Category: Education

  • MIL-OSI Submissions: Canadian wetlands are treasures that deserve protection

    Source: The Conversation – Canada – By Maria Strack, Professor, Department of Geography and Environmental Management, University of Waterloo

    The Grande Plée Bleue bog, near Québec City in June 2023. This peatland with pools is one of the largest wetlands in eastern Québec. (Maria Strack)

    Though Canada is often known as a land of lakes, it is also a country of wetlands. Stretching like a necklace of emeralds, sapphires and rubies across the Canadian landscape, wetlands cover 14 per cent of the Canadian land mass, accounting for almost twice as much area as lakes.

    Canada is home to a quarter of the world’s remaining wetlands, yet they remain like hidden treasures that most Canadians rarely pay a second thought.

    The importance of wetlands to a sustainable future has been recognized internationally. Signed in 1971 in the Iranian city of Ramsar, the Convention on Wetlands — often called the Ramsar Convention — supports international collaboration and national action for the conservation of wetlands.

    This week, delegations from contracting parties to the convention, including Canada, have come together in Victoria Falls, Zimbabwe, for the 15th Conference of the Parties.

    Despite decades of efforts, wetlands continue to be under threat around the world. Delegates will work this week to chart a path forward that further elevates wetlands in the global consciousness, highlighting the need to protect these ecosystems and meet international goals to safeguard biodiversity and slow climate warming.

    Canada currently has 37 Wetlands of International Importance under the Ramsar Convention, covering more than 13 million hectares. Yet many of Canada’s wetlands remain unprotected.

    Canada’s wetlands

    The term “wetland” usually conjures an image of a shallow pond bordered by cattails. In fact, Canadian wetlands come in a range of shapes and sizes, all of which provide valuable services. Those reedy marshes provide critically important habitat and water storage, particularly in the Prairies, southern Ontario and Québec.

    The vast majority of Canada’s wetlands are made up of swamps, fens and bogs, most of which also hold deep deposits of organic soils called peat. Bogs and fens can resemble vast mossy carpets. But they can also look a lot like forests, hiding their soggy soils beneath a canopy of trees.

    This wetland diversity contributes to their value. At the interface of terrestrial and aquatic ecosystems, wetlands are often biodiversity hotspots.

    They are home to weird and wonderful species, including carnivorous plants like sundews, pitcher plants and bladderworts. And if you’re hungry, peatlands are a great place for berry picking.

    Interwoven in our boreal landscape, wetlands also support iconic Canadian species like beavers, moose and woodland caribou and are key habitats for waterfowl and other migratory birds.

    Preserving wetlands is also a key flood mitigation strategy. Storm water can fill up pore spaces in mossy peat soils, or spread out across the flat expanse of swamps and marshes, reducing peak flows and helping to protect downstream infrastructure. As the water slows, water quality can also be improved. Sediments have time to settle, while plants and microbes can remove excess nutrients.

    Carbon storage

    In recent decades, wetlands have gained international attention for their role in carbon storage. Waterlogged sediment and soil lead to slow rates of decomposition. When plant litter falls in a wetland, it builds up over time, creating a bank of carbon that can be stored for millennia.

    Peatlands are particularly good at accumulating carbon, as they are home to plants that inherently decompose slowly. Because of this, peatlands store twice the carbon of the world’s forests. Keeping this carbon stored in wetland soils, and out of the atmosphere, is important to climate change mitigation.

    Yet, the buildup of carbon in wetlands is slow. Many of these ecosystems have been adding to this carbon bank since the last ice age; digging through metres of peat is like travelling back through time, with the deposits at the bottom often thousands of years old.

    This means that the carbon stored in wetlands is irrecoverable within human lifetimes. Once lost, it will be many generations before the full value of this treasure can be returned.

    The economic value of the water-filtering and carbon storage that Canadian wetlands provide has been estimated at $225 billion per year. It’s clear: healthy wetlands contribute to our society’s well-being.

    But just as important, they are an integral component of the Canadian landscape. Wetlands are interwoven with our forests, fields, lakes and now even our cities. They link us to the land and water. They are places of wonder and spiritual connection.

    Impact of climate change

    Despite their value, wetlands in Canada face many threats. In southern regions of Canada, most wetlands have already been lost to drainage for agriculture and urban development. Further north, up to 98 per cent of Canadian peatlands remain intact.

    However, climate change and resource development are already exacerbating wetland disturbance and loss. Warming temperatures have contributed to larger and more severe wildfire that also impact peatlands and lead to large carbon emissions.

    Thawing permafrost is further changing wetland landscapes and how they function. Warming also allows for northward expansion of agriculture with the potential for loss of even more wetland area to drainage.

    Natural resource extraction further contributes to wetland disturbance, often with unexpected consequences. Geologic exploration used to map oil and gas reserves has left a network of over one million kilometres of linear forest clearing across the boreal forest, much of which crosses peatlands.




    Read more:
    How climate change is impacting the Hudson Bay Lowlands — Canada’s largest wetland


    This has contributed to declines in woodland caribou populations and led to increases in methane emissions from these ecosystems.

    Mining often involves regional drainage or excavation of peatlands, resulting in the loss of their services. The recent push to fast-track production of critical minerals in Canada is putting vast areas of our wetlands at risk.

    Wetland restoration research is ongoing, with some promising results. However, given the long time-scale of wetland development, avoiding disturbances in the first place is the best way to safeguard wetlands.

    As stewards of a quarter of world’s wetland treasures, policymakers and everyday Canadians need to ensure wetlands are safeguarded and preserved for a prosperous future.

    Maria Strack receives funding from the Natural Sciences and Engineering Research Council of Canada, Environment and Climate Change Canada, the Canadian Sphagnum Peat Moss Association, Ducks Unlimited Canada, Imperial Oil Ltd., Alberta Pacific Forest Industries Inc., Cenovus Energy, Canadian Natural Resources Limited, ConocoPhillips Canada, Natural Resources Canada, and the Alberta Biodiversity Monitoring Institute.

    ref. Canadian wetlands are treasures that deserve protection – https://theconversation.com/canadian-wetlands-are-treasures-that-deserve-protection-261433

    MIL OSI

  • MIL-OSI Banking: Attend the July 24 live online event celebrating 10 years of Power BI

    Source: Microsoft

    Headline: Attend the July 24 live online event celebrating 10 years of Power BI

    In 2015, Microsoft Power BI embarked on a mission to empower individuals, teams, and organizations to turn data into insights and action. Since then, we’ve grown into one of the world’s most adopted and beloved business intelligence platforms thanks to an incredible community of customers, partners, MVPs, power users, and data enthusiasts.  

    We want to celebrate this incredible journey by bringing together the global community to celebrate 10 years of Power BI with a live event on YouTube on Thursday, July 24th at 8AM Pacific Time/11AM EST/17:00 CET/21:30 IST. 

    This is a celebration you don’t want to miss! We’ll have Power BI’s own Guy in a Cube reflect on Power BI’s evolution, share behind-the-scenes stories, announce contest winners for our PBI10 data visualization contest, and even share some fun stories from the community. Watch the livestream at aka.ms/pbi10birthday.  

    Livestream attendees will get a special first look at some limited-edition Power BI swag. And if you’re attending the Fabric Community Conference (FabCon) in Vienna this September, you’ll get a chance to grab some swag in person. Our swag party is also going digital, so you can celebrate with us and your colleagues virtually! The download link will be available on our Power BI community site and displayed during the live event.

    We’re also taking this moment to reflect on Power BI’s history and recognize our incredible community. Read more about our journey below. 

    Power BI’s Journey Over the Last Decade 

    Over the last ten years, Power BI has evolved tremendously. It began with a public preview that drew about 500,000 early adopters across 45,000 organizations. Since then, we’ve introduced over 1,500 features, continually adapting Power BI to meet the changing needs of our users. Today, Power BI is trusted by over 375,000 organizations, including 95% of the Fortune 500, and millions of users worldwide. 

    From its early days of empowering business intelligence through Excel integrations to the latest advancements in Copilot in Power BI, each chapter in Power BI’s journey reflects the passion of its community and drive for innovation. The timeline below highlights some of the defining moments along the way. 

    Power BI Customers Leading the Way with Data

    Over the years, Power BI has grown because of the organizations and people who use it every day to drive change. From small businesses to global enterprises across various industries, our customers are the reason Power BI continues to evolve and improve. 

    We’ve seen enterprises such as Walmart’s finance organization standardizing Power BI, democratizing data, and making it available to end users from executive leadership to individual analysts. In the public sector, governments have used Power BI to improve operational efficiency, support vulnerable community members and even transform law enforcement. Non-profits, such as The Salvation Army UK, have leveraged Power BI to better track their outcomes and secure funding through data. And across the ecosystem, partner-built solutions are helping customers optimize everything from supply chains to financial reporting. 

    These stories reflect more than product usage. They highlight creativity, determination, and a shared belief in the power of data to make a difference. To all our customers and partners, thank you for pushing boundaries, sharing your feedback, and building what’s next alongside us. Power BI would not be what it is today without you. 

    Shout out to our MVPs and Community: The Heart of Power BI

    We also want to celebrate our Power BI MVPs—experts and advocates who go above and beyond in the community. In honor of the 10th anniversary, Power BI MVPs from around the globe sent in videos sharing their personal Power BI journeys. These MVP stories are a powerful reminder of what makes the Power BI community special: a shared passion for data, a commitment to helping others, and a culture built on knowledge-sharing.

    In recent weeks, social media has lit up with the #PBI10 hashtag as users around the world share their Power BI pride. From LinkedIn posts highlighting favorite dashboards to nostalgic tweets on X (formerly Twitter) reflecting on the platform’s early days, it’s been incredible to witness the outpouring of memories and creativity.

    Leonardo Almeida recalled building a Power BI report back in 2015 that caught the attention of the President of Brazil and the Minister of Education. Christos Demertzis looked back on a decade-long journey with Power BI, saying, “I still have reports sitting in My Workspace from those early days, and looking back at them now… just WOW. The evolution of the platform has been nothing short of incredible.” And Mike Honey congratulated the Power BI team, sharing, “I clearly remember how electrifying it was when it all came together as Power BI. The product has been my primary focus ever since and has certainly kept me busy. May that continue for the next 10 years!”

    In our community’s Career Hub forums, you can find stories of accountants, teachers, and marketing specialists who taught themselves Power BI and transitioned into roles such as BI analysts and data engineers. Companies of all sizes are investing in Power BI training to up-skill their workforce, recognizing that a data-literate workforce gives them a competitive edge.

    The Power BI Community Forums started with a few thousand early adopters and have grown into millions of members today, sharing knowledge daily. Over 200 Power BI & Fabric User Groups have connected over members with meetups and events. A big thank you to our 500 Power BI user group leaders who connect passionate data enthusiasts across the world every day.

    Thank You and See You at the Celebration!

    Thank you for 10 amazing years!  We can’t wait to celebrate with you and look ahead to the next decade of innovation, and we’re thrilled to continue this journey with all of you. As we like to say: empower yourself, empower others, and let’s keep turning data into insights and action—together. Happy 10th birthday Power BI!

    MIL OSI Global Banks

  • MIL-OSI Africa: Merck Foundation Chief Executive Officer (CEO) Meets Mauritius Minister of Gender Equality & Family Welfare to Launch “Educating Linda” Program, Supporting Education of 20 Deserving yet Underprivileged Mauritian Schoolgirls Girls Until Graduation

    Source: APO

    • During the visit to the country, Merck Foundation CEO also met the Mauritius President to share the impact of their 100 Scholarships for Mauritian Doctors in partnership with Ministry of Health.
    • Dr. Rasha Kelej during her meeting with the Mauritius President, strengthened partnership to improve access to innovative and equitable healthcare and Empower Women in STEM.
    • Senator Dr. Rasha Kelej also met the Mauritius Minister of Gender Equality & Family Welfare to share the impact of their programs to address critical social issues like supporting girl education and Ending Gender Based Violence in the country.

    Senator, Dr. Rasha Kelej, CEO of Merck Foundation (www.Merck-Foundation.com), the philanthropic arm of Merck KGaA Germany met Hon’ble Ms. Marie Arianne Navarre-Marie, Minister of Gender Equality and Family Welfare during a high-level meeting, to share the impact of their programs and underscore their long-term commitment to address critical social issues in Mauritius.

    During her visit, she also met H.E. MR. DHARAMBEER GOKHOOL, The President of Republic of Mauritius, to share the impact of their 100 Scholarships for Mauritian Doctors in partnership with Ministry of Health and underscore their long-term commitment to transform public healthcare in Mauritius.

    Senator, Dr. Rasha Kelej, CEO of Merck Foundation and President of “More Than a Mother” Campaign emphasized, “It was a great honor to meet Hon’ble Ms. Marie Arianne Navarre-Marie, Minister of Gender Equality and Family Welfare and share with her the impact of our partnership and programs since 2017 that aim to transform patient care, build healthcare and media capacity, to empower women in STEM, support girl education and raise awareness about social and health issues in Mauritius and the rest of Africa.

    I am very happy to share that together with the Ministry of Gender Equality and Family Welfare, we are launching our Educating Linda Program in the country, as a part of which we will be supporting the education of 20 high performing yet underprivileged Mauritian schoolgirls, till they graduate. Through this, we will be empowering them to complete their studies and reach their full potential.”

    Merck Foundation has provided 100 scholarships for Mauritian doctors in 44 critical and under-served specialties.

    “During my meeting with H.E. MR. DHARAMBEER GOKHOOL, The President of Republic of Mauritius, we also discussed the possibility of providing specialized training for Mauritian doctors in innovative and emerging fields such as Stem Cell Therapy in pathology, CAR T-cell treatment, AI in Radiology, Radiotherapy and Medical Oncology, Robotic Surgical Oncology, Neurology, Nephrology, Urology, and Neurosurgery. We are strongly committed to work closely with Ministry of Health to improve access to innovative and equitable healthcare solutions”, added Dr. Kelej. 

    The 100 scholarships for local Mauritian Doctors have been provided for One-Year PG Diploma and Two-year Master Degrees in many critical specialties including Fertility, Embryology, Sexual & Reproductive Care, Oncology, Preventative Cardiovascular, Diabetes, Endocrinology, Acute Medicine, Respiratory, Gastroenterology, Dermatology, Neuroimaging for Research, Sexual & Reproductive Care, Clinical Microbiology and infectious diseases, Internal Medicine, Pediatric Emergency Medicine, Ophthalmology, Laparoscopic Surgical Skills, Critical Care, Neonatal Medicine, Psychiatry, Family Medicine, Advanced Cytopathology and many more.

    Merck Foundation has so far provided more than 2280 scholarships for young doctors from 52 countries in 44 critical and underserved specialties, with many of them becoming the first specialists in their countries.

    During her visit, Merck Foundation CEO also met the Senior Officials from the Office of Hon’ble Minister of Health, Mauritius.

    Merck Foundation also conducted the 4th Edition of their Health Media Training for the Mauritian Media Representatives in partnership with Ministry of Gender Equality and Family Welfare, Mauritius. The training session was conducted to emphasize on the important role that media plays to influence society to create a cultural shift with the aim to address wide range of social and health issues such as: Breaking Infertility Stigma, Supporting Girl Education, Women Empowerment, Ending Child Marriage, Ending FGM, Stopping GBV, Diabetes and Hypertension awareness. It was co-chaired by Merck Foundation CEO and Minister of Gender Equality and Family Welfare, Mauritius.

    During the training session, the Call for Application for 8 important Merck Foundation Awards were announced for Media, Musicians, Fashion Designers, Filmmakers, students, and new potential talents in these fields.

    The award announced are:

    1. Merck Foundation Africa Media Recognition Awards “More Than a Mother” 2025, in partnership with Media Trust Board, Mauritius: Media representatives and media students are invited to showcase their work to raise awareness about one or more of the following social issues such as: Breaking Infertility Stigma, Supporting Girl Education, Women Empowerment, Ending Child Marriage, Ending FGM, and/ or Stopping GBV at all levels.

    Submission deadline: 30th September 2025.

    1.  Merck Foundation Fashion Awards “More Than a Mother” 2025, in partnership with Academy of Design and Innovation, Mauritius: All African Fashion Students and Designers are invited to create and share designs to deliver strong and influential messages to raise awareness about one or more of the following social issues such as: Breaking Infertility Stigma, Supporting Girl Education, Women Empowerment, Ending Child Marriage, Ending FGM, and/ or Stopping GBV at all levels.

    Submission deadline: 30th September 2025.

    1. Merck Foundation Film Awards “More Than a Mother” 2025: All African Filmmakers, Students of Film Making Training Institutions, or Young Talents of Africa are invited to create and share a long or short FILMS, either drama, documentary, or docudrama to deliver strong and influential messages to address one or more of the following social issues such as: Breaking Infertility Stigma, Supporting Girl Education, Women Empowerment, Ending Child Marriage, Ending FGM, and/ or Stopping GBV at all levels.

    Submission deadline: 30th September 2025.

    1. Merck Foundation Song Awards “More Than a Mother” 2025: All African Singers and Musical Artists are invited to create and share a SONG with the aim to address one or more of the following social issues such as: Breaking Infertility Stigma, Supporting Girl Education, Women Empowerment, Ending Child Marriage, Ending FGM, and/ or Stopping GBV at all levels.

    Submission deadline: 30th September 2025.

    1. Merck Foundation Media Recognition Awards 2025 “Diabetes & Hypertension”, in partnership with Media Trust Board, Mauritius: Media representatives are invited to showcase their work through strong and influential messages to promote a healthy lifestyle and raise awareness about the prevention and early detection of Diabetes and Hypertension.

    Submission deadline: 30th October 2025.

    1. Merck Foundation Fashion Awards 2025 “Diabetes & Hypertension”, in partnership with Academy of Design and Innovation, Mauritius: All African Fashion Students and Designers are invited to create and share designs to deliver strong and influential messages to promote a healthy lifestyle and raise awareness about the prevention and early detection of Diabetes and Hypertension.

    Submission deadline: 30th October 2025.

    1. Merck Foundation Film Awards 2025 “Diabetes & Hypertension: All African Filmmakers, Students of Film Making Training Institutions, or Young Talents of Africa are invited to create and share a long or short FILMS, either drama, documentary, or docudrama to deliver strong and influential messages to promote a healthy lifestyle raise awareness about prevention and early detection of Diabetes and Hypertension.

