special cameras that work almost like night-vision goggles for telescopes.

    The Hubble Space Telescope could take pictures in both visible light and infrared light.
    NASA, James Bell (Cornell University), Justin Maki (NASA-JPL), Mike J. Wolff (SSI)

    The colors on the infrared picture aren’t really what the infrared light looks like, because you can’t see those colors with your eyes. They are called “false colors,” and researchers add them to look at the picture more easily.

    When you compare the visible color picture and the infrared picture, you can see some of the same features – and the ice caps are visible in both sets of colors.

    A UV view of Mars with the MAVEN spacecraft.
    NASA/LASP/CU Boulder

    NASA’s MAVEN spacecraft, launched in 2013, has even taken pictures with ultraviolet light, giving scientists a different view of both the surface of Mars and its atmosphere.

    Each new type of picture tells scientists more about the Martian landscape. They hope to use these details to answer questions about how Mars formed, how long it had active volcanoes, where its atmosphere came from and whether it had liquid water on its surface.

    Astronomers are always looking for new ways to take telescope pictures outside of the regular visible spectrum. They can even make images using radio waves, microwaves, X-rays and gamma rays. Each part of the spectrum they can use to look at an object in space represents new information they can learn from.

    Even though people have been looking at Mars since ancient times, we still have much to learn about this fascinating neighbor.


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

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

    David Joffe receives funding from the NASA Office of STEM Engagement through a grant from the Georgia Space Grant Consortium

    ref. Is Mars really red? A physicist explains the planet’s reddish hue and why it looks different to some telescopes – https://theconversation.com/is-mars-really-red-a-physicist-explains-the-planets-reddish-hue-and-why-it-looks-different-to-some-telescopes-256398

    MIL OSI – Global Reports

  • MIL-OSI Global: RNA has newly identified role: Repairing serious DNA damage to maintain the genome

    Source: The Conversation – USA – By Francesca Storici, Professor of Biological Sciences, Georgia Institute of Technology

    Double-strand breaks in DNA can be deadly. Victor Golmer/iStock via Getty Images Plus

    Your DNA is continually damaged by sources both inside and outside your body. One especially severe form of damage called a double-strand break involves the severing of both strands of the DNA double helix.

    Double-strand breaks are among the most difficult forms of DNA damage for cells to repair because they disrupt the continuity of DNA and leave no intact template to base new strands on. If misrepaired, these breaks can lead to other mutations that make the genome unstable and increase the risk of many diseases, including cancer, neurodegeneration and immunodeficiency.

    Cells primarily repair double-strand breaks by either rejoining the broken DNA ends or by using another DNA molecule as a template for repair. However, my team and I discovered that RNA, a type of genetic material best known for its role in making proteins, surprisingly plays a key role in facilitating the repair of these harmful breaks.

    These insights could not only pave the way for new treatment strategies for genetic disorders, cancer and neurodegenerative diseases, but also enhance gene-editing technologies.

    Sealing a knowledge gap in DNA repair

    I have spent the past two decades investigating the relationship between RNA and DNA in order to understand how cells maintain genome integrity and how these mechanisms could be harnessed for genetic engineering.

    A long-standing question in the field has been whether RNA in cells helps keep the genome stable beyond acting as a copy of DNA in the process of making proteins and a regulator of gene expression. Studying how RNA might do this has been especially difficult due to its similarity to DNA and how fast it degrades. It’s also technically challenging to tell whether the RNA is directly working to repair DNA or indirectly regulating the process. Traditional models and tools for studying DNA repair have for the most part focused on proteins and DNA, leaving RNA’s potential contributions largely unexplored.

    RNA plays a key role in protein synthesis.

    My team and I were curious about whether RNA might actively participate in fixing double-strand breaks as a first line of defense. To explore this, we used the gene-editing tool CRISPR-Cas9 to make breaks at specific spots in the DNA of human and yeast cells. We then analyzed how RNA influences various aspects of the repair process, including efficiency and outcomes.

    We found that RNA can actively guide the repair process of double-strand breaks. It does this by binding to broken DNA ends, helping align sequences of DNA on a matching strand that isn’t broken. It can also seal gaps or remove mismatched segments, further influencing whether and how the original sequence is restored.

    Additionally, we found that RNA aids in double-strand break repair in both yeast and human cells, suggesting that its role in DNA repair is evolutionary conserved across species. Notably, even low levels of RNA were sufficient to influence the efficiency and outcome of repair, pointing to its broad and previously unrecognized function in maintaining genome stability.

    RNA in control

    By uncovering RNA’s previously unknown function to repair DNA damage, our findings show how RNA may directly contribute to the stability and evolution of the genome. It’s not merely a passive messenger, but an active participant in genome maintenance.

    One type of RNA that has been effectively used in treatments is mRNA.
    Aldona/iStock via Getty Images Plus

    These insights could help researchers develop new ways to target the genomic instability that underlies many diseases, including cancer and neurodegeneration. Traditionally, treatments and gene-editing tools have focused almost exclusively on DNA or proteins. Our findings suggest that modifying RNA in different ways could also influence how cells respond to DNA damage. For example, researchers could design RNA-based therapies to enhance the repair of harmful breaks that could cause cancer, or selectively disrupt DNA break repair in cancer cells to help kill them.

    In addition, these findings could improve the precision of gene-editing technologies like CRISPR by accounting for interactions between RNA and DNA at the site of the cut. This could reduce off-target effects and increase editing precision, ultimately contributing to the development of safer and more effective gene therapies.

