Category: Education

  • MIL-OSI Asia-Pac: Social welfare sector actively participates in symposium to raise awareness of safeguarding national security (with photos/video)

    Source: Hong Kong Government special administrative region

         The symposium on safeguarding national security for the social welfare sector of Hong Kong, jointly organised by the Labour and Welfare Bureau (LWB) and the Social Welfare Department (SWD) of the Government of the Hong Kong Special Administrative Region (HKSAR) and the Connecting Hearts, was held today (April 8) to further enhance the sector’s awareness of safeguarding national security.

         Officiated by the Chief Secretary for Administration, Mr Chan Kwok-ki, the symposium attracted over 8 000 participants from the social welfare sector of Hong Kong, who took part both online and offline. The Secretary for Labour and Welfare, Mr Chris Sun; the Director-General of the Social Work Department of the Liaison Office of the Central People’s Government in the HKSAR, Mr Liu Songlin; and Vice-Chairman of the Connecting Hearts and head of the Connecting Hearts Academy, Professor Annie Tam, also attended the symposium.

         Addressing the symposium, Mr Chan said that the HKSAR Government has achieved fruitful results in safeguarding national security and promoting patriotic education over the past year or so, including the completion of the legislation on Article 23 of the Basic Law that ensures the smooth implementation of the Safeguarding National Security Ordinance as well as the amendments to the Social Workers Registration Ordinance which foster a better environment for social welfare professionals to leverage their expertise.

         Mr Chan said that the social welfare sector is charged with the important and long-term responsibilities in serving the community and caring for members of the public. It is also their mission and duty to safeguard national security. He urged the social welfare sector to continue collaborating with the HKSAR Government to sustain efforts in safeguarding national security, thereby ensuring the healthy development of welfare services in Hong Kong and enhanced safeguards for public well-being.

         A sharing session was held at the symposium where Mr Sun was joined by six representatives from different fields of the social welfare sector, including professors from education institutions, management of social welfare organisations and professional social workers, to explore how the sector can fulfil the responsibility of safeguarding national security and promote patriotic education. Mr Sun said that the LWB and the SWD have been working closely with social welfare organisations in the previous year to promote national security education within the sector through organising symposiums, seminars and visits with a view to enhancing the sector’s understanding of national affairs. A dedicated fund of $500 million was rolled out last year, in which $100 million was allocated to non-governmental organisations operating subvented welfare services to arrange Mainland exchange tours and national studies programmes for their staff members. Among these tours and programmes, the “Thousands of Hong Kong Social Workers Exploring the Motherland” exchange tours organised by the Connecting Hearts have achieved remarkable results. Visits to Chaozhou, Shaoguan, Guangzhou and Foshan have attracted about 1 400 participants in total.

         Member of the Standing Committee of the National People’s Congress, Ms Starry Lee, and the Director of the National Security and Legal Education Research Centre of the Education University of Hong Kong, Professor Gu Minkang, also shared their valuable insights on patriotic education as well as national security and the law at the symposium respectively, which enabled participants to have deeper and more comprehensive understanding of the relevant topics.

    MIL OSI Asia Pacific News

  • MIL-OSI: Pythian Wins 2025 Google Cloud Databases Partner of the Year for North America

    Source: GlobeNewswire (MIL-OSI)

    LAS VEGAS, April 08, 2025 (GLOBE NEWSWIRE) — Pythian Services Inc. (“Pythian”), a leading global services company specializing in data, analytics, and AI solutions, announced today that it has received the 2025 Google Cloud Databases Partner of the Year Award for North America. This award honors Pythian’s work helping customers transform their businesses by securely and reliably managing and migrating enterprise data to Google Cloud.

    Pythian made the announcement at Google Cloud Next 25, taking place in Las Vegas from April 9 – 11. You can visit Pythian at booth #2787.

    For over 27 years, Pythian’s expertise has spanned a wide range of database technologies, including Oracle, MySQL, PostgreSQL, Cassandra, MongoDB, Microsoft SQL Server, and more. The company’s collaboration with Google Cloud—particularly on AlloyDB for PostgreSQL, Cloud SQL, and Toolkit Solution offerings—has enabled customers to modernize their data platforms, driving greater reliability, security, and value creation. Its long-established leadership within the technical community was also a key differentiator.

    “Pythian is proud and honored to be recognized as the 2025 Google Cloud Databases Partner of the Year for North America,” said Brooks Borcherding, CEO at Pythian. “Receiving this award is a very meaningful acknowledgement of our deep partnership with Google, a partnership built on a shared commitment to helping customers unlock the full potential of their data with Google Cloud services.”

    “Google Cloud’s Partner Awards recognize partners who have created outsized value for customers through the delivery of innovative solutions and a high level of expertise,” said Kevin Ichhpurani, president, Global Partner Ecosystem, Google Cloud. “We’re proud to announce Pythian as a 2025 Google Cloud Partner Award winner and celebrate their impact enabling customer success over the past year.”

    Google Cloud’s unique suite of AI-powered, planet-scale databases delivers unmatched reliability, performance, security, and global reach. Customers also gain significant advantages, including cost efficiency, ease of use, developer flexibility, multicloud capabilities, and built-in security. Pythian’s data management services have empowered companies like Schnucks, Wayfair, Porch.com, and Zenni Optical to achieve radical business transformations. By seamlessly migrating databases from sources like Oracle and MSSQL to Google Cloud—including AlloyDB for PostgreSQL, Cloud SQL, Spanner, and Oracle Database@Google Cloud—Pythian ensures successful outcomes at every stage, from planning to deployment.

    With nearly three decades of Oracle Database experience, Pythian is a trusted leader in the industry and related technical community. Since the company’s inception, Pythian experts have contributed to this community by sharing knowledge through a variety of mediums. Its subject matter experts have routinely worked hand in hand with Google Cloud database engineering teams as database offerings have progressed through critical development phases.

    “As an example, our collaboration with Google Cloud on the Oracle Database@Google Cloud solution exemplifies the powerful synergy between our engineering teams. By working closely with Google Cloud’s experts, we’re able to deliver exceptional results for our shared customers,” said Vanessa Simmons, senior vice president, Business Development at Pythian. “As a testament to our confidence in the solution, we even migrated our own systems to Oracle Database@Google Cloud.”

    As a Google Cloud evangelist for the Oracle partnership, Pythian published a blog series explaining the technical and business benefits of Oracle Database@Google Cloud. It also facilitated a webinar series featuring Google and Oracle leadership to share the key details of the new solution, how it benefits customers, and how to get started. The company also expanded its team’s Database Engineer certifications, further solidifying its position as leader in the field.

    Pythian previously earned the Google Cloud Specialization Partner of the Year for Data Management Award in 2020. Since then, the company continues to demonstrate expertise in building innovative, customer-focused solutions on Google Cloud as an avenue to AI adoption.

    Learn more about our Google Cloud Workshops and how to get started.

    About Pythian

    Founded in 1997, Pythian is a leading data and AI services provider specializing in digital transformation and operational excellence for enterprise customers. We help organizations optimize their data estates, helping them to drive AI enablement, innovation, and growth. Through strategic consulting, managed services and cloud migrations, we enable cost savings, risk reduction and seamless operations while preparing businesses to adopt AI and for the future of data management. A Premier Partner for Google Cloud in the Service and Sell Engagement Models with multiple Specializations, including Data Analytics, Marketing Analytics, Machine Learning, Data Management, Infrastructure, Cloud Migration and a certified Google Cloud MSP, we’ve delivered thousands of professional and managed services projects for leading enterprises. For more information, visit www.pythian.com or follow us on X, LinkedIn, and our Blog.

    Pythian Media Contacts

    Vanessa Simmons
    Senior Vice President, Business Development
    simmons@pythian.com
    +1 613-897-9444
    Elisabeth Grant
    Branch Out Public Relations
    egrant@branchoutpr.com
    +1 612-599-7797
     
         

    A photo accompanying this announcement is available at https://www.globenewswire.com/NewsRoom/AttachmentNg/dffd8d31-5287-4668-a972-ef867a615239

    The MIL Network

  • MIL-OSI USA: Strickland Leads Bipartisan Letter on Impact Aid and Education Department Cuts

    Source: United States House of Representatives – Congresswoman Marilyn Strickland (WA-10)

    Washington, DC – Today, Congresswoman Marilyn Strickland (WA-10) sent a letter with 40 of her colleagues to the Department of Education expressing deep concern for the disbursement of Impact Aid. The letter addresses the impact on school districts and how the program fills funding gaps.

    “We demand the immediate reversal of any Executive Orders that would halt the disbursement of Impact Aid funds through the Department of Education,” said the lawmakers.

    In the letter, the lawmakers added, ” Students are our nation’s future leaders. It is the federal government’s job to ensure the needs of all students are met so that public education can remain a stable and accessible foundation for everyone to succeed, no matter their background or where they live.”

    House members who signed onto the bipartisan letter are: Rep. Yassamin Ansari (AZ-03), Rep. Don Bacon (NE-02), Rep. Julia Brownley (CA-26), Rep. Salud Carbajal (CA-24), Rep. Ed Case (HI-01), Rep. Joe Courtney (CT-02), Rep. Danny Davis (IL-07), Rep. Donald Davis (NC-01), Rep. Suzan DelBene (WA-01), Christopher Deluzio (PA-17), Rep. Sarah Elfreth (MD-03), Rep. Veronica Escobar (TX-16), Rep. Dwight Evans (PA-03), Rep. John Garamendi (CA-08), Rep. Robert Garcia (CA-42), Rep. Josh Gottheimer (NJ-05), Rep. Jared Huffman (CA-02), Rep. Glenn Ivey (MD-04), Rep. Pramila Jayapal (WA-07), Rep. Julie Johnson (TX-32), Rep. Greg Landsman (OH-01), Rep. Rick Larsen (WA-02), Rep. Teresa Leger Fernandez (NM-03), Rep. Mike Levin (CA-49), Rep. Sarah McBride (DE At-Large), Rep. Betty McCollum (MN-04), Rep. Scott Peters (CA-50), Rep. Emily Randall (WA-06), Rep. Jamie Raskin (MD-08), Rep. Patrick Ryan (NY-18), Rep. Bradley Schneider (IL-10), Rep. Kim Schrier (WA-08), Rep. Mikie Sherrill (NJ-11), Rep. Adam Smith (WA-09), Rep. Greg Stanton (AZ-04), Rep. Mark Takano (CA-39), Rep. Rashida Tlaib (MI-12), Rep. Jill Tokuda (HI-02), Rep. Paul Tonko (NY-20), Rep. Lauren Underwood (IL-14), Rep. Juan Vargas (CA-52), and Rep. George Whitesides (CA-27).

    You can read the full letter here or below:

    The Honorable Linda McMahon
    Secretary
    United States Department of Education
    400 Maryland Avenue, SW
    Washington, DC 20202

    April 8, 2025

    Dear Secretary McMahon, 

    We write to you with deep concern about how the President’s recent Executive Order to dismantle the Department of Education will affect the disbursement of Impact Aid. As you know, public schools are funded through state and local property taxes. However, in school districts where there is a significant amount of federal land, schools lose funding because federal lands are exempt from paying state and local property taxes.

    Recognizing the importance of public education as the foundation of our society and to ensure that all students receive a fair education, the Impact Aid program was signed into law by President Harry Truman in 1950. It is the nation’s oldest K-12 federal education program.

    As established by law, funds are appropriated by Congress and administered by the Department of Education. Impact Aid is one of the only major federal education programs that is not forward funded, meaning that funds are used in real time to pay staff and keep schools operating.

    Impact Aid is disbursed to over 1,000 school districts across the country, and it reaches nearly 8 million students. School districts that have military installations, Indian Trust and Treaty lands, federal low-rent housing facilities, Veterans Affairs facilities, national parks, and other U.S. government-owned properties located within their bounds miss out on thousands of taxpayer revenue every year, and Impact Aid helps to fill these gaps. 

    We are seeking clarification on how this program will be affected by the recent mass Reduction in Force (RIF) at the U.S. Department of Education, signed by the President on March 20, 2025. The reality is that the President has no right to eliminate the Department of Education as he is attempting to do without Congressional approval. These major staffing changes and potential disruption in program funding will adversely impact the educational outcomes of all students.

    Impact Aid dollars are especially necessary for our nation’s military families. The U.S. maintains at least one military installation in all 50 states. While supplemental Department of Defense Education Activity (DoDEA) Impact Aid is distributed separately, DoDEA relies on data provided by the Federal Impact Aid Program at the Department of Education. For these military-connected school districts, class sizes will rapidly increase, and low-income students and students with disabilities will be stripped of the resources they need to learn if funding is no longer distributed in a timely manner. 

    As stated in the President’s Executive Order, the intention of dismantling the Department of Education is to “return education authority to the States.” Impact Aid is a prime example of a federal program that skips bureaucratic tape as money is sent directly to school districts for their discretion to target funds wherever needs are the greatest. Ending this program or preventing its implementation directly contradicts the President’s intentions to give local communities and states more flexibility and freedom. 

    We are also concerned that the Department’s recent RIF saw a near total elimination of staff at the National Center for Education Statistics (NCES), which the Impact Aid office relies upon to generate annual Local Contribution Rates (LCR). Without this data, recent progress in paying out final payments in a timely manner could be erased, with final payments possibly delayed by several fiscal years.  

    We demand the immediate reversal of any Executive Orders that would halt the disbursement of Impact Aid funds through the Department of Education. 

    Additionally, we request your answer to the following questions: 

    1. Have Impact Aid staff through the Department of Education been let go? If so, who plans to oversee the Impact Aid program in their absence? 
    2. Once the Department of Education is no longer operational, will Impact Aid be moved to the jurisdiction of another federal department? 
    3. School districts currently have to apply for Impact Aid through the Department of Education. If the Department is closed, where will districts send their applications? 
    4. Where will DoDEA get their data from for the Supplemental Impact Aid Program to eligible Local Education Agencies (LEAs) since they’ve previously relied on the Department of Education for this information? 
    5. When will FY 2025 funds be made available to the Impact Aid Program Office to disburse directly to eligible school districts?  
    6. FY 2026 grant applications were submitted with a deadline of January 31, 2025. How will the International Activities Program (IAP) receive the LCR data that NCES provides to determine how much funding school districts will receive?  

    Students are the future leaders of our nation. It is the federal government’s job to ensure the needs of all students are met so that public education can remain a stable and accessible foundation for everyone to succeed, no matter their background or where they live. We look forward to your prompt response and explanation of how Impact Aid will continue to serve its important mission for students across the country.

    Congresswoman Marilyn Strickland (WA-10) serves on the House Armed Services Committee and the House Transportation and Infrastructure Committee. She is Whip of the New Democrat Coalition, Secretary of the Congressional Black Caucus, and is one of the first Korean-American women elected to Congress.

    ###

    MIL OSI USA News

  • MIL-OSI USA: Norcross, Hirono Introduce Public Service Freedom to Negotiate Act

    Source: United States House of Representatives – Congressman Donald Norcross (1st District of New Jersey)

    WASHINGTON, DC – Today, Representative Donald Norcross (D-NJ) and Senator Mazie K. Hirono (D-HI) reintroduced the Public Service Freedom to Negotiate Act, bicameral legislation to guarantee the right of public sector employees to organize, act concertedly, and bargain collectively in states that currently do not afford these basic protections. The lawmakers were joined by Representatives Brian Fitzpatrick (R-PA) and Chris Deluzio (D-PA) in introducing the legislation.

    “I know the power of collective bargaining because I’ve lived it,” said Congressman Norcross, a union electrician, member of the International Brotherhood of Electrical Workers (IBEW), and co-chair of the Congressional Labor Caucus. “I spent decades at the negotiating table standing up for working families—fighting for fair pay, safer jobs, and better benefits like health care and retirement. This bill ensures public-sector workers across the country have the same rights to a voice on their job and a seat at the table.”

    “Public sector workers teach our children, protect our safety, and keep our communities moving forward—they deserve the right to organize,” said Senator Hirono. “The Public Service Freedom to Negotiate Act will help ensure that millions of public sector workers across our country have the federal protections they deserve as they fight for fair wages, benefits, and improved working conditions. Private sector workers are already guaranteed the right to organize under federal law, it should be common sense that public sector workers are afforded those same rights. As President Trump works to gut our public sector workforce, this bill is crucial to protect workers’ freedom to organize and bargain collectively. I’m proud to lead this important legislation with Representative Norcross to help ensure that every public employee has their voice heard in the workplace.”