    Submission deadline: 30th October 2025.

    1. Merck Foundation Song Awards 2025 “Diabetes & Hypertension”: All African Singers and Musical Artists are invited to create and share a SONG with the aim to promote a healthy lifestyle and raise awareness about the prevention and early detection of Diabetes and Hypertension.

    Submission deadline: 30th October 2025.

    Entries for the above awards can be submitted to us at:

    submit@merck-foundation.com

    For information on the above awards, please visit our website:

    www.Merck-Foundation.com

    Distributed by APO Group on behalf of Merck Foundation.

    Contact:
    Mehak Handa
    Community Awareness Program Manager 
    Phone: +91 9310087613/ +91 9319606669
    Email: mehak.handa@external.merckgroup.com

    Join the conversation on our social media platforms below and let your voice be heard!
    Facebook: https://apo-opa.co/3GZAB8c
    X: https://apo-opa.co/46Yc51M
    YouTube: https://apo-opa.co/450kdfL
    Instagram: https://apo-opa.co/41aw4Xg
    Threads: https://apo-opa.co/4m1Sj9O
    Flickr: https://apo-opa.co/4o4qNdO
    Website: www.Merck-Foundation.com
    Download Merck Foundation App: https://apo-opa.co/4nYOCDX

    About Merck Foundation:
    The Merck Foundation, established in 2017, is the philanthropic arm of Merck KGaA Germany, aims to improve the health and wellbeing of people and advance their lives through science and technology. Our efforts are primarily focused on improving access to quality & equitable healthcare solutions in underserved communities, building healthcare & scientific research capacity, empowering girls in education and empowering people in STEM (Science, Technology, Engineering, and Mathematics) with a special focus on women and youth. All Merck Foundation press releases are distributed by e-mail at the same time they become available on the Merck Foundation Website.  Please visit www.Merck-Foundation.com to read more. Follow the social media of Merck Foundation: Facebook (https://apo-opa.co/3GZAB8c), X (https://apo-opa.co/46Yc51M), Instagram (https://apo-opa.co/41aw4Xg), YouTube (https://apo-opa.co/450kdfL), Threads (https://apo-opa.co/4m1Sj9O) and Flickr (https://apo-opa.co/4o4qNdO).

    The Merck Foundation is dedicated to improving social and health outcomes for communities in need. While it collaborates with various partners, including governments to achieve its humanitarian goals, the foundation remains strictly neutral in political matters. It does not engage in or support any political activities, elections, or regimes, focusing solely on its mission to elevate humanity and enhance well-being while maintaining a strict non-political stance in all of its endeavors.

    Media files

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    MIL OSI Africa

  • MIL-OSI USA: Tonko, Fitzpatrick, Smith Introduce Bill to Expand Access to Mental Health Services

    Source: United States House of Representatives – Representative Paul Tonko (Capital Region New York)

    WASHINGTON, DC — U.S. Representatives Paul D. Tonko (D-NY-20) and Brian Fitzpatrick (R-PA-1), and U.S. Senator Tina Smith (D-MN) today reintroduced the Medicaid Bump Act, legislation that would increase the federal reimbursement rate for mental and behavioral health care services under Medicaid.

    “As the largest payer for mental health and substance use treatment, Medicaid is essential to behavioral health care,” Congressman Tonko said. “The massive cuts to Medicaid made in President Trump’s Big Ugly Law will leave countless Americans without access to the lifesaving, affordable care, but we must do all we can as legislators to stem the harm caused by this cruel legislation and work to deliver meaningful federal resources for mental health services. That’s why we’re introducing this bipartisan, commonsense legislation. I hope my colleagues will join me in helping remove these barriers in behavioral health treatment and ensure our communities are delivered affordable, quality care.”

    “As Co-Chair of the Bipartisan Mental Health and Substance Use Disorder Task Force, I’m working directly with community providers, health systems, and local leaders to identify the structural barriers limiting access to care. This initiative is a direct result of those conversations—delivering targeted federal support to expand state investment, raise provider reimbursement, and build capacity in the areas that need it most. It’s a data-driven response to a national crisis, and Congress must act,” said Congressman Fitzpatrick.

    “The best way to combat the mental health crisis in America is by offering comprehensive, affordable mental health services for those who need it,” said Senator Tina Smith. “The Medicaid Bump Act helps more Americans access this life-changing care by expanding state-level coverage and ensuring providers are appropriately compensated. This way, we can start addressing the stigma around mental health and the gross inequities in our medical system.”

    Traditionally, states receive federal reimbursement rates between 50 and 75 percent. Under the Medicaid Bump Act, Medicaid would reimburse states for 90 percent of the cost of providing new mental and behavioral health services. Further, the bill would:

    • Direct the Secretary of Health and Human Services (HHS) to define which services qualify as eligible behavioral health services for the enhanced FMAP.
    • Require HHS to provide annual reports on the impact of increased federal Medicaid reimbursement on the utilization of behavioral health services in each state.

    The Medicaid Bump Act is supported by 34 organizations, including: Alliance for Rights and Recovery, American Association of Child and Adolescent Psychiatry, American Association of Psychiatric Pharmacists, American Foundation for Suicide Prevention, American Mental Health Counselor Association, American Psychiatric Association, American Psychological Association Services, American Society of Addiction Medicine, Anxiety & Depression Association of America, Children and Adults with Attention-Deficit/Hyperactivity Disorder, Community Catalyst, Faces and Voices of Recovery, Friends of Recovery- New York, Global Alliance for Behavioral Health & Social Justice, Huntington’s Disease Society of America, Inseparable, International Society of Psychiatric-Mental Health Nurses, Legal Action Center, Mental Health America, National Alliance on Mental Illness, National Association for Behavioral Healthcare, National Association for Rural Mental Health, National Association of County Behavioral Health and Developmental Disability Directors, National Association of Pediatric Nurse Practitioners, National Association of School Psychologists, National Association of Social Workers, National Board for Certified Counselors & Affiliates, National Council for Mental Wellbeing, National Federation of Families, National League for Nursing, The National Register of Health Service Psychologists, Overdose Prevention Initiative, Treatment Communities of America, and Youth Villages

    Text of the bill can be found HERE.

    MIL OSI USA News

  • MIL-OSI USA: Reflections on the CALL/ACBD Conference

    Source: US Global Legal Monitor

    The following is a guest post by Alexander Salopek, a collection development specialist in the Collection Services Division of the Law Library of Congress. He previously wrote posts on Fred Korematsu’s Drive for Justice, Fred Korematsu Winning Justice, Frances Glessner Lee and the Nutshell Studies of Unexplained Death, Ibrahim Muteferrika, First Muslim Printer of the Ottoman Empire, and The Coroner’s Court, Westminster, London: Pic of the Week, among others.

    This Memorial Day weekend, I attended the Canadian Association of Law Libraries (CALL/ACBD) conference in Calgary, Canada. Given my background as primarily a U.S. law librarian with most of my formal collection work being done at the U.S. Supreme Court, it was a boon to be able to learn about law librarianship in a different country. I was both lucky and a little unlucky – since the Canadian legal system is in English, although there is a French version of everything too. It is a common law country with a civil law jurisdiction as well. For any U.S. residents who are familiar with law in Louisiana, it is a civil law jurisdiction like Quebec; however, that similarity does not mean that Canada’s legal system is just like the United States. Nothing I understand about the U.S. legal system can be transferred to my understanding of the Canadian legal system without research and engagement in understanding the differences and similarities. It is fascinating that all criminal law is the same everywhere in Canada, even though civil law is different in each provincial jurisdiction.

    Oh, Canada! [Canadian flag] by Flickr user Gavin St. Ours (Sept. 19, 2008) used under Attribution 2.0 Generic (CC BY 2.0) , https://creativecommons.org/licenses/by/2.0/.

    Another fact of Canadian law that I find so incredibly reasonable, but never thought about before this conference, is how much history affects how and what laws are passed, and the differences that exist between U.S. and Canadian law. Every time a law was discussed during the conference, the context of when it was passed was also discussed. Seeing how the law in Canada dealt with the problems Canadians were facing helped me realize that U.S. laws also deal with the problems the U.S. and the individual states are facing, and particularly their attempts to solve those problems. I have always been deeply interested in how the facts of a case relate to its outcome and to what lesser extent facts lead to legislation being passed. Travelling to a different country and learning how they view their laws and their history for themselves was a huge revelation for me. This view made it clear why robust foreign and comparative legal collections need to be maintained here in the U.S. to support such research and learning. I left the conference feeling that with hard work and determination, and historic moments in mind, one can interpret and compare the laws in any jurisdiction.

    CALL Attendance badge, May 2025. [photo by Alexander Salopek]

    MIL OSI USA News

  • MIL-OSI USA: Scientists Find a “Silver Lining” to Adult House Flies’ Filthy Behavior

    Source: US Agriculture Research Service

    Scientists Find a “Silver Lining” to Adult House Flies’ Filthy Behavior

    By: Maribel Alonso
    Email: Maribel.Alonso@usda.gov

    Researchers at USDA’s Agricultural Research Service (ARS) are investigating the microbial communities carried by house flies to enhance disease monitoring and reduce the risk of disease transmission by fly-borne pathogens in livestock, ultimately protecting our food supply and public health.

    House flies play a crucial role in transferring harmful bacteria, viruses, and other microbes among cattle. They also have the potential to spread these pathogens from farms to nearby livestock operations and residential areas.

    Adult house flies often have unrestricted access to farm waste, cattle manure, and animal excretions. Flies can pick up microbes from these sources and then spread them, potentially affecting livestock health, welfare, and production efficiency. This can contribute to significant economic losses. According to a previous study, it is estimated that U.S. producers spend over $1 billion annually on implementing fly control programs alone.

    Effective fly management can mitigate the spread of disease-causing bacteria and viruses, thereby improving livestock health and reducing potential risks to human health.  

    Photo by Dustin Swanson (USDA-ARS)

    ARS researchers, university partners, and cattle producers are collaborating to study the types and numbers of microbes carried by adult house flies to assess their role as sources and disseminators of bacteria and viruses within confined dairy farms and, potentially, to neighboring operations.

    In a study conducted in collaboration with Kansas State University (KSU), researchers determined that examining the genomic DNA (the complete set of genetic material in an organism) extracted from pools of individual adult female house flies in a specific location can provide a comprehensive overview of the microbes present in their local environment. House flies act as natural “flying swabs,” collecting microbial samples from diverse sources like sick animals or their waste. This innovative approach could potentially serve as a new tool to monitor and study microbes in the environment by allowing scientists to efficiently and safely analyze microbes in the field.

    “The numbers of animals, their health status, the composition, and volume of cattle manure, and other environmental conditions at dairy cattle operations vary from month to month, which in turn affects the abundance and types of microbes that will be present and therefore accessible by house flies,” said Dana Nayduch, a research leader and entomologist at the Arthropod-Borne Animal Diseases Research Unit, Center for Grain and Animal Health Research in Manhattan, KS.

    “By looking at what flies are carrying within and on their bodies over time, we can directly assess what is going on in their surrounding environment on the farm, as they acquire those microbes from these sources all day, every day. In fact, if there is a sick animal on a farm, a fly is attracted to it and will find that needle in the haystack for you, potentially among thousands of animals, and feed upon it and collect its microbes in the process,” explained Nayduch.

    The insights gained from these ongoing studies can offer farm managers early warnings about the presence of harmful bacteria and viruses in their operations, enabling them to take preventive measures to protect cattle against potential severe illnesses or even outbreaks.

    The Agricultural Research Service is the U.S. Department of Agriculture’s chief scientific in-house research agency. Daily, ARS focuses on solutions to agricultural problems affecting America. Each dollar invested in U.S. agricultural research results in $20 of economic impact.

    ###

    USDA is an equal opportunity provider, employer, and lender.

    MIL OSI USA News

  • MIL-OSI USA: Scientists Find a “Silver Lining” to Adult House Flies’ Filthy Behavior

    Source: US Agriculture Research Service

    Scientists Find a “Silver Lining” to Adult House Flies’ Filthy Behavior

    By: Maribel Alonso
    Email: Maribel.Alonso@usda.gov

    Researchers at USDA’s Agricultural Research Service (ARS) are investigating the microbial communities carried by house flies to enhance disease monitoring and reduce the risk of disease transmission by fly-borne pathogens in livestock, ultimately protecting our food supply and public health.

    House flies play a crucial role in transferring harmful bacteria, viruses, and other microbes among cattle. They also have the potential to spread these pathogens from farms to nearby livestock operations and residential areas.

    Adult house flies often have unrestricted access to farm waste, cattle manure, and animal excretions. Flies can pick up microbes from these sources and then spread them, potentially affecting livestock health, welfare, and production efficiency. This can contribute to significant economic losses. According to a previous study, it is estimated that U.S. producers spend over $1 billion annually on implementing fly control programs alone.

    Effective fly management can mitigate the spread of disease-causing bacteria and viruses, thereby improving livestock health and reducing potential risks to human health.  

    Photo by Dustin Swanson (USDA-ARS)

    ARS researchers, university partners, and cattle producers are collaborating to study the types and numbers of microbes carried by adult house flies to assess their role as sources and disseminators of bacteria and viruses within confined dairy farms and, potentially, to neighboring operations.

    In a study conducted in collaboration with Kansas State University (KSU), researchers determined that examining the genomic DNA (the complete set of genetic material in an organism) extracted from pools of individual adult female house flies in a specific location can provide a comprehensive overview of the microbes present in their local environment. House flies act as natural “flying swabs,” collecting microbial samples from diverse sources like sick animals or their waste. This innovative approach could potentially serve as a new tool to monitor and study microbes in the environment by allowing scientists to efficiently and safely analyze microbes in the field.

    “The numbers of animals, their health status, the composition, and volume of cattle manure, and other environmental conditions at dairy cattle operations vary from month to month, which in turn affects the abundance and types of microbes that will be present and therefore accessible by house flies,” said Dana Nayduch, a research leader and entomologist at the Arthropod-Borne Animal Diseases Research Unit, Center for Grain and Animal Health Research in Manhattan, KS.

    “By looking at what flies are carrying within and on their bodies over time, we can directly assess what is going on in their surrounding environment on the farm, as they acquire those microbes from these sources all day, every day. In fact, if there is a sick animal on a farm, a fly is attracted to it and will find that needle in the haystack for you, potentially among thousands of animals, and feed upon it and collect its microbes in the process,” explained Nayduch.

    The insights gained from these ongoing studies can offer farm managers early warnings about the presence of harmful bacteria and viruses in their operations, enabling them to take preventive measures to protect cattle against potential severe illnesses or even outbreaks.

    The Agricultural Research Service is the U.S. Department of Agriculture’s chief scientific in-house research agency. Daily, ARS focuses on solutions to agricultural problems affecting America. Each dollar invested in U.S. agricultural research results in $20 of economic impact.

    ###

    USDA is an equal opportunity provider, employer, and lender.

    MIL OSI USA News

  • MIL-OSI United Kingdom: Council Leader reflects on Derby’s diverse communities

    Source: City of Derby

    In her latest column, Councillor Nadine Peatfield reflects on the diverse communities that make up Derby, creating a rich and vibrant place to live and work…

    As a councillor, celebrating and investing in our communities has always been, and continues to be, the most important part of the job.

    Now more than ever before, it is critical that we celebrate the diverse communities that make our city what it is. This isn’t just a feel-good exercise, it’s essential to be a stronger and more creative society. When we embrace and celebrate experiences, we discover so much potential that benefits us all.

    Here in Derby, we have a long history of celebrating the wide range of cultures represented in our city. During the Spanish Civil War, 50 children came to Derby as refugees and lived at Burnaston House – now the site of the Toyota Burnaston site – between 1937 and 1938 as part of a national effort to protect these children from the horrors of war. This story was in one of the newspapers we uncovered in a time capsule, whilst refurbishing Derby’s Market Hall.

    During the Second World War, Derby also became the temporary home to around 270 Belgian refugees, many of whom made Derby their permanent home after the war ended, as well as many displaced Ukrainians who have contributed significantly to our city. These are just a few examples of our city stepping up to help those in need of a new or temporary home and giving them a warm Derby welcome. If you’re interested, you can find out more about these refugees in our Local Studies Library.

    Back to the present day, I had the privilege of attending the Community Party in Arboretum Park earlier last month, organised by Rosehill Infant School and Community One, as well as other local organisations. The event was all based around ‘Celebrating Culture’ and residents enjoyed entertainment, sports, food and most importantly, had fun together whilst celebrating the many different cultures represented, particularly in Arboretum and Normanton.

    Events like these play a crucial role in putting the unity into community. When we take the time to learn about traditions that are different to our own, we break down barriers and build a greater understanding of our neighbours.

    Did you know that, according to the most recent Census, more than 80 languages are spoken in Derby, including British Sign Language? I loved visiting the Royal School for the Deaf Derby recently to meet their students, teachers and some of the parents. It was such a joyous occasion with choirs signing expressively to music and a keynote speech from the Council’s very own Corey Beck. Whilst there, I had a wonderful conversation with recent OBE recipient, Wendy Daunt, an absolute inspiration who has been rightly recognised for her life-long campaigning for sign language. I hope to be able to support her further aspirations for deaf inclusion across our city.

    I was also invited to attend the opening service of the RCCG Solid Rock Church in their new home on East Street. It’s fabulous to have such a vibrant place of worship right in the heart of our city. I’ve very grateful to Pastor James and his team, who work tirelessly for communities and people facing challenges. I hope everyone will take the opportunity to welcome them to the city centre and learn more about their church.

    Celebrating its 50th year, the Caribbean Carnival organised by the Derby West Indian Community Association is a highlight of our calendar, bringing together communities and celebrating Caribbean culture – how can you not love the vibrant costumes, energetic dancers and fabulous music?!  Our city would be a much duller place without it.

    Different backgrounds bring different problem-solving approaches, leading to more robust solutions and greater innovation. Look at all the different global organisations that have put down roots in Derby, such as Toyota, which not only enhance our city, but create new jobs and boost our local economy.  