    There are still many unanswered questions about how RNA interacts with DNA in the repair process. The evolutionary role that RNA plays in maintaining genome stability is also unclear. But one thing is certain: RNA is no longer just a messenger, it is a molecule with a direct hand in DNA repair, rewriting what researchers know about how cells safeguard their genetic code.

    Francesca Storici consults at Tessera Therapeutics. She has received funding from the National Institutes of Health and the National Science Foundation.

    ref. RNA has newly identified role: Repairing serious DNA damage to maintain the genome – https://theconversation.com/rna-has-newly-identified-role-repairing-serious-dna-damage-to-maintain-the-genome-256429

    MIL OSI – Global Reports

  • MIL-OSI Global: Will AI take your job? The answer could hinge on the 4 S’s of the technology’s advantages over humans

    Source: The Conversation – USA – By Bruce Schneier, Adjunct Lecturer in Public Policy, Harvard Kennedy School

    Sometimes speed matters – and sometimes it doesn’t. Korakrich Suntornnites/iStock via Getty Images

    If you’ve worried that AI might take your job, deprive you of your livelihood, or maybe even replace your role in society, it probably feels good to see the latest AI tools fail spectacularly. If AI recommends glue as a pizza topping, then you’re safe for another day.

    But the fact remains that AI already has definite advantages over even the most skilled humans, and knowing where these advantages arise — and where they don’t — will be key to adapting to the AI-infused workforce.

    AI will often not be as effective as a human doing the same job. It won’t always know more or be more accurate. And it definitely won’t always be fairer or more reliable. But it may still be used whenever it has an advantage over humans in one of four dimensions: speed, scale, scope and sophistication. Understanding these dimensions is the key to understanding AI-human replacement.

    Speed

    First, speed. There are tasks that humans are perfectly good at but are not nearly as fast as AI. One example is restoring or upscaling images: taking pixelated, noisy or blurry images and making a crisper and higher-resolution version. Humans are good at this; given the right digital tools and enough time, they can fill in fine details. But they are too slow to efficiently process large images or videos.

    AI models can do the job blazingly fast, a capability with important industrial applications. AI-based software is used to enhance satellite and remote sensing data, to compress video files, to make video games run better with cheaper hardware and less energy, to help robots make the right movements, and to model turbulence to help build better internal combustion engines.

    Real-time performance matters in these cases, and the speed of AI is necessary to enable them.

    Scale

    The second dimension of AI’s advantage over humans is scale. AI will increasingly be used in tasks that humans can do well in one place at a time, but that AI can do in millions of places simultaneously. A familiar example is ad targeting and personalization. Human marketers can collect data and predict what types of people will respond to certain advertisements. This capability is important commercially; advertising is a trillion-dollar market globally.

    AI models can do this for every single product, TV show, website and internet user. This is how the modern ad-tech industry works. Real-time bidding markets price the display ads that appear alongside the websites you visit, and advertisers use AI models to decide when they want to pay that price – thousands of times per second.

    Scope

    Next, scope. AI can be advantageous when it does more things than any one person could, even when a human might do better at any one of those tasks. Generative AI systems such as ChatGPT can engage in conversation on any topic, write an essay espousing any position, create poetry in any style and language, write computer code in any programming language, and more. These models may not be superior to skilled humans at any one of these things, but no single human could outperform top-tier generative models across them all.

    It’s the combination of these competencies that generates value. Employers often struggle to find people with talents in disciplines such as software development and data science who also have strong prior knowledge of the employer’s domain. Organizations are likely to continue to rely on human specialists to write the best code and the best persuasive text, but they will increasingly be satisfied with AI when they just need a passable version of either.

    How AI is affecting the job market.

    Sophistication

    Finally, sophistication. AIs can consider more factors in their decisions than humans can, and this can endow them with superhuman performance on specialized tasks. Computers have long been used to keep track of a multiplicity of factors that compound and interact in ways more complex than a human could trace. The 1990s chess-playing computer systems such as Deep Blue succeeded by thinking a dozen or more moves ahead.

    Modern AI systems use a radically different approach: Deep learning systems built from many-layered neural networks take account of complex interactions – often many billions – among many factors. Neural networks now power the best chess-playing models and most other AI systems.

    Chess is not the only domain where eschewing conventional rules and formal logic in favor of highly sophisticated and inscrutable systems has generated progress. The stunning advance of AlphaFold2, the AI model of structural biology whose creators Demis Hassabis and John Jumper were recognized with the Nobel Prize in chemistry in 2024, is another example.

    This breakthrough replaced traditional physics-based systems for predicting how sequences of amino acids would fold into three-dimensional shapes with a 93 million-parameter model, even though it doesn’t account for physical laws. That lack of real-world grounding is not desirable: No one likes the enigmatic nature of these AI systems, and scientists are eager to understand better how they work.

    But the sophistication of AI is providing value to scientists, and its use across scientific fields has grown exponentially in recent years.

    Context matters

    Those are the four dimensions where AI can excel over humans. Accuracy still matters. You wouldn’t want to use an AI that makes graphics look glitchy or targets ads randomly – yet accuracy isn’t the differentiator. The AI doesn’t need superhuman accuracy. It’s enough for AI to be merely good and fast, or adequate and scalable. Increasing scope often comes with an accuracy penalty, because AI can generalize poorly to truly novel tasks. The 4 S’s are sometimes at odds. With a given amount of computing power, you generally have to trade off scale for sophistication.

    Even more interestingly, when an AI takes over a human task, the task can change. Sometimes the AI is just doing things differently. Other times, AI starts doing different things. These changes bring new opportunities and new risks.