    “No matter where they live, American workers in every sector should have the ability to form and join a union, or to collectively bargain to improve their workplace,” said Congressman Deluzio. “Public servants should have this right, just like other workers. Now is the time for solidarity: let’s come together and stand with hardworking Americans, defend the union way of life, and pass the bipartisan Public Service Freedom to Negotiate Act.”

    “Passing this legislation has never been more urgent — especially now, as federal workers face unprecedented attacks on their collective bargaining rights,” said AFSCME President Lee Saunders. “We believe, as most Americans do, that every worker deserves a union — no matter who they work for. This bill is about something fundamental: respect. Respect for the public service workers who’ve devoted their careers to serving their communities. And respect means the freedom to negotiate.”

    “When workers stand together in a union, their jobs and lives improve. But in half of the country, the people who keep our cities and towns running are banned from collectively bargaining for a good union contract. Every day, the attacks on the fundamental freedoms of workers who keep our streets and water clean, our public transportation moving, and our children learning are increasing from the highest level of government. We need federal law to protect their rights to form a union and negotiate fair contracts that allow them to continue to do the work that is so essential to our communities. We call on every member of Congress to stand with working people and support the Public Service Freedom to Negotiate Act,” said AFL-CIO President Liz Shuler.

    “For years now, the rights of workers like nurses, librarians, educators, and all our essential public servants who dedicate themselves to our communities have been chipped away at, despite their dedication and selfless service to their communities,” said Claude Cummings Jr., president of the Communications Workers of America. “That’s why the Public Service Freedom to Negotiate Act is so vital. It protects public sector workers’ fundamental right to join together, bargain for fair pay, and stand up for decent working conditions. Congress needs to step up and pass this now and push back against efforts trying to undermine these essential rights.”

    “As education, healthcare and public service workers, our members make a difference in the lives of others every day. But too many states don’t allow the people who do the work to have a voice,” said Randi Weingarten, President of AFT. “The Public Service Freedom to Negotiate Act would change that, ensuring public servants, no matter where they reside, have a means to influence their own lives. Whether it’s higher wages, safer working conditions, or a secure retirement, the ability to organize a union and bargain collectively lifts working families, students, patients, and entire communities up. That’s why we enthusiastically support this legislation and are committed to moving it forward.”

    The Public Service Freedom to Negotiate Act would establish baseline federal protections to ensure all public service workers can join a union and negotiate workplace conditions—regardless of state law. The bill comes at a critical time, as recent federal actions have renewed attention on the collective bargaining rights of public employees, including those serving in national security-related agencies.

    Specifically, The Public Service Freedom to Negotiate Act would set a minimum nationwide standard of collective bargaining rights that states must provide, including allowing public service workers to join together and have a voice on the job to improve both working conditions and the communities in which they live and work. The legislation gives public service workers the freedom to:

    • Join together in a union selected by a majority of employees;
    • Collectively bargain over wages, hours and terms and conditions of employment;
    • Access dispute resolution mechanisms;
    • Use voluntary payroll deduction for union dues;
    • Engage in concerted activities related to collective bargaining and mutual aid;
    • Have their union be free from requirements to hold rigged recertification elections; and
    • File suit in court to enforce their labor rights.

    Read the full bill text here. 

    The bill is supported by the American Federation of State, County and Municipal Employees (AFSCME); the Communications Workers of America (CWA); American Federation of Teachers (AFT); AFL-CIO; Amalgamated Transit Union (ATU); Department for Professional Employees, AFL-CIO (DPE); International Brotherhood of Teamsters; International Association of Machinists and Aerospace Workers (IAM); International Alliance of Theatrical Stage Employees (IATSE); International Federation of Professional and Technical Engineers (IFPTE); International Union of Police Associations (IUPA); International Union of Painters & Allied Trades (IUPAT); Laborer’s International Union of North America (LiUNA); National Education Association (NEA); National Nurses United; Service Employees International Union (SEIU); Transport Workers Union of America (TWU); UNITE HERE!; United Autoworkers; United Steelworkers (USW).

    ###

    MIL OSI USA News

  • MIL-OSI: Fortinet Wins 2025 Google Cloud Technology Partner of the Year Award

    Source: GlobeNewswire (MIL-OSI)

    SUNNYVALE, Calif., April 08, 2025 (GLOBE NEWSWIRE) — Fortinet® (NASDAQ: FTNT), the global cybersecurity leader driving the convergence of networking and security, today announced it has won the 2025 Google Cloud Infrastructure Modernization Partner of the Year Award for Networking. As a five-time Google Cloud Technology Partner of the Year Award winner, Fortinet continues to be recognized by Google for creating industry-leading solutions and strong customer experiences with Google Cloud.

    “We’re honored to once again be recognized as a Google Cloud Technology Partner of the Year. This award highlights the strength of our application and infrastructure security solutions and reinforces our deep integration with Google Cloud services through the Fortinet Security Fabric, powered by our single operating system, FortiOS. As organizations navigate increasingly complex cloud environments, our commitment to security innovation ensures IT and security teams have the tools they need to scale securely, optimize performance, and stay ahead of evolving threats.” Jaime Romero, Executive Vice President of Marketing, Fortinet

    “Google Cloud’s Partner Awards recognize partners who have created outsized value for customers through the delivery of innovative solutions and a high level of expertise. We’re proud to announce Fortinet as a 2025 Google Cloud Partner Award winner and celebrate their impact enabling customer success over the past year.” Kevin Ichhpurani, President, Global Partner Ecosystem, Google Cloud

    Fortinet’s integration with Google Cloud delivers enterprise-grade security, enabling businesses to scale, optimize performance, and defend against evolving threats. FortiGate VM, Fortinet’s virtual next-generation firewall (NGFW), enforces consistent security policies across private, public, and telco clouds, forming the foundation of a hybrid mesh firewall infrastructure.

    As part of a broader cloud security platform that includes application security and cloud-native application protection platform (CNAPP) solutions, Fortinet delivers comprehensive, integrated code-to-security with 360-degree defense-in-depth protection for applications and data living in cloud and hybrid cloud environments.

    Fortinet also boasts a robust network of secure access service edge (SASE) locations that are scalable and globally available through Fortinet and Google Cloud. Fortinet Unified SASE simplifies operations while enabling low latency secure remote and on-prem access and protects networks, applications, data, network edges, and thin edges.

    Additionally, Fortinet offers a flexible, usage-based licensing program called FortiFlex that allows Google Cloud customers to optimize their deployments and investments in Google Cloud to perfectly match their dynamic needs. With FortiFlex, organizations can readily scale Fortinet solutions for Google Cloud at any time. Unused credit can be rolled over to subsequent years, further helping customers maximize their dollars. For customers with Google Cloud Committed Use Discount (CUD) agreements, FortiFlex also offers a quick and easy way to meet their committed spend obligations.

    This recognition reinforces Fortinet’s long-standing partnership with Google Cloud and its commitment to delivering innovative, enterprise-grade cybersecurity solutions.

    Additional Resources

    About Fortinet (www.fortinet.com)
    Fortinet (Nasdaq: FTNT) is a driving force in the evolution of cybersecurity and the convergence of networking and security. Our mission is to secure people, devices, and data everywhere, and today we deliver cybersecurity everywhere our customers need it with the largest integrated portfolio of over 50 enterprise-grade products. Well over half a million customers trust Fortinet’s solutions, which are among the most deployed, most patented, and most validated in the industry. The Fortinet Training Institute, one of the largest and broadest training programs in the industry, is dedicated to making cybersecurity training and new career opportunities available to everyone. Collaboration with esteemed organizations from both the public and private sectors, including Computer Emergency Response Teams (“CERTS”), government entities, and academia, is a fundamental aspect of Fortinet’s commitment to enhance cyber resilience globally. FortiGuard Labs, Fortinet’s elite threat intelligence and research organization, develops and utilizes leading-edge machine learning and AI technologies to provide customers with timely and consistently top-rated protection and actionable threat intelligence. Learn more at https://www.fortinet.com, the Fortinet Blog, and FortiGuard Labs.

    Copyright © 2025 Fortinet, Inc. All rights reserved. The symbols ® and ™ denote respectively federally registered trademarks and common law trademarks of Fortinet, Inc., its subsidiaries and affiliates. Fortinet’s trademarks include, but are not limited to, the following: Fortinet, the Fortinet logo, FortiGate, FortiOS, FortiGuard, FortiCare, FortiAnalyzer, FortiManager, FortiASIC, FortiClient, FortiCloud, FortiMail, FortiSandbox, FortiADC, FortiAgent, FortiAI, FortiAIOps, FortiAgent, FortiAntenna, FortiAP, FortiAPCam, FortiAuthenticator, FortiCache, FortiCall, FortiCam, FortiCamera, FortiCarrier, FortiCASB, FortiCentral, FortiCNP, FortiConnect, FortiController, FortiConverter, FortiCSPM, FortiCWP, FortiDAST, FortiDB, FortiDDoS, FortiDeceptor, FortiDeploy, FortiDevSec, FortiDLP, FortiEdge, FortiEDR, FortiEndpoint FortiExplorer, FortiExtender, FortiFirewall, FortiFlex FortiFone, FortiGSLB, FortiGuest, FortiHypervisor, FortiInsight, FortiIsolator, FortiLAN, FortiLink, FortiMonitor, FortiNAC, FortiNDR, FortiPAM, FortiPenTest, FortiPhish, FortiPoint, FortiPolicy, FortiPortal, FortiPresence, FortiProxy, FortiRecon, FortiRecorder, FortiSASE, FortiScanner, FortiSDNConnector, FortiSEC, FortiSIEM, FortiSMS, FortiSOAR, FortiSRA, FortiStack, FortiSwitch, FortiTester, FortiToken, FortiTrust, FortiVoice, FortiWAN, FortiWeb, FortiWiFi, FortiWLC, FortiWLM, FortiXDR and Lacework FortiCNAPP. Other trademarks belong to their respective owners. Fortinet has not independently verified statements or certifications herein attributed to third parties and Fortinet does not independently endorse such statements. Notwithstanding anything to the contrary herein, nothing herein constitutes a warranty, guarantee, contract, binding specification or other binding commitment by Fortinet or any indication of intent related to a binding commitment, and performance and other specification information herein may be unique to certain environments.

    The MIL Network

  • MIL-OSI USA: AFSCME and union partners join with members of Congress to reintroduce bill to expand workers’ freedoms

    Source: American Federation of State, County and Municipal Employees Union

    As workers face unprecedented attacks despite support for labor unions remaining at near-historic highs, the bipartisan Public Service Freedom to Negotiate Act is needed to protect and expand the freedom of public service workers to collectively bargain.

     

     

    WASHINGTON – On Tuesday, the American Federation of State, County and Municipal Employees (AFSCME) and a coalition of union partners joined together with Senator Mazie Hirono and Representatives Donald Norcross, Brian Fitzpatrick and Chris Deluzio to introduce the bipartisan Public Service Freedom to Negotiate Act. First introduced in 2019, this legislation would set a minimum nationwide standard of collective bargaining rights that states must provide – a right that public service workers are currently denied in 25 states.

    In the face of unprecedented, billionaire-led attacks on public service workers and their jobs, leaders and union members from AFSCME, the Service Employees International Union (SEIU), Communications Workers of America (CWA) and the American Federation of Labor and Congress of Industrial Organizations (AFL-CIO) spoke at a press conference about the importance of advancing this popular, pro-union legislation.

    “Passing this legislation has never been more urgent — especially now, as federal workers face unprecedented attacks on their collective bargaining rights,” said AFSCME President Lee Saunders. “We believe, as most Americans do, that every worker deserves a union — no matter who they work for. This bill is about something fundamental: respect. Respect for the public service workers who’ve devoted their careers to serving their communities. And respect means the freedom to negotiate.”

    “Because we were able to pass a bill to expand collective bargaining in Maryland, my co-workers and I negotiated a strong contract which will help us keep up the rising cost of living, effectively address issues in the workplace, and better serve the children of Howard County and their families,” said Eliana Holgate, an AFSCME Council 3 member and children’s instructor and research specialist in Maryland. “We should not have to rely on a patchwork of laws nationwide. Workers like our nurses, school bus drivers and library workers should have the freedom to join a union and have the union we choose recognized.”

    “When workers stand together in a union, their jobs and lives improve,” said AFL-CIO President Liz Shuler. “But in half of the country, the people who keep our cities and towns running are banned from collectively bargaining for a good union contract. Every day, the attacks on the fundamental freedoms of workers who keep our streets and water clean, our public transportation moving, and our children learning are increasing from the highest level of government. We need federal law to protect their rights to form a union and negotiate fair contracts that allow them to continue to do the work that is so essential to our communities. We call on every member of Congress to stand with working people and support the Public Service Freedom to Negotiate Act.”

    “Public sector workers teach our children, protect our safety, and keep our communities moving forward—they deserve the right to organize,” said Senator Hirono. “The Public Service Freedom to Negotiate Act will help ensure that millions of public sector workers across our country have the federal protections they deserve as they fight for fair wages, benefits, and improved working conditions. Private sector workers are already guaranteed the right to organize under federal law, it should be common sense that public sector workers are afforded those same rights. As President Trump works to gut our public sector workforce, this bill is crucial to protect workers’ freedom to organize and bargain collectively. I’m proud to lead this important legislation with Representative Norcross to help ensure that every public employee has their voice heard in the workplace.”

    “I know the power of collective bargaining because I’ve lived it,” said Congressman Norcross, a former union electrician, member of the International Brotherhood of Electrical Workers (IBEW), and co-chair of the Congressional Labor Caucus. “I spent decades at the negotiating table standing up for working families — fighting for fair pay, safer jobs, and better benefits like health care and retirement. This bill ensures public-sector workers across the country have that same right to a voice on the job and a seat at the table.” 

    “No matter where they live, American workers in every sector should have the ability to form and join a union, or to collectively bargain to improve their workplace,” said Congressman Chris Deluzio. “Public servants should have this right, just like other workers. Now is the time for solidarity: let’s come together and stand with hardworking Americans, defend the union way of life, and pass the bipartisan Public Service Freedom to Negotiate Act.”

    “For years now, the rights of workers like nurses, librarians, educators, and all our essential public servants who dedicate themselves to our communities have been chipped away at, despite their dedication and selfless service to their communities,” said Claude Cummings Jr., president of the Communications Workers of America. “That’s why the Public Service Freedom to Negotiate Act is so vital. It protects public sector workers’ fundamental right to join together, bargain for fair pay, and stand up for decent working conditions. Congress needs to step up and pass this now and push back against efforts trying to undermine these essential rights.”

    “As education, healthcare and public service workers, our members make a difference in the lives of others every day,” said Randi Weingarten, president of the American Federation of Teachers. “But too many states don’t allow the people who do the work to have a voice.  The Public Service Freedom to Negotiate Act would change that, ensuring public servants, no matter where they reside, have a means to influence their own lives. Whether it’s higher wages, safer working conditions, or a secure retirement, the ability to organize a union and bargain collectively lifts working families, students, patients, and entire communities up. That’s why we enthusiastically support this legislation and are committed to moving it forward.”

    # # #

    MIL OSI USA News

  • MIL-OSI USA: Oregon Department of Human Services launches Brain Injury Program

    Source: US State of Oregon

    he Oregon Department of Human Services (ODHS) launched a new Oregon Brain Injury Program. The program is designed to help individuals with brain injuries navigate and access the services and supports available to them. Services are free and available to anyone in Oregon affected by a brain injury, including family members or others seeking information.

    Free help is available through a toll-free phone line that accepts calls Monday through Friday, from 8 a.m. to 5 p.m. Services provided include:

    • One-on-one, free and confidential support.
    • Personalized referrals to resources specific to brain injury recovery and management.
    • Comprehensive resource information to help navigate available services and options.

    Brain injuries are occurring at more frequent rates in Oregon, according to data published on the Oregon Traumatic Brain Injury Safety Dashboard. In 2023 alone, there were 38,718 brain injuries that required hospital or emergency department intervention and 1,177 fatal brain injuries in Oregon.

    “Oregon’s Brain Injury Program is a step forward in ensuring people in Oregon are supported at every level of need and through every stage of life,” said Nakeshia Knight-Coyle, Director of the ODHS Office of Aging and People with Disabilities. “This program will improve access to services for people with brain injuries and take the burden off families who are trying to find support.”