    By celebrating the diversity of our city, we’re not prioritising one group of people over another or forgetting our history, but rather about creating a space where everyone feels welcome, valued and respected for who they are. Diversity, in its truest sense, encompasses a vast spectrum: race, ethnicity, religion, socioeconomic status, sexual orientation, gender identity, age, disability, and countless other features that make us unique. Ignoring or downplaying these differences isn’t just a missed opportunity, it harms our society.

    Increasingly, we are seeing more and more hurtful, divisive, and frankly unacceptable language used online about the cultures and communities represented in our city. Let me be clear; racism has no place in Derby, and I’d like to challenge anyone who is tempted to engage with or contribute to this negativity to consider the damage that this does to our city and to our communities.

    I know that celebrating diversity isn’t always easy. It requires conscious effort, open-mindedness, and a willingness to confront our own biases. It means actively seeking out diverse voices, listening to their stories, and creating platforms for their contributions. This is why the Council is actively taking steps to genuine inclusion, empowering all our communities to thrive.

    In these turbulent global times, let’s celebrate our differences and reap the benefits that it brings to all of us. After all, we have far more in common than that which divides us.

    MIL OSI United Kingdom

  • MIL-OSI USA: Mutual Fund and ETF Fees and Expenses – Investor Bulletin

    Source: Securities and Exchange Commission

    The SEC’s Office of Investor Education and Advocacy is issuing this Investor Bulletin to explain some of the most common mutual fund fees and expenses. As a general introduction to mutual fund fees and expenses, this Investor Bulletin does not identify all of the fees that you may pay to buy and own shares in a mutual fund. This Investor Bulletin will, however, familiarize you with some typical mutual fund fees and expenses and show you how those fees and expenses reduce the value of your fund’s investment return.

    MIL OSI USA News

  • MIL-OSI Africa: Togo’s ‘Nana-Benz’: how cheap Chinese imports of African fabrics has hurt the famous women traders

    Source: The Conversation – Africa – By Fidele B. Ebia, Postdoctoral fellow, Duke Africa Initiative, Duke University

    The manufacturing of African print textiles has shifted to China in the 21st century. While they are widely consumed in African countries – and symbolic of the continent – the rise of “made in China” has undermined the African women traders who have long shaped the retail and distribution of this cloth.

    For many decades Vlisco, the Dutch textile group which traces its origins to 1846 and whose products had been supplied to west Africa by European trading houses since the late 19th century, dominated manufacture of the cloth. But in the last 25 years dozens of factories in China have begun to supply African print textiles to west African markets. Qingdao Phoenix Hitarget Ltd, Sanhe Linqing Textile Group and Waxhaux Ltd are among the best known.

    We conducted research to establish how the rise of Chinese-made cloth has affected the African print textiles trade. We focused on Togo. Though it’s a tiny country with a population of only 9.7 million, the capital city, Lomé, is the trading hub in west Africa for the textiles.

    We conducted over 100 interviews with traders, street sellers, port agents or brokers, government officials and representatives of manufacturing companies to learn about how their activities have changed.

    “Made in China” African print textiles are substantially cheaper and more accessible to a wider population than Vlisco fabric. Our market observations in Lomé’s famous Assigamé market found that Chinese African print textiles cost about 9,000 CFA (US$16) for six yards – one complete outfit. Wax Hollandais (50,000 CFA or US$87) cost over five times more.

    Data is hard to come by, but our estimates suggest that 90% of imports of these textiles to Lomé port in 2019 came from China.

    One Togolese trader summed up the attraction:

    Who could resist a cloth that looked similar, but that cost much less than real Vlisco?

    Our research shows how the rise of China manufactured cloth has undermined Vlisco’s once dominant market share as well as the monopoly on the trade of Dutch African print textiles that Togolese traders once enjoyed.

    The traders, known as Nana-Benz because of the expensive cars they drove, once enjoyed an economic and political significance disproportionate to their small numbers. Their political influence was such that they were key backers of Togo’s first president, Sylvanus Olympio – himself a former director of the United Africa Company, which distributed Dutch cloth.

    In turn, Olympio and long-term leader General Gnassingbé Eyadéma provided policy favours – such as low taxes – to support trading activity. In the 1970s, African print textile trade was considered as significant as the phosphate industry – the country’s primary export.

    Nana-Benz have since been displaced – their numbers falling from 50 to about 20. Newer Togolese traders – known as Nanettes or “little Nanas” – have taken their place. While they have carved out a niche in mediating the textiles trade with China, they have lower economic and political stature. In turn, they too are increasingly threatened by Chinese competition, more recently within trading and distribution as well.

    China displaces the Dutch

    Dating back to the colonial period, African women traders have played essential roles in the wholesale and distribution of Dutch cloth in west African markets. As many countries in the region attained independence from the 1950s onwards, Grand Marché – or Assigamé – in Lomé became the hub for African print textile trade.

    While neighbouring countries such as Ghana limited imports as part of efforts to promote domestic industrialisation, Togolese traders secured favourable conditions. These included low taxes and use of the port.

    Togolese women traders knew the taste of predominantly female, west African customers better than their mostly male, Dutch designers. The Nana-Benz were brought into the African print textile production and design process, selecting patterns and giving names to designs they knew would sell.

    They acquired such wealth from this trade that they earned the Nana-Benz nickname from the cars they purchased and which they used to collect and move merchandise.

    Nana-Benz exclusivity of trading and retailing of African print textiles cloth in west African markets has been disrupted. As Vlisco has responded to falling revenues – over 30% in the first five years of the 21st century – due to its Chinese competition, Togolese traders’ role in the supply chain of Dutch cloth has been downgraded.

    In response to the flood of Chinese imports, the Dutch manufacturer re-positioned itself as a luxury fashion brand and placed greater focus on the marketing and distribution of the textiles.

    Vlisco has opened several boutique stores in west and central Africa, starting with Cotonou (2008), Lomé (2008) and Abidjan (2009). The surviving Nana-Benz – an estimated 20 of the original 50 – operate under contract as retailers rather than traders and must follow strict rules of sale and pricing.

    While newer Togolese traders known as Nanettes are involved in the sourcing of textiles from China, they have lower economic and political stature. Up to 60 are involved in the trade.

    Former street sellers of textiles and other petty commodities, Nanettes began travelling to China in the early to mid-2000s to source African print textiles. They are involved in commissioning and advising on the manufacturing of African print textiles in China and the distribution in Africa.

    While many Nanettes order the common Chinese brands, some own and market their own. These include what are now well-known designs in Lomé and west Africa such as “Femme de Caractère”, “Binta”, “Prestige”, “Rebecca Wax”, “GMG” and “Homeland”.

    Compared to their Nana-Benz predecessors, the Nanettes carve out their business from the smaller pie available from the sale of cheaper Chinese cloth. Though the volumes traded are large, the margins are smaller due to the much lower final retail price compared to Dutch cloth.

    After procuring African print textiles from China, Nanettes sell wholesale to independent local traders or “sellers” as well as traders from neighbouring countries. These sellers in turn break down the bulk they have purchased and sell it in smaller quantities to independent street vendors.

    All African print textiles from China arrive in west Africa as an incomplete product – as six-yard or 12-yard segments of cloth, not as finished garments. Local tailors and seamstresses then make clothes according to consumer taste. Some fashion designers have also opened shops where they sell prêt-à-porter (ready-to-wear) garments made from bolts of African print and tailored to local taste. Thus, even though the monopoly of the Nana-Benz has been eroded, value is still added and captured locally.

    Since the COVID-19 pandemic, Chinese actors have become more involved in trading activity – and not just manufacturing. The further evolution of Chinese presence risks an even greater marginalisation of locals, already excluded from manufacturing, from the trading and distribution end of the value chain. Maintaining their role – tailoring products to local culture and trends and linking the formal and informal economy – is vital not just for Togolese traders, but also the wider economy.

    – Togo’s ‘Nana-Benz’: how cheap Chinese imports of African fabrics has hurt the famous women traders
    – https://theconversation.com/togos-nana-benz-how-cheap-chinese-imports-of-african-fabrics-has-hurt-the-famous-women-traders-260924

    MIL OSI Africa

  • MIL-OSI Africa: AI chatbots can boost public health in Africa – why language inclusion matters

    Source: The Conversation – Africa – By Songbo Hu, PhD Candidate, University of Cambridge

    Language technologies like generative artificial intelligence (AI) hold significant potential for public health. From outbreak detection systems that scan global news in real time, to chatbots providing mental health support and conversational diagnostic tools improving access to primary care, these innovations are helping address health challenges.

    At the heart of these developments is natural language processing, an interdisciplinary field within AI research. It enables computers to interpret, understand and generate human language, bridging the gap between humans and machines. Natural language processing can process and analyse enormous volumes of health data, far more than humans could ever handle manually. This is especially valuable in regions with a stretched healthcare workforce or limited public health surveillance infrastructure, because it enables faster, data-driven responses to public health needs.

    Recently, our interdisciplinary team, combining expertise from computer science, human geography and health sciences, conducted a review of studies on how language AI is being used for public health in African countries. Almost a decade’s worth of academic research was analysed, to understand how this powerful technology is being applied to pressing human needs.

    Out of 54 research publications, we found that evidence of real-world effects of the technology was still rare. Only 4% of these studies (two out of 54) showed measurable improvements in public health, such as boosting people’s mood or increasing vaccine intentions.

    Most projects stop at technology development and publication. Very few advance to real-world use or impact. Opportunities to improve health and well-being across the continent could be missed as a result.

    Current limitations

    In recent years, AI language technologies for public health have increased rapidly. This wave of technology development really took off as the COVID-19 pandemic renewed attention to public health. Health chatbots and sentiment analysis tools were developed in Africa and beyond.

    Research on language AI for public health in Africa. Supplied

    Health chatbots “talk” to people and provide reliable health information in a friendly, conversational way. Sentiment analysis tools scan social media posts to understand what people are feeling and talking about. Together they can identify misinformation or changes in public opinion and then provide accurate information.

    Of course, new technologies come with imperfections. We found that most technologies for public health in Africa exist in just a few languages whose dominance can be traced to colonial times, namely English and French.

    The consequences are clear: key health messages fail to reach many communities, leaving millions unable to access or act on essential information.

    We also found that few projects have gone beyond the laboratory development stage. Our study found only one system in operation that had a measurable public health effect.

    A successful model

    This standout example comes from a team at the Center for Global Development and the University of Chicago, in partnership with the Busara Center for Behavioral Economics. Their chatbot, deployed on Facebook Messenger, was designed for people in Kenya and Nigeria who were hesitant about COVID-19 vaccines. It was only available in English.

    More than 22,000 social media users used this app, sharing vaccine-related questions and concerns. The chatbot provided tailored, evidence-based responses to topics ranging from vaccine effectiveness and safety to misinformation. Its effect was notable. The intervention boosted users’ intention and willingness to get vaccinated by 4%-5%. The strongest effects were seen among those most hesitant to begin with.

    Behind this success was the researchers’ commitment to understanding the local context. Before launching the chatbot, in-depth discussions were held with focus groups and social media users in Kenya and Nigeria. The aim was to learn about the specific worries and cultural factors shaping attitudes toward vaccination.

    The chatbot was designed to address these concerns. This user-centred, locally adapted approach enabled the chatbot’s messages to address real barriers. As this example demonstrates, language technologies for public health are most effective when responding to the concerns and needs of the intended users.

    From lab to life

    These technologies take time and money to be put into practice. The COVID-19 pandemic jump-started development but public health language AI technologies are very new. It could be that a future survey would find a very different situation.

    At the same time, advances in large language models such as GPT-4 are rapidly lowering the technical barriers to developing language technologies. These models can often be adapted to new applications with far less data and effort than previous methods. Recent advances could enable small teams of researchers or even individual developers to build tools tailored to the specific needs of their own communities. The path from lab to real-world effects may become much shorter and easier.

    Investors, accelerators and state support could help make this transition from lab to life happen.

    Technology developers can also contribute by rooting their work in community-driven, multi-disciplinary and cross-sector collaboration. Social science and public health research knowledge and skills can inform the design and development of new technologies.

    To maximise the potential of language technologies for public health, the following needs to happen:

    • involving communities and health workers in natural language processing design

    • expanding provision in indigenous African languages

    • integrating language technologies into existing health systems.

    Future research and development must move beyond technical prototypes and laboratory tests to rigorous real-world evaluations that measure health outcomes.

    The other co-authors behind this research are: Abigail Oppong, Ebele Mogo, Charlotte Collins, and Giulia Occhini.

    – AI chatbots can boost public health in Africa – why language inclusion matters
    – https://theconversation.com/ai-chatbots-can-boost-public-health-in-africa-why-language-inclusion-matters-260861

    MIL OSI Africa

  • MIL-OSI Analysis: AI chatbots can boost public health in Africa – why language inclusion matters

    Source: The Conversation – Africa (2) – By Songbo Hu, PhD Candidate, University of Cambridge

    Language technologies like generative artificial intelligence (AI) hold significant potential for public health. From outbreak detection systems that scan global news in real time, to chatbots providing mental health support and conversational diagnostic tools improving access to primary care, these innovations are helping address health challenges.

    At the heart of these developments is natural language processing, an interdisciplinary field within AI research. It enables computers to interpret, understand and generate human language, bridging the gap between humans and machines. Natural language processing can process and analyse enormous volumes of health data, far more than humans could ever handle manually. This is especially valuable in regions with a stretched healthcare workforce or limited public health surveillance infrastructure, because it enables faster, data-driven responses to public health needs.

    Recently, our interdisciplinary team, combining expertise from computer science, human geography and health sciences, conducted a review of studies on how language AI is being used for public health in African countries. Almost a decade’s worth of academic research was analysed, to understand how this powerful technology is being applied to pressing human needs.

    Out of 54 research publications, we found that evidence of real-world effects of the technology was still rare. Only 4% of these studies (two out of 54) showed measurable improvements in public health, such as boosting people’s mood or increasing vaccine intentions.

    Most projects stop at technology development and publication. Very few advance to real-world use or impact. Opportunities to improve health and well-being across the continent could be missed as a result.

    Current limitations

    In recent years, AI language technologies for public health have increased rapidly. This wave of technology development really took off as the COVID-19 pandemic renewed attention to public health. Health chatbots and sentiment analysis tools were developed in Africa and beyond.

    Health chatbots “talk” to people and provide reliable health information in a friendly, conversational way. Sentiment analysis tools scan social media posts to understand what people are feeling and talking about. Together they can identify misinformation or changes in public opinion and then provide accurate information.

    Of course, new technologies come with imperfections. We found that most technologies for public health in Africa exist in just a few languages whose dominance can be traced to colonial times, namely English and French.

    The consequences are clear: key health messages fail to reach many communities, leaving millions unable to access or act on essential information.

    We also found that few projects have gone beyond the laboratory development stage. Our study found only one system in operation that had a measurable public health effect.

    A successful model

    This standout example comes from a team at the Center for Global Development and the University of Chicago, in partnership with the Busara Center for Behavioral Economics. Their chatbot, deployed on Facebook Messenger, was designed for people in Kenya and Nigeria who were hesitant about COVID-19 vaccines. It was only available in English.

    More than 22,000 social media users used this app, sharing vaccine-related questions and concerns. The chatbot provided tailored, evidence-based responses to topics ranging from vaccine effectiveness and safety to misinformation. Its effect was notable. The intervention boosted users’ intention and willingness to get vaccinated by 4%-5%. The strongest effects were seen among those most hesitant to begin with.

    Behind this success was the researchers’ commitment to understanding the local context. Before launching the chatbot, in-depth discussions were held with focus groups and social media users in Kenya and Nigeria. The aim was to learn about the specific worries and cultural factors shaping attitudes toward vaccination.

    The chatbot was designed to address these concerns. This user-centred, locally adapted approach enabled the chatbot’s messages to address real barriers. As this example demonstrates, language technologies for public health are most effective when responding to the concerns and needs of the intended users.

    From lab to life

    These technologies take time and money to be put into practice. The COVID-19 pandemic jump-started development but public health language AI technologies are very new. It could be that a future survey would find a very different situation.

    At the same time, advances in large language models such as GPT-4 are rapidly lowering the technical barriers to developing language technologies. These models can often be adapted to new applications with far less data and effort than previous methods. Recent advances could enable small teams of researchers or even individual developers to build tools tailored to the specific needs of their own communities. The path from lab to real-world effects may become much shorter and easier.

    Investors, accelerators and state support could help make this transition from lab to life happen.

    Technology developers can also contribute by rooting their work in community-driven, multi-disciplinary and cross-sector collaboration. Social science and public health research knowledge and skills can inform the design and development of new technologies.

    To maximise the potential of language technologies for public health, the following needs to happen:

    • involving communities and health workers in natural language processing design

    • expanding provision in indigenous African languages

    • integrating language technologies into existing health systems.

    Future research and development must move beyond technical prototypes and laboratory tests to rigorous real-world evaluations that measure health outcomes.

    The other co-authors behind this research are: Abigail Oppong, Ebele Mogo, Charlotte Collins, and Giulia Occhini.

    Songbo Hu currently receives funding from the Cambridge Trust.

    Anna Barford currently receives funding from UKRI and the Mastercard Foundation. She has previously received funding from the the British Aacdemy, ESRC, Leverhulme Trust, CPEST, the University of Cambridge, Unilever (via a philanthropic donation to the University) and the Asian Development Bank. Anna is the Co-Director of the Business Fights Poverty Institute and a consultant to the International Labour Organization.

    Anna Korhonen receives funding from UKRI, and has previously received funding from MRC, EPSRC, NERC, Royal Society, ERC, and philantrophic donations to the University of Cambridge.

    ref. AI chatbots can boost public health in Africa – why language inclusion matters – https://theconversation.com/ai-chatbots-can-boost-public-health-in-africa-why-language-inclusion-matters-260861

    MIL OSI Analysis

  • MIL-OSI Analysis: Togo’s ‘Nana-Benz’: how cheap Chinese imports of African fabrics has hurt the famous women traders

    Source: The Conversation – Africa – By Fidele B. Ebia, Postdoctoral fellow, Duke Africa Initiative, Duke University

    The manufacturing of African print textiles has shifted to China in the 21st century. While they are widely consumed in African countries – and symbolic of the continent – the rise of “made in China” has undermined the African women traders who have long shaped the retail and distribution of this cloth.