    For example, high-frequency trading isn’t just computers trading stocks faster; it’s a fundamentally different kind of trading that enables entirely new strategies, tactics and associated risks. Likewise, AI has developed more sophisticated strategies for the games of chess and Go. And the scale of AI chatbots has changed the nature of propaganda by allowing artificial voices to overwhelm human speech.

    It is this “phase shift,” when changes in degree may transform into changes in kind, where AI’s impacts to society are likely to be most keenly felt. All of this points to the places that AI can have a positive impact. When a system has a bottleneck related to speed, scale, scope or sophistication, or when one of these factors poses a real barrier to being able to accomplish a goal, it makes sense to think about how AI could help.

    Equally, when speed, scale, scope and sophistication are not primary barriers, it makes less sense to use AI. This is why AI auto-suggest features for short communications such as text messages can feel so annoying. They offer little speed advantage and no benefit from sophistication, while sacrificing the sincerity of human communication.

    Many deployments of customer service chatbots also fail this test, which may explain their unpopularity. Companies invest in them because of their scalability, and yet the bots often become a barrier to support rather than a speedy or sophisticated problem solver.

    Where the advantage lies

    Keep this in mind when you encounter a new application for AI or consider AI as a replacement for or an augmentation to a human process. Looking for bottlenecks in speed, scale, scope and sophistication provides a framework for understanding where AI provides value, and equally where the unique capabilities of the human species give us an enduring advantage.

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

    ref. Will AI take your job? The answer could hinge on the 4 S’s of the technology’s advantages over humans – https://theconversation.com/will-ai-take-your-job-the-answer-could-hinge-on-the-4-ss-of-the-technologys-advantages-over-humans-258469

    MIL OSI – Global Reports

  • MIL-OSI Africa: President El-Sisi Meets Chairman of Arab Organization for Industrialization (AOI) Board of Directors

    Source: Africa Press Organisation – English (2) – Report:

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    Today, President Abdel Fattah El-Sisi met with Chairman of the Board of Directors of the Arab Organization for Industrialization (AOI) Major General Mokhtar Abdel Latif.

    Spokesman for the Presidency, Ambassador Mohamed El-Shennawy, said the President was briefed on the activities and projects undertaken by factories and companies affiliated with the Arab Organization for Industrialization across various fields. Major General Abdel Latif noted that the AOI operates according to a comprehensive strategy aimed at deepening local manufacturing, increasing export rates, and enhancing the industrial and technological capabilities of its factories. This is in addition to cooperating with the private sector to establish joint projects, leveraging the AOI’s advanced industrial capabilities.

    President El-Sisi affirmed the AOI’s significant role in various sectors, particularly with regard to the improvement of local manufacturing ratios, the localization of industry, and the increase of exports, which contributes to reducing the import bill and providing foreign currency, thereby supporting the national economy.

    President El-Sisi was also updated on the existing frameworks of cooperation between the AOI and several major international companies operating in the automotive industry. The President inspected a number of “Citroën C4X” models, which are locally manufactured with a 45% component ratio in the factories of the Arab Organization for Industrialization, in partnership with the Arab American Vehicles Company (AAV) and the French “Stellantis” Group.

    AOI Chairman, Major General Abdel Latif,  said planning for the production of this model began in August 2023, adding that technical and logistical preparations were undertaken, leading to the production of initial prototypes in March 2025. He noted that approximately 7,000 cars are scheduled for annual production over four years, totaling 28,000 vehicles. Furthermore, preparations are underway for the production of a new car in cooperation with the “Stellantis” Group, with production set to begin in late 2026. This new model will see a total of 240,000 cars manufactured exclusively in AOI factories, and will not be manufactured in any of the Group’s other global facilities.

    President El-Sisi gave directives to further strengthen cooperation with private sector companies, both locally and internationally. This is in alignment with the state’s strategy aimed at localizing the automotive industry, increasing the percentage of local components, and maximizing exports of products manufactured in Egypt.

    – on behalf of Presidency of the Arab Republic of Egypt.

    MIL OSI Africa

  • MIL-OSI Africa: African Development Bank approves €19.6 million in financing to scale up Cabo Verde’s pioneer in wind and battery storage capacity

    Source: Africa Press Organisation – English (2) – Report:

    The Board of Directors of the African Development Bank Group (www.AfDB.org) has approved a €19.6 million financing package to support the Cabeólica Phase II Expansion Project in Cabo Verde.

    The project is the country’s first renewable energy initiative to integrate wind power generation and battery energy storage systems (BESS) at scale.

    The financing includes a loan of approximately €12.6 million from the African Development Bank, and €7 million in concessional loan financing from the Bank Group-managed Sustainable Energy Fund for Africa (SEFA).

    Building on the success of the original Cabeólica power project commissioned in 2012, Phase II will add 13.5 megawatts of wind generation capacity and 26 megawatt-hours of grid-connected battery energy storage. The expansion is expected to generate over 60 gigawatt-hours of clean energy annually, eliminating expensive thermal generation and reducing carbon dioxide emissions by an estimated 50,000 tonnes annually.

    “This project is a testament to Cabo Verde’s long-term vision to decarbonize its power sector and enhance its resilience. It also demonstrates how private sector investment, facilitated by catalytic concessional financing, can deliver cost-effective, sustainable energy solutions for small island economies,” said Wale Shonibare, Director for Energy Financial Solutions, Policy and Regulations at the African Development Bank. 