    The Brain Injury Program serves people with brain injuries through four key areas:

    • Advocacy: Helping people advocate for their needs and access essential supports.
    • Options Counseling: Offering guidance on understanding and comparing available services and programs.
    • Resource Navigation: Connecting individuals to the right resources, whether medical, therapeutic or social.
    • Service Coordination: Facilitating connections between different service providers to ensure coordinated care and support.

    Services are tailored to the needs of each person, ensuring they receive the help that best fits their situation.

    The program also reduces barriers that exist as people seek help. Assistance and supports to people with brain injuries are not centralized under one government agency or program. Case managers or social workers who serve as guides for the people they serve are in short supply. The Brain Injury Program helps address these issues by helping people access services across agencies and programs.

    “Without a resource like the Brain Injury Program help line, many individuals struggle to access services and resources that are available to them. Our goal with the program was to address the gaps,” said Jane-ellen Weidanz, Deputy Director of Policy for the ODHS Office of Aging and People with Disabilities.

    Oregon’s Brain Injury Program was developed as a result of Senate Bill 420 (2023). Oregon’s Brain Injury Advocate Coordinator at the Center on Brain Injury Research and Training (CBIRT) at the University of Oregon was among many advocates and organizations behind development and adoption of Senate Bill 420. “This new program would not exist without the incredible dedication and hard work of hundreds of Oregonians throughout the state who fought tirelessly to make this program a reality. Oregon’s Brain Injury Program represents their commitment to making a better future for all of Oregon’s brain injury survivors, their families, loved ones, and caregivers,” said David Kracke, Oregon’s Brain Injury Advocate Coordinator at CBIRT.

    The bill also calls for creation of a Brain Injury Program Advisory Committee, which will advise on the development of programs and activities to address the needs of individuals with brain injuries across the state. The Advisory Committee will be made up of 12 people who have knowledge and experience in brain injuries and who represent all of the geographic areas of Oregon. At least one-third of the members must have experienced a brain injury. Recruitment for the Advisory Committee is open now. Individuals can apply by submitting an application.

    More information:

    • Brain Injury Program phone number: 1-833-685-0848 (toll-free). Interpreting services are available at no cost for people who need help in a language other than English. The Brain Injury Program accepts TTY calls by dialing 711.
    • Hours of operation: Monday – Friday, 8 a.m. – 5 p.m.
    • Learn more on the Brain Injury Program webpage

    MIL OSI USA News

  • MIL-OSI USA: Congressman Maxwell Frost Statement on Trump Admin. Kidnapping UF Student

    Source: United States House of Representatives – Representative Maxwell Frost Florida (10th District)

    April 07, 2025

    UF Student Detained By ICE, Being Held at Krome Detention Facility Has Not Been Heard from Since April 1st

    WASHINGTON, D.C. — Today, Congressman Maxwell Alejandro Frost (FL-10) slammed Donald Trump and his Administration’s cruelty as a University of Florida student has become the latest victim in ICE’s kidnapping spree. 

    Felipe Zapata Velasquez is a 27 year old, third-year international student attending the University of Florida on an F-1 visa. On March 28th, he was stopped by Gainesville Police for a traffic violation and was arrested and later detained by ICE. Zapata Velasquez’s family has not heard from him since April 1st after he was taken to the Krome Detention Center in Miami-Dade.

    In a statement, Rep. Frost says:

    “Donald Trump and ICE are running a government-funded kidnapping program. Showing up in unmarked vans, with plain clothes officers, they are kidnapping people off the streets and jailing them inside of detention centers without due process and with little cause.

    “Felipe Zapata Velasquez is just the latest victim of Trump’s disgusting campaign against immigrants. What should have been a routine traffic stop, resulted in a nightmare as Felipe is now forced to live in the hell on Earth that is the Krome Detention Center while he awaits deportation orders.

    “Donald Trump ran on the promise of deporting violent criminals and gang members. Instead we’ve seen him kidnap and detain American citizens, legal visa holders like Felipe, and anyone who has spoken out against this Administration. 

    “Donald Trump wants us to believe that deporting every single immigrant in this country will solve our problems and make us safer. But there’s only one criminal responsible for the harm happening to the American people every day, and that’s Donald Trump.

    “As a Member of the Oversight Committee, I vow to use every tool at my disposal to hold this Administration accountable.”

    ###

    MIL OSI USA News

  • MIL-OSI Canada: UBC’s new biomedical engineering building will advance health, biotech

    Source: Government of Canada regional news

    From the University of British Columbia:
    https://news.ubc.ca/2025/04/ubc-opens-gordon-b-shrum-biomedical-engineering-building/

    On April 8, 2025, the University of British Columbia officially opened the doors to the Gordon B. Shrum Building, the new home for the School of Biomedical Engineering (SBME). As Canada’s first purpose-built facility for biomedical engineering, the new building brings together researchers, students, and industry partners under one roof to advance biomedical research, education, and innovation.

    The five-storey, 158,000-square-foot facility includes specialized labs, collaborative research spaces, and teaching facilities to support biomedical engineering and life-sciences innovation. Researchers will use the space to develop new medical devices, artificial intelligence-driven diagnostics, and lifesaving treatments. Meanwhile, students will gain hands-on training experience to prepare them for careers in B.C.’s rapidly growing life sciences sector.

    The $139.4-million project was funded through $25 million from the Government of B.C., $114.4 million from UBC, and more than $30 million in philanthropic support for SBME from donors, including the Gordon B. Shrum Charitable Fund, the Conconi Family Foundation, United Therapeutics Corporation, Dr. Jim McEwen, and Paul and Nicole Geyer.

    The building is named in honour of the philanthropic legacy of Gordon B. Shrum, who graduated from UBC in 1958. Shrum, who passed away in 2018, supported novel approaches to addressing community needs. He left nearly all of his estate to charity, leading to gifts with transformational impact on health care, the environment, education, and social justice.

    “We are grateful to the Government of British Columbia and our generous donors for helping make this building a reality,” said Dr. Benoit-Antoine Bacon, UBC’s president and vice-chancellor. “B.C.’s life sciences sector has emerged as a global leader, and the Gordon B. Shrum Building will play a central role in supporting critical research and the next generation of biomedical engineers who will fuel the sector’s continued growth and bring innovative health solutions to Canadians.”

    Anne Kang, Minister of Post-Secondary Education and Future Skills, said: “This is much more than a building. This is an important milestone in medical innovation and reflects our government’s commitment to improving health care in our province. I am excited for students and the future workers of our medical technology sector to use these state-of-the-art spaces to develop and design the groundbreaking treatment therapies and life-changing medical devices that will improve health outcomes for all British Columbians.”

    Bowinn Ma, Minister of Infrastructure, said: “This world-class facility will play a crucial role in shaping the future of biomedical engineering. We’re making record investments like these that drive innovation, support industry and create important jobs right here in British Columbia.”

    Designed by Canadian architecture firm Patkau Architects, the building provides a dedicated home for SBME, replacing its previously scattered locations across UBC’s Vancouver campus.

    “The School of Biomedical Engineering has been transforming health care through cutting-edge research, education, and partnerships since it was established in 2017,” said SBME Director Dr. Peter Zandstra. “This state-of-the-art facility allows us to take our work to the next level—creating an environment where our faculty and partners can collaborate seamlessly and create transformative new health technologies.”

    Complementing forward-looking architecture and collision spaces, the building’s visual centerpiece is a four-storey mural by biomedical artist Jen Ma.  The artwork represents the multiscale nature of SBME’s research, illustrating how biology, medicine, and engineering intersect—from molecular to cellular to systems levels—to advance human health.

    The new facility includes:

    • biomechanics labs that have robots and machinery for crash-testing research to study how head, spine, and hip injuries happen. This research, led by Dr. Peter Cripton, will help develop new ways to prevent serious trauma from falls, sports, and vehicle accidents;
    • the Conconi Family Biodevice Foundry, a first-of-its-kind in Western Canada, made possible by a donation from the Conconi Family Foundation, which provides tools for designing and testing medical devices. Here, Dr. Govind Kaigala and his team are developing lab-on-a-chip devices, miniature medical tools that allow researchers and doctors to detect and diagnose diseases faster;
    • state-of-the-art digital labs where researchers are using the power of artificial intelligence to improve diagnostic accuracy to enhance treatment outcomes. Here, Dr. Ali Bashashati is advancing AI in medical imaging to improve cancer diagnoses, helping doctors detect diseases earlier and with a greater degree of accuracy;
    • wet labs with specialized equipment and advanced microscopes provided by industry partnerships, where researchers like Dr. Nika Shakiba are working in stem-cell engineering to better understand diseases like cancer and diabetes, potentially leading to new cell-based therapies for these conditions;
    • the Jim McEwen Zone for Innovators, Creators, and Entrepreneurs — supported by UBC double alum Dr. Jim McEwen — a space equipped with 3D printers, prototyping tools, and electronic testing equipment, where students and researchers can prototype and develop new medical technologies.

    Philanthropic support is also enabling SBME to recruit research expertise through the Sir Magdi Yacoub Professorship in Tissue Regeneration, made possible by a donation from the United Therapeutics Corporation. This position will drive collaborative research, education, and training in cell differentiation and tissue regeneration, with the goal of making transplantable organs and organ alternatives accessible to everyone who needs them.

    With the opening of the Gordon B. Shrum Building, UBC is growing its impact in B.C.’s life sciences sector — making room for up to 10 new UBC spin-off ventures each year through SBME Innovates at the Biomedical Research Centre. SBME has already secured $10.2 million in partnership funding and helped launch several biomedical start-ups, including ScopeSys and SeraGene.

    “By fusing the fields of medicine, biology and engineering, SBME is bringing new perspectives and a solutions-focused mindset to some of society’s greatest medical challenges,” said Dr. Dermot Kelleher, Vice-President of Health and Dean of the Faculty of Medicine. “This new facility will elevate B.C.’s biotech sector to new heights, shaping the talent, research, intellectual property and partnerships needed to translate discoveries into lifesaving medicines.”

    Dr. James Olson, Dean of the Faculty of Applied Science, said: “This building is more than just a space for education and research — it’s an engine for innovation that will drive life-altering solutions. By providing cutting-edge facilities and fostering deep industry partnerships, we are empowering our SBME community to bring new health technologies from concept to reality, creating a healthier and more equitable future for all.”

    For Sogand Golshahian, a fourth-year biomedical engineering student specializing in cellular bioengineering and bioinformatics, the new facility represents new opportunities to bridge classroom learning with hands-on experience in biomedical innovation.

    Through SBME’s co-op and research opportunities, Golshahian has been able to apply her skills to real-world projects, from machine learning applications in neuroscience to designing a muscle spasm detection system for intensive care patients in Tanzania.

    “Biomedical engineering offers a unique blend of creativity, innovation, and impact in health care,” she said. “This new facility will provide students with even more opportunities to work at the forefront of medical technology and collaborate with researchers and industry partners to solve global health challenges.”

    MIL OSI Canada News

  • MIL-OSI USA: Rep. Moore and Senator Lee Introduce Legislation to Protect Stay-at-Home-Parents

    Source: United States House of Representatives – Representative Riley Moore (WV-02)

    Washington, D.C. – Today, Congressman Riley M. Moore (R-WV) and Senator Mike Lee (R-UT) introduced the Fairness for Stay at Home Parents Act, which closes a loophole in the Family and Medical Leave Act to ensure employers can’t claw back the cost of health insurance premiums from an employee should he or she choose not to return to work after the birth of a child.

    With health insurance premiums for family coverage averaging $25,000 per year, this current loophole can compel parents to return to work even if they feel unready or would prefer to stay home. 50% of mothers who return to work after the birth of their child experience feelings of guilt about not being with their newborn. This bill strengthens families by giving new parents the option to raise their children without having to worry about their employer clawing back their healthcare premiums.

    The legislation has been endorsed by the American Principles Project, the Bull Moose Project, and the Human Coalition.

    Congressman Moore issued the following statement:

    “Being pro-life means being pro-family. That means ensuring families aren’t penalized for deciding to have a parent stay home with their new baby.

    “Our bill ensures families won’t face a huge bill for insurance premiums simply for choosing what’s best for their family.”

    Senator Mike Lee added:

    “Our legislation rectifies a problem with the Family and Medical Leave Act that unfairly impacts mothers who decide to stay home with their newborns after maternity leave. Each additional financial burden we can remove from growing American families is a victory, and this bill will make it easier for hundreds of thousands of new parents to care for their kids.”

    Brad Wilcox, Senior Fellow at the Institute for Family Studies, further added:

    “Family policy should give parents the choice to care for their young children. The Fairness for Stay-at-Home Parents Act does this, which is why I think it is a smart idea.”

    This story was first covered by the Daily Wire. Read more here.

    ###

    MIL OSI USA News

  • MIL-OSI USA: Kaine & Banks Introduce Bipartisan Bill to Support Mental Health Care and Substance Use Disorder Recovery

    US Senate News:

    Source: United States Senator for Virginia Tim Kaine

    WASHINGTON, D.C. – Today, U.S. Senators Tim Kaine (D-VA) and Jim Banks (R-IN), members of the Senate Health, Education, Labor and Pensions (HELP) Committee, introduced the Providing Empathetic and Effective Recovery (PEER) Support Act, bipartisan legislation to support mental health care and substance use disorder recovery. Specifically, the bill would elevate peer support specialists—individuals with lived experience with a mental health condition or substance use disorder who are certified to assist individuals and their families in recovery through advocacy, relationship and community building, resource sharing, mentorship, goal setting, and more. Although peer support specialists have been shown to decrease substance use for individuals with substance use disorders and reduce re-hospitalization for individuals with mental health conditions, they often face significant barriers to entering or staying in the profession. The PEER Support Act would help remove these barriers, address workforce shortages in the field, and support access to mental health and substance use disorder treatment.

    “Peer support specialists play an important role in mental health and substance use disorder treatment teams, and provide valuable support to individuals in recovery,” said Kaine. “At a time where we need to expand access to mental health care and substance use disorder treatment, this bipartisan legislation is critical to helping peer support specialists enter the field.”

    “As millions of Americans struggle to overcome addiction, access to peer support specialists saves lives. This bipartisan bill helps better connect these experts—who have overcome addiction themselves—to those in recovery,” said Banks.

    “Fifty-two million adults in the U.S.—or 1 in 5 adults—have a mental health condition, and we lack the workforce to help provide much-needed services. The Bipartisan Policy Center has recommended policies advancing peer support specialists and boosting recovery services, and we believe the reintroduction of the PEER Support Act is a critical step toward addressing the shortage of behavioral health workers in this country,” said Michele Stockwell, President of Bipartisan Policy Center Action.

    “Trained peer supporters make an incredible difference in helping people recover, and this bill positions peer support specialists to be a lifeline throughout the behavioral health care system,” said Bruce Curser, Executive Director of Mental Health America of Virginia.

    “I’m both excited and incredibly grateful to see the reintroduction of the PEER Support Act, as it highlights the real and significant barriers faced by Peer Recovery Specialists in our communities. For many of us, including myself, entering this workforce can be an unnecessarily difficult challenge after overcoming the obstacles created by our lived experiences with substance use and mental health diagnoses. The PEER Support Act is essential in creating more job opportunities, fostering professional growth, ensuring recognition as equal professionals, and enabling the collection of crucial data that supports this evidence-based practice,” said Rachel Alderman, AAS, RPRS, CCHW, Community Health Center of the New River Valley (Christiansburg, Virginia).

    “I am more than happy to see advocates stepping up to support Peer Recovery Specialists in this way. Having personally faced barriers in this field due to past charges, I know how discouraging it can be to be turned away from a position despite a commitment to recovery and helping others. I almost gave up, but I am so grateful for the opportunity to prove that a past does not define one’s future. Peer support is built on connection, understanding, and lived experience—showing others that recovery is not only possible but sustainable. This bill is vital to ensuring that those who have walked the path of recovery can continue to uplift and guide others on their own journeys,” said Kellie Simpkins, CPRS, Community Health Center of the New River Valley (Christiansburg, Virginia).

    Specifically, the PEER Support Act would:

    • Codify the Office of Recovery in the Substance Abuse and Mental Health Services Administration (SAMHSA) to
      • Train, educate, and support the professional development of peer support specialists.
      • Research and publish best practice recommendations for the training, certification, and supervision of peer support specialists for entities that employ these professionals.
      • Recommend career pathways for peer support specialists.
      • Provide leadership in the identification of new and emerging issues related to recovery support services.
    • Instruct the Department of Health and Human Services (HHS) and Department of Justice (DOJ) to conduct a study to research states’ screening processes for prospective peer support specialists that may pose undue barriers to their certification, and provide evidence-based recommendations for overcoming those barriers. Some prospective peer support specialists cannot get a license because of their past interactions with law enforcement related to their substance use disorder (such as convictions for possession of drugs that occurred prior to recovery).
    • Direct the Office of Management and Budget (OMB) to revise the Standard Occupational Classification (SOC) system to recognize peer support specialists as a profession, which would help ensure accurate data reporting on the field.