    For many decades Vlisco, the Dutch textile group which traces its origins to 1846 and whose products had been supplied to west Africa by European trading houses since the late 19th century, dominated manufacture of the cloth. But in the last 25 years dozens of factories in China have begun to supply African print textiles to west African markets. Qingdao Phoenix Hitarget Ltd, Sanhe Linqing Textile Group and Waxhaux Ltd are among the best known.

    We conducted research to establish how the rise of Chinese-made cloth has affected the African print textiles trade. We focused on Togo. Though it’s a tiny country with a population of only 9.7 million, the capital city, Lomé, is the trading hub in west Africa for the textiles.

    We conducted over 100 interviews with traders, street sellers, port agents or brokers, government officials and representatives of manufacturing companies to learn about how their activities have changed.

    “Made in China” African print textiles are substantially cheaper and more accessible to a wider population than Vlisco fabric. Our market observations in Lomé’s famous Assigamé market found that Chinese African print textiles cost about 9,000 CFA (US$16) for six yards – one complete outfit. Wax Hollandais (50,000 CFA or US$87) cost over five times more.

    Data is hard to come by, but our estimates suggest that 90% of imports of these textiles to Lomé port in 2019 came from China.

    One Togolese trader summed up the attraction:

    Who could resist a cloth that looked similar, but that cost much less than real Vlisco?

    Our research shows how the rise of China manufactured cloth has undermined Vlisco’s once dominant market share as well as the monopoly on the trade of Dutch African print textiles that Togolese traders once enjoyed.

    The traders, known as Nana-Benz because of the expensive cars they drove, once enjoyed an economic and political significance disproportionate to their small numbers. Their political influence was such that they were key backers of Togo’s first president, Sylvanus Olympio – himself a former director of the United Africa Company, which distributed Dutch cloth.

    In turn, Olympio and long-term leader General Gnassingbé Eyadéma provided policy favours – such as low taxes – to support trading activity. In the 1970s, African print textile trade was considered as significant as the phosphate industry – the country’s primary export.

    Nana-Benz have since been displaced – their numbers falling from 50 to about 20. Newer Togolese traders – known as Nanettes or “little Nanas” – have taken their place. While they have carved out a niche in mediating the textiles trade with China, they have lower economic and political stature. In turn, they too are increasingly threatened by Chinese competition, more recently within trading and distribution as well.

    China displaces the Dutch

    Dating back to the colonial period, African women traders have played essential roles in the wholesale and distribution of Dutch cloth in west African markets. As many countries in the region attained independence from the 1950s onwards, Grand Marché – or Assigamé – in Lomé became the hub for African print textile trade.

    While neighbouring countries such as Ghana limited imports as part of efforts to promote domestic industrialisation, Togolese traders secured favourable conditions. These included low taxes and use of the port.

    Togolese women traders knew the taste of predominantly female, west African customers better than their mostly male, Dutch designers. The Nana-Benz were brought into the African print textile production and design process, selecting patterns and giving names to designs they knew would sell.

    They acquired such wealth from this trade that they earned the Nana-Benz nickname from the cars they purchased and which they used to collect and move merchandise.

    Nana-Benz exclusivity of trading and retailing of African print textiles cloth in west African markets has been disrupted. As Vlisco has responded to falling revenues – over 30% in the first five years of the 21st century – due to its Chinese competition, Togolese traders’ role in the supply chain of Dutch cloth has been downgraded.

    In response to the flood of Chinese imports, the Dutch manufacturer re-positioned itself as a luxury fashion brand and placed greater focus on the marketing and distribution of the textiles.

    Vlisco has opened several boutique stores in west and central Africa, starting with Cotonou (2008), Lomé (2008) and Abidjan (2009). The surviving Nana-Benz – an estimated 20 of the original 50 – operate under contract as retailers rather than traders and must follow strict rules of sale and pricing.

    While newer Togolese traders known as Nanettes are involved in the sourcing of textiles from China, they have lower economic and political stature. Up to 60 are involved in the trade.

    Former street sellers of textiles and other petty commodities, Nanettes began travelling to China in the early to mid-2000s to source African print textiles. They are involved in commissioning and advising on the manufacturing of African print textiles in China and the distribution in Africa.

    While many Nanettes order the common Chinese brands, some own and market their own. These include what are now well-known designs in Lomé and west Africa such as “Femme de Caractère”, “Binta”, “Prestige”, “Rebecca Wax”, “GMG” and “Homeland”.

    Compared to their Nana-Benz predecessors, the Nanettes carve out their business from the smaller pie available from the sale of cheaper Chinese cloth. Though the volumes traded are large, the margins are smaller due to the much lower final retail price compared to Dutch cloth.

    After procuring African print textiles from China, Nanettes sell wholesale to independent local traders or “sellers” as well as traders from neighbouring countries. These sellers in turn break down the bulk they have purchased and sell it in smaller quantities to independent street vendors.

    All African print textiles from China arrive in west Africa as an incomplete product – as six-yard or 12-yard segments of cloth, not as finished garments. Local tailors and seamstresses then make clothes according to consumer taste. Some fashion designers have also opened shops where they sell prêt-à-porter (ready-to-wear) garments made from bolts of African print and tailored to local taste. Thus, even though the monopoly of the Nana-Benz has been eroded, value is still added and captured locally.

    Since the COVID-19 pandemic, Chinese actors have become more involved in trading activity – and not just manufacturing. The further evolution of Chinese presence risks an even greater marginalisation of locals, already excluded from manufacturing, from the trading and distribution end of the value chain. Maintaining their role – tailoring products to local culture and trends and linking the formal and informal economy – is vital not just for Togolese traders, but also the wider economy.

    Rory Horner receives funding from the British Academy Mid-Career Fellowship. He is also a Research Associate at the Department of Geography, Environmental Management and Energy Studies at the University of Johannesburg.

    Fidele B. Ebia 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. Togo’s ‘Nana-Benz’: how cheap Chinese imports of African fabrics has hurt the famous women traders – https://theconversation.com/togos-nana-benz-how-cheap-chinese-imports-of-african-fabrics-has-hurt-the-famous-women-traders-260924

    MIL OSI Analysis

  • MIL-OSI Russia: More than half a century in energy. Polytechnic says goodbye to Valery Lebedev

    Translation. Region: Russian Federal

    Source: Peter the Great St. Petersburg Polytechnic University –

    An important disclaimer is at the bottom of this article.

    On July 23, Deputy Director of the Institute of Nuclear Energy (branch) of SPbPU in Sosnovy Bor, former director of the Leningrad NPP Valery Ivanovich Lebedev passed away. He devoted more than 54 years to the cause of his life, nuclear energy.

    Valery Ivanovich was born on November 3, 1947 in the city of Teikovo, Ivanovo Region. In 1971, he graduated from the Ivanovo Power Engineering Institute, specializing in “Automation of Thermal Power Processes” and was assigned to the Leningrad Nuclear Power Plant in Sosnovy Bor. At first, he worked as an engineer of control and measuring instruments and automation, then became a senior engineer of the Skala information system, a senior repairman of the Skala IVS, head of the thermal automation and measurements shop, and chief engineer of the station. And in 1996, he headed the Leningrad NPP.

    Under the leadership of Valery Lebedev, the enterprise underwent large-scale modernization, many safety systems were improved and created, and for the first time in the industry, the service life of RBMK power units No. 1 and 2 was successfully extended. Valery Ivanovich actively supported cooperation with the World Association of Nuclear Operators (WANO), the IAEA and other international organizations on issues of reconstruction and improving the safety level of the Leningrad Nuclear Power Plant.

    In 1998, V. I. Lebedev received the academic degree of candidate of technical sciences, and in 1999 – doctor. Since 2000, he worked as a professor of the department of “Nuclear and thermal power plants” of the power engineering faculty of the St. Petersburg State Polytechnical University, passing on his professional experience and knowledge to new generations of power engineers.

    After 14 years of managing the Leningrad NPP, Valery Lebedev moved to work at the Institute of Nuclear Energy (branch) of SPbPU in Sosnovy Bor, where he was its director until 2018, then deputy.

    V. I. Lebedev is the author of three scientific discoveries, 80 inventions, five monographs and over 150 scientific articles. He was a full member of the International Academy of Sciences of Ecology, Human and Nature Safety (MANEB), a full member of the Academy of Inventions and Discoveries, a full member of the International Academy of Informatization, vice-president of the Baltic Academy of Informatization, a member of the dissertation doctoral council of the All-Russian Research and Design Institute of Power Technologies (VNIPIET).

    Valery Ivanovich is a laureate of the Russian Government Prize, and for his work and scientific achievements he was awarded the Order of Glory to Russia, the 1st degree honorary badge of the Russian Academy of Natural Sciences, the Peter I, P. L. Kapitsa, N. K. Roerich medals of the Manastino Institute of Nuclear Biology and Ethnography “For Contribution to Ecology”, and the departmental badge “Veteran of Nuclear Power and Industry”.

    The passing of Valery Ivanovich Lebedev was a great loss for the scientific school of St. Petersburg and the Leningrad region, for Russian energy, and a huge loss for his family and friends. The Polytechnic University expresses its sincere condolences to the family, friends, and colleagues of Valery Ivanovich.

    Please note: This information is raw content obtained directly from the source of the information. It is an accurate report of what the source claims and does not necessarily reflect the position of MIL-OSI or its clients.

    .

    MIL OSI Russia News

  • MIL-OSI United Kingdom: Manchester Day this weekend – everything you need to know!

    Source: City of Manchester

    Manchester’s favourite day of the year is back this weekend with a fantastic day of free music-themed family fun on Saturday (26 July) to help celebrate the city’s homegrown musical talent and this year’s big summer of live music in the city.

    Inspired by what is proving to be a sensational summer of music in Manchester, expect pop-up performances, astounding acrobatics and banging beats throughout the city’s streets and squares as the whole city comes together for Manchester Day 2025.

    The council has worked with outdoor arts specialists Walk the Plank on a programme for the day this year that is full of surprises and promises lots of free fun all with a musical twist.

    The day kicks off with a mini parade at 12 noon from St Peter’s Square, that will make its way along Deansgate and on to the Cathedral.  Led by two fantastical creatures, and with over 400 participants, including live bands, dancing birds, plenty of drummers and some of Manchester’s many community groups dancing and performing their way along the route in a riot of colour and sound, it’s definitely one not to miss.

    From English National Opera and Walk the Plank teaming up with football fans and community choirs, West End show tunes, juggling drummers, a hip-hop wrestling ring, plus two musical cats and a larger-than-life canary all in a giant birdcage, the day will see non-stop surprises throughout. 

    Expect sparks to fly as the world’s largest dhol drum rolls into town, opening up to reveal dancers and drummers, whilst award-winning dance company Levantes will be dressed to impress at their ‘High Tea with a Twist’, in New Cathedral Street. 

    Throw some shapes and bust some moves over on the Deansgate dancefloor where Moroccan trance music and Bhangra dance will be the order of the day, whilst French street theatre company Stoptoï will be combining dance, drumming and juggling in a brand-new, high-energy show on St Mary’s Gate.

    Enjoy music and performance from some of Manchester’s finest groups including the Bridgewater Hall Singers, or kick back and relax with a drink at the Capri Beach bar, before having a wander around one of the city-wide music trails, exploring Manchester’s musical heritage and hotspots. 

    Don’t miss the Perfect Pitch Three O’clock Kick-off, or the show-stopping grand finale in Cathedral Gardens combining opera singing and football chants at 4:30 pm in Cathedral Gardens, where a main stage will feature a fantastic programme of music throughout the day, The Urban Playground Team will perform Zoo Humans, a parkour performance piece that blends movement and storytelling.

    The day will also see a whole host of free have-a-go activities for youngsters of all ages to join in with from circus skills, drumming workshops, and ukulele introduction sessions, to music-themed craft activities and the ever-popular sport pop-ups.

    Manchester Day visitors are also invited this year to join Manchester Opera House for an exclusive free behind-the-scenes tour of the iconic venue, with the chance also to take part in special performance-themed workshops, or to try their hand at crafting band posters from recycled show posters.

    And don’t forget to keep your eyes peeled throughout the day for a majestic lion, a cheeky gorilla, giant seagulls and a host of marvellous bees and butterflies – just a few of the weird and wonderful walkabout acts waiting to surprise people on the day.

    Councillor Pat Karney, Chair of Manchester Day, said: “We’ve got a fantastic Manchester Day lined up for everyone this year which is going all out to celebrate the music our city and our fabulous communities make.  We’ve got an absolute ton of stuff going on for families and people of all ages on Manchester’s favourite day of the year. So shake your maracas, slip on your dancing shoes, prepare to make some noise, and come on down and join us!”

    Manchester Day has been created in collaboration with outdoor arts specialists Walk the Plank who have also worked with community groups across the city to put together what is set be a vibrant and lively mini parade.

    Liz Pugh, Creative Producer, Walk the Plank, said: “The mini parade celebrates the wonderful creativity and diverse traditions of our modern city and highlights the contribution of some of our newest communities.  We’re bringing the talents of some of Manchester’s finest carnival artists, and will be welcoming back groups like Keep Manchester Tidy and the School of Samba, as well as some exciting newcomers.”

    Manchester Day 2025 is sponsored by Manchester Airport Group, with activations across the city on the day by Red Bull, Capri Beach Club, Shaken Udder, Just My Look, Manchester Originals, and The Cut & Craft.  The event is also backed by Redgate and Department, and partners Great Northern Warehouse and The Opera House, as well as through long-standing partnerships with Biffa and Manchester Evening News.

    Activities run throughout the day on Saturday 26 July from 12 noon to 5 pm.

    Here’s the full lowdown on what’s happening and where throughout the day:

    MINI PARADE
    Fantastical winged creatures, a Phoenix, and beautiful birds of paradise will feature in this year’s mini parade which involves over 20 community groups and bands and more than 400 participants.

    Two playful inflatable Griffins will lead the parade whilst the Queen Bee sits atop her Gondola made from recycled cutlery, repurposed into a beautiful vessel that sails through the streets, and Walk the Plank’s giant Dhol Drum beats out Punjabi rhythms as it makes its way along Deansgate.

    Dancers from the Filipino Anglo Club of Greater Manchester and Colibri Dance bring the traditions of the Philipines and Mexico to Manchester, whilst the Hong Kong Cultural community takes part for the first time with a Phoenix kite-bird and Lo Ting a character who is half-human, half-fish and according to legend is the ancestor of Hong Kong’s people.

    Manchester’s Lithuanian Association will be bringing a Lithuanian legend to life with their Queen of Serpents who changed her children into trees, and the Guangxi Cultural Association will be performing traditional Chinese dance in full costumes.

    Parade highlights also include Manchester Airport Group with their planes, traffic controllers, and dancing chandeliers, and more dance from Ad Hoc Dance, one of the longest running community dance groups, as well as hip hop from young street dancers from FreshSkillz.

    With the Irish pipes of Fiana Phadraig Pipe Band from Wythenshawe, drummers from the Manchester Dhol Players, the Brazilian-inspired brass of Jubacana, two samba bands, and singers from the Perfect Pitch collaboration with English National Opera, it promises to be a loud and lively start to the day. 

    The mini parade leaves St Peter’s Square at 12 noon, travelling along Peter Street to Deansgate, then along the length of Deansgate before ending at the Cathedral at approximately 1 pm.

    CATHEDRAL GARDENS
    Enjoy main stage performances from Baked a la Ska, who will be serving up original tunes along with playful ska-infused covers of your favourite hits, alongside synth pop star Michael Aldag and world music from Manchester International Roots Orchestra.Be transported to the sunny shores of the Caribbean by steel band, Arthur’s Class Act.

    The Urban Playground Team will perform Zoo Humans, a parkour performance piece that blends movement and storytelling. Keep your eyes peeled for a surprise performance later on it the afternoon.

    Plus listen out for chart-topping hits played on ukuleles and a stunning PERFECT PITCH mass choir finale from 4:25 pm featuring football fans, community choirs, internationally acclaimed soprano Camilla Kerslake and some extra surprises. 

    Look out also for pop-up performances from Cocky Robins, beautiful Butterflies, Giant Seagulls, and a pair of post-match footballers who aren’t afraid of getting down in the dirt and a Three o’clock kick-off penalty shoot-out like no other.

    ST ANN’S SQUARE
    Join us in our wrestling ring stage – hosted by Trans Creative’s Kate O’Donnell – for West End showtunes from Sam Buttery, mind boggling magic from Fay Presto, music from rapper OneDa, an acoustic performance from viral sensation Michael Aldag, and opera with a twist from Flat Pack Music, plus hula hooper extraordinaire Danielle de la Wonk, and wrestling demos from Future Shock Pro Wrestling, 

    Marvel at the larger-than-life Birdcage Stage where a giant canary and two musical cats will defy the laws of gravity to try and outwit each other in cartoon capers full of slapstick silliness. Who will end up inside the cage at the end?
    And look out for a lion on the loose and a mischievous stowaway from Borneo.

    DEANSGATE
    Watch the mini parade snake its way along Deansgate between 12 noon and 1 pm, led by two giant fantastical griffins, followed by live bands, dancing birds, drummers and some of Manchester’s many community groups in a riot of colour and sound.

    Marvel as sparks fly when the world’s largest dhol drum rolls into town, opening up to reveal the Nachda Sansaar dancers and drummers.

    Get on down to live acts on the Deansgate dancefloor, including Moroccan trance music, Bhangra dance, Kemoy and the KYSO Collective, and the Soul Beats dance troupe.

    Seasoned cyclists or complete beginners are all invited to join the Manchester Day Pedal Party. Hop onto a balance bike, try out an e-cargo bike, or test a top of the range road bike. There’ll also be accessible, adapted bikes that can be ridden.

    NEW CATHEDRAL STREET
    New Cathedral Street will be alive with the sound of music, as the Bridgewater Hall Singers serenade crowds with songs from across the decades, and ukulele orchestras play chart-topping hits.

    Enjoy High Tea with a Twist with Levantes Dance, who will be dressed to impress and performing daring dance and acrobatics above a tastefully laid tea table, plus hilarious street theatre heroes delivering a sizzling mix of slapstick comedy, and the world’s only mobile football stadium.

    MARKET STREET
    Visit Circus House to learn a whole new set of circus skills.

    Discover the finest regional produce at the Manchester Day Craft Market by Manchester Markets, selling everything from home-made bakes and locally sourced honey, to hand dipped candles and artisan doughnuts.