    Daniel Schroth, the Bank Group’s director for Renewable Energy and Efficiency said: “SEFA’s support for the integration of battery storage into Cabo Verde’s power system enhances power security and grid reliability while reducing generation costs in Cabo Verde.” He noted that the project highlights the added value of the right mix of financing and technology to strengthen long-term power sector sustainability.

    Ayotunde Anjorin, Chairman of Cabeólica and Senior Director and CFO at Africa Finance Corporation, said: “As the first renewable energy commercial scale PPP in sub-Saharan Africa, Cabeólica  is again proud to lead this transformative expansion project comprising additional wind capacity and battery energy storage. This project underscores Cabeólica’s deep commitment to delivering reliable, clean energy infrastructure in line with national goals and priorities and continues to set a replicable model for the region.”

    Cabeólica Phase II entails five installations across four islands: a wind expansion on Santiago and BESS deployments on Santiago, Sal, Boa Vista, and São Vicente. Battery storage will support ancillary grid services such as frequency response and voltage regulation, enabling more efficient use of intermittent wind power and reducing curtailment. With Cabo Verde’s electricity system still heavily reliant on imported fossil fuels, these upgrades are expected to reduce system costs and enhance energy security.

    Owned by Africa Finance Corporation, A.P. Moller Capital, and Cabo Verdean public entities, Cabeólica S.A. is the country’s first independent power producer (IPP). Phase II of the project will be underpinned by a 20-year power purchase and storage services agreement with the national utility Electra S.A., at tariffs significantly lower than the national average generation cost.

    The project advances Cabo Verde’s goal of generating 50% of its electricity from renewables by 2030 as well as its Nationally Determined Contribution under the Paris Agreement.

    It aligns with the African Development Bank’s ‘Light Up and Power Africa’ High-5 priority, its Ten-Year Strategy, and SEFA’s Green Baseload pillar.

    – on behalf of African Development Bank Group (AfDB).

    Media Contact:
    Olufemi Terry
    Communication and External Relations Department
    media@afdb.org

    Technical Contact:
    Wole Lawuyi
    Chief Investment Officer
    Energy Financial Solutions
    c.lawuyi@afdb.org

    About the African Development Bank Group:
    The African Development Bank Group is Africa’s premier development finance institution. It comprises three distinct entities: the African Development Bank (AfDB), the African Development Fund (ADF) and the Nigeria Trust Fund (NTF). On the ground in 41 African countries with an external office in Japan, the Bank contributes to the economic development and the social progress of its 54 regional member states. For more information: www.AfDB.org

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    MIL OSI Africa

  • MIL-OSI United Kingdom: Export bar placed on £8 million Rubens work

    Source: United Kingdom – Executive Government & Departments

    Press release

    Export bar placed on £8 million Rubens work

    A temporary export bar has been placed on an oil sketch, titled ​​Cimon Falling in love with Efigenia, by Flemish artist Peter Paul Rubens

    • The work has been valued at £8.4 million 
    • The export bar will allow time for a UK gallery or institution to acquire the oil sketch for the nation

    An export bar has been placed on an oil sketch by Flemish artist, Peter Paul Rubens, which is at risk of leaving the UK.

    Rubens was an exceptionally successful painter and is considered the most influential artist of the Flemish Baroque tradition. Rubens was born in Siegen, Germany in 1577 and is mostly known for his vibrant style emphasising movement, colour, and sensuality. Some of his most famous paintings include The Elevation of the Cross and Judgement of Paris. 

    Cimon Falling in love with Efigenia is a remarkable example of one of Rubens’ authentic oil sketches created entirely by his own hand.

    Oil sketches by Rubens have been eagerly collected in the UK and there is a strong British connection to this piece, as George Villiers, the first Duke of Buckingham (1592–1628), was an admirer of his artistic talent and displayed works by Rubens in his home at York House. This included the finished painting of Cimon and Efigenia for which the current oil sketch is a preparatory work.

    The sketch is a marvellous encapsulation of Rubens’ working methods at a relatively early stage in his career. It would enhance the representation of such works in the UK if saved for the nation by a cultural institution. 

    Arts Minister Sir Chris Bryant said: 

    This work is the perfect example of Rubens’ artistic talent and gives us greater insight into Flemish art during the 17th century. 

    I hope that a UK gallery is able to save  it so that the public can enjoy it for generations to come.

    Mark Hallett, Committee Member said: 

    This is a picture that gives us the opportunity to appreciate a great artist’s creative process in full flow. Produced on panel as the primary sketch for a monumental oil painting that now hangs in the Kunsthistorisches Museum in Vienna, Cimon falling in Love with Efigenia is entirely the product of Rubens’s own hand, rather than one that – as is the case with the final picture – contains the contributions of his studio assistants. In the sketch, we see Rubens exploring the artistic possibilities of an ethically and erotically charged scene from early Renaissance literature, and experimenting with the established pictorial conventions of the female nude. The longer one looks at and thinks about this picture, the more complex and challenging it becomes: the mark of all truly significant works of art. For these reasons, Cimon falling in Love with Efigenia demands to be found a permanent home in the UK, where it can be enjoyed and reflected upon for decades to come.

    The Minister’s decision follows the advice of the Reviewing Committee on the Export of Works of Art and Objects of Cultural Interest (RCEWA).

    The RCEWA made its recommendation on the basis that the painting met the second and third Waverley criteria for its outstanding aesthetic importance and its outstanding significance to the study of Rubens’ preparatory studies and sketches and their influence, as well as the treatment of the female nude in art.