    The PEER Support Act is cosponsored by U.S. Senators Tammy Baldwin (D-WI), Lisa Murkowski (R-AK), and Ron Wyden (D-OR).

    The PEER Support Act is supported by American Association for Psychoanalysis in Clinical Social Work, American Association on Health and Disability (AAHD), American Association of Suicidality, American Foundation for Suicide Prevention (AFSP), American Psychological Association Services (APA Services), Anxiety & Depression Association of America, Ballad Health, Bipartisan Policy Center (BPC), Children and Adults with Attention-Deficit/Hyperactivity Disorder (CHADD), Depression and Bipolar Support Alliance, Face and Voices of Recovery, Fountain House, International Society for Psychiatric Mental Health Nurses, Lakeshore Foundation, Mental Health America (MHA), Maternal Mental Health Leadership Alliance (MMHLA), NAADAC, the Association for Addiction Professionals, National Alliance on Mental Illness (NAMI), National Association for Peer Supporters (NAPS), National Association of State Mental Health Program Directors (NASMHPD), National Council for Mental Wellbeing, National Federation of Families, Overdose Prevention Initiative, Policy Center for Maternal Mental Health, Psychotherapy Action Network, RI International, SMART Recovery, and Trust for America’s Health (TFAH).

    Full text of the PEER Support Act is available here.

    MIL OSI USA News

  • MIL-OSI USA: NEWS: Sanders, Scott, 174 Colleagues Introduce Bill to Raise Minimum Wage to $17 by 2030, Benefitting Nearly 22 Million Americans

    US Senate News:

    Source: United States Senator for Vermont – Bernie Sanders

    WASHINGTON, April 8 – Sen. Bernie Sanders (I-Vt.), Ranking Member of the Senate Committee on Health, Education, Labor, and Pensions (HELP), and Rep. Robert C. “Bobby” Scott (D-Va.), Ranking Member of the House Committee on Education and Workforce, alongside 32 colleagues in the Senate, 142 in the House of Representatives, and with the support of 85 organizations from across the country, today introduced the Raise the Wage Act. This bicameral legislation will ensure American workers make a living wage, drive economic growth, and reduce income inequality by raising the minimum wage to $17 for all workers and gradually eliminating subminimum wages for tipped workers, workers with disabilities, and youth workers. 

    Early Saturday morning, Sanders forced a vote on an amendment to the Budget Resolution in the Senate calling for raising the federal minimum wage to at least $17 an hour over the next 5 years. Every Democrat voted for that amendment while every Republican but one opposed it. 

    Last year, nearly one in four workers in the U.S. made less than $17 per hour. The Raise the Wage will raise the federal minimum wage to $17 over five years, eliminate the tipped subminimum wage over seven years, eliminate the subminimum wage for workers with disabilities over five years, and eliminate the subminimum wage for youth workers over seven years. According to analysis by the Economic Policy Institute (EPI), passing the Raise the Wage Act of 2025 would provide raises to over 22 million workers across the country by 2030. 

    “The $7.25 an hour minimum wage is a starvation wage. It must be raised to a living wage – at least $17 an hour,” Sanders said. “In the year 2025, a job should lift you out of poverty, not keep you in it. At a time of massive income and wealth inequality, we can no longer tolerate millions of workers trying to survive on just $10 or $12 an hour. Congress can no longer ignore the needs of the working class of this country. The time to act is now.” 

    “No person working full-time in America should be living in poverty. The Raise the Wage Act will increase the pay and standard of living for nearly 22 million workers across this country. Raising the minimum wage is good for workers, good for business, and good for the economy. When we put money in the pockets of American workers, they will spend that money in their communities,” said Scott. 

    Raising the minimum wage to a living wage to a living wage is not a radical idea. In 2024, voters in Missouri and Alaska overwhelmingly voted to raise the minimum wage to $15 an hour. In 2022, voters in Nebraska voted to raise the minimum wage to $15 an hour. In 2020, Florida voted to raise the minimum wage to $15 an hour. As a result of inflation, $15 an hour a couple of years ago would be over $18 an hour today. Moreover, if the minimum wage had increased with worker productivity over the last 57 years, it would be over $23 an hour today, not $7.25 an hour. 

    Over the last 50 years, nearly $80 trillion in wealth has been redistributed from the bottom 90 percent of America to the top one percent. Today, the value of the current federal minimum wage – $7.25 per hour – is the lowest it has been since 1956 and has declined by over 32 percent since it was last increased in 2009. While approximately four million tipped workers in the U.S. depend on tips for as much as half of their income or more, the tipped sub-minimum wage has remained stagnant at just $2.13 per hour since 1991. The current median wage for at least 37,000 workers with disabilities is just $3.50 per hour. 

    Meanwhile, across every state in the country, a living wage for a worker in a family with two working adults and one child is greater than $17 per hour, according to the Economic Policy Institute’s (EPI) Family Budget Calculator. Many of these low-wage workers face persistent economic insecurity, struggling to put food on the table and afford basic necessities, including housing, health care, and childcare.

    Black and Hispanic workers disproportionately feel the burden of these low wages as compared to their white counterparts, and that disparity is even worse for women of color. Nearly 40 percent of Hispanic women and 35 percent of Black women make less than $17 per hour. 

    Joining Sanders on this legislation are Sens. Angela Alsobrooks (D-Md.), Tammy Baldwin (D-Wis.), Richard Blumenthal (D-Conn.), Lisa Blunt Rochester (D-Del.), Cory Booker (D-N.J.), Maria Cantwell (D-Wash.), Tammy Duckworth (D-Ill.), Dick Durbin (D-Ill.), John Fetterman (D-Pa.), Ruben Gallego (D-Ariz.), Kirsten Gillibrand (D-N.Y.), Mazie Hirono (D-Hawaii), Tim Kaine (D-Va.), Mark Kelly (D-Ariz.), Andy Kim (D-N.J.), Amy Klobuchar (D-Minn.), Ed Markey (D-Mass.), Jeff Merkley (D-Ore.), Chris Murphy (D-Conn.), Patty Murray (D-Wash.), Alex Padilla (D-Calif.), Gary Peters (D-Mich.), Jack Reed (D-R.I.), Brian Schatz (D-Hawaii), Adam Schiff (D-Calif.), Tina Smith (D-Minn.), Chris Van Hollen (D-Md.), Raphael Warnock (D-Ga.), Elizabeth Warren (D-Mass.), Peter Welch (D-Vt.), Sheldon Whitehouse (D-R.I.), and Ron Wyden (D-Ore.). 

    More than 85 organizations endorsed the Raise the Wage Act of 2025, including Service Employees International Union (SEIU), AFL-CIO, American Association of People with Disabilities (AAPD), American Federation of State, County and Municipal Employees (AFSCME), American Federation of Teachers (AFT), Autistic Self Advocacy Network (ASAN), Business for a Fair Minimum Wage, Communications Workers of America (CWA), Economic Policy Institute (EPI), Equal Pay Today, International Union of Painters and Allied Trades (IUPAT), National Domestic Workers Alliance (NDWA), National Education Association (NEA), National Employment Law Project (NELP), The National Partnership for Women & Families, National Women’s Law Center (NWLC), One Fair Wage, Oxfam America, Patriotic Millionaires, UNITE HERE, United Autoworkers (UAW), United Food and Commercial Workers (UFCW), United for Respect, and United Steelworkers (USW). 

    Sanders and Scott will hold a press conference at 3 p.m. today to introduce this legislation alongside workers from around the country. The press conference will be streamed on Sanders’ social media. 

    Read the bill text here. 

    Read the fact sheet here. 

    MIL OSI USA News

  • MIL-Evening Report: Winston Peters at 80: the populist’s populist clocks up 50 years of political comebacks

    Source: The Conversation (Au and NZ) – By Grant Duncan, Teaching Fellow in Politics and International Relations, University of Auckland, Waipapa Taumata Rau

    Getty Images

    Winston Peters turns a venerable 80 on April 11, but he showed no sign of retiring as New Zealand’s archetypal populist during his recent state of the nation speech. He especially enjoyed the hecklers, gleefully telling them one by one to get out.

    As ever, his detractors became extras in the Winston Peters show – something of a trademark in his long political career. As well as a milestone birthday, 2025 will mark 50 years since Peters’ first election campaign in 1975.

    In that first attempt, he ran unsuccessfully as the National Party candidate for the Northern Māori seat. In 1978, he won in Hunua, but only after a judicial recount. Already we can see a pattern: a dogged determination to come back and a lawyer’s litigious streak.

    His political instincts were formed in that era between 1975 and 1984 under prime minister Robert Muldoon, National’s original, pugnacious populist. It implanted pride in his nation, economic protectionism, and a belief in old-fashioned “common sense” politics.

    Those characteristics could also be his undoing. In 1991, Peters was sacked from Jim Bolger’s National cabinet for publicly criticising cabinet colleagues. He was later kicked out of the National caucus entirely and then vacated his seat.

    As his party website explains in retrospect, he’d questioned “the neoliberal policy agenda” and paid the price. He formed NZ First in 1993 and won back the seat of Tauranga. Ever since, the party known mockingly as “Winston First” has been inextricably identified with its (thus far) one and only leader.

    Winston Peters thanks supporters after winning the Tauranga seat for NZ First in 1993.
    Getty Images

    Coalitions of the willing

    Any mention of Winston Peters’ name gets a reaction, be it love, loathing or wry admiration. For the political scientist, though, his career is remarkable for its many ups and downs, and for sheer longevity.

    In New Zealand’s first proportional representation election in 1996, NZ First, still only three years old, won all of the (then five) Māori electorates. With 13.4% of the party vote (its best result ever), NZ First gained 17 seats, handing Peters a kingmaker role in the government formation negotiations.

    The upshot was a National-NZ First coalition, which broke up acrimoniously in 1998 after a disagreement about a proposal to sell Wellington Airport brought existing tensions between the parties to a head.

    At the 1999 election, NZ First lost the five Māori seats and its party vote plummeted to 4.3%. It got back into parliament only thanks to Peters holding Tauranga by a fingernail: a mere 63 vote majority.

    Dumped by Māori voters, he turned his attention to New Zealand’s growing retirement generations and climbed on board the anti-immigration bandwagon. In 2003, Peters launched an attack on “Third World immigrants” that rattled the National Party’s cage so hard it felt compelled to launch its own populist campaign.

    Then National leader Don Brash’s infamous speech at Orewa in 2004 centred around an alleged “dangerous drift towards racial separatism”. The country became polarised around Māori aspirations and the Treaty of Waitangi, not dissimilar to the effect today of the Treaty Principles Bill.

    Being a populist, Peters is sometimes mischaracterised as far right. But the more significant aspect of his career has been his centrist aptitude for collaborating with either National or Labour, depending on the political wind.

    Between 2005 and 2008, Peters supported Helen Clark’s Labour-led government, enjoying the plum job of foreign minister. But in 2008, National’s John Key categorically refused to work with Peters in government, and NZ First fell to 4.1% at the election.

    With no local electorate win this time, Peters was banished to the political wilderness. Many thought (or hoped) this would spell the end of his career. But he was back in 2011, aiming to be in opposition against Key’s National government. He succeeded in this – and confounded his critics – with a party vote of 6.6%.

    Winston Peters and Labour’s Jacinda Ardern sign the coalition agreement in 2017.
    Getty Images

    COVID and comebacks

    The strategy of seeing out the Key (and successor Bill English) years on the cross benches worked well, with the 2014 election delivering a party-vote boost to 8.7%.

    Peters’ next big break came after the 2017 election when he once again played kingmaker. Although National won the most seats, Peters chose a coalition with Jacinda Ardern’s Labour, with support from the Greens.

    But NZ First’s voter-base had been evenly split over supporting a National-led or Labour-led government. Inevitably, the party would be punished for choosing to go with either major party. And indeed, its share dropped from 7.2% in 2017 to 2.6% in the 2020 election – its worst result ever.

    Once again, Peters was cast out into the wilderness, to the undoubted delight of his many detractors. It was over, surely? As the 2023 election approached, there was considerable doubt about Peters making yet another comeback.

    His party was polling better than in 2011, however, and in the end romped home with 6.1% of the vote. Peters used his bargaining power to become foreign minister and deputy prime minister in the current National-led coalition.

    Some may have wondered how the wily old fox found his way back into the coop. But we can trace at least some of the reason back to a stroll Peters took through the COVID protest camp in parliament grounds in February 2022.

    He said he was there to listen, whereas the Ardern government’s refusal to talk with protestors was “just going to make things much worse”. To make his day, parliament’s speaker Trevor Mallard had Peters trespassed from parliament, which only boosted his maverick reputation – and helped pave the way back to power.

    Not his first rodeo

    Peters courted an anti-vax, anti-globalist constituency, promising to “defend freedom” by ending vaccine mandates and holding “a credible fully independent inquiry into New Zealand’s COVID-19 response”.

    Both things were going to happen anyway. But Peters won votes that might otherwise have gone to fringe protest parties, none of which got more than 1.2%.

    Like a Pied Piper in a double-breasted pinstripe suit, he led the disgruntled all the way to the ballot box. One campaign video featured him in cow-cocky gear, mounting a horse and boasting “this is not our first rodeo”. Among the current generation of politicians, only he could have pulled that off.

    Peters possesses a canny political instinct that combines opportunism with attention-grabbing rhetoric. He can drum up enough enthusiasm from target audiences to get his party over (or back over) the 5% MMP threshold.

    His recent declaration of a “war on woke” shows he’s doing it again. He zeros in on a political pain-point to energise a support base and simultaneously enrage opponents. The latter – along with “the mainstream media” – are used as props as he campaigns from one provincial community hall to the next.

    At 80, Peters is as well adapted to posting on Elon Musk’s X as he is to old-school hustings politics. And he’s showing no sign of calling it a day as he prepares to hand over the office of deputy prime minister to ACT’s David Seymour later this year.

    As the 2026 election draws nearer, one thing will be certain – you can’t rule him out. Don’t be surprised if one day we see an AI-generated Winston Peters telling us this is neither his first nor his last rodeo.

    Grant Duncan 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. Winston Peters at 80: the populist’s populist clocks up 50 years of political comebacks – https://theconversation.com/winston-peters-at-80-the-populists-populist-clocks-up-50-years-of-political-comebacks-253322

    MIL OSI AnalysisEveningReport.nz

  • MIL-OSI USA: Combatting Housing Discrimination Across New York

    Source: US State of New York

    overnor Kathy Hochul today announced substantial progress in combatting housing discrimination across the state. Over the past year, the New York State Division of Human Rights has awarded more than $320,000 in financial compensation to victims of housing discrimination who filed complaints with the agency. In addition to financial compensation, case resolutions also resulted in changes to policies and procedures that will curb future discriminatory actions by housing providers and their agents. Additionally, Governor Hochul announced that New York State landmarks will be lit blue today, April 8, to commemorate Fair Housing Month and celebrate the upcoming 57th anniversary of the landmark federal Fair Housing Act, which outlawed discriminatory housing practices and required localities around the country to advance fair housing policies.

    “My top priority since taking office has always been to keep New Yorkers safe and that includes protecting them from unfair housing practices and discrimination, ”Governor Hochul said. “Everyone deserves a safe, affordable place to live without having to worry about any prejudices, and New York continues to combat discrimination across all areas.”

    New York State Division of Human Rights Acting Commissioner Denise M. Miranda said, “New York State has always led in the fight to defend residents from discrimination. The Division of Human Rights remains committed to protecting and enforcing the laws that safeguard those looking to find their next home, or to stay in the home they love. I am proud of the work that The Division’s Housing Investigations Unit takes on to ensure no New Yorker is discriminated against while attempting to rent or buy a home.”

    The New York State Human Rights Law, which meets and exceeds the protections included in the federal Fair Housing Act, prohibits discrimination in housing on the basis of race, color, national origin, religion, age, sex, sexual orientation, gender identity or expression, immigration or citizenship status, favorably resolved arrest record, sealed conviction or youthful offender adjudication, military status, lawful source of income, status as a victim of domestic violence, disability, marital status, or familial status. New Yorkers who experience unlawful discrimination in housing can file a complaint with DHR online at dhr.ny.gov/complaint.