    ST MARY’S GATE
    Don’t miss French street theatre company Stoptoï combine dance, drumming and juggling in a high-energy show full of rhythm and imagination.

    Get your blood pumping at the 60m, pop up athletic track supplied by GLL, or dive into the fast and furious world of The Hundred, a turbo charged version of traditional test cricket.

    Try batting, bowling, and catching in a special area, meet players from Manchester Originals, and be in with the chance of winning prizes.

    Enjoy astounding acrobatic performances and master a new skill with the folks from Circus House.  

    OPERA HOUSE 
    Take a free, guided, behind-the-scenes tour of this iconic Manchester venue on Quay Street, craft a band poster from recycled show posters, or take part in a performance themed workshop.

    KING STREET
    King Street turns into Guitar Street as the Music for the Senses art trail takes over the city centre, with amazing artworks and interactive installations that celebrate Manchester’s legendary music scene. In association with Wild in Art.

    EXCHANGE STREET
    Make some noise with Manchester Libraries and craft a harmonica or tambourine to take home.  

    MCR LIVE ’25 HUB
    Roll with it at the city’s newest destination on Piccadilly Gardens to help celebrate the mammoth summer of live music in Manchester.

    Grab a drink at the bar, sample some of the North West’s best street food or catch a free DJ or live music act on the outdoor stage. 

    Locations and activities may be subject to change. Find out the most up-to-date information 

    MIL OSI United Kingdom

  • MIL-OSI Analysis: Gene editing technology could be used to save species on the brink of extinction

    Source: The Conversation – UK – By Cock Van Oosterhout, Professor of Evolutionary Genetics, University of East Anglia

    Earth’s biodiversity is in crisis. An imminent “sixth mass extinction” threatens beloved and important wildlife. It also threatens to reduce the amount of genetic diversity – or variation – within species.

    This variation in genes within a species is crucial for their ability to adapt to changes in the environment or resist diseases. Genetic variation is therefore crucial for species’ long term survival.

    Traditional conservation efforts – such as protected areas, measures to prevent poaching, and captive breeding – remain essential to prevent extinction. But even when these measures succeed in boosting population numbers, they cannot recover genetic diversity that has already been lost. The loss of a unique gene variant can take thousands of years of evolution before it is recovered by a lucky mutation.

    In a new paper in Nature Reviews Biodiversity, an international team of geneticists and wildlife biologists argues that the survival of some species will depend on gene editing, along with more traditional conservation actions. Using these advanced genetic tools, like those already revolutionising agriculture and medicine, can give endangered species a boost by adding genetic diversity that isn’t there.

    Genetic engineering is not new. Plant breeders have used it for decades to develop crops with traits to boost disease resistance and drought tolerance. Around 13.5% of the world’s arable land grows genetically modified crops. Gene-editing tools such as Crispr are also being used in “de-extinction” projects that aim to recreate extinct animals.

    The Dallas-based company Colossal Laboratory & Biosciences has attracted headlines for its efforts to bring back the woolly mammoth, dodo and dire wolf. In de-extinction, the DNA of a living relative species is edited (changed) to approximate the extinct species’ most charismatic traits.

    For example, to “resurrect” a woolly mammoth, Colossal’s researchers plan to splice mammoth genes (recovered from ancient remains) into the genome of the Asian elephant to produce a cold-hardy, hairy elephant-mammoth hybrid. Colossal recently engineered grey wolf pups with 20 gene edits from the extinct dire wolf’s DNA.

    Colossal edited grey wolves to have traits from extinct dire wolves.
    Colossal

    The “Jurassic Park”-style revival of long-gone creatures has attracted considerable attention and funding, which has accelerated the development of genome engineering techniques. These same genome editing tools can be used for conservation of existing and endangered species. If we can edit a mouse to have mammoth hair, or edit a wolf to resemble a dire wolf, why not edit an endangered bird’s genome to make it more resilient to disease and climate change?

    Museum specimens

    Using DNA from historical specimens, scientists can identify important genetic variants that a species has lost. Many museums hold century-old skins, bones, or seeds – a genomic time capsule of past diversity. With genome editing, it is possible to reintroduce these lost variants into the wild gene pool.

    By restoring genetic variation, species can be fortified against emerging diseases and environmental change. A sharp decline in population numbers is called a “bottleneck”. During a bottleneck, inbreeding and genetic drift lead to the random loss of genetic diversity. Harmful mutations can also increase in frequency. Such “genomic erosion” compromises the health of individuals and can make populations more prone to extinction.

    If we can pinpoint a particularly damaging mutation that has become widespread in the population or a variant that has been lost, we could replace it in a few individuals using gene editing. Aided by natural selection, the healthy variant would gradually spread in the population.

    If a threatened species lacks genes that it desperately needs to survive new conditions, why not borrow them from a close relative that already has those traits? Known as facilitated adaptation, this could help wildlife cope with threats such as climate change.

    In agriculture, such cross-species gene transfers are routine. Tomatoes have been engineered with a mustard plant gene to tolerate cold, and chestnut trees got a wheat gene for disease resistance. There is no reason why such techniques cannot be expanded to animals.

    These genetic interventions can complement, but never replace traditional conservation measures. Habitat protection, control of invasive predators, captive breeding programmes, and other on-the-ground action remain absolutely necessary. Importantly, gene editing only makes sense if the target population has recovered in numbers enough (often through conservation), to allow natural selection to do its job.

    Measuring the risk of extinction

    Gene-edited animals or plants wouldn’t have a chance if released into a barren habitat or a poaching hotspot. Genomic tools can give an extra edge to species that are already being saved from immediate threats, equipping them for adaptive evolution in the future.

    Climate zones are shifting, new diseases are spreading, and once-isolated populations are cut off in small fragments of habitat. Without intervention, even intensive habitat management might not prevent a wave of extinctions.

    However, a strategy of gene editing also comes with significant risks and unknowns. One technical concern is off-target effects – Crispr and other gene-editing techniques might make unintended DNA changes in addition to the intended edit. In other words, you attempt to insert a disease-resistance gene, but accidentally disrupt another gene in the process. Similarly, a gene may have more than one function, which is known as pleiotropy.

    Especially in less-well studied species, we may not be aware of all those functions or pleiotropic effects. Regulatory inertia and public scepticism may also present big obstacles – these issues have historically limited the rollout of genetically modified (GM) organisms, particularly in agriculture.

    There are also evolutionary and ecological uncertainties. A deliberate gene edit might have knock-on effects on how the species evolves over time. For instance, if one individual is given a highly beneficial gene that spreads rapidly, it could replace all the other gene variants at that location in the genome (the full complement of DNA in the organism’s cell). This is known as a “selective sweep”, and it inadvertently reduces the genetic diversity in that region of the genome.

    Some critics argue that the narrative of a genetic quick fix could distract from the root causes of biodiversity loss. If people believe we can simply “edit” a species to save it, will that undermine the urgency to protect habitats or cut carbon emissions? Portraying extinction as reversible might seed false hope and reduce the motivation for tough environmental action.

    Conservation efforts, strong environmental policies and legal protections remain indispensable. So do habitat restoration, climate action and reducing the impact made on the environment by humans.

    Nevertheless, genome engineering is a new tool in the conservation toolbox. It’s one that –given the right assistance and environmental encouragement – can help save species from extinction.


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

    Cock Van Oosterhout receives funding from the Royal Society for conservation genomics work on threatened bird species in Mauritius, and a donation by the Colossal Foundation for conservation genomic research on the pink pigeon. He is member of the Conservation Genetics Specialist Group of the IUCN (International Union for Conservation of Nature).

    ref. Gene editing technology could be used to save species on the brink of extinction – https://theconversation.com/gene-editing-technology-could-be-used-to-save-species-on-the-brink-of-extinction-261419

    MIL OSI Analysis

  • MIL-OSI Analysis: Counting the climate costs of abandoned shopping trolleys

    Source: The Conversation – UK – By Neill Raath, Assistant Professor of Sustainable Materials and Manufacturing, University of Warwick

    Richard Johnson/Shutterstock

    Despite the steady growth of online shopping, a majority of the UK public still prefers to buy groceries at the supermarket.

    Shopping trolleys can help us lug our purchases back to the car, but some shoppers are evidently taking them further afield. In 2017, 520,000 trolleys were reported as abandoned in the UK. Sunderland in north-east England alone reported 30,000 abandoned trolleys between 2020 and 2022. Likewise, 550 trolleys were collected in a single day in western Sydney, Australia.

    Supermarkets employ a range of methods to stop trolleys leaving their premises, including coin slots, vertical bars (to stop trolleys leaving the shop floor), wheel-locking mechanisms and car park wardens. Despite these efforts, abandoned trolleys still blight the landscape and need to be collected.

    Many supermarkets use commercial collection services, such as Wanzl TrolleyWise or TMS Collex. These companies typically use diesel vans to survey suburban areas, collect trolleys and return them to supermarkets. They also offer to refurbish weathered or damaged trolleys, sometimes by applying a zinc-based coating to protect against corrosion – a process known as regalvanisation.

    We are researchers at the University of Warwick who wanted to understand the environmental impact of trolley abandonment. So, we set out to investigate it.

    Collecting versus manufacturing

    How does the environmental impact of using vans to rescue abandoned trolleys compare with losing these trolleys to excessive damage or corrosion and having to make new ones?

    Our study used a standardised methodology known as life-cycle assessment to analyse the potential environmental impact of collecting and handling abandoned shopping trolleys within an area of Coventry, a city in the English West Midlands, which includes our university campus.

    We spoke to trolley suppliers, who told us trolleys used at the supermarket in Coventry were most likely made in Spain. This was incorporated into our model.

    A trolley discovered by the author, abandoned in a bush near a car park.
    Neill Raath

    Through conversations with our university’s estates department and commercial collection services, we established that approximately 30 trolleys were collected a week on average in the area surrounding the Tesco supermarket in the Cannon Park shopping centre.

    Our model assumed that a bulk transport of 50 trolleys is sent twice each year to be refurbished, in a round trip of 220km between Coventry and a refurbishment facility based in the UK that was noted on stickers placed on refurbished trolleys.

    Vans collecting 520,000 abandoned trolleys in a year could emit the equivalent of 343 tonnes of CO₂ (the annual equivalent of driving 80 petrol cars). If we imagine that 10% of these 520,000 trolleys have been left outside too long and need to be regalvanised then the total global warming impact increases by 90% to the equivalent of 652 tonnes CO₂ (roughly the same as 152 petrol cars being driven for one year).

    This is quite a surprising increase for such a small number of trolleys. It suggests that the real problem lies with the environmental impact of manufacturing.

    Most of the emissions can be avoided

    We found that one trolley would have to be collected 93 times by a diesel van to have the same environmental impact as manufacturing a new one.

    Our results showed that the emissions incurred during the diesel van collection phase were only 1% of the manufacturing impact, and the regalvanisation stage was only 8%. We might wonder whether switching to electrically powered collection vans might help. While the emissions would be reduced, the impact of using diesel vans is still minuscule compared to that of making new trolleys.

    We found that the highest environmental impact stemmed from manufacturing, which was mainly attributed to making and replacing the steel frame of the trolley.

    These results reinforce the benefits of following the circular-economy principle of keeping trolleys in use for as long as possible, and avoiding manufacturing to replace abandoned ones.

    Would anything change if we switched to plastic trolleys? Other researchers have investigated the effect of changing trolley materials and have found that trolleys made of polymers have many benefits compared with steel: they use less material, are less dense (a benefit for collection vans that emit less by driving around lighter products) and do not require protective coatings, which themselves have an environmental impact.

    Blast furnaces at conventional steelworks are very carbon-intensive.
    Pedal to the Stock/Shutterstock

    However, if these polymer trolleys were to be sent to landfill (or left to deteriorate in the environment), they could release carcinogenic chemicals, as well as microplastics, as they break down. This leads us back to the importance of keeping products in use.

    Abandoning trolleys is bad for the environment, with a potential global warming impact equivalent to 0.69 kg CO₂ for collecting one trolley and returning it to a supermarket. If we multiply this by the potential 520,000 abandoned trolleys a year, this figure becomes quite big.

    Preventing trolley abandonment should be a priority not just for supermarkets, but for the general public as well. However, once a trolley is abandoned, it is far better to collect and refurbish it than to let it fall out of use and manufacture a new one, as 92–99% of the environmental impact can be avoided.

    While it is unlikely that we can ever stop trolleys being abandoned, we hope that next time people see a trolley in an alley or park bush, the potential environmental impact of losing this trolley to service would be apparent.


    Don’t have time to read about climate change as much as you’d like?

    Get a weekly roundup in your inbox instead. Every Wednesday, The Conversation’s environment editor writes Imagine, a short email that goes a little deeper into just one climate issue. Join the 45,000+ readers who’ve subscribed so far.


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

    ref. Counting the climate costs of abandoned shopping trolleys – https://theconversation.com/counting-the-climate-costs-of-abandoned-shopping-trolleys-258500

    MIL OSI Analysis

  • MIL-OSI Analysis: Physically restricting mental health patients can often harm them – my new study suggests compassion could change that

    Source: The Conversation – UK – By Daniel Lawrence, Senior Lecturer in Forensic Psychology, Cardiff Metropolitan University

    Restrictive practices in mental health settings – such as physical restraint and seclusion – are meant to be a last resort, used only when patients pose a risk to themselves or others.

    In 2021 and 2022 alone, NHS England reported that 6,600 mental health patients were subjected to physical restraint, and 4,500 to seclusion. Figures such as these have led numerous experts and policymakers to conclude that restrictive practices are overused in mental health inpatient settings.

    The consequences can be devastating. Restrictive practices are associated with trauma, worsening mental health, and even death. For decades, clinicians, researchers and policymakers have called for their reduction. Progress, however, remains painfully slow.

    For the past five years, I have been researching the use of restrictive practices in mental health services and exploring how to reduce them. My new research demonstrates the importance of using compassion to support staff to promote the dignity and wellbeing of patients as a priority.

    Restrictive practices have a long history that predates the development of asylums and psychiatry as a medical discipline. The use of legislation to detain people on the basis of their mental health in England, for example, dates back to at least the 14th century. Early examples of restrictive practices included patients being bound and beaten with rods in order to “restore sanity”.

    During the first three decades of the 19th century, mechanical restraints such as straitjackets, chains and restraint chairs and confining patients in locked rooms were widely accepted methods of controlling violent people in British asylums. But in the 1830s, some clinicians recognised the moral and ethical problems with using such practices, and a campaign began to abolish them.

    The UN has long recognised restrictive practices in mental healthcare as a human rights issue. In 2008, the UN’s special rapporteur on torture stated that methods such as solitary confinement violate articles 14 and 15 of the Convention on the Rights of Persons with Disabilities, which protect against arbitrary detention and cruel, inhuman or degrading treatment.

    This stance was reaffirmed in 2021 when the UN declared that restrictive practices breach the fundamental rights of patients. This underscores the urgent need for reform in mental healthcare systems worldwide.

    Harmful effect

    Research shows that restrictive practices may not only harm patients but contradict the goals of mental healthcare. Many mental health problems stem from traumatic experiences that leave people feeling powerless, unsafe and distressed. Using methods that reinforce these feelings can worsen the very issues services aim to address.

    In extreme incidents, people have died as a result of restrictive practices use.

    In my research, I have developed a theoretical model identifying core factors that perpetuate the use of restrictive practices in mental health services. These include the emotional challenges faced by staff working in high-stress environments, and how these challenges influence their decision-making.

    Mental health wards can be highly stressful environments, with frequent incidents of aggression. In such settings, staff can often feel anxious and hyper-vigilant, which can make it harder for them to respond to patients with compassion.

    Research shows that threat-based emotions like fear and anger are linked to a greater likelihood of using restrictive measures. So, this cycle perpetuates the use of these harmful practices.

    Compassion may hold the key

    Using restrictive practices to control or remove people who are perceived as a threat can provide staff with a sense of immediate safety, which may inadvertently reinforce their use. To address this, I wanted to explore whether supporting staff to manage their emotions more effectively could reduce their reliance on restrictive practices, and foster a more compassionate approach to care.

    As part of my research, I introduced compassion-focused support groups for staff in several forensic mental health wards, advocating for a more empathetic and patient-centred approach. These groups tried to equip participants with skills to better manage challenging emotional experiences while fostering greater compassion for both themselves and the people in their care.

    The aim was to help staff cultivate an inner sense of safety, reducing their reliance on restrictive practices as a means of managing their own feelings of threat. This intervention was encouraging, leading to reductions in the use of restrictive practices in some conditions – demonstrating the potential of using compassionate care for these purposes.

    My study was the first of its kind – bur these initial results highlight the need for further research into how the emotional management of staff influences care decisions. The journey toward change is slow, but it is possible. Compassion may hold the key to addressing a deeply entrenched issue that has shaped the treatment of mental health patients for centuries.


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    Daniel Lawrence is affiliated with the Labour Party.

    ref. Physically restricting mental health patients can often harm them – my new study suggests compassion could change that – https://theconversation.com/physically-restricting-mental-health-patients-can-often-harm-them-my-new-study-suggests-compassion-could-change-that-244782

    MIL OSI Analysis

  • MIL-OSI Analysis: Grandparent care: women from poorer backgrounds help out most with childcare

    Source: The Conversation – UK – By Giorgio Di Gessa, Lecturer in Data Science, UCL

    szefei/Shutterstock

    Grandparents play a pivotal role in family life. They are often a vital part of the childcare puzzle, stepping in to look after their grandchildren while parents are at work or busy. And there’s a lot of grandparent care taking place.

    In England, around half of all grandparents provide care for their grandchildren when the parents are not around. And the percentage of grandparents providing care is even higher when they have grandchildren aged 16 and under, who are more likely to require supervision, care, and support from an adult when the parents are busy at work or unavailable. In this case, 66% of grandparents help out.

    I used data from the English Longitudinal Study of Ageing, to analyse the caring roles of over 5,000 grandparents. I used data collected in 2016-17 to assess how often grandparents looked after their grandchildren, the activities they did with them, and why they helped out. I also discovered that there are clear gender and socioeconomic patterns. Further analysis of data from 2018-19 showed that providing care as a grandparent can affect wellbeing.