    The decision on the export licence application for the painting will be deferred for a period ending on 15 September 2025 inclusive. At the end of the first deferral period owners will have a consideration period of 15 Business Days to consider any offer(s) to purchase the painting at the recommended price of £8,440,000. The second deferral period will commence following the signing of an Option Agreement and will last for six months.

    Notes to editors:

    1. Organisations or individuals interested in purchasing the painting should contact the RCEWA on 02072680534 or rcewa@artscouncil.org.uk.
    2. Details of the painting are as follows: Peter Paul Rubens (1577–1640) Cimon Falling in love with Efigenia, c. 1616–17. Oil on panel, 29.8 x 43.5 cm. The painting is on a narrow wooden panel with vertical grain. The painting is in generally good condition.
    3. Provenance: Probably the painter and dealer Jeremias Wildens (1621-53), son of Jan Wildens (1586 – 1653) who collaborated with Rubens on the Vienna picture in which he painted the landscape; His estate: inventory drawn up 30 January 1653 and 11 January 1654, no. 528 ‘Eenen Thimon met Naeckte vrouwkens van Rubbens’ (A Thimon [Cimon] with naked women by Rubens); Philippe Panné, Esq., Great George Street, Hanover Square, London (d. 1819); His sale: Christie’s, London, A catalogue of the very capital, valuable and highly important collection of Italian, French, Flemish and Dutch pictures, of the late Ph. Panné, Esq. of Great George Street, Hanover Square, deceased, 27 March 1819 (including 350 lots), lot 17, as ‘Rubens, Cymon and Iphigenia. panel, 12’ x 17’ [sic.] (sold 26-5 pounds); William Noel-Hill, 3rd Baron Berwick (1773-1842); His sale: Christie’s, London, 1 December 1827, lot 73, as ‘Rubens’ School, Cymon and Iphiginia’ (“17 guineas”, “”bought in”); Sir Matthew Wilson,1st Baronet of Eshton Hall (1802-1891), Gargrave, 1877; Private Collection, U.K. by 1886; Private collection, purchase, 2024

    4. The Reviewing Committee on the Export of Works of Art and Objects of Cultural Interest is an independent body, serviced by Arts Council England (ACE), which advises the Secretary of State for Culture, Media and Sport on whether a cultural object, intended for export, is of national importance under specified criteria.

    Updates to this page

    Published 16 June 2025

    MIL OSI United Kingdom

  • MIL-OSI United Kingdom: UK’s Janus Accelerator selected for NATO DIANA’s 2026 defence innovation programme

    Source: United Kingdom – Government Statements

    News story

    UK’s Janus Accelerator selected for NATO DIANA’s 2026 defence innovation programme

    The Janus Accelerator will support a new cohort of cutting-edge companies developing dual-use technologies that enhance NATO’s technological edge.

    The UK’s Janus Accelerator has been selected as an activated site for NATO’s Defence Innovation Accelerator for the North Atlantic (DIANA) 2026 programme, reinforcing Britain’s position at the forefront of global defence innovation.

    Based in London’s thriving White City Innovation District, the Janus Accelerator will support a new cohort of cutting-edge companies developing dual-use technologies that enhance NATO’s technological edge while addressing critical defence challenges.

    The selection comes as DIANA launched its 2026 Challenge Call on 2 June, with Phase 1 of the accelerator programme scheduled to begin in early 2026.

    Sharpening NATO’s technological advantage

    NATO DIANA was formally established in 2023 to identify and accelerate dual-use innovation across the Alliance. The initiative provides innovators with vital resources, networks and guidance to develop deep technologies that solve pressing defence challenges – from operating in denied environments to countering threats to collective resilience.

    Emerging and disruptive technologies have become increasingly crucial for maintaining NATO’s competitive edge in collective defence and security. Through a transatlantic network spanning 23 accelerators and 182 test centres, DIANA connects military end-users with innovative start-ups, researchers and technologists across all 32 NATO nations.

    John Cunningham, Director of Defence Innovation, said:

    The selection of the Janus Accelerator as an activated site for NATO DIANA’s 2026 programme represents a significant vote of confidence in the UK’s defence innovation ecosystem. This partnership will help unlock the potential of our most promising dual-use technologies, accelerating groundbreaking solutions to strengthen NATO’s capabilities while creating high-skilled jobs and economic growth here in Britain.

    State-of-the-art innovation hub

    Launched in January 2025 and supported by the Defence and Security Accelerator (DASA), the Janus Accelerator is delivered by the Janus Consortium and collocated with the NATO DIANA Regional Office at Imperial College London’s Innovation Hub.

    Companies participating in the DIANA accelerator programme gain unparalleled exposure to government and military buyers, investors and end users across the Alliance – creating pathways to scale innovative solutions that address NATO’s most pressing security challenges.

    Updates to this page

    Published 16 June 2025

    MIL OSI United Kingdom

  • MIL-OSI USA: Amidst regional conflict, the Strait of Hormuz remains critical oil chokepoint

    Source: US Energy Information Administration

    In-brief analysis

    June 16, 2025

    Data source: U.S. Energy Information Administration analysis based on Vortexa tanker tracking
    Note: 1Q25=first quarter of 2025


    The Strait of Hormuz, located between Oman and Iran, connects the Persian Gulf with the Gulf of Oman and the Arabian Sea. The strait is deep enough and wide enough to handle the world’s largest crude oil tankers, and it is one of the world’s most important oil chokepoints. Large volumes of oil flow through the strait, and very few alternative options exist to move oil out of the strait if it is closed. In 2024, oil flow through the strait averaged 20 million barrels per day (b/d), or the equivalent of about 20% of global petroleum liquids consumption. In the first quarter of 2025, total oil flows through the Strait of Hormuz remained relatively flat compared with 2024.