    The New York State Division of Human Rights receives, investigates, and adjudicates thousands of complaints of discrimination each year. The Division’s Housing Investigations Unit is tasked with investigating all complaints relating to housing discrimination filed with the Division across the State. The Division’s Prosecutions Unit and Housing Litigations Unit then negotiate settlements and present discrimination complaints on behalf of the State at administrative hearings or in State Supreme Court.

    Over the past year, DHR has awarded $321,000 in financial compensation to victims of housing discrimination who filed complaints with the agency. So far in 2025, the total amount awarded by the Division in these cases is $137,000.

    In addition to the monetary awards highlighted today, remedies in housing discrimination cases resolved by DHR over the past year also include agreements by housing providers and their agents, including brokers, to complete fair housing training, create anti-discrimination and reasonable accommodations policies, publicly post fair housing information, and more. In addition to resolving the immediate case at hand, these elements of complaint resolutions help prevent similar discrimination from taking place again in the future. Filing a complaint with DHR does not guarantee a financial award or other remedy. All complaints are investigated based on their individual circumstances and remedies are secured through the agency’s complaint adjudication process.

    Examples of housing discrimination complaints resolved by DHR over the past year include:

    • A housing services organization filed a complaint against a housing provider alleging that the housing provider discriminated against several prospective tenants who planned to pay rent using rental subsidies. As part of the settlement agreement, the respondent housing provider agreed to pay the complainant $7,000 and to provide free brokerage services to several of the complainant’s clients to help them search for and secure housing. The respondent housing provider also agreed to adopt an anti-discrimination policy, complete fair housing training, and update their website to reflect acceptance of tenants with all lawful sources of income.
    • An individual filed a complaint against a co-op residence, alleging that the co-op’s leadership discriminated against him and his family based on his age and his national origin. As part of the settlement of the complaint, the co-op residence agreed to pay the complainant $15,000. The respondent also agreed to create an anti-discrimination policy and post information about fair housing rights in the building, so all tenants know of their rights under the State Human Rights Law.
    • An individual who uses a wheelchair filed a complaint against a property management company and its agents, alleging that the respondent failed to accommodate individuals living with disabilities. As part of the settlement of the complaint, the respondents’ property management company agreed to install a ramp at the front entrance of the complainant’s residential building. The respondents further agreed to adopt a reasonable accommodation policy and to complete fair housing training.

    As part of Fair Housing Month, the Division of Human Rights will host an all-day conference titled “We All Belong Here” on April 9 in the Bronx to celebrate the agency’s 80-year anniversary and its continued work of advancing equity and justice for all New Yorkers. During the conference, several panel events and workshops will focus on various topics relating to the fight for fair housing practices across the State.

    To commemorate Fair Housing Month, the following New York State landmarks will be lit blue tonight:

    • One World Trade Center
    • Governor Mario M. Cuomo Bridge
    • Kosciuszko Bridge
    • The H. Carl McCall SUNY Building
    • State Education Building
    • Alfred E. Smith State Office Building
    • Empire State Plaza
    • State Fairgrounds – Main Gate & Expo Center
    • Niagara Falls
    • The “Franklin D. Roosevelt” Mid-Hudson Bridge
    • Grand Central Terminal – Pershing Square Viaduct
    • Albany International Airport Gateway
    • MTA LIRR – East End Gateway at Penn Station
    • Fairport Lift Bridge over the Erie Canal
    • Moynihan Train Hall

    In June 2024, Governor Hochul announced new guidance informing insurers that they are prohibited from inquiring about or making coverage decisions based on a property’s status as an affordable housing development or on the level or source of a tenant’s income within the building, such as government assistance. The guidance from the New York State Department of Financial Services follows legislation secured by Governor Hochul as part of the FY 2025 Budget to prohibit discrimination in insurance based on tenants’ source of income or the existence of affordable dwelling units within the building.

    Additionally, in 2023, the Governor signed legislation to extend the statute of limitations for New Yorkers to file a complaint with DHR, allowing unlawful housing discrimination claims for incidents occurring on or after February 15, 2024 to be filed within three years of the alleged discrimination. The Governor also signed a package of nine fair housing bills designed to combat discriminatory housing practices that persist around the State, including legislation to increase penalties for unlawful housing discrimination; create a fund to support fair housing testing; and expand required trainings for real estate professionals on subjects such as legacy of segregation, unequal treatment, and historic lack of access to housing opportunities.

    About the New York State Division of Human Rights
    The New York State Division of Human Rights is dedicated to eliminating discrimination, remedying injustice, and promoting equal opportunity, access, and dignity.

    The Division of Human Rights is empowered by law to investigate and prosecute systematic patterns of discrimination through its Division Initiated Action Unit (DIAU). The DIAU can, upon its own motion, initiate investigations and file complaints alleging violations of the State anti-discrimination law. Individuals can report systemic issues of discrimination by emailing the Division at [email protected].

    New Yorkers experiencing harassment or discrimination are encouraged to file a complaint with the Division. If you experience any form of hate or bias in NYS, please call 844-NO-2-HATE or use our online submission form for assistance. For more information about the law or to file a complaint, please visit dhr.ny.gov, and follow the Division of Human Rights on social media: Facebook, Instagram, LinkedIn, Threads, X — formerly known as Twitter — and YouTube.

    MIL OSI USA News

  • MIL-OSI United Kingdom: expert reaction to study looking at food additives and type 2 diabetes incidence

    Source: United Kingdom – Executive Government & Departments

    A study published in PLOS Medicine looks at food additives type 2 diabetes incidence. 

    Dr Nerys Astbury, Associate Professor of Diet & Obesity, Nuffield Department of Primary Health Care Sciences, University of Oxford, said:

    “This prospective study conducted in France explores the association between the amount of common mixtures of food additives and the risk of future development of type 2 diabetes.

    “The study reports that there was no association between the consumption of three of the mixtures studies and type 2 diabetes.  There were positive associations between the consumption of two of the mixtures investigated including a mixture including emulsifiers/gelling agents including modified starches, pectin, guar gum, carrageenan and xantham gum which the authors show were linked with the consumption of dairy desserts and fats and sauces; as well as a mixture including artificial sweeteners and acidity regulators which were linked with consumption of low-energy/diet soft drink consumption.

    “Previous studies have reported associations between some of these individual food additives and risk of type 2 diabetes, but additives are commonly included in foods in mixtures where they may have interactive effects.  Indeed the authors showed in their exploratory analysis that there were both synergistic and antagonist interactions between several food additives.

    “One limitation of this study is that the mixtures of additives investigated include a range of different additives with different functional properties, with some additives included in more than one mixture group, meaning it is not possible to ascertain whether the effects observed can be attributed to groups of additives with similar functional properties.

    “The authors controlled for typical type 2 diabetes risk factors including age, sex, body mass index, physical activity level, smoking status, educational level and profession.  But it is possible that other factors that were not controlled for may have influenced the relationship.

    “Some of the findings may subject to reverse causality, where the outcome (in this case type 2 diabetes diagnosis) precedes, and therefore influences the presumed cause (in this case the consumption of the food additive mixtures).  For example, if a person knew they were at risk of developing type 2 diabetes, because they either had a family history of the condition, or that a doctor conducted tests to show they had pre-diabetes, they may decide to make lifestyle choices to reduce their risk of developing the condition.  One thing they might decide to do is replace sugar sweetened beverages for low-energy or diet versions.

    “It is important to note that by design this study can only demonstrate association, it cannot say whether the consumption of these additives (or the foods that contain then) caused or contributed to the development of type 2 diabetes.  To determine causality large scale complex clinical trials are required.

    “The growing interest in the effects of consuming ultra-processed foods, which contain additives to enhance taste, flavour, texture and improve shelf life of food products, means this study is important and timely and adds to the growing body of evidence of association between increased consumption of common food additives and adverse health outcomes.  Further research is needed to ascertain a causal link and establish the mechanisms.”

    Prof Nita Forouhi, Professor of Population Health and Nutrition, and Programme Leader of the Nutritional Epidemiology programme, MRC Epidemiology Unit, University of Cambridge, said:

    “The researchers in France once again tapped into the only existing research study that has the relevant data to investigate links between different types of food additives and risk of chronic diseases.  They have extended their previous findings on the links of individual additive emulsifiers and artificial sweeteners with risk of type 2 diabetes to now identifying food additive mixtures that are frequently consumed together, reporting that the associations were not strongly driven by a unique additive alone and suggesting that interactions between types of food additives may play a role.

    “The authors identified 269 food additives consumed by over 100,000 study participants, quantifying additive intakes from repeated 24h recalls over a long time using multiple sources and they hence provide probably the most comprehensive additives database to-date.  Using 75 of these additives that were consumed by at least 5%of the study participants, they statistically derived five food additive mixture groups, of which two were associated modestly with the development of type 2 diabetes.  It is important to note that these associations are present at population level intake doses of additives in their usual diets.  However, it is unknown if additives consumed by a smaller proportion of the study population but in higher doses would have been related with the risk of type 2 diabetes.  A sensitivity analysis testing this would have been informative.

    “This research helps to an extent with understanding mechanisms through which ultra-processed foods (UPFs), that typically contain mixtures of additives, may be related with disease risk.  This is an important research gap to fill because a lack of evidence on mechanisms by which UPFs may be related with health harms, over and above the links already established for foods high in (saturated) fat, sugar and salt, is part of the reason for withholding a specific government policy on UPF reduction in the UK.

    “It is important to distinguish between additive mixtures by their food sources as we know from other research that not all UPFs are the same, with some being potentially harmful and others not.  Moreover, their analysis has not accounted for the proportion of UPF in the diet.  Also, the five food additive mixture groups the researchers identified were related with a limited set of food groups, largely cakes, biscuits, savoury snacks, broth, dairy desserts, fats and sauces and sugar sweetened or artificially sweetened drinks.  Thus, it is unclear if additives from other food groups not identified in this study population may be relevant in other populations.

    “Several of the current analyses were appropriate, such as adjusting for a comprehensive range of factors (including accounting for saturated fat, salt and added sugar), doing sensitivity analyses, checking the stability of food additive mixture intakes over time, and testing whether the additive mixtures found associated with type 2 diabetes contributed to mediating the associations between the food groups most associated with these mixtures and incidence of type 2 diabetes.  But, there were also important limitations the authors did not or could not address.

    “Exposure to food additives could not be validated against blood or urine biomarkers due to a lack of specific biomarkers.  Many tests for interaction were performed but it is unclear if there was adequate statistical power.  The data variables used in analysis, such as dietary intakes or health behaviours like physical activity or smoking and alcohol intake, are likely to vary over time but only baseline data, not time-varying data were used.  The authors showed several participant characteristics in the cohort at the study baseline but did not show these characteristics by total food additive or food additive mixture types, which is relevant to understanding the appropriateness of their analytical strategy.  This research included mostly women (80% of participants), so the findings in men remain under-studied.  The authors acknowledge that they could not collect data on ethnicity so the generalisability of findings to different population sub-groups is unclear but there seems no strong reason to expect that findings would vary in different ethnic groups.  Nonetheless, future studies in diverse populations should apply the current study methods to test the reported findings.  The authors appropriately acknowledged the limitations of observational research, but such research remains an important part of the evidence base.

    “More investment in research is needed to replicate the findings of this currently sole resource of the NutriNet-Sante’ study that has generated relevant data for the study of food additives.  In the meantime, we should take these current findings seriously and build further upon them to help understand the mechanistic links between UPF-related additive mixtures and human health.”

    Prof Tom Sanders, Professor emeritus of Nutrition and Dietetics, King’s College London, said:

    “This new report from a French prospective study (NutriNet-Santé) is an analysis of food additive intake based on estimates of dietary intake based on recall, and subsequent risk of developing type 2 diabetes.  79% of the participants were female and the average age was 42.  After 7.7 years of follow up, they found 2 out of 5 mixtures of additives were associated with very small increases in risk of developing type 2 diabetes.  The first mixture was associated with an 8% increase in risk – this consisted mainly of food additives used to thicken foods and drinks (guar gum, carrageenan xanthan gum), polyphosphates (that help retain water), curcumin (a naturally occurring yellow food colour used mainly in margarine) and potassium sorbate (a preservative).  The second mixture was associated with a 13% increase in risk, this consisted of a diverse mixture of additives but included several that are used in soft drinks – citric acid, sodium citrates, phosphoric acid, sulphite ammonia caramel (used in cola drinks), acesulfame-K, aspartame, sucralose, arabic gum, malic acid, carnauba wax (a glazing agent), paprika extract, anthocyanins (purple natural colours), guar gum, and pectin.

    Limitations

    “This was an observational study and not a controlled trial and can only suggest associations.  A major limitation of this study is that the incidence of type 2 diabetes was low over the follow up period.  Over the follow-period only 1% of the 108,643 participants developed type 2 diabetes.  This may well be because the average body mass index (23 kg/m2) was close to the ideal level (22.5).  A potential strength claimed is that multiple estimates of dietary intake were made over the follow-up period (on average 5 occasions).  However, these estimates were based on what the participants remembered eating the previous day.  A daily recall only provides data for one day and is not a good measure of usual dietary intake which needs a longer period of recording (preferable taking into seasonal variations in account).  Dietary recalls also lack the granularity in terms of detail regarding portion size and brand which are important for estimating the intake of food additives.

    “Dietary recalls are subject to reporting bias (over-reporting fruit and vegetable intake and under-reporting food and drink that regarded being less healthy, e.g. alcohol and confectionery).  The reported dietary intake of sugar is extremely high (198g, equivalent about 50 cubes of sugar per day).  This raises questions regarding the reliability of intake data.

    “The statistical analyses involved creating mixtures of food additives by a form of statistical analysis by computer not by a prior hypothesis.  Associations of mixtures of food additives are likely to be reflective of overall dietary patterns or components (e.g. fizzy drinks).  While this type of exploratory statistical analyses can be used to create new hypotheses, the results should never be used as evidence of causality.

    “There seems to be no scientific basis for relating the components of these mixtures of food additives to risk of type 2 diabetes.  For example, citric acid probably accounts for the bulk of food additives consumed.  The body makes enormous amounts in the citric acid cycle (the Krebs cycle) to generate metabolic energy.  It is also present in quite high amounts in fruit and vegetables.  Gums are used as thickeners in some foods like yogurt.  There is no reason to suspect that gums would have an adverse effect on risk of diabetes especially as studies have shown that gums slow glucose absorption and can improve blood glucose control in patients with type 2 diabetes.  The association of artificial sweetener intake with risk of diabetes is well known but not thought to be causal, as recently discussed by SACN (https://www.gov.uk/government/publications/sacn-statement-on-the-who-guideline-on-non-sugar-sweeteners/sacn-statement-on-the-who-guideline-on-non-sugar-sweeteners-summary).

    Conclusion

    “My concern is that a “toxic cocktail of food additives” narrative may detract from sensible dietary advice to maintain a healthy weight.”

    Dr George Savva, Senior Research Scientist, Quadram Institute, said:

    “This study adds to the evidence that people who consume more food additives associated with sugary and sweetened drinks have a higher risk of diabetes, after controlling for overall calories, sugar intake, saturated fats and other aspects of diet.  A smaller association was seen for a second group associated with dairy desserts, broths, fats and sauces.  Other major groups of additives, including those associated with cakes and biscuits, showed no association with incident diabetes.

    “The study was large with a very detailed dietary assessment, but is limited by being non-randomised and being conducted in a volunteer cohort.  The authors did try to control for demographic and lifestyle factors like exercise and smoking but this is difficult to do well.  So, although the control for other aspects of diet was good, it is possible that other factors led to higher risk of diabetes in this group.  Showing no association between diabetes and additives linked to cakes, biscuits and snacks may suggest that residual confounding isn’t a huge problem in this study (because if other aspects of diet and lifestyle were really causing this association we might also expect to see a positive association between diabetes and the group of additives associated with cakes and biscuits).

    “Considering mixtures of additives is interesting because they are rarely consumed in isolation; as the study shows many difficult additives are often used together.  The evidence was strong that consuming additives associated with sugary and sweetened drinks was particularly associated with getting diabetes later in life, but there was little evidence for any particular additive or combination of additives being the main driver of that risk.