    I found that in England, among grandparents who looked after grandchildren, 45% of grandparents spent at least one day a week looking after their young grandchildren. They did so consistently throughout the year, with 8% doing so almost daily. Approximately one in three grandparents provided care to their grandchildren during school holidays.

    Around 25% of grandparents who looked after their grandchildren were still working. Most grandparents reported having overall good physical health.

    And most grandparents who cared for their grandchildren also lived relatively close to them – less than half an hour away from their closest grandchild – and had at least one grandchild aged under six years old.

    Most of the grandparents in the study who cared for grandchildren – 80% – mentioned that they played or took part in leisure activities with their grandchildren. Around half said that they frequently cooked for them and helped with picking them up and dropping them off from schools and nurseries. And although it was less common, grandparents also helped with homework and taking care of their grandchildren when they were not feeling well.

    About three grandparents in four (76%) said that their motivation for helping out was to give their grandchildren’s parents some time out from childcare responsibilities. A similar percentage – 70% – said they wanted to provide some economic support, either by offering financial assistance or by allowing parents to go to work.

    Just over half of grandparents (52%) said that being able to provide emotional support was what drove their motivation to provide grandchild care: they wanted to feel engaged with young people and help their grandchildren develop. But 17% say that they felt obliged to help out, and found it difficult to refuse.

    The grandmother’s role

    But while we tend to talk about “grandparents” as a group, grandmothers and grandfathers often experience and approach caregiving in distinctly different ways.

    In particular, when examining the specific activities undertaken with their grandchildren, there are clear gender distinctions. I found that grandmothers were more likely than grandfathers to engage in hands-on tasks: preparing meals, helping with homework, caring for grandchildren when they are sick, and doing school pick-ups.

    Grandfathers were less likely to do hands-on caring activities, such as school pickups.
    Rawpixel.com/Shutterstock

    Grandfathers, while also involved, tended to participate less in these activities. This is the case even among grandparent couples who lived together and jointly cared for their grandchildren.

    The role of wealth

    The extent and nature of grandparental care is also closely linked to grandparents’ socioeconomic status. For example, grandparents with fewer financial resources tended to offer childcare more regularly than their wealthier counterparts.

    Socioeconomic disparities also shape the nature of caregiving tasks. Less affluent grandparents were more likely to engage in hands-on activities, such as cooking meals and taking their grandchildren to and from school. In contrast, grandparents with more education were more likely than those with less education to help with homework frequently.

    The reasons for providing care also varied according to grandparents’ socioeconomic status. Grandparents with greater financial resources and higher levels of education were more likely to report providing childcare to help parents manage work and other responsibilities, as well as to offer emotional support to their grandchildren. Conversely, those with fewer financial resources were more likely to feel obliged to help or to struggle to refuse caregiving duties.

    Grandparent wellbeing

    What grandparents do with their grandchildren and why they have an active role in caring for them can also affect their wellbeing in complex ways. Grandparents who often took part in fun or enriching activities with their grandchildren, such as leisure activities or helping with homework, tended to report higher wellbeing compared to their peers who did not look after grandchildren.

    However, grandparents who cared for their grandchildren when they were sick or who had them stay overnight without parents tended to report, over time, lower wellbeing.

    Motivations also matter for grandparents’ wellbeing. Grandparents had a higher quality of life if they cared for their grandchildren because they wanted to help them develop as people, or to feel engaged with young people. However, grandparents who felt obliged to help, perhaps due to family pressure or lack of alternatives, experienced lower wellbeing.

    In short, these findings remind us that behind the broad label of “grandparenting” lies a diverse world of individuals whose involvement in caring for grandchildren – how often they care, what they do, and why – is closely linked to and varies with gender norms and socioeconomic status.

    Also, the meaning behind grandparenting and the type of interactions shared with grandchildren seems to matter for grandparents’ wellbeing. Overall, these insights suggest that these caring responsibilities may contribute to the reinforcement or even deepening of existing gender, socioeconomic and health inequalities among older adults.


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    Giorgio Di Gessa 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. Grandparent care: women from poorer backgrounds help out most with childcare – https://theconversation.com/grandparent-care-women-from-poorer-backgrounds-help-out-most-with-childcare-253168

    MIL OSI Analysis

  • MIL-OSI Analysis: Congress has a chequered history of overseeing US intelligence and national security

    Source: The Conversation – UK – By Luca Trenta, Associate Professor in International Relations, Swansea University

    Tonya Ugoretz, a top FBI intelligence analyst, was placed on administrative leave in June. The FBI has not said why. But the decision came around the time she refused to endorse what was reportedly a thinly sourced report accusing China of interfering in the 2020 US presidential election in favour of Joe Biden.

    At the Bureau, loyalty tests and polygraph checks have also allegedly become routine as part of a crackdown on news leaks. When approached by the New York Times about the matter, the FBI declined to comment and cited “personnel matters and internal deliberations”.

    The situation does not seem to be much different at the CIA. In May, agency director John Ratcliffe ordered a review of the intelligence community’s earlier conclusion that Russia had interfered in the 2016 presidential campaign on behalf of Donald Trump. The conclusion, Ratcliffe contends, was unwarranted and imposed by political pressure – a claim that has been rejected by one of the report’s leading authors.

    The intelligence community has reportedly also been under pressure to substantiate Trump’s claims that the recent military strikes on Iran had obliterated its nuclear sites. This is despite mixed evidence regarding the extent of their success. These examples suggest a growing politicisation of intelligence and national security in the US.

    Researchers and observers have highlighted the detrimental effect of this process. When intelligence is conducted by ideologues that are screened for loyalty, it often becomes more about pleasing the leader than collecting accurate information and preventing failure.

    Less attention has been paid to the permissive attitude of Congress. Many Republicans in Congress have taken an unquestioning attitude toward the claims made by the president and other officials, allowing intelligence agencies to pursue Trump’s agenda unimpeded.

    While Trump and Patel’s focus on personal loyalty when it comes to intelligence is new, partisan influence in congressional oversight is not. In fact, Congress has a long history of supporting the intelligence priorities of the governing administration.

    For much of the cold war, Congress was not involved – and did not want to be involved – in matters of intelligence. This view was expressed by former CIA legal counsel, Walter Pforzheimer, during an interview in 1988. Reflecting on the early days of oversight, he stated: “It wasn’t that we were attempting to hide anything. Our main problem was we couldn’t get them [Congress] to sit still and listen.”

    This quote isn’t entirely true. In research from 2023, I showed that Congress was more involved than was generally believed. The US-backed 1954 coup in Guatemala, which deposed the democratically elected president, Jacobo Árbenz, is a case in point. Leading members of Congress were “in the know” and others pushed Dwight Eisenhower’s administration to be even more aggressive.

    But Congress took on a more active role in intelligence matters in the 1970s. Following a series of public revelations about the CIA’s behaviour, a select committee was established in 1975 and exposed abuses by intelligence agencies including the surveillance of US citizens, experiments with drugs and involvement in assassinations.

    In the wake of this, Congress established intelligence committees with oversight duties. The idea was that the CIA would present a document signed by the president to notify congressional committees of its intentions.

    However, the system ran into trouble in the 1980s, and partisanship and politicisation were part of the story. The Ronald Reagan administration’s support for the “contra” rebels in Nicaragua made intelligence a matter of severe partisan conflict.

    Removing Nicaragua’s government

    When Reagan took office in 1981, one of the primary foreign policy priorities for his administration was removing the Sandinista National Liberation Front from power in Nicaragua. The administration saw the Sandinistas as a threat to the region and – in Reagan’s black-and-white thinking – as puppets of Communist Moscow and Havana.

    The administration sought to convince Congress that its aims were limited. The aim, or so CIA director William Casey told the intelligence committees, was to obstruct the transfer of weapons from Nicaragua to neighbouring El Salvador. Another left-wing guerrilla movement, the Farabundo Martí National Liberation Front, was threatening the US-supported government there.

    Initially, the policy received bipartisan support in Congress. The linchpin of this policy was the creation of an insurgent group in Nicaragua called the contras (contrarevolucionarios). It was made up of members of the previous regime’s brutal national guard, as well as other groups that had become disgruntled with the Sandinistas.

    Nicaraguan contras, who fought against the Sandinista government in Nicaragua during the 1980s.
    Tiomono / Wikimedia Commons, CC BY-NC-SA

    News stories soon made clear that the size of the contra army had radically expanded, from the 500 members discussed by Casey in his initial briefing to thousands. The contras’ stated goal of overthrowing the Sandinistas, which they ultimately failed to do, also contradicted the earlier Reagan administration’s statements to Congress.

    Democrats in Congress pushed the leadership of intelligence committees to curtail the administration’s activities. Edward Boland, chairman of the House Intelligence Committee, penned and helped to pass two amendments. The first prohibited any US government support for the purpose of overthrowing the Nicaraguan government.

    When the administration found loopholes to circumvent this, Boland’s second amendment prohibited any US funds from being spent in support of the contras. This amendment is generally understood as a first step towards the so-called Iran-Contra scandal.

    The Reagan administration illegally funded the contras behind Congress’s back by using the proceeds from secret arms sales to Iran – a state the US had been at loggerheads with since the 1979 Islamic revolution.

    The Boland amendments also helped make an intelligence and covert operations issue a matter of public debate and – more importantly – congressional votes. Republicans in Congress abandoned their oversight duties and followed the administration’s guidelines.

    Votes on contra aid became an opportunity for partisan controversy, vitriolic attacks, accusations of betrayal and large-scale influence campaigns. Instead of oversight, a deep partisan divide materialised.

    Counting on Congress? Think again

    The role of Congress is to conduct oversight. It is the role of the governing administration to keep Congress informed of intelligence matters, particularly covert operations. History shows this has often been hard to achieve.

    Congress has been complacent, complicit and often too willing to follow the government’s lead. In some cases, Congress has acted but primarily in the aftermath of major scandals or media revelations. This is called “firefighting” behaviour.

    But “firefighters” seem to now be in short supply. As much as domestic constraints on Trump’s power are decreasing, the same is happening in the context of intelligence and foreign policy.


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    Luca Trenta received funding from British Academy Grant SRG21211237.

    ref. Congress has a chequered history of overseeing US intelligence and national security – https://theconversation.com/congress-has-a-chequered-history-of-overseeing-us-intelligence-and-national-security-261120

    MIL OSI Analysis

  • MIL-OSI Analysis: Five reasons why driverless cars probably won’t take over your street any time soon

    Source: The Conversation – UK – By Seyed Toliyat, Lecturer in Business Analytics and Technology, University of Stirling

    Karolis Kavolelis/Shutterstock

    The UK government has launched a consultation on driverless cars, ahead of on-the-road trials of the vehicles next year. It has now been more than a decade since the prospect of driverless cars on public roads emerged, and prototypes and robotaxi fleets such as Waymo and Cruise replaced human drivers with artificial intelligence (AI).

    But ten years on, and with self-driving cars increasingly common in the US and China, significant obstacles still stand in their way in the UK.

    Despite rapid advances in the tech, other aspects of the driverless journey are still to catch up. Here are five key reasons why autonomous cars are unlikely to take over your local roads any time soon.

    1. Uncertainties around safety

    One of the main benefits of rolling out driverless cars is to increase traffic safety by eliminating driver errors. In the US, the National Highway Traffic Safety Administration reported in 2018 that more than 90% of serious crashes were due to human error. But there is not yet converging evidence to support the idea that AI taking over from human drivers can make roads safer.

    On the other hand, there is evidence that adverse weather conditions, road design, traffic control systems and mixed traffic (that is, human-driven and driverless cars) can degrade the performance of those vehicles. Anomalies in driving patterns and frequent rear-end crashes involving self-driving technologies could indicate the AI algorithms are still far from perfect.

    2. Regulations and legislation falling behind

    Substantial investment in research and development of self-driving technologies has led to a fast-growing and innovative industry. On the other hand, legislation and regulation processes often tend to be slower. These involve multiple stages including drafting, consultation, debate, committee reviews, voting and sometimes judicial review.

    The UK’s Automated Vehicles Act provides a framework for the deployment of driverless vehicles. But the legal codes and mechanisms are still evolving. This is also true of data privacy and cybersecurity.

    For now, there is insufficient legislation governing who can own telematics and vehicle data or how they can be used. Such a widening lag has implications for the mass rollout of driverless cars, and has a direct impact on insuring them.

    3. The insurance industry isn’t ready

    Scarce data, combined with ambiguities in legislation and regulations, means insurance companies face a new set of challenges. These include making sense of where liability lies, developing new insurance models and adapting their premiums as the types of claim evolve.

    In some countries, including the UK, the liability for levels four and five of autonomous driving (very highly automated and fully automated) is shifting from human drivers in conventional vehicles to the manufacturer. Although the insurer pays first, they can recover costs from the tech provider later.

    New risk factors such as cybersecurity further complicate the insurance landscape. Driverless cars are designed to communicate with infrastructure and even other vehicles to decide their routes and avoid collisions. This can open the door to unlawful modifications, hacking or privacy breaches.

    4. Ethical dilemmas

    Heavy traffic and the presence of other road users could lead to scenarios where a crash is inevitable. This would require programmers to design crash severity algorithms that include moral decision-making into autonomous systems. In simple terms, programmers are effectively being asked to write codes that assign value to human lives – an ethical minefield that has yet to be resolved in either academia or industry.

    This echoes the “trolley problem” (a thought experiment about killing one person to save others) but with real-world legal and moral significance. It poses further legal and regulatory questions that could further slow the progress of legislation. Complicating things further is the opaque, black-box nature of AI algorithms.

    5. Changing business models

    Technology developers such as Waymo and Zoox offer only driverless rides and don’t sell vehicles. The recent move by Tesla to launch a robotaxi service in Austin, Texas, also indicates a shift from selling cars to “mobility as a service”, even by car manufacturers.

    In some societies like the US, there is resistance among consumers to relinquishing car ownership due to higher car dependency. This mismatch between the business models of the makers of driverless cars and consumer preferences presents another significant barrier to widespread adoption.

    Even if the technical obstacles are removed, these deeply held sentiments about the nature of mobility may prevent consumers abandoning private vehicles.

    Until the technical, legal, ethical and commercial challenges are addressed, the widespread rollout of driverless vehicles will remain more of a long-term vision than an immediate reality.


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    Seyed Toliyat 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. Five reasons why driverless cars probably won’t take over your street any time soon – https://theconversation.com/five-reasons-why-driverless-cars-probably-wont-take-over-your-street-any-time-soon-261040

    MIL OSI Analysis

  • MIL-OSI Analysis: 4.48 Psychosis revival: the play’s window into a mind on the edge is as brutal as ever

    Source: The Conversation – UK – By Leah Sidi, Associate Professor of Health Humanities, UCL

    Under bright lights, the audience looks at a bare stage on two planes. Below, a small stage is white and empty, occupied only by a table and two chairs. Above, a huge, slanted mirror reflects a bird’s-eye view of the stage to the audience. Three middle-aged figures enter the stage without looking at each other. One lies down, staring into the mirror. One stands and one sits. For the next 70 minutes, they will never hold one another’s gaze.

    This is the revival of Sarah Kane’s play 4.48 Psychosis. The production takes place 25 years after the original work, bringing the original cast and creative team back to the Royal Court where the play was first staged – now transferred to The Other Place, a small theatre run by the Royal Shakespeare Company.

    It replicates the staging of the original with precision. The same faces are on the same set, making the same gestures. Even the projections of the street outside show cars from the 1990s. And yet, because this is theatre, there are inevitable differences.


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    The play is a revival and a commemoration. Kane wrote 4.48 Psychosis in the year leading up to her death by suicide in 1999 and completed it during her final stay in a psychiatric hospital. It stages the experience of a suicidal and psychotic mind breaking down.

    About a week after sending the play to her agent, Kane ended her own life. A year later, the original production was staged at the Royal Court, directed by her long-term collaborator James Macdonald and starring three young actors: Daniel Evans, Madeleine Potter and Jo McInnes. All three have returned for this revival.

    4.48 Psychosis is a highly experimental play. It contains dialogue between doctor and patient, poetry, seemingly psychotic speech, lists and quotations from literature and medical documents. In her aims for the play, Kane was both very open and very specific. She described the play in an interview at Royal Holloway University as an attempt to stage the experience of a mind breaking down:

    I’m writing a play called 4:48 Psychosis … It’s about a psychotic breakdown and what happens in a person’s mind when the barriers which distinguish between reality and different forms of imagination completely disappear … you no longer know where you stop and the world starts.

    What’s more, through an experimental style, Kane hoped to make her audience experience some of the distress experienced by the mental collapse being staged. She described this as “making form and content one”.

    How this strange work was to be staged was to be left up to future creatives. She didn’t specify how many actors should perform the work, or provide references to their age or gender. Kane believed that as a playwright, her job was to write the work, and then let directors figure it out.

    The result was that the first performance split the experience of breakdown across three actors. At times, they take on more specific roles such as a patient, a doctor, and a lover or bystander. At others, they all seem to occupy a shared mental reverie.

    Since the original production, 4.48 Psychosis has been staged in multiple ways around the world. French actor Isabelle Huppert performed the first French production largely as a monologue in 2005, with occasional lines delivered by Gérard Watkins as a psychiatrist. Recently in the UK it has been transformed into a successful opera in which a six-person ensemble and full orchestra performed the play’s “hive mind”, and has been performed in a plastic box in British Sign Language.

    When it was first performed in 2000, a year after Kane’s death, the play left a profound impression on its audiences. It was arguably one of the most brutal, head-on representations of mental illness that had ever been seen in British theatre. Reviews from that first production discuss anxieties about whether the play should be viewed as a “suicide note” – a disturbingly “real” reference to Kane’s death.

    Today, such anxieties may seem less relevant. After all, over two decades have passed since Kane’s death, and we are in a very different world when it comes to how we view disclosure of personal struggle. In a culture of mental health awareness campaigns and social media oversharing, the closeness of Kane’s suffering to her work seems less scandalous, and perhaps less unsettling.

    At times, this revival feels a bit more like a repetition, or archival reconstruction than a fresh performance. There are moments that feel dated – for example, the use of pixelated projections.

    The most compelling moments were where something original was introduced due to the more advanced ages of the actors. In my experience, the play is typically performed by a younger cast, as a rageful, energetic cry of despair. It hits differently with a cast in their fifties.