    Although we have not seen maritime traffic through the Strait of Hormuz blocked following recent tensions in the region, the price of Brent crude oil (a global benchmark) increased from $69 per barrel (b) on June 12 to $74/b on June 13. This piece highlights the importance of the strait to global oil supplies.

    Chokepoints are narrow channels along widely used global sea routes that are critical to global energy security. The inability of oil to transit a major chokepoint, even temporarily, can create substantial supply delays and raise shipping costs, potentially increasing world energy prices. Although most chokepoints can be circumvented by using other routes—often adding significantly to transit time—some chokepoints have no practical alternatives. Most volumes that transit the strait have no alternative means of exiting the region, although there are some pipeline alternatives that can avoid the Strait of Hormuz.

    Between 2022 and 2024, volumes of crude oil and condensate transiting the Strait of Hormuz declined by 1.6 million b/d, which were only partially offset by a 0.5-million b/d increase in petroleum product cargoes. The decline in oil transit through the strait partially reflects the OPEC+ decision to voluntarily cut crude oil production several times starting in November 2022, which lowered exports from Saudi Arabia, Kuwait, and the United Arab Emirates (UAE). In addition, disruptions in 2024 to oil flows around the Bab al-Mandeb Strait, which connects the Arabian Sea to the Red Sea, led Saudi Arabia’s national oil company Aramco to shift seaborne crude oil flows from the Strait of Hormuz, instead sending it over land through its East-West pipeline to ports on the Red Sea. Also, more refining capacity in the Persian Gulf states increased regional demand for crude oil and shifted some flows to local markets within the Persian Gulf.

    Flows through the Strait of Hormuz in 2024 and the first quarter of 2025 made up more than one-quarter of total global seaborne oil trade and about one-fifth of global oil and petroleum product consumption. In addition, around one-fifth of global liquefied natural gas trade also transited the Strait of Hormuz in 2024, primarily from Qatar.

    Data source: U.S. Energy Information Administration, Short-Term Energy Outlook, June 2025, and U.S. Energy Information Administration analysis based on Vortexa tanker tracking
    Note: World maritime oil trade excludes intra-country volumes except those volumes that transit the Strait of Hormuz. LNG=liquefied natural gas. 1Q25=first quarter of 2025

    Based on tanker tracking data published by Vortexa, Saudi Arabia moves more crude oil and condensate through the Strait of Hormuz than any other country. In 2024, exports of crude and condensate from Saudi Arabia accounted for 38% of total Hormuz crude flows (5.5 million b/d).

    Alternative routes
    Saudi Arabia and the UAE have some infrastructure in place that can bypass the Strait of Hormuz, which may somewhat mitigate any transit disruptions through the strait. The pipelines do not typically operate at full capacity, and we estimate that about 2.6 million b/d of capacity from the Saudi and UAE pipelines could be available to bypass the Strait of Hormuz in the event of a supply disruption.

    Saudi Aramco operates the 5 million-b/d East-West crude oil pipeline, which runs from the Abqaiq oil processing center near the Persian Gulf to the Yanbu port on the Red Sea. Aramco temporarily expanded the pipeline’s capacity to 7.0 million b/d in 2019 when it converted some natural gas liquids pipelines to accept crude oil. In 2024, Saudi Arabia pumped more crude oil through the East-West pipeline to avoid the shipping disruptions around the Bab al-Mandeb.

    The UAE also operates a pipeline that bypasses the Strait of Hormuz. This 1.8 million-b/d pipeline links onshore oil fields to the Fujairah export terminal in the Gulf of Oman. In 2024, crude oil and condensate volumes originating in the UAE and traversing Hormuz were 0.4 million b/d less than in 2022 because refinery upgrades allowed more heavy crude oil to be refined locally. These upgrades also allowed the UAE to increase exports of its lighter crude oil grades, and use of the pipeline to the Fujairah export terminal increased. Increased use of the pipeline for day-to-day operations has limited the excess capacity available to reroute additional volumes around the Strait of Hormuz.

    Iran inaugurated the Goreh-Jask pipeline and the Jask export terminal on the Gulf of Oman (avoiding the Strait of Hormuz) with a single export cargo in July 2021. The pipeline’s effective capacity remains around 300,000 b/d. However, during the summer of 2024 Iran exported less than 70,000 b/d from ports (Bandar-e-Jask and Kooh Mobarak) using the Goreh-Jask pipeline and stopped loading cargoes after September 2024.

    Destination markets
    We estimate that 84% of the crude oil and condensate and 83% of the liquefied natural gas that moved through the Strait of Hormuz went to Asian markets in 2024. China, India, Japan, and South Korea were the top destinations for crude oil moving through the Strait of Hormuz to Asia, accounting for a combined 69% of all Hormuz crude oil and condensate flows in 2024. These markets would likely be most affected by supply disruptions at Hormuz.

    Data source: U.S. Energy Information Administration analysis based on Vortexa tanker tracking
    Note: 1Q25=first quarter of 2025


    In 2024, the United States imported about 0.5 million b/d of crude oil and condensate from Persian Gulf countries through the Strait of Hormuz, accounting for about 7% of total U.S. crude oil and condensate imports and 2% of U.S. petroleum liquids consumption. In 2024, U.S. crude oil imports from countries in the Persian Gulf were at the lowest level in nearly 40 years as domestic production and imports from Canada have increased.