    “It is difficult to study the impact of food additives using randomised controlled trials, because they are highly prevalent in our diets and the effects are likely to take many years to manifest.  So it is important to attempt to study their effects in studies like this, and to combine with evidence from other kinds of studies to understand whether and how additives might harm metabolic health.”

    Prof Alan Boobis, Emeritus Professor of Toxicology, Imperial College London, said:

    “My takeaway from this is that it is an observational study and as acknowledged by the authors, association does not necessarily mean causation.  The findings are important in generating hypotheses, but further investigation would be necessary to inform advice to consumers.  It is unclear whether the mixtures themselves or key components are involved, or whether, despite adjustments for other components of the diet, the mixtures are indicative of some other characteristics of the subjects.”

    Prof Oliver Jones, Professor of Chemistry, RMIT University, said:

    “I can see this paper leading to more scary headlines about food additives, but although the work is based on a large dataset, we need to be careful about what conclusions are drawn from it.

    “As the authors themselves clearly state, the study does not prove that food additives cause diabetes.  All that is reported are slight associations between certain mixtures of some additives and the likelihood of type 2 diabetes, and there are some large caveats to this.

    “Firstly, an association between two factors does not mean one caused the other; it just means there appears to be an association between them.

    “Secondly, the authors didn’t measure food additive intake directly.  They relied on self-reporting of food intake from study participants and then estimated the additive intake from this.  This is a reasonable approach, but self-reported data is often inaccurate.  This means great care must be taken in interpreting the results.

    “It is also not clear from the main paper how the authors classified someone as having diabetes.  Diagnosis does not seem to have been done by a medical professional but rather estimated by self-reported health data and medication use from a linked database.  This is far from conclusive.

    “So, whilst this is an interesting theoretical study, people should not worry.  In the end, all that can really be said is that, based on self-reported data and estimations of possible food additive consumption and health conditions, there is a possible, small association between two specific mixtures of additives and the likelihood of type 2 diabetes, and the error bars are pretty big on even this conclusion.”

    Prof Kevin McConway, Emeritus Professor of Applied Statistics, Open University, said:

    “This is a complicated study in terms of the statistical and computational methods it uses.  I think its results are pretty hard to interpret.  The meaning of the word ‘mixtures’ in the findings is, I’d say, so different from the everyday meaning of the word as to be potentially pretty confusing.  The researchers, rightly, warn that their study cannot establish whether consuming particular mixtures of food additives causes the associations with type 2 diabetes that they observed.  The associations that they observed are, as the press release indicates, not very strong anyway.  Also, there are questions, that might well be important, that just can’t be answered from this research.

    “I take away two things from this study.  First, there are some more indications that it may be important to consider potential associations between food additives and health by looking at several additives at once, rather than investigating them separately.  Second, looking for such associations isn’t easy, and to do it convincingly would require other types of research than those used in this study.

    “I’ll try to clarify what the researchers meant by a ‘food additive mixture’.  You might expect that to mean that a participant in the study consumes a certain amount of a given set of additives, maybe two or three of them, and researchers would look at how their health is associated with consumption of this specific mixture.

    “But what’s meant in this research is something wider and more complicated.  The researchers collected data on how much each of the nearly 110,000 participants consumed of well over 200 different food additives.  They then used a statistical method (called nonnegative matrix factorization) to summarize all this data into a score, for each participant, on five different scales that they called ‘mixtures’.  And they then measured the statistical association between each of these five scores and the participants’ chance of being diagnosed with type 2 diabetes over time.  They found associations between two of the scores and the risk of type 2 diabetes – the other three scores were not found to be associated with diabetes.

    “The associations with diabetes risk were not particularly strong for either of these scores, though it’s difficult to explain in simple terms exactly how large they were, because of the difficulty of explaining what the actual scores are measuring.

    “What makes this hard to link to an everyday idea of a ‘mixture’ is that each of the scores depends on the amounts of consumption of, potentially, a large number of different additives.  Of the two ‘mixture’ scores that were found to be associated with diabetes risk, one mainly depends on the consumption of eight different additives, and the other on 14 additives, and in fact other additives than these 8 and 14 do come into the calculation as well.

    “Also, two participants could get similar scores for one of these ‘mixtures’ by actually consuming different patterns of additives.  So one participant could get a moderately high score on the first of these ‘mixtures’ by consuming food and drink containing a lot of modified starches but little or none of the other additives, while another participant could get the same score by consuming quite a lot of food containing other additives that contribute to this mixture, but very little or no modified starch.  Others could also get the same score by a different pattern of consumption of additives that contribute to this ‘mixture’, possibly not overlapping much with the consumptions of the other two participants I’ve mentioned.  In technical terms, this is an acceptable use of the term ‘mixture’, but it’s probably not what a non-scientist would think of.

    “The researchers do emphasise that this study cannot establish causality.  That is, although they found associations, that is, correlations, between the scores for two of their additive ‘mixtures’ and the risk of type 2 diabetes, they can’t say that it is the additive consumption that caused the differences in diabetes risk.

    “That’s for several reasons. Mainly, it’s because the study is observational.  The participants weren’t made to consume different patterns of additives by the researchers – they just ate what they would have eaten anyway, and the researchers recorded that as best they could (and there are always potential limitations on the accuracy of such recordings).  So the observed associations could really be caused by some other factors that happen to be associated with food additive consumption, and also independently associated with diabetes risk.  There’s just no way of telling what causes what, with any level of certainty, in this kind of study.

    “In some circumstances, if a lot of different observational studies are all pointing in the same direction, one might be a little more confident about what’s causing what.  But this is effectively the first study looking at data in this way on a major scale.  As the researchers themselves say, in order to get good evidence on whether particular groups of food additives, when consumed alongside one another, do actually cause ill health, one would need to carry out studies of different kinds – so-called mechanistic studies, to learn more about what might actually be happening inside the body.  This study might help a little in pointing to what further studies might be most useful, but it’s an observational study that did not itself measure anything going on inside the participants’ bodies or cells.  I’m not a nutritional scientist so am not in a position to comment on how these mechanistic studies would best be done.

    “The researchers did make statistical adjustments for several possibly factors that might have accounted for what they observed, and might be getting in the way of interpretations of cause and effect.  But you can never adjust for everything potentially relevant, and data on some factors will simply not be available.

    “In this study there’s an obvious question of whether the differences in diabetes risk could be due to the additives in people’s food and drink, or due to the non-additive parts of the food and drink that they consumed, or indeed due to other things entirely.  After all, consuming a food additive generally involves consuming the food or drink that it’s been added to, and so will go along with consuming fats, sugars, proteins, fibre, and whatever else is in that food or drink.

    “The researchers did investigate some aspects of this question, and did find limited evidence that the associations with diabetes risk depend on additives as well as other aspects of what’s in the food and drink, though I don’t feel that they really sorted this out very far.  Anyway it would be very difficult to take account of all the possible food and drink components that are not classed as additives, as well as those that are, in a single statistical set of statistical analyses.

    “Interestingly, among all the detailed results, the study found a limited amount of evidence that points to why it may be important to look at additives together rather than separately. In some cases, it appeared that consuming two additives, linked to diabetes risk, had a stronger association with the diabetes risk than you’d expect from looking at the additives separately; in other cases, it went the other way, with a lower risk from the combination of additives than you might expect from looking at them separately.”

    Comments from our colleagues at the Australian SMC:

    Professor Ian Rae is an expert on chemicals in the environment at the School of Chemistry at the University of Melbourne. He was also an advisor to the United Nations Environment Programme on chemicals in the environment and is former President of the Royal Australian Chemical Institute

    “Type 2 diabetes arises when various parts of the body becoming resistant to the normal action of insulin, which is to pack sugar away in cells.

    The result is elevated blood sugar levels that can cause damage to the eyes and to organs like the liver. The chance of developing type 2 diabetes increases with age, and it is associated with increased body weight, obesity and lack of physical activity, all of which track with age, too.

    Exposure to chemical substances is not believed to be a cause of type 2 diabetes. The French researchers whose work is reported in this paper were testing not a single substance but instead they surveyed the effects of mixtures of additives that are commonly included in processed food, such as starch, pectin, vegetable gums, and citric acid which is also naturally present in some foods).

    They identified two mixtures – of 8 and 15 constituents, respectively – that did correlate with slight effects. Only one of the mixtures included the kind of ‘chemical suspects’ that one expects to find in such studies, the two synthetic sweeteners, aspartame and sucralose. The associations between the mixtures and the condition were very weak, and similar mixtures that included many of the same constituents showed no association. Of course, association does not equal causation.

    Testing a single substance for toxicity or the ability to damage our bodies in other ways is difficult enough. Only in a very few cases have pairs of substances or small groups of substances that are chemically closely related ever been tested. The results have been ambiguous, to say the least. Testing mixtures of 8 or 15 substances is just not good science. The authors themselves suggest that ‘the potential synergies and antagonisms may be of interest in future mechanistic investigations’ but that’s really just an admission that their own approach was overly optimistic in its search for a definite cause of type 2 diabetes.

    Although it has involved a lot of work – not just by the 23 authors of this paper, but by the 100,000 people who were surveyed – the results are weak. I wondered why this was ever published.”

    Ian has not declared any conflicts of interest.

    Dr Alan Barclay is an Honorary Associate at the University of Sydney

    “This French prospective cohort study identified small associations between certain mixtures of food additives and the risk of developing type 2 diabetes.

    The mixtures of additives were identified using computer algorithms. Study participants were predominantly female (79.2%), relatively young (average age 41 years), well-educated, and within the healthy weight range (average BMI 23.6 kg/m2). Ethnic background was not reported (ethical reasons cited).

    Australia’s food supply is different from France’s, and it is not known how common the additive mixtures identified would be consumed in this country, and by whom.

    In Australia, type 2 diabetes occurs most commonly after the age of 45 years, in overweight or obese (BMI > 25 kg/m2) people (more frequently men than women), from lower socio-economic backgrounds, and incidence (new cases) has been decreasing over the past decade.

    The observed associations are both less than 20%, so residual confounding is likely a significant problem within this study.

    While novel, the generalisability of this French observational study to people at risk of type 2 diabetes living in Australia is unknown.

    Our food supply is regulated by Food Standards Australia New Zealand and the types and amounts of additives permitted to be added to foods and drinks is carefully assessed and reviewed on a regular basis.”

    Potential conflict of interest: I consult to the National Retail Association.

    Emeritus Professor Jennie Brand-Miller AM is from the School of Life and Environmental Sciences and Charles Perkins Centre at the University of Sydney, and Director of both the Sydney University Glycemic Index Research Service and Glycemic Index Foundation

    “I find these results surprising because both mixtures contain substances that occur naturally in food and are recognised forms of dietary fibre (xanthan gums, guar gums and carrageenan). This means they provide fuel for our large bowel microbiome. Guar gum is a highly viscous fibre known to slow down the rate of digestion and absorption of carbohydrates, more so than any other fibre. Citric acid is found in citrus fruits, and also slows down digestion and reduces glycaemia.

    Both mechanisms would therefore be expected to REDUCE the risk of type 2 diabetes, not increase it. I suspect these findings are simply chance findings because the researchers looked at so many food additives.

    At present, there is a bias towards finding fault with food additives and processed foods. In Australia, all food additives other than flavours are highly regulated with substantial data to back up their safety in the amounts used in food.”

    Jennie’s conflict of interest declaration: I have no direct conflicts of interest. I receive royalties from popular books about nutrition, diabetes and health. I oversee a glycemic index testing company at the USYD. I consult to the China National Research Institute of Food and Fermentation Industries, the Novo Foundation and Zoe Global.

    Dr Gideon Meyerowitz-Katz is an epidemiologist and Senior Research Fellow from the University of Wollongong

    “The authors here looked at whether diabetes risks were impacted by different mixtures of food additives. They found a very small increased risk of diabetes associated with two mixtures of additives, and no increase for the other three mixtures that they tested – these mixtures included a wide range of additives such as aspartame, guar gum, curcumin, and more.

    The study is reasonably strong, but suffers from weaknesses in the underlying cohort. These results are entirely based on self-report, which is to say that the only information that the authors had on how many food additives people ate was how much they said they were eating. This form of self-report is notoriously unreliable and impossible to correct for in large epidemiological studies of this nature.

    It’s also unclear what meaning these results have. The biggest risk increase in the study was seen for Mixture 5, which contained 14 different food additives including citric acid and paprika extract. But due to the complex methodology the authors used to create these mixtures, it’s not clear how you could implement these findings in your daily life. The closest the authors come is saying that it might be a good idea to reduce your soft drink intake, but we didn’t really need this study to know that. It’s an interesting piece of research, but it’s hard to see how the results could be used outside of a strictly research setting.”

    Gideon has not declared any conflicts of interest.

    Dr Evangeline Mantzioris is an Accredited Practicing Dietitian and the Program Director of Nutrition and Food Sciences at the University of South Australia

    “This study has looked at the impact of commonly used additives in ultra-processed foods in our food system and their association with Type 2 diabetes. This study was conducted on a large group of over 108,000 adults in France over a 7 ½ year time period. Dietary data was collected from dietary records every 6 months, and from this the intake of additives was calculated.

    The researchers found that there were two groups of food additives that were linked with an increased risk of type 2 diabetes. In the statistical analyses the researchers took into account the participants’ weight, sociodemographic factors, lifestyle practice and their diet.

    The first group of food additives included modified starches, pectin, guar gum, carrageenan, polyphosphates, potassium sorbates, curcumin, and xanthan gum. The other group included citric acid, sodium citrates, phosphoric acid, sulphite ammonia caramel, acesulfame-K, aspartame, sucralose, arabic gum, malic acid, carnauba wax, paprika extract, anthocyanins, guar gum, and pectin.

    However, it must be remembered that this is an observational study and not an experimental study, and hence a cause-and-effect relationship cannot be drawn from it. Additionally, the intake of food additives in the diet of the participants could not be verified by any blood or urine tests.

    There is a growing evidence base of the impact of UPF [ultra-processed foods] on both physical, cognitive and mental health. As well as containing low levels of nutrients, high levels of saturated and trans fats, sugar and salt, UPF also contain food additives to improve taste and shelf life of foods. This study adds to this evidence base of the health risks associated with a high intake of UPFs.”

    Evangeline has not declared any conflicts of interest.

    ‘Food additive mixtures and type 2 diabetes incidence: Results from the NutriNet-Santé prospective cohort’ by Marie Payen de la Garanderie et al. was published in PLOS Medicine at 19:00 UK time on Tuesday 8 April 2025. 

    DOI: 10.1371/journal.pmed.1004570

    Declared interests

    Dr Nerys Astbury: “No conflicts.”

    Prof Nita Forouhi: “None.”

    Prof Tom Sanders: “I have been retired for 10 years but during my career at King’s College London, I formerly acted as consultant for companies that made artificial sweeteners and sugar substitutes.

    I am a member of the Programme Advisory Committee of the Malaysia Palm Oil Board which involves the review of research projects proposed by the Malaysia government.

    I also used to be a member of the Scientific Advisory Committee of the Global Dairy Platform up until 2015.

    I did do some consultancy work on GRAS affirmation of high oleic palm oil for Archer Daniel Midland more than ten years ago.

    My research group received oils and fats free of charge from Unilever and Archer Daniel Midland for our Food Standards Agency Research.

    Tom was a member of the FAO/WHO Joint Expert Committee that recommended that trans fatty acids be removed from the human food chain.

    Member of the Science Committee British Nutrition Foundation.  Honorary Nutritional Director HEART UK.

    Before my retirement from King’s College London in 2014, I acted as a consultant to many companies and organisations involved in the manufacture of what are now designated ultraprocessed foods.

    I used to be a consultant to the Breakfast Cereals Advisory Board of the Food and Drink Federation.

    I used to be a consultant for aspartame more than a decade ago.

    When I was doing research at King’ College London, the following applied: Tom does not hold any grants or have any consultancies with companies involved in the production or marketing of sugar-sweetened drinks.  In reference to previous funding to Tom’s institution: £4.5 million was donated to King’s College London by Tate & Lyle in 2006; this funding finished in 2011. This money was given to the College and was in recognition of the discovery of the artificial sweetener sucralose by Prof Hough at the Queen Elizabeth College (QEC), which merged with King’s College London. The Tate & Lyle grant paid for the Clinical Research Centre at St Thomas’ that is run by the Guy’s & St Thomas’ Trust, it was not used to fund research on sugar. Tate & Lyle sold their sugar interests to American Sugar so the brand Tate & Lyle still exists but it is no longer linked to the company Tate & Lyle PLC, which gave the money to King’s College London in 2006.”