    Madeleine Potter’s resigned, ironic complaints about being mistreated by “Dr This and Dr That” gave the impression of a woman with a lifetime’s experience of inadequate mental health services. And Jo McInnes’s desperate monologue about lost love could be referencing an estranged or dead child, as much as a lover.

    These moments inserted something new into Kane’s iconic last work and underlined that mental suffering is far from being the privilege of the young. More of a slow burn than an explosive cry of anger, this return to 4.48 Psychosis explores mental torment that can persist over a lifetime, revealing it to be as relevant as ever.

    4.48 Psychosis is at The Other Place until July 27.

    Leah Sidi 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. 4.48 Psychosis revival: the play’s window into a mind on the edge is as brutal as ever – https://theconversation.com/4-48-psychosis-revival-the-plays-window-into-a-mind-on-the-edge-is-as-brutal-as-ever-261430

    MIL OSI Analysis

  • MIL-OSI Russia: How RUDN University ecologists conducted an expedition to Baskunchak

    Translation. Region: Russian Federal

    Source: Peoples’Friendship University of Russia –

    An important disclaimer is at the bottom of this article.

    The Institute of Ecology has had a student popular science travel club for 5 years, opened by NSO GreenLab. With the support of teachers, students organize independent expeditions – scientific research trips with the implementation of a set scientific task, as well as popular science and educational trips.

    “GreenLab does not go on hikes just like that. Each of our outdoor events has a scientific or educational purpose. We see a request from students to participate in such scientific expeditions. Most are not interested in just walking or driving a route to see something beautiful and take a photo for the sake of it – they need something to take with them, in addition to vivid impressions. New knowledge, skills necessary for a future career, understanding of the structure of various ecosystems and natural processes. We select those who are in solidarity with our values and are ready not only to travel, but also to study. So not only students from other RUDN departments go with us, but also from other universities,” – Daniil Mironov, GreenLab outdoor manager, student of the Institute of Ecology (Applied Mathematics and Computer Science, 1st year).

    During the existence of the NSO, students have been on expeditions not only within Russia, but also abroad. The young researchers have worked in Kamchatka Krai, Murmansk Oblast, the Republic of Dagestan, Kalmykia, Karelia, Primorsky Krai, as well as in the regions of Kazakhstan, Uzbekistan, Italy and the Czech Republic.

    One of the latest expeditions took place in the Astrakhan region. A group of students went to the vicinity of Lake Baskunchak. This is not only a famous salt lake, but also karst caves and chalk quarries with various minerals and ancient fossils.

    “The goal of the expedition is to study steppe ecosystems, as well as the geological features of Lake Baskunchak and Mount Bogdo. Bogdo is only 150 meters high, but it is the highest point of the Caspian lowland. Few people know, but this mountain is a real salt dome covered with sedimentary rocks. The salt layers below gradually squeeze it out, causing it to grow by several millimeters per year, promising to erupt in millions of years as real salt lava,” Daniil Mironov, GreenLab outdoor manager, student at the Institute of Ecology (“Applied Mathematics and Computer Science”, 1st year).

    “We got acquainted with the local flora and fauna – we saw menacing solpugs, anxious snakes and numerous dung beetles. We experienced the changeability of the weather in the steppes – we conducted radial walks under the scorching sun, and in the evenings we cooked dinner and listened to lectures in the rain. We managed to walk along the surface of Baskunchak and in its brine (salt solution of lake water), the bottom of which is covered with the mineral halite – the same table salt that we use and which is mined here on an industrial scale,” – Lada Yaseneva, a student of the Institute of Ecology (Ecology and Nature Management, 2nd year).

    Lake Baskunchak itself is fed by 19 springs, of which only 2 are fresh. Underground water passes through layers of salt, becoming saturated and then flowing into Baskunchak itself. The concentration of salt in the lake is about 250 ml/l, which makes it one of the saltiest in Russia and in the world. Salt is not the only mineral that can be found in the vicinity of Baskunchak. There are chalk quarries around – active and exhausted, in which you can find minerals and ancient fossils, such as vertebrae of fish that lived more than 200 million years ago. Participants were able to take away samples of gypsum and feldspars.

    “In a few days, we managed to visit the most interesting places: we climbed Mount Bogdo with its incredible views, visited a gypsum quarry where the land resembled alien landscapes, and, of course, we reached Lake Baskunchak. We had to walk 10 km to the lake, but it was worth it! Walking on salt was painful – my legs cut like broken glass – but the feeling of standing in the middle of an endless white desert was unforgettable. And as souvenirs, we brought home salt crystals and gypsum,” – Daria Dobrova, a student at the Institute of Ecology (“Energy and Resource-Saving Processes in Chemical Engineering, Petrochemistry and Biotechnology”, 1st year).

    Please note: This information is raw content obtained directly from the source of the information. It is an accurate report of what the source claims and does not necessarily reflect the position of MIL-OSI or its clients.

    .

    MIL OSI Russia News

  • MIL-Evening Report: 2 ways cities can beat the heat: Which is best, urban trees or cool roofs?

    Source: The Conversation (Au and NZ) – By Ian Smith, Research Scientist in Earth & Environment, Boston University

    Trees like these in Boston can help keep neighborhoods cooler on hot days. Yassine Khalfalli/Unsplash, CC BY

    When summer turns up the heat, cities can start to feel like an oven, as buildings and pavement trap the sun’s warmth and vehicles and air conditioners release more heat into the air.

    The temperature in an urban neighborhood with few trees can be more than 10 degrees Fahrenheit (5.5 Celsius) higher than in nearby suburbs. That means air conditioning works harder, straining the electrical grid and leaving communities vulnerable to power outages.

    There are some proven steps that cities can take to help cool the air – planting trees that provide shade and moisture, for example, or creating cool roofs that reflect solar energy away from the neighborhood rather than absorbing it.

    But do these steps pay off everywhere?

    We study heat risk in cities as urban ecologists and have been exploring the impact of tree-planting and reflective roofs in different cities and different neighborhoods across cities. What we’re learning can help cities and homeowners be more targeted in their efforts to beat the heat.

    The wonder of trees

    Urban trees offer a natural defense against rising temperatures. They cast shade and release water vapor through their leaves, a process akin to human sweating. That cools the surrounding air and reduces afternoon heat.

    Adding trees to city streets, parks and residential yards can make a meaningful difference in how hot a neighborhood feels, with blocks that have tree canopies nearly 3 F (1.7 C) cooler than blocks without trees.

    Comparing maps of New York’s vegetation and temperature shows the cooling effect of parks and neighborhoods with more trees. In the map on the left, lighter colors are areas with fewer trees. Light areas in the map on the right are hotter.
    NASA/USGS Landsat

    But planting trees isn’t always simple.

    In hot, dry cities, trees often require irrigation to survive, which can strain already limited water resources. Trees must survive for decades to grow large enough to provide shade and release enough water vapor to reduce air temperatures.

    Annual maintenance costs – about US$900 per tree per year in Boston – can surpass the initial planting investment.

    Most challenging of all, dense urban neighborhoods where heat is most intense are often too packed with buildings and roads to grow more trees.

    How cool roofs can help on hot days

    Another option is “cool roofs.” Coating rooftops with reflective paint or using light-colored materials allows buildings to reflect more sunlight back into the atmosphere rather than absorbing it as heat.

    These roofs can lower the temperature inside an apartment building without air conditioning by about 2 to 6 F (1 to 3.3 C), and can cut peak cooling demand by as much as 27% in air-conditioned buildings, one study found. They can also provide immediate relief by reducing outdoor temperatures in densely populated areas. The maintenance costs are also lower than expanding urban forests.

    Two workers apply a white coating to the roof of a row home in Philadelphia.
    AP Photo/Matt Rourke

    However, like trees, cool roofs come with limits. Cool roofs work better on flat roofs than sloped roofs with shingles, as flat roofs are often covered by heat-trapping rubber and are exposed to more direct sunlight over the course of an afternoon.

    Cities also have a finite number of rooftops that can be retrofitted. And in cities that already have many light-colored roofs, a few more might help lower cooling costs in those buildings, but they won’t do much more for the neighborhood.

    By weighing the trade-offs of both strategies, cities can design location-specific plans to beat the heat.

    Choosing the right mix of cooling solutions

    Many cities around the world have taken steps to adapt to extreme heat, with tree planting and cool roof programs that implement reflectivity requirements or incentivize cool roof adoption.

    In Detroit, nonprofit organizations have planted more than 166,000 trees since 1989. In Los Angeles, building codes now require new residential roofs to meet specific reflectivity standards.

    In a recent study, we analyzed Boston’s potential to lower heat in vulnerable neighborhoods across the city. The results demonstrate how a balanced, budget-conscious strategy could deliver significant cooling benefits.

    For example, we found that planting trees can cool the air 35% more than installing cool roofs in places where trees can actually be planted.

    However, many of the best places for new trees in Boston aren’t in the neighborhoods that need help. In these neighborhoods, we found that reflective roofs were the better choice.

    By investing less than 1% of the city’s annual operating budget, about US$34 million, in 2,500 new trees and 3,000 cool roofs targeting the most at-risk areas, we found that Boston could reduce heat exposure for nearly 80,000 residents. The results would reduce summertime afternoon air temperatures by over 1 F (0.6 C) in those neighborhoods.

    While that reduction might seem modest, reductions of this magnitude have been found to dramatically reduce heat-related illness and death, increase labor productivity and reduce energy costs associated with building cooling.

    Not every city will benefit from the same mix. Boston’s urban landscape includes many flat, black rooftops that reflect only about 12% of sunlight, making cool roofs that reflect over 65% of sunlight an especially effective intervention. Boston also has a relatively moist growing season that supports a thriving urban tree canopy, making both solutions viable.

    Phoenix, left, already has a lot of light-colored roots, compared with Boston, right, where roofs are mostly dark.
    Imagery © Google 2025.

    In places with fewer flat, dark rooftops suitable for cool roof conversion, tree planting may offer more value. Conversely, in cities with little room left for new trees or where extreme heat and drought limit tree survival, cool roofs may be the better bet.

    Phoenix, for example, already has many light-colored roofs. Trees might be an option there, but they will require irrigation.

    Getting the solutions where people need them

    Adding shade along sidewalks can do double-duty by giving pedestrians a place to get out of the sun and cooling buildings. In New York City, for example, street trees account for an estimated 25% of the entire urban forest.

    Cool roofs can be more difficult for a government to implement because they require working with building owners. That often means cities need to provide incentives. Louisville, Kentucky, for example, offers rebates of up to $2,000 for homeowners who install reflective roofing materials, and up to $5,000 for commercial businesses with flat roofs that use reflective coatings.

    In Boston, planting trees, left, and increasing roof reflectivity, right, were both found to be effective ways to cool urban areas.
    Ian Smith et al. 2025

    Efforts like these can help spread cool roof benefits across densely populated neighborhoods that need cooling help most.

    As climate change drives more frequent and intense urban heat, cities have powerful tools for lowering the temperature. With some attention to what already exists and what’s feasible, they can find the right budget-conscious strategy that will deliver cooling benefits for everyone.

    Lucy Hutyra has received funding from the U.S. federal government and foundations including the World Resources Institute and Burroughs Wellcome Fund for her scholarship on urban climate and mitigation strategies. She was a recipient of a 2023 MacArthur Fellowship for her work in this area.

    Ian Smith 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. 2 ways cities can beat the heat: Which is best, urban trees or cool roofs? – https://theconversation.com/2-ways-cities-can-beat-the-heat-which-is-best-urban-trees-or-cool-roofs-260188

    MIL OSI AnalysisEveningReport.nz

  • Skill development drive under PMKVY sees over 20 lakh youth trained in FY 2024-25

    Source: Government of India

    Source: Government of India (4)

    The Ministry of Skill Development and Entrepreneurship (MSDE) has reported notable progress under the Pradhan Mantri Kaushal Vikas Yojana (PMKVY), with over 20 lakh candidates trained in the financial year 2024-25 alone. The flagship scheme, launched in 2015, aims to equip India’s youth with skill development through Short-Term Training (STT) and Recognition of Prior Learning (RPL) initiatives.

    Over the last five financial years, a cumulative effort across States and Union Territories has contributed to a significant rise in skilled manpower. Uttar Pradesh led the training numbers in FY 2024-25, with more than 4.63 lakh individuals trained, followed by Rajasthan with 2.79 lakh and Madhya Pradesh with over 2.58 lakh trainees.

    Placement tracking under PMKVY was actively carried out during its first three phases-PMKVY 1.0, 2.0, and 3.0-covering the period from 2015-16 to 2021-22. As per official data, the placement rate of candidates certified under the STT component during these phases stood at 43%. Under the current phase, PMKVY 4.0, the emphasis has shifted towards empowering candidates to make informed choices in their career paths with necessary orientation support.

    Third-party evaluations have reaffirmed the scheme’s impact. A study by Sambodhi Research and Communications found that individuals trained and certified under PMKVY 2.0 earned 15 percent more, on average, than their counterparts who had not participated in the scheme. RPL-certified individuals reported a 19 percent higher monthly income when compared to those without certification.

    Further, a study conducted by NITI Aayog in October 2020 revealed that 94 percent of employers surveyed expressed willingness to hire more PMKVY-trained candidates. Additionally, the Indian Institute of Public Administration (IIPA), in its impact evaluation, found that about 70.5 percent of surveyed trainees secured jobs in their desired skill sectors. Over half of the candidates trained under RPL also reported receiving or expecting better salaries than their untrained peers.

    To enhance employment opportunities under PMKVY 4.0, the Skill India Digital Hub (SIDH) has been launched. This integrated platform provides a unified digital space connecting the skilling, education, employment, and entrepreneurship ecosystems. Job seekers can access career opportunities and apprenticeships, while employers can tap into a database of trained candidates. Rozgar Melas are also being organized across the country to facilitate direct engagement between employers and job aspirants.

    This information was shared in a written reply by the Minister of State (Independent Charge) for the Ministry of Skill Development and Entrepreneurship, Jayant Chaudhary, in the Rajya Sabha.

  • MIL-OSI Russia: Rosneft Continues Whale Research

    Translation. Region: Russian Federal

    Source: Rosneft – An important disclaimer is at the bottom of this article.

    World Whale and Dolphin Day is celebrated annually on July 23. The date was established to draw humanity’s attention to the need to preserve and protect cetaceans and other marine mammals.

    Rosneft pays special attention to environmental issues and the preservation of biodiversity. The Company’s activities are based on the principle of preserving a favorable environment and biological diversity in all regions of presence. Studying and protecting the population of whales and dolphins is one of the areas of Rosneft’s environmental program.

    One of the main species that receives close attention is the gray whale of the Okhotsk Sea population. The monitoring program for these whales has been carried out on the north-eastern shelf of Sakhalin Island for almost 30 years. As part of the research, specialists annually conduct a population census, observe the behavior of animals and study their food supply, carry out photo-identification studies, and acoustic monitoring.

    Until the 1990s, the Okhotsk Sea gray whale population was considered to be completely exterminated and was classified as a species on the verge of extinction. In 2018, the western gray whale population was classified as endangered, indicating a slow but steady recovery of the Okhotsk subpopulation of gray whales.

    In 2019, the Okhotsk Sea populations of gray and Greenland whales were included by the Russian Ministry of Natural Resources in the list of rare and endangered species of wildlife requiring priority measures for restoration and reintroduction. In 2020, the Okhotsk Sea population of gray whales was listed in the Red Book of the Russian Federation.

    In addition, the Company conducts environmental monitoring of the Okhotsk-Korean population of gray whales on the north-eastern shelf of Sakhalin Island. Specialists annually perform photo identification, population census, and studies of the food supply and behavior of mammals. The main life period of gray whales in the Sea of Okhotsk is fattening and reproduction, so studying the state of their food supply is one of the most important stages of observations.

    As part of the study of the Okhotsk-Korean gray whale population, unique acoustic monitoring is also being conducted, which includes recording and analyzing the level of natural and anthropogenic underwater noise. The research allows us to study the nature of sounds and model their propagation. Acoustic measurements are carried out using autonomous underwater recorders developed specifically for the project.

    Rosneft is an active participant in the Interdepartmental Working Group under the Ministry of Natural Resources of the Russian Federation to ensure the conservation of the Okhotsk-Korean population of gray whales. The working group develops proposals for the development of legislation for population management, coordinates the interaction of interested federal and regional executive authorities, the business community, scientific and public organizations.

    In 2020, Rosneft, together with the P.P. Shirshov Institute of Oceanology of the Russian Academy of Sciences, implemented a large-scale project to study and monitor Black Sea dolphins. Based on the results of 3 years of observations, modern up-to-date data were obtained on the number and preferred habitats of these Black Sea cetaceans, and the characteristics of their seasonal distribution. Recommendations for the study and conservation of dolphins were prepared.

    Reference:

    The gray whale is the only whale species that has mastered bottom feeding. Whales usually scoop up benthos from the bottom along with water, silt and pebbles at a depth of 15-60 m and filter the suspension through their baleen. The gray whale’s diet includes up to 70 species of invertebrates, including annelids, bivalves, small crustaceans and young fish.

    Gray whales swim slowly – on average 5-8 km/h, which allows marine parasites to cling to the whale’s skin and establish their colonies. The total weight of these fellow travelers can reach 180 kg per whale.

    Department of Information and AdvertisingPJSC NK RosneftJuly 23, 2025

    Please note: This information is raw content obtained directly from the source of the information. It is an accurate report of what the source claims and does not necessarily reflect the position of MIL-OSI or its clients.

    .

    MIL OSI Russia News

  • MIL-OSI Russia: “Online University Admission”: Super Service for Applicants

    Translation. Region: Russian Federal

    Source: Official website of the State –

    An important disclaimer is at the bottom of this article.

    In 2025, admission to universities for bachelor’s, specialist’s, master’s and postgraduate programs will be carried out through the “Online University Admission” service, developed by the Ministry of Education and Science of Russia, the Ministry of Digital Development, Communications and Mass Media of Russia, Rosobrnadzor and available on the “Gosuslugi” portal.

    It allows applicants to submit documents to educational and scientific organizations without a personal visit.

    What programs can I apply for?