    Principal contributors: Candace Dunn, Justine Barden

    MIL OSI USA News

  • India joins elite global group for Rinderpest Containment as ICAR-NIHSAD Bhopal earns category A status

    Source: Government of India

    Source: Government of India (4)

    India has secured a prestigious position in global animal health with the designation of the ICAR-National Institute of High Security Animal Diseases (NIHSAD) in Bhopal as a Category A Rinderpest Holding Facility (RHF) by the World Organisation for Animal Health (WOAH) and the United Nations’ Food and Agriculture Organization (FAO). The recognition was The achievement highlights India’s commitment to international disease control standards and reinforces its pivotal role in safeguarding global animal health.

    At the 92nd General Session of WOAH in Paris on May 29, 2025, where Alka Upadhyaya, Secretary of the Department of Animal Husbandry & Dairying (DAHD) and India’s WOAH Delegate, received the certificate from WOAH’s Director General.

    Rinderpest, historically known as “cattle plague,” was a devastating livestock disease eradicated globally in 2011. To prevent its re-emergence, WOAH and FAO restrict the storage of Rinderpest Virus-Containing Material (RVCM) to a select few high-security laboratories worldwide. ICAR-NIHSAD, a Biosafety Level-3 (BSL-3) facility and WOAH reference laboratory for avian influenza, was designated as India’s RVCM repository in 2012. Following a rigorous evaluation in March 2025 by international experts, the institute earned Category A RHF status for one year, affirming its robust biosafety measures, effective inventory management, and preparedness for emergencies.

    This milestone places India among an elite group of six global facilities tasked with securely managing rinderpest virus material, underscoring the nation’s leadership in animal health, biosecurity, and the One Health framework. “India’s role in eradicating rinderpest was historic, and today, preserving that legacy is equally critical. This recognition reflects our responsibility and readiness,” said Ms. Alka Upadhyaya. The international committee also urged India to pursue Category B designation by focusing on vaccine seed material, further strengthening its global standing.

  • Israel says Tehran residents to ‘pay price’ after Tel Aviv, Haifa attacks

    Source: Government of India

    Source: Government of India (2)

    srael and Iran kept up their attacks, killing and wounding civilians and raising concern among world leaders at a G7 meeting in Canada this week that the biggest battle between the two old enemies could lead to a broader regional conflict.

    The Iranian death toll in four days of Israeli strikes, carried out with the declared aim of wiping out Iran’s nuclear and ballistic missile programs, had reached at least 224, with 90% of the casualties reported to be civilians, an Iranian health ministry spokesperson said.

    Early on Monday, the Israeli military said it had detected more missiles launched from Iran towards Israel.

    “At this time, the (Israeli Air Force) is operating to intercept and strike where necessary to eliminate the threat,” the Israeli Defence Forces said. Live video footage showed several missiles over Tel Aviv and Reuters witnesses said explosions could be heard there and over Jerusalem.

    At least 10 people in Israel, including children, have been killed so far, according to authorities there.

    Group of Seven leaders began gathering in the Canadian Rockies on Sunday with the Israel-Iran conflict expected to be a top priority.

    German Chancellor Friedrich Merz said his goals for the summit include for Iran to not develop or possess nuclear weapons, ensuring Israel’s right to defend itself, avoiding escalation of the conflict and creating room for diplomacy.

    “This issue will be very high on the agenda of the G7 summit,” Merz told reporters.

    Before leaving for the summit on Sunday, U.S. President Donald Trump was asked what he was doing to de-escalate the situation. “I hope there’s going to be a deal. I think it’s time for a deal,” he told reporters. “Sometimes they have to fight it out.”

    Iran has told mediators Qatar and Oman that it is not open to negotiating a ceasefire while it is under Israeli attack, an official briefed on the communications told Reuters on Sunday.

    FIRST DAYLIGHT ATTACK ON ISRAEL

    Explosions shook Tel Aviv on Sunday during Iran’s first daylight missile attack since Israel’s strike on Friday. Shortly after nightfall, Iranian missiles hit a residential street in Haifa, a mixed Jewish-Arab city, and in Israel’s south.

    In Bat Yam, a city near Tel Aviv, residents braced on Sunday evening for another sleepless night after an overnight strike on an apartment tower.

    “It’s very dreadful. It’s not fun. People are losing their lives and their homes,” said Shem, 29.

    Images from Tehran showed the night sky lit up by a huge blaze at a fuel depot after Israel began strikes against Iran’s oil and gas sector – raising the stakes for the global economy and the functioning of the Iranian state.

    Brent crude futures were up $1.04, or 1.4%, to $75.39 a barrel by 0115 GMT, having jumped as much as $4 earlier in the session. While the spike in oil prices has investors on edge, stock and currency markets were little moved in early trading in Asia on Monday.

    “It’s more of an oil story than an equity story at this point,” said Jim Carroll, senior wealth adviser and portfolio manager at Ballast Rock Private Wealth. “Stocks right now seem to be hanging on.”

    TRUMP VETOES PLAN TO TARGET KHAMENEI, OFFICIALS SAY

    In Washington, two U.S. officials told Reuters that Trump had vetoed an Israeli plan in recent days to kill Iran’s Supreme Leader Ayatollah Ali Khamenei.

    When asked about the Reuters report, Netanyahu told Fox News on Sunday: “There’s so many false reports of conversations that never happened, and I’m not going to get into that.”

    “We do what we need to do,” he told Fox’s “Special Report With Bret Baier.”