    Dr George Savva: “I have no conflict of interest.”

    Prof Alan Boobis: “My interests are: until recently, chair of the UK Committee on Toxicity (COT); member of the joint Scientific Advisory Committee on Nutrition (SACN)/COT working group on plant-based drinks; member of the External Advisory Committee, Michigan State University MSU Center for Research on Ingredient Safety (CRIS); member of the Board of Directors of ILSI (International Life Sciences Institute) Europe.”

    Prof Oliver Jones: “I am a Professor of Chemistry at RMIT University in Melbourne, Australia.  I don’t have any conflicts of interest to declare.  However, many years ago, I worked on a project funded by the UK Food Standards Agency on the toxicity of pesticide mixtures.”

    Prof Kevin McConway: “Previously a Trustee of the SMC and a member of its Advisory Committee.”

    MIL OSI United Kingdom

  • MIL-OSI: AI-Powered PlanPros Hits Worldwide Use, Transforming How Entrepreneurs Create Business Plans

    Source: GlobeNewswire (MIL-OSI)

    LOS ANGELES, April 08, 2025 (GLOBE NEWSWIRE) —  PlanPros, the cutting-edge AI-driven business planning platform, is proud to announce that it has officially reached worldwide use, with users now leveraging its powerful capabilities across every continent—except Antarctica. The platform, designed to simplify the process of creating professional business plans, has quickly gained traction among entrepreneurs, startups, and small businesses worldwide, enabling them to craft detailed, high-quality business plans in just minutes.

    PlanPros AI business plan generator

    PlanPros’ AI business plan generator allows users to bypass the traditionally daunting and time- consuming task of business planning. In just under 12 minutes, the platform generates a comprehensive, investor-ready business plan by guiding users through 30 targeted questions that cover every key aspect of their business. With built-in financial projections (that users can quickly customize), market analysis, and strategic insights, PlanPros ensures that entrepreneurs can articulate their vision with clarity and confidence.

    “The response from entrepreneurs around the world has been overwhelmingly positive,” said Dave Lavinsky, founder and President of PlanPros. “In less than the time it takes to enjoy a lunch break, users can have a fully customized business plan that meets professional standards and sets them on a clear path for growth. Whether you’re raising funding, refining your strategy, or charting your course for success, PlanPros is here to make that process faster and easier than ever.”

    Since its inception, PlanPros has become an essential tool for entrepreneurs across diverse industries, offering a streamlined approach to business planning that traditionally required hours upon hours of research and drafting. The platform’s intuitive interface and real-time AI-powered assistance allow users to generate plans that exceed professional expectations without needing prior experience in business development.

    Key Features of PlanPros Include:

    • AI-Powered Business Plan Generation: Instantly creates professional business plans using advanced AI technology.
    • Rapid Development: Generates a complete business plan in about 12 minutes.
    • Financial Projections: Provides automated 5-year financial forecasts, including income statements, balance sheets and cash flow statements.
    • User-Friendly Interface: Features a simple step-by-step process for easy plan creation.
    • Customization Options: Allows full editing and personalization of business plans to suit specific needs.
    • Investor & Lender Database: Offers access to over 80,000 funding sources, aiding in securing necessary capital.
    • Educational Resources: Includes courses on funding strategies and entrepreneurship to enhance business acumen.
    • Multi-Device Accessibility: Accessible from any device with internet access, ensuring flexibility and convenience.
    • Export Functionality: Enables downloading of plans in various formats, including PDF, Word, or Google Docs.
    • Risk-Free Trial: Offers a 60-day money-back guarantee for peace of mind.

    PlanPros’ worldwide adoption highlights the growing demand for accessible, professional tools that empower entrepreneurs at all stages of business development. The platform’s ability to rapidly scale and meet the needs of global users showcases the power of AI to break down barriers and democratize access to essential business resources.

    As entrepreneurs continue to seek efficient ways to turn their ideas into successful ventures, PlanPros remains at the forefront of innovation, delivering not just a tool, but a strategic partner in every entrepreneur’s journey.

    For a one-time fee of $97, users gain 12 months of access to PlanPros, including additional resources and support.

    PlanPros AI Business Plan Easy To Use

    About PlanPros

    PlanPros is a powerful AI business plan generator designed to help startups, business owners, executives, and entrepreneurs create professional, investor-ready business plans effortlessly. PlanPros automates complex tasks such as creating business plans, financial forecasting, market research, and competitive analysis. In just 12 minutes, users can generate a comprehensive business plan tailored for securing funding and scaling their ventures.

    Whether you’re searching for the best AI business plan generator or a fast, reliable way to craft a data-driven business strategy, PlanPros streamlines the entire process with cutting- edge AI technology.

    Press inquiries

    PlanPros
    https://planpros.ai/
    Dave Lavinsky
    davel@planpros.ai
    12130 Millennium Dr #300, Los Angeles, CA 90094, United States

    Photos accompanying this announcement are available at

    https://www.globenewswire.com/NewsRoom/AttachmentNg/2955c994-a8f5-4cab-8dfe-f4b41c9e2a0d

    https://www.globenewswire.com/NewsRoom/AttachmentNg/5f3f1dd6-e8fb-486f-8058-4f4a1f72f120

    A video accompanying this announcement is available at

    https://www.globenewswire.com/NewsRoom/AttachmentNg/945adf9b-acd2-4891-b9f5-12a80a667dfe

    The MIL Network

  • MIL-OSI United Nations: 8 April 2025 Departmental update WHO unveils global repository for National Essential Medicines Lists (nEMLs)

    Source: World Health Organisation

    The World Health Organization (WHO) has launched the National Essential Medicines Lists (nEMLs) repository, a centralized digital platform compiling 150 national essential medicines lists from six global regions. This comprehensive resource enhances access to critical health-care data, supporting policymakers, health-care professionals and researchers.

    Developed through extensive research, online searches and collaboration, the repository offers an up-to-date and robust collection of essential medicines lists spanning from 2005 to 2024. It reflects evolving health-care priorities, balancing medical necessity, affordability and accessibility.

    Beyond a static database, the nEMLs repository serves as a collaborative tool inviting contributions from Member States, WHO regional offices and researchers to ensure completeness and relevance. It serves as a foundation for evidence-based decision-making, medicine procurement, and health-care policy harmonization.

    The launch of the National Essential Medicines Lists repository marks a significant step forward in global health-care collaboration,” said Deus Mubangizi, WHO’s Director of the Health Products Policy and Standards Department. “By providing a centralized and accessible platform, we are equipping policymakers, health-care professionals and researchers with the critical data needed to make informed decisions and foster equitable access to essential medicines worldwide.

    The development of this database was supported by Dr Nav Persaud, from the Department of Family and Community Medicine at the University of Toronto and St. Michael’s Hospital in Toronto, Canada.

    By the numbers: The repository includes 47 national lists from the WHO African Region, 18 from the Eastern Mediterranean, 31 from Europe, 22 from the Americas Region, 11 from Southeast Asia, and 21 from the Western Pacific Region.

    Each list reflects a nation’s unique health-care needs, priorities, and challenges. 

    By consolidating these essential medicines lists, WHO strengthens global health systems and promotes shared knowledge for improved health-care access worldwide.

    MIL OSI United Nations News

  • MIL-OSI Global: ‘Return’ of the dire wolf is an impressive feat of genetic engineering, not a reversal of extinction

    Source: The Conversation – UK – By Timothy Hearn, Senior Lecturer in Bioinformatics, Anglia Ruskin University

    Colossal

    Dallas-based biotech company Colossal has announced the birth of three pups bearing the DNA signatures of dire wolves, an iconic predator last seen roaming North America over 10,000 years ago.

    With their names Romulus, Remus and Khaleesi, these pups are playing to the cultural imagination, blending ancient mythology with fantasy fiction. Romulus and Remus nod to the legendary founders of Rome, raised by a wolf, while Khaleesi evokes the dire wolves of Game of Thrones.

    It’s a resurrection story made for the headlines, but beneath the dramatic narrative lies a more nuanced – and more scientifically grounded – story. The birth of these pups is not the return of an extinct species. Instead, it’s a demonstration of how far we’ve come in the toolkit of synthetic biology (a field that involves redesigning systems found in nature), and a reminder of how far we still are from truly reversing extinction.

    Colossal’s work follows in the footsteps of its other high-profile project: the effort to “resurrect” the woolly mammoth. As discussed in a previous Conversation article, that project began with mice carrying mammoth gene traits – early evidence that gene editing could one day produce cold-resistant elephants with mammoth-like characteristics. The dire wolf project is a similar exercise in technological potential, not biological resurrection.

    So what exactly happened in the lab? Scientists at Colossal extracted ancient DNA from fossilised dire wolf remains, including a 13,000-year-old tooth and a 72,000-year-old ear bone. From these samples, they sequenced the genome (the full complement of DNA in cells) and compared it with that of the modern gray wolf.

    They identified approximately 20 genetic differences that were key to the extinct animal’s appearance. These differences represent tiny tweaks in the genetic code known as single nucleotide polymorphisms, or SNPs.

    ‘Dire wolf’ cubs Romulus and Remus soon after their birth.
    Copyright: Colossal

    These specific SNPs were then edited into the genome of a gray wolf using CRISPR-Cas9, a powerful gene-editing tool that allows for precision edits at the DNA level. The resulting modified cells were used to create embryos, which were implanted into surrogate domestic dogs. The pups that were born exhibit some traits thought to be characteristic of dire wolves: broader shoulders, larger bodies and pale coats.

    However, this raises a critical question: how different is this animal, really?

    To understand the limitations of this approach, consider our closest relatives in the animal kingdom: chimpanzees. Humans and chimpanzees share about 98.8% of their DNA, yet the behavioural, cognitive and physiological differences are clearly profound. While 98.8% sounds very similar, this translates to roughly 35–40 million differences in DNA base pairs.

    Now consider that the evolutionary split between dire wolves and gray wolves took place more than 300,000 years ago – and the two populations will have been diverging genetically for much longer before that. This means there are likely to be many more genetic differences between dire wolves and gray wolves. Editing 20 SNPs – out of billions of base pairs – is a minuscule change in evolutionary terms.

    The result? These animals may look a little like dire wolves, but they are not dire wolves. They are gray wolves with a few cosmetic tweaks. In this light, the project represents a remarkable demonstration of genetic engineering, rather than a literal revival of an extinct species.

    That said, this is still an extraordinary achievement. Extracting usable DNA from ancient remains, accurately sequencing it, identifying meaningful genetic variants and successfully editing them, then raising animals based on that information are all milestones worth celebrating.

    Positive applications – and risks

    The techniques honed in this project could find applications in conservation, especially for endangered species suffering from inbreeding and genetic bottlenecks.

    This work also expands the boundaries of what synthetic biology can do. The ability to dial specific traits in or out of a genome is valuable not just for scientific curiosity, but potentially for public health, agriculture and ecological restoration. But with these new tools come new responsibilities.

    US biotech company Colossal has previously gene-edited mice to have traits from woolly mammoths.
    Copyright: Colossal

    What role will these pseudo-dire wolves play in the wild? Would they behave like the long-extinct predators they mimic, or simply resemble them in form not function? Ecosystems are delicately balanced networks of interaction – adding a creature that is similar but not identical to a former apex predator could have unpredictable consequences.

    The young wolves are reportedly living in a 2,000-acre nature reserve at a secret location. So, while the reserve is surrounded by a 10ft fence, the wolves have plenty of room to roam and could encounter other wildlife.

    Some researchers argue that instead of chasing lost species, we should focus on protecting the biodiversity we still have. Resources poured into de-extinction could arguably be better spent preserving habitats, restoring degraded ecosystems, and preventing modern extinctions.

    Colossal’s dire wolf project is not a resurrection – it is an imitation. But that doesn’t mean it lacks value. It offers a glimpse into the possibilities of genetic science, and raises essential questions about what we mean when we say we are “bringing back” extinct species.

    But in the end, it’s not about whether we can bring back the dead. It’s about what we do with the power to remake the living.

    Timothy Hearn 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. ‘Return’ of the dire wolf is an impressive feat of genetic engineering, not a reversal of extinction – https://theconversation.com/return-of-the-dire-wolf-is-an-impressive-feat-of-genetic-engineering-not-a-reversal-of-extinction-254098

    MIL OSI – Global Reports

  • MIL-OSI USA: Budd Kicks Off Third 100 County Tour with Visit to Western North Carolina

    US Senate News:

    Source: United States Senator Ted Budd (R-North Carolina)
    Washington, D.C. — U.S. Senator Ted Budd (R-N.C.) kicked off his 100 County Tour last week with visits to the following counties in Western North Carolina: Ashe, Watauga, Avery, Mitchell, Yancey, Madison, Buncombe, Henderson, Rutherford, and Polk. On the first leg of his statewide tour, Senator Budd surveyed the storm damage and heard from local officials, small business owners, and community members about their needs on the road to recovery.
    “It has been a long six months since Hurricane Helene tore through Western North Carolina, leaving a trail of devastation—leveling homes, flooding schools, destroying businesses, and crippling critical infrastructure. As I began planning my third 100 County Tour, I knew there was no question: I had to start out West.
    “Since the storm struck last September, I’ve returned to these communities time and time again to survey the damage and offer support to local officials in their recovery efforts. During my most recent visit to the region, I was deeply moved by the resilience and determination I witnessed from the victims of Helene. In the face of unimaginable hardship, families, small business owners, local officials, law enforcement, and neighbors are going out of their way to lift one another up and reach out a helping hand.
    “I am fully committed to doing everything in my power in the U.S. Senate to secure the resources and relief these communities desperately need. Together, we will rebuild and create a stronger and more prosperous Western North Carolina,” said Senator Budd.
    Follow Senator Budd on Flickr to see photos from the 100 County Tour HERE or click below to view individual albums.
    Background on Senator Budd’s Visits to WNC:
    Ashe County—Senator Budd made the first stop on his third 100 County Tour in the Town of Lansing, where he met with Mayor Mack Powers to survey damage caused by Hurricane Helene and speak with impacted members of the community. 
    Watauga County—Senator Budd toured the flooded Valle Crucis Elementary School to assess the damage caused after the building was submerged in four feet of water during the storm, displacing hundreds of students. Additionally, Senator Budd viewed the wreckage at the Valle Crucis United Methodist Church, which also withstood severe flooding. 
    Avery County—Senator Budd met with local officials at the county’s debris processing site to gain an understanding of the obstacles facing local contractors removing debris caused by the hurricane to expedite the rebuilding process. 
    Mitchell County—Senator Budd visited the Deyton School, where he met with county officials and received a briefing from the Baptists On Mission on operations to rebuild damaged homes for families who suffered property loss.
    Yancey County—Senator Budd spent time with the West Yancey Volunteer Fire Department, personally thanking emergency personnel for their critical role in providing aid during and after the storm to local residents. He also spoke with individuals spearheading Operation Helo, a volunteer organization supporting victims of Helene, and met with displaced North Carolinians who are continuing to work through the FEMA approval process. 
    Madison County—Senator Budd discussed rebuilding assistance with the leadership of the Rebuild Hot Springs Area, including small business owners, local officials, and residents, to reaffirm his commitment to securing disaster relief aid to repair damage to the downtown commercial district, key tourist areas, and surrounding neighborhoods.
    Buncombe County—Senator Budd spoke with the students and faculty of Excel College on the progress of their non-profit—a homebuilding operation to rebuild over three hundred homes in the next two-and-a-half years.
    Henderson County—Senator Budd recognized the efforts of first responders who relocated to the Gerton Volunteer Fire Department to support recovery operations following Helene. Alongside local officials, Senator Budd also surveyed the damage at the community’s Post Office and the road repairs between Bat Cave and Slick Rock along the Rocky Broad River. 
    Rutherford County—Senator Budd met with local officials from Lake Lure and Chimney Rock to discuss the community’s rebuilding process and debris removal status with the U.S. Army Corps of Engineers.
    Polk County—Senator Budd visited with small business owners and vendors from Chimney Rock, Lake Lure, Hendersonville, and Asheville, currently using the Tryon Equestrian Center as their base of operations following the aftermath of the hurricane. The partnership, otherwise known as the “WNC Main Street” program, has been successful in attracting economic support for local businesses from tourism.