    An applicant can apply for budgetary (including targeted) and fee-based education, full-time, part-time and correspondence, for bachelor’s and specialist’s degree programs, including programs of six universities participating in the pilot project to update the higher education system.

    Step by step instructions

    We will tell you in more detail about the procedure for submitting an application on the State Services portal.

    Step 1. Registration on the State Services portal and creation of a digital profile

    A verified account is required to submit an application.

    In your personal account, you can request your data on educational documents, individual achievements (IA), as well as information on disability, and then you will not have to enter them manually and confirm them with originals when submitting an application to a university.

    Step 2. Filling out the application for admission

    Provide information about education, benefits and special rights. Specify the desired areas of study. When applying for a bachelor’s degree, specialist degree or basic higher education, you can choose up to 5 universities and up to 5 areas in each of them, including paid education. The new service “University Selection” will help you quickly find the right university, select a specialty based on subjects and USE scores, and find out the passing scores of previous years. Specify admission priorities Attach documents confirming your individual achievements and entitlement to benefits.

    Details in the video instructions:

    Additionally, at this stage you can choose targeted training by answering “Yes” to the corresponding question on the questionnaire.

    You can find a customer for admission to targeted training on the portal “Work in Russia”.

    How to apply for targeted training, see the video instructions:

    https://guu.ru/wp-content/uploads/05_06_2025-Кака-подача-заяку на-целебное-обучение-в-вуз_17_06_2025.mp4

    Step 3. Submitting an application and tracking the status

    Please check your completed application again carefully and only then submit it.

    Please note that additional or internal entrance examinations must be registered separately.

    In addition, universities have the right to request additional documents or ask to replace copies that are difficult to read.

    Step 4: Submit consent

    This can be done immediately after submitting an application on Gosuslugi, in person at the admissions office, or by sending a letter by mail.

    You can submit consent on State Services starting with the application status “Submitted to the university”.

    If consent has been submitted, but according to the competition lists you see that you are not eligible for the required program, or your priorities have changed, you can revoke consent and submit it to another university.

    Step 5: Receive Notification of Enrollment

    Once the admission orders are published, you will receive a notification of the results.

    The video explains how to conclude an agreement if you are enrolling in a paid course.

    Any questions left?

    Find out more on the service website or ask the members of the admissions committee of the State University of Management by phone 8 (495) 371-00-55, online or in person.

    Please note: This information is raw content obtained directly from the source of the information. It is an accurate report of what the source claims and does not necessarily reflect the position of MIL-OSI or its clients.

    .

    MIL OSI Russia News

  • MIL-OSI: Diane Davis Appointed to Boards of First Fed and First Northwest Bancorp

    Source: GlobeNewswire (MIL-OSI)

    PORT ANGELES, Wash., July 23, 2025 (GLOBE NEWSWIRE) — First Northwest Bancorp (NASDAQ: FNWB), the holding company for First Fed Bank, announced the appointment of Diane C. Davis to the Boards of Directors of both First Fed Bank and First Northwest Bancorp.

    Ms. Davis brings more than 25 years of leadership experience in the insurance industry, with expertise in executive management, strategy, risk management, and corporate governance. Further, Diane is an experienced community bank board member, having served on the board of First Financial Northwest Bancorp, which was acquired earlier this year.

    “Diane’s extensive experience in risk oversight and executive leadership will be a tremendous asset to our organization as we continue to grow and serve our communities,” said Geri Bullard, Interim CEO of First Fed. “Her proven expertise in strategy and governance aligns with our long-term goals, and we are excited to welcome her to the Board.”

    “Community banks play a vital role in building strong, resilient local economies, and I’m deeply passionate about supporting that mission. I’m honored to join First Fed’s board and work alongside its dedicated executive team and fellow board members,” said Diane Davis.

    Ms. Davis began her career at Farmers New World Life Insurance Company in 1992 and advanced through a variety of leadership roles, including Chief Risk Officer and ultimately President from 2016 until her retirement in 2019. She also served as Regional Chief Risk Officer for Global Life North America at Zurich Insurance Company Ltd., bringing broad actuarial and strategic planning experience to her board role.

    She holds a Bachelor of Science in Actuarial Science from the University of Illinois at Urbana-Champaign and a Master of Business Administration from the University of Washington. A Fellow of the Society of Actuaries, Ms. Davis currently serves as co-chair of 5050 Women on Boards of Greater Seattle and is a former member of the Board of Directors for Habitat for Humanity Seattle-King County.

    Her appointment reflects First Fed’s ongoing commitment to strong governance, sustainable growth, and long-term financial security for its customers and communities.

    About FNWB

    First Northwest Bancorp (Nasdaq: FNWB) is a financial holding company engaged in investment activities including the business of its subsidiary, First Fed Bank. First Fed is a Pacific Northwest-based financial institution which has served its customers and communities since 1923. Currently, First Fed has 18 locations in Washington State including 12 full-service branches. First Fed’s business and operating strategy is focused on building sustainable earnings by delivering a full array of financial products and services for individuals, small businesses, non-profit organizations and commercial customers. In 2022, First Northwest made an investment in The Meriwether Group, LLC, a boutique investment banking and accelerator firm. Additionally, First Northwest focuses on strategic partnerships to provide modern financial services such as digital payments and marketplace lending. First Northwest Bancorp was incorporated in 2012 and completed its initial public offering in 2015 under the ticker symbol FNWB. First Fed is headquartered in Port Angeles, Washington.

    First Fed Bank was recognized by Puget Sound Business Journal as a Best Workplace in 2023 and top Corporate Philanthropist in 2023 and 2024. By popular vote, First Fed received 2024 awards for Best Bank and Best Lender in Best of the Peninsula for Clallam County. First Fed is a Member FDIC and equal housing lender.

    Geri Bullard, Interim CEO / Chief Operating Officer
    First Fed 105 W. Eight Street
    Port Angeles, WA 98362
    360-565-8556

    The MIL Network

  • MIL-OSI Submissions: Understanding the violence against Alawites and Druze in Syria after Assad

    Source: The Conversation – USA (3) – By Güneş Murat Tezcür, Professor and Director of the School of Politics and Global Studies, Arizona State University

    Bedouin fighters at Mazraa village on the outskirts of Sweida city, during clashes in southern Syria on July 18, 2025. AP Photo/Ghaith Alsayed

    In July 2025, clashes between the Druze religious minority and Sunni Arabs backed by government-affiliated forces led to hundreds of deaths in Sweida province in southern Syria. Israel later launched dozens of airstrikes in support of the Druze.

    This eruption of violence was an eerie reminder of what had unfolded in March 2025 when supporters of the fallen regime led by Bashar Assad, an Alawite, targeted security units. In retaliation, militias affiliated with the newly formed government in Damascus carried out indiscriminate killings of Alawites.

    While exact figures remain difficult to verify, more than 1,300 individuals, most of them Alawites, lost their lives. In some cases, entire families were summarily executed.

    Although the Syrian government promised an investigation into the atrocities, home invasions, kidnappings of Alawite women and extrajudicial executions of Alawite men continue.

    The violence in Sweida also bore a sectarian dimension, pitting members of a religious minority against armed groups aligned with the country’s Sunni majority.

    A key difference, however, involved the active Israeli support for the Druze and the U.S. efforts to broker a ceasefire.

    Post-Assad Syria has seen promising developments, including the lifting of international sanctions, a resurgence of civil society and the end of diplomatic isolation. There was even a limited rapprochement with the main Kurdish political party controlling northeastern Syria.

    The persistent violence targeting the Alawites and, to a more limited extent, the Druze, starkly contrasts with these trends. As a scholar of religious minorities and the Middle East, I argue that the current political situation reflects their historical persecution and marginalization.

    History of the Alawites

    The Alawites emerged as a distinct religious community in the 10th century in the region of the Latakia coastal mountains, which today make up northwestern Syria.

    Although their beliefs have some commonalities with Shiite Islam, the Alawites maintain their own unique religious leadership and rituals. Under the Ottoman regime in the late 19th century, they benefited from reforms such as the expansion of educational opportunities and economic modernization, while gaining geographical and social mobility.

    After Hafez Assad, the father of Bashar, came to power in a coup in 1970, he drew upon his Alawite base to reinforce his regime. Consequently, Alawites became disproportionately represented in the officer corps and intelligence services.

    Prior to the civil war, which began in 2011, their population was estimated at around 2 million, constituting roughly 10% of Syria’s population. During the civil war, Alawite young men fighting for the regime suffered heavy casualties. However, most Alawites remained in Syria, while Sunni Arabs and Kurds were disproportionately displaced or became refugees.

    Members of the Alawite minority gather outside the Russian air base in Hmeimim, near Latakia in Syria’s coastal region, on March 11, 2025, as they seek refuge there after violence and retaliatory killings in the area.
    AP Photo/Omar Albam

    Among Syria’s minorities, two key factors make the Alawites most vulnerable to mass violence in post-Assad Syria. The first factor is that, like the Druze, Alawites have their own distinct beliefs that deviate from Sunni Islam. Their religious practices and teachings are often described as “esoteric” and remain mostly inaccessible to outsiders.

    In my 2024 book “Liminal Minorities: Religious Difference and Mass Violence in Muslim Societies,” I categorize the Alawites and Druze in Syria alongside Yezidis in Iraq, Alevis in Turkey and Baha’is in Iran as “liminal minorities” – religious groups subject to deep-seated stigmas transmitted across generations.

    These groups are often treated as heretics who split from Islam and whose beliefs and rituals are deemed beyond the pale of acceptance. For instance, according to Alawite beliefs, Ali, the son-in-law of Prophet Muhammad, is a divine manifestation of God, which challenges the idea of strict monotheism central to Sunni Islam.

    From the perspective of Sunni orthodoxy, these groups’ beliefs have been a source of suspicion and disdain. A series of fatwas by prominent Sunni clerics from the 14th to the 19th century declared Alawites heretics.

    Resentment against the Alawites

    The second factor contributing to the Alawites’ vulnerability is the widespread perception that they were the main beneficiaries of the Assad regime, which engaged in mass murder against its own citizens. Although power remained narrowly concentrated under Assad, many Alawites occupied key positions in the security apparatus as well as the government.

    In today’s political landscape where the central government remains weak and its control over various armed groups is limited, religious stigmatization and political resentment create fertile ground for mass violence targeting the Alawites.

    The massacres of March 2025 were accompanied by sectarian hate speech, including open calls for the extermination of the Alawites, both in the streets and on social media.

    While many Sunni Muslims in Syria also perceive the Druze as heretics, they maintained a greater degree of distance from the Assad regime and were less integrated into its security apparatus.

    Nonetheless, in recent months the situation deteriorated rapidly in the Druze heartland. The Druze militias and local Bedouin tribes engaged in heavy fighting in July 2025. Unlike the Alawites, the Druze received direct military assistance from Israel, which has its small but influential Druze population. This further complicates peaceful coexistence among religious groups in post-Assad Syria.

    A sober future

    Sunni Arab identity is central to the newly formed government in Damascus, which can come at the expense of religious and ethnic pluralism. However, it has incentives to rein in arbitrary violence against the Alawites and Druze. Projecting itself as a source of order and national unity helps the government internationally, both diplomatically and economically.

    Internally, however, the new government remains fractured and lacks effective control over vast swaths of territory. While it pays lip service to transitional justice, it is also cautious about being perceived as overly lenient toward individuals associated with the Assad regime and its crimes. Meanwhile, Alawite and Druze demands for regional autonomy continue to stoke popular Sunni resentments and risk triggering further cycles of instability and violence.

    I believe that in a post-Assad Syria defined by fractured governance and episodic retribution, the Alawites as well as Druze are likely to face deepening marginalization.

    Güneş Murat Tezcür 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. Understanding the violence against Alawites and Druze in Syria after Assad – https://theconversation.com/understanding-the-violence-against-alawites-and-druze-in-syria-after-assad-255292

    MIL OSI

  • MIL-OSI Submissions: Binary star systems are complex astronomical objects − a new AI approach could pin down their properties quickly

    Source: The Conversation – USA – By Andrej Prša, Professor of Astrophysics and Planetary Science, Villanova University

    In a binary star system, two stars orbit around each other. ESO/L. Calçada, CC BY

    Stars are the fundamental building blocks of our universe. Most stars host planets, like our Sun hosts our solar system, and if you look more broadly, groups of stars make up huge structures such as clusters and galaxies. So before astrophysicists can attempt to understand these large-scale structures, we first need to understand basic properties of stars, such as their mass, radius and temperature.

    But measuring these basic properties has proved exceedingly difficult. This is because stars are quite literally at astronomical distances. If our Sun were a basketball on the East Coast of the U.S., then the closest star, Proxima, would be an orange in Hawaii. Even the world’s largest telescopes cannot resolve an orange in Hawaii. Measuring radii and masses of stars appears to be out of scientists’ reach.

    Enter binary stars. Binaries are systems of two stars revolving around a mutual center of mass. Their motion is governed by Kepler’s harmonic law, which connects three important quantities: the sizes of each orbit, the time it takes for them to orbit, called the orbital period, and the total mass of the system.

    I’m an astronomer, and my research team has been working on advancing our theoretical understanding and modeling approaches to binary stars and multiple stellar systems. For the past two decades we’ve also been pioneering the use of artificial intelligence in interpreting observations of these cornerstone celestial objects.

    Measuring stellar masses

    Astronomers can measure orbital size and period of a binary system easily enough from observations, so with those two pieces they can calculate the total mass of the system. Kepler’s harmonic law acts as a scale to weigh celestial bodies.

    Binary stars orbit around each other, and in eclipsing binary stars, one passes in front of the other, relative to the telescope lens.
    Merikanto/Wikimedia Commons, CC BY-SA

    Think of a playground seesaw. If the two kids weigh about the same, they’ll have to sit at about the same distance from the midpoint. If, however, one child is bigger, he or she will have to sit closer, and the smaller kid farther from the midpoint.

    It’s the same with stars: The more massive the star in a binary pair, the closer to the center it is and the slower it revolves about the center. When astronomers measure the speeds at which the stars move, they can also tell how large the stars’ orbits are, and as a result, what they must weigh.

    Measuring stellar radii

    Kepler’s harmonic law, unfortunately, tells astronomers nothing about the radii of stars. For those, astronomers rely on another serendipitous feature of Mother Nature.

    Binary star orbits are oriented randomly. Sometimes, it happens that a telescope’s line of sight aligns with the plane a binary star system orbits on. This fortuitous alignment means the stars eclipse one another as they revolve about the center. The shapes of these eclipses allow astronomers to find out the stars’ radii using straightforward geometry. These systems are called eclipsing binary stars.

    By taking measurements from an eclipsing binary star system, astronomers can measure the radii of the stars.

    More than half of all Sun-like stars are found in binaries, and eclipsing binaries account for about 1% to 2% of all stars. That may sound low, but the universe is vast, so there are lots and lots of eclipsing systems out there – hundreds of millions in our galaxy alone.

    By observing eclipsing binaries, astronomers can measure not only the masses and radii of stars but also how hot and how bright they are.

    Complex problems require complex computing

    Even with eclipsing binaries, measuring the properties of stars is no easy task. Stars are deformed as they rotate and pull on each other in a binary system. They interact, they irradiate one another, they can have spots and magnetic fields, and they can be tilted this way or that.

    To study them, astronomers use complex models that have many knobs and switches. As an input, the models take parameters – for example, a star’s shape and size, its orbital properties, or how much light it emits – to predict how an observer would see such an eclipsing binary system.

    Computer models take time. Computing model predictions typically takes a few minutes. To be sure that we can trust them, we need to try lots of parameter combinations – typically tens of millions.

    This many combinations requires hundreds of millions of minutes of compute time, just to determine basic properties of stars. That amounts to over 200 years of computer time.

    Computers linked in a cluster can compute faster, but even using a computer cluster, it takes three or more weeks to “solve,” or determine all the parameters for, a single binary. This challenge explains why there are only about 300 stars for which astronomers have accurate measurements of their fundamental parameters.

    The models used to solve these systems have already been heavily optimized and can’t go much faster than they already do. So, researchers need an entirely new approach to reducing computing time.

    Using deep learning

    One solution my research team has explored involves deep-learning neural networks. The basic idea is simple: We wanted to replace a computationally expensive physical model with a much faster AI-based model.

    First, we computed a huge database of predictions about a hypothetical binary star – using the features that astronomers can readily observe – where we varied the hypothetical binary star’s properties. We are talking hundreds of millions of parameter combinations. Then, we compared these results to the actual observations to see which ones best match up. AI and neural networks are ideally suited for this task.

    In a nutshell, neural networks are mappings. They map a certain known input to a given output. In our case, they map the properties of eclipsing binaries to the expected predictions. Neural networks emulate the model of a binary but without having to account for all the complexity of the physical model.

    Neural networks detect patterns and use their training to predict an output, based on an input.

    We train the neural network by showing it each prediction from our database, along with the set of properties used to generate it. Once fully trained, the neural network will be able to accurately predict what astronomers should observe from the given properties of a binary system.

    Compared to a few minutes of runtime for the physical model, a neural network uses artificial intelligence to get the same result within a tiny fraction of a second.

    Reaping the benefits

    A tiny fraction of a second works out to about a millionfold runtime reduction. This brings the time down from weeks on a supercomputer to mere minutes on a single laptop. It also means that we can analyze hundreds of thousands of binary systems in a couple of weeks on a computer cluster.

    This reduction means we can obtain fundamental properties – stellar masses, radii, temperatures and luminosities – for every eclipsing binary star ever observed within a month or two. The big challenge remaining is to show that AI results really give the same results as the physical model.

    This task is the crux of my team’s new paper. In it we’ve shown that, indeed, the AI-driven model yields the same results as the physical model across over 99% of parameter combinations. This result means the AI’s performance is robust. Our next step? Deploy the AI on all observed eclipsing binaries.

    Best of all? While we applied this methodology to binaries, the basic principle applies to any complex physical model out there. Similar AI models are already speeding up many real-world applications, from weather forecasting to stock market analysis.

    Andrej Prša receives funding from the National Aeronautics and Space Administration.

    ref. Binary star systems are complex astronomical objects − a new AI approach could pin down their properties quickly – https://theconversation.com/binary-star-systems-are-complex-astronomical-objects-a-new-ai-approach-could-pin-down-their-properties-quickly-253387

    MIL OSI