    Israel began the assault with a surprise attack on Friday that wiped out the top echelon of Iran’s military command and damaged its nuclear sites, and says the campaign will escalate in the coming days.

    The intelligence chief of Iran’s Revolutionary Guards, Mohammad Kazemi, and his deputy were killed in attacks on Tehran on Sunday, Iran’s semi-official Tasnim news agency said.

    Iran has vowed to “open the gates of hell” in retaliation.

    TRUMP WARNS IRAN NOT TO ATTACK

    Trump has lauded Israel’s offensive while denying Iranian allegations that the U.S. has taken part and warning Tehran not to widen its retaliation to include U.S. targets.

    Two U.S. officials said on Friday the U.S. military had helped shoot down Iranian missiles that were headed toward Israel.

    The U.S. president has repeatedly said Iran could end the war by agreeing to tough restrictions on its nuclear program, which Iran says is for peaceful purposes but which Western countries and the IAEA nuclear watchdog say could be used to make an atomic bomb.

    The latest round of nuclear negotiations between Iran and the U.S., due on Sunday, was scrapped after Tehran said it would not negotiate while under Israeli attack.

    (Reuters)

  • MIL-OSI United Kingdom: Dounreay helps Caithness retrieve its past

    Source: United Kingdom – Executive Government & Departments

    News story

    Dounreay helps Caithness retrieve its past

    A Pictish stone believed to date back 1,700 years has been retrieved and preserved for future generations with financial help from Dounreay’s operators.

    David Calder, NRS Dounreay Head of Sustainability and Socio-economics, Lord Thurso and Dave Wilson, NRS Dounreay Managing Director (left to right) at the stone’s unveiling. Copyright: High Life Highland

    Dounreay isn’t the only site in Caithness where relics of the past are being retrieved and made safe for the future.

    Thirty miles south-east of the site, a Pictish stone believed to date back 1,700 years has been retrieved and preserved for future generations, with financial help from Dounreay’s operators.

    The stone was discovered in 2022 by Fiona Begg Wade who alerted archaeologists when she was clearing up the burial ground at St Martin’s, Ulbster, where some of her relatives are buried.

    It was found lying horizontally on the ground, in a line with other plain stones, and probably used as a grave marker in recent times. It is weathered but several typical Pictish symbols – the double disc and z-rod, the mirror, and the comb – can be made out.

    A project to remove, restore and place the stone on public display came to fruition when it was unveiled at the North Coast Visitor Centre in Thurso.

    Among those attending the unveiling by Lord Thurso, the land-owner who has loaned the artefact to High Life Highland who run the centre and museum, was Dave Wilson, managing director of Nuclear Restoration Services Dounreay.

    He said:

    We’re in the business of retrieving the past to make it safe for the future, and I’m delighted we can help the visitor centre do the same with a long-lost legacy of previous generations.

    The Caithness and North Sutherland Fund has contributed £5,500 towards the cost of the project. The Fund was established by the Nuclear Decommissioning Authority and Dounreay to provide community benefit from the construction and operation of the site’s low-level waste vaults.

    A total of £4 million has been invested in the fund to date, supporting a range of community projects with a combined value of £15 million.

    Dounreay also part-funds the running costs of the North Coast Visitor Centre with High Life Highland.

    For more information about the Caithness and North Sutherland Fund, see their website.

    Updates to this page

    Published 16 June 2025

    MIL OSI United Kingdom

  • MIL-OSI United Kingdom: Work to start on new Cot Hill crossing next month

    Source: City of Plymouth

    Work to construct a new crossing over Cot Hill in Plympton will get under way on Monday 14 July.

    The crossing, near the Marshall Road junction, will help people (including those with disabilities) to walk and cycle across this busy road.

    It will create a safer pedestrian and cycle route between Saltram Park and Plympton St Mary playing field, further enhancing the National Cycle Network.

    In addition to the crossing, the scheme will include a dropped kerb crossing point on Marshall Road, a raised table crossing on Dudley Road and a wider, shared-use path on Cot Hill.

    Double yellow lines will also be introduced on the eastern (uphill) side of Cot Hill between Marshall Road and Dudley Road to help prevent obstructive parking.

    The improvements are entirely grant-funded by National Highways through Sustrans.

    Councillor John Stephens, Cabinet Member for Strategic Planning and Transport, said: “We’re looking forward to starting work on these improvements, which will not only make a big difference for people walking and cycling between Saltram and other parts of Plympton, including the playing field but also alleviate some of the problem parking in the area. Helping people to walk and cycle more improves health and wellbeing, while also reducing traffic congestion and carbon emissions.”

    The first phase of works, programmed to run from Monday 14 July to Sunday 5 October, will require temporary signals at the junction of Cot Hill and Marshall Road. There will also be no parking along a stretch of Marshall Road and Cot Hill.

    The second phase is planned to begin on Monday 6 October and will require temporary signals on Cot Hill between the Marshall Road and Underlane junctions.  

    To help minimise disruption on the network during this second phase, Dudley Road will be temporarily one-way (eastbound only), with traffic only allowed to access at Cot Hill and exit at Linketty Lane. The no parking restriction on Cot Hill will remain in place, as well as on a short stretch of Dudley Road.

    The final week will include overnight closures for resurfacing, with all work expected to be complete by Friday 14 November.

    Dates may change due to weather or other unforeseen circumstances. The latest updates will be published on our Cot Hill crossing web page.

    People can also sign up for our weekly Roadworks Roundup here.

    MIL OSI United Kingdom