    MIL OSI USA News

  • MIL-OSI Global: From popping painkillers to shortage of sleep, seven common habits that could be harming your kidneys

    Source: The Conversation – UK – By Dipa Kamdar, Senior Lecturer in Pharmacy Practice, Kingston University

    New Africa/Shutterstock

    In the UK, more than 10% of the population is estimated to have some stage of chronic kidney disease and more than 600,000 people develop some form of acute kidney injury – when the kidneys suddenly stop working properly but can recover – each year.

    The kidneys play a vital role in maintaining overall health by filtering waste, excess fluids and electrolytes, such as sodium and potassium, from the blood. They also help regulate blood pressure, red blood cell production and calcium balance in the body. When the kidneys are damaged, their ability to filter waste and maintain balance is compromised, leading to a buildup of toxins, fluid retention and an imbalance in electrolytes. This can cause a range of health problems, from high blood pressure to heart disease and weakened bones. Kidney damage can progress to chronic kidney disease and kidney failure over time.

    Kidney damage, then, can affect almost part of your body – but there are simple lifestyle changes you can make today to avoid harming your kidneys tomorrow.

    Here are seven potentially kidney-harming habits to avoid:

    Using painkillers

    Common over-the-counter anti-inflammatory painkillers like ibuprofen and aspirin can damage the kidney tubules – tiny tubes in the kidneys that return filtered nutrients and fluids back to the blood. The remaining fluid and waste in the renal tubules become urine – and inflammation and reduced blood flow through the kidneys. This is more likely to occur in older people or those with other medical conditions.

    People who already have chronic kidney disease should avoid these painkillers unless they’ve been prescribed by a doctor who can monitor kidney function. To lower the risk of side-effects, use painkillers for the shortest time needed at the recommended dose on the packaging.

    Not drinking enough water

    Water is needed for the kidneys to remove waste. People who don’t drink enough water may be risking kidney damage, especially in hot weather. Concentrated urine from dehydration has higher levels of minerals and other waste products – this increases the risk of kidney stones and urine infections, which may damage the kidneys.




    Read more:
    Don’t like drinking plain water? 10 healthy ideas for staying hydrated this summer


    Some people with health conditions such as liver disease or heart failure may be on restricted fluids. But for the general population, between 1.5 to 2 litres of water (about six to eight cups) daily is recommended.

    Drinking too much alcohol

    The kidneys regulate the water in the body. Alcohol can dehydrate the body, which therefore changes how the kidneys work. Too much alcohol can also raise blood pressure, which damages the kidneys. Most people know that alcohol can contribute to liver disease, but this in turn can harm the kidneys as it means they have to work harder.

    The NHS advises men and women to not drink more than 14 alcohol units per week (ideally spread throughout the week with some alcohol-free days). This equates to one standard glass of wine (two units) or a pint of low-strength beer (two units) per day.

    Smoking

    Most people know that smoking can contribute to cancers and heart disease. But smoking can directly harm the kidneys through multiple mechanisms. Cigarette smoke contains toxic chemicals such as cadmium which may harm the kidneys. Smoking promotes oxidative stress (when harmful molecules called free radicals damage cells in the body) and can narrow the blood vessels and damage the blood vessel lining which can lead to kidney injury.

    Smoking also increases the risk of other conditions that can damage the kidneys, including diabetes and high blood pressure. There is no safe level of smoking, so it’s best to quit with support from a healthcare professional.

    Being overweight

    A healthy body mass index (BMI) is between 18.5 and 24.9. Anything over this is classed as overweight or obese. However, this isn’t the only measure of being overweight – and is sometimes inaccurate. The waist circumference is a good measure of fat around the middle (central obesity) which is shown to increase the risk of heart disease and diabetes – two common causes of kidney disease. Obesity might harm kidneys directly by disrupting fat tissue chemicals.

    Having a healthier diet in conjunction with exercise can help shed the pounds, helping keep your kidneys healthy. Some research has found that physical activity lowers the risk of kidney disease – aim for 30 minutes of aerobic exercise five days a week but build it up slowly.

    Making less healthy food choices

    Ultra-processed foods (UPFs) are manufactured foods that contain ingredients such as fats, sugars, salts, and additives including artificial colours, flavourings and preservatives to make them taste better and increase their shelf life.




    Read more:
    Ultra-processed foods: largest ever review shows many ill effects on health – how to understand the evidence


    Examples of UPFs include meats such as sausages, carbonated soft drinks and packaged breads. These foods are linked to various health issues, such as obesity, heart disease and type 2 diabetes. Recently it has also been linked to kidney disease. An American study tracked 14,000 adults for 24 years. Those who ate a lot of ultra-processed foods had a 24% higher risk of kidney disease. Nearly 5,000 of them developed chronic kidney disease.

    Diets high in salt (sodium) can also be problematic, especially in people who already have kidney disease. The kidneys filter excess water from the blood, needing a balance of sodium and potassium. A high salt diet disrupts this balance, reducing kidney function and causing higher blood pressure, which strains the kidneys and can lead to kidney disease.




    Read more:
    Salty foods are making people sick − in part by poisoning their microbiomes


    Stick to a maximum of six grams – or one teaspoon – of salt per day.

    Poor sleep

    There is some evidence that links sleep quality and duration with kidney disease. A study has shown that poor sleep increases the risk of chronic kidney disease. Research differs slightly but having less than six hours or more than ten hours of sleep daily may harm your kidneys. Optimal sleep tends to be between seven to nine hours per night for most people.

    Factors such as age and family history are beyond your control but many habits can be changed to help manage kidney health.

    Dipa Kamdar 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. From popping painkillers to shortage of sleep, seven common habits that could be harming your kidneys – https://theconversation.com/from-popping-painkillers-to-shortage-of-sleep-seven-common-habits-that-could-be-harming-your-kidneys-253918

    MIL OSI – Global Reports

  • MIL-OSI Russia: “It’s critical how we teach this technology, how it impacts young people.”

    Translartion. Region: Russians Fedetion –

    Source: State University Higher School of Economics – State University Higher School of Economics –

    Photo: MIA “Russia Today”

    On April 8, the MIA “Russia Today” held a round table on the topic “Threats of Artificial Intelligence for Education and the Social Sphere”, in which the rector of the National Research University Higher School of Economics, member of the Council under the President of the Russian Federation for the Development of Civil Society and Human Rights (HRC) Nikita Anisimov took part. He spoke about the HSE’s experience in regulating the use of AI technologies in the educational process.

    Opening the round table, Advisor to the President of Russia, Chairman of the Human Rights Council Valery Fadeev stated that modern youth actively uses neural networks. He cited data from a recent survey by the Association of Organizers of Student Olympiads, according to which 85% of students use neural networks, including 43% for writing abstracts, essays, term papers and theses. Students also consider AI to be the most important technology for Russia.

    However, Valery Fadeyev himself has a different view of what is happening. “I believe that we are on the threshold of an ideological disaster, and Russian society is still underestimating this danger,” he said. The reason is that, when answering questions related to politics, for example, neural networks produce a Western narrative – ideological texts, turning into an ideological weapon.

    The Russian presidential adviser used the analogy of a student library in the 1980s, which contained only Marxist literature, rather than the best works in the humanities from around the world. “Our texts and the texts of our friends make up a minimal part of the total array of materials and texts used by the neural network,” he concluded.

    In turn, Nikita Anisimov noted that behind each AI there is a developer – a person who can afford to invest billions in the development of a specific technology. Such people have great business opportunities and pursue certain interests.

    He recalled that the HSE University had adopted a Declaration of Ethical Principles for the Creation and Use of Artificial Intelligence Systems on its own initiative. One of these principles is transparency: if a student uses AI in their work, they are required to indicate what kind of technology it is and what conclusions were made. If deception is detected (there is a tool called “Catch a Bot” for this), the student may be expelled.

    Nikita Anisimov emphasized that the university trains specialists in the field of AI and those who will definitely use it. In his opinion, methodological understanding of the use of AI in education is critically important and this is understood not only in Russia: for example, in China, at the state level, they consider it necessary to modernize educational methods and textbooks taking into account the emergence of AI as a technology.

    The rector developed Valery Fadeev’s thesis that the content of a neural network is determined by the one who trained it.

    “If the technology was developed in the USA, taught on a line of school textbooks published in the USA, then, naturally, it promotes certain views. But what if we load it with textbooks published in the 90s in the Russian Federation, will it be better? Therefore, it is critically important how we teach this technology, how it affects young people, adults. It is important who taught and what they taught. Artificial intelligence is only a technology, and any problem has a last name, first name and patronymic. They must be named, invited, discussed with them, introduced regulations, as we did at our university. And you know, it works. The guys are happy to tell where they used artificial intelligence, and where they wrote the work themselves,” concluded Nikita Anisimov.

    The discussion was also attended by HRC member and IT entrepreneur Igor Ashmanov and IT entrepreneur Natalya Kasperskaya.

    Igor Ashmanov emphasized the danger that AI poses to schoolchildren. At school, many questions require a clear answer, but a neural network cannot do this and answers differently each time, moreover, its answers are incorrect. At the same time, Russia is still lagging behind its competitors and cannot create the “right AI”. “Our digital giants take enemy engines and repackage them,” the expert explains.

    Natalya Kaspersky mentioned the risks that children’s use of gadgets in general entails. These include a negative impact on health, as well as inability to communicate, underdeveloped imagination, clip thinking, short memory, etc. In her opinion, AI cannot be trusted to choose an educational trajectory; only a person can do this.

    At the end of the round table, its participants answered questions from journalists. In particular, Nikita Anisimov was asked how much interest in HSE programs dedicated to AI has grown in recent years.

    According to the rector, everyone should master AI technologies in their professional activities, so students of all fields and specialties at HSE take the Data Culture course. And students of educational programs dedicated to AI receive significant salaries, combining work with studies already in the second or third year. There is a huge competition for these programs, their graduates have an excellent reputation.

    Nikita Anisimov concluded that AI technologies can help, for example, to win on the battlefield and increase labor productivity many times over, and this is extremely important for the country. At the same time, in the social sphere, AI should not be allowed to make decisions about people and influence their destinies.

    Please note: This information is raw content directly from the source of the information. It is exactly what the source states and does not reflect the position of MIL-OSI or its clients.

    MIL OSI Russia News

  • MIL-OSI Canada: Students Complete Work on 2024-25 Post-Secondary Student Council

    Source: Government of Canada regional news

    Released on April 8, 2025

    The 2024-25 Saskatchewan Post-Secondary Student Council has successfully completed its second year, with 24 students providing insights on financing post-secondary education, enhancing student success and improving specific ministry tools.

    “The student council is an important resource for government to hear directly from current post-secondary students on their experiences studying in Saskatchewan,” Advanced Education Minister Ken Cheveldayoff said. “I had the pleasure of meeting several of this year’s council members and I am impressed by their aspirations and passion for post-secondary education.” 

    The council met four times over the 2024-25 academic year, sharing feedback and insights on a variety of higher education topics with government officials. Council members attend a wide range of post-secondary institutions across the province and represent diverse backgrounds and interests. 

    “Serving on Saskatchewan’s Post-Secondary Student Council was both an honour and a privilege,” Campion College Council Member and Student Maliha Jabeen Khan said. “Engaging with students from diverse backgrounds, collaborating with ministry leaders and contributing to discussions that play a role in shaping the future of education was an unforgettable experience. It reinforced the power of student voices in driving meaningful change.”

    Key learnings from the 2024-25 council meetings are used to inform the Ministry of Advanced Education’s work. Feedback from students is also shared with post-secondary institutions and sector partners. 

    “Being part of the Post-Secondary Student Council provided me with the opportunity to share my ideas and suggestions on current student struggles in hopes to assist in creating a positive experience for future students,” Saskatchewan Polytechnic Council Member and Student Trynda Wilderman said. “Additionally, I was able to build meaningful connections with other students and hear about their experiences while in school.”

    Nominations for the 2025-26 council will open in September 2025. Students interested in joining the council in the future can email AEStudentCouncil@gov.sk.ca to be directed to the correct contact at their post-secondary institution. 

    For more information on the Saskatchewan Post-Secondary Student Council, visit: www.saskatchewan.ca/student-council.

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    For more information, contact:

    MIL OSI Canada News

  • MIL-OSI USA: Creating Jobs and Saving People Money: Polis Administration Announces New Recycling Facility in Mesa County

    Source: US State of Colorado

    GRAND JUNCTION – Today, Governor Polis, the Colorado Office of Economic Development & International Trade (OEDIT) and the Grand Junction Economic Partnership (GJEP) announced that Bruin Waste Management will expand in Grand Junction, Colorado, with support from the state’s Rural Jump-Start Program. Bruin Waste Management will launch a new, independent division focused on advancing recycling and materials sortation to better serve Western Colorado’s waste management and sustainability needs. 

    “Colorado is proud to support businesses like Bruin Waste that are leaders in recycling and provide reliable services to Coloradans on the Western Slope. Investing in our local businesses is an investment in our communities, and by creating sustainable pathways through the Rural Jumpstart initiative, we are helping businesses grow, create new jobs, and contribute to Colorado’s economy,” said Governor Jared Polis. I

    n Grand Junction, Bruin Waste’s new division will provide services previously available to the region only in Utah, reducing transportation costs for western Colorado communities. The new facility is expected to create up to 30 new primary jobs, offering wages near the county’s average, currently at $56,524. This facility will introduce state-of-the-art sortation technology, including AI-driven systems, to improve recycling efficiency, reduce greenhouse gas emissions, and shorten regional supply chain costs. Plans for the facility also include an on-site community viewing room to educate students, residents, and stakeholders about modern recycling practices and environmental responsibility. 

    “We are thrilled to partner with the City of Grand Junction to bring this critical infrastructure to the Western Slope. The lack of recycling infrastructure in the region has really constrained the recycling rates over the last few years and is preventing communities from meeting their sustainability goals. The support we are getting from the Rural Jump-Start program will support this mission, and we are grateful for the partnership of OEDIT and GJEP,” stated Jeff Kendall, President and CEO of Bruin Waste. 

    The new division will be headquartered in Grand Junction on a 10.5-acre parcel located at 365 32 Road, part of a city-led initiative to develop a modern materials recovery facility (MRF) on the former Haliburton property. The Grand Junction City Council approved a $5.6 million land purchase to support the facility, which is expected to cost between $18 and $19 million and serve as critical infrastructure for the region’s growing recycling needs. 

    “We’re proud to partner with Bruin Waste and expand recycling efforts across the Western Slope. Grand Junction’s commitment to sustainability and resilience directly reflects the work of City Council and staff as one of our strategic priorities, developed from the direction provided by our community’s comprehensive plan,” said Grand Junction Mayor Abram Herman. “The Materials Recovery Facility (MRF) will expand access to recycling services not only for Grand Junction residents but surrounding communities as well, with Grand Junction as a central hub and innovative leader in this area. By expanding recycling services, we divert more waste from landfills, save taxpayer money, reduce environmental impacts, and create lasting change for our community.” 

    Bruin Waste Management’s new division will be managed separately from its existing waste services and is designed to operate independently, qualifying it for the Rural Jump-Start Program. Through the program, the new division will be eligible for significant financial incentives and tax relief, including exemption from state and local income taxes for up to eight years. The company will be eligible to receive up to $20,000 in grant funding to offset startup costs. Through the program, the company will also collaborate with Colorado Mesa University to access its talent pipeline for internships, recent graduates, and alumni. 

    “We are thrilled to see the Rural Jump-Start Program support Bruin Waste Management as it launches a new division in Western Colorado. By providing a much-needed service, the company will improve recycling and waste management while providing as many as 30 new jobs and career advancement opportunities for students at Colorado Mesa University. That is a win for Grand Junction and for Colorado,” said Eve Lieberman, OEDIT Executive Director. 

    Bruin Waste worked closely with the Grand Junction Economic Partnership throughout the expansion, receiving assistance with key connections to state and local leadership and facilitating the application for the Rural Jump-Start Program. 

    “Bruin Waste’s expansion and new recycling facility aligns with our community’s goals for economic diversification and sustainability,” said Curtis Englehart, Executive Director of the Grand Junction Economic Partnership. “It is great to see Bruin Waste partner with the City of Grand Junction and take the lead on building out regional recycling infrastructure, growing its presence here in Grand Junction. We are thrilled to support this project through the Rural Jump-Start Program and look forward to the long-term benefits it will bring to our community.” 

    About the Grand Junction Economic Partnership 

    The Grand Junction Economic Partnership (GJEP) works to enhance the economic vitality and quality of life in the Grand Junction area by supporting high-impact capital investment and job creation. GJEP is a single stop for businesses looking to relocate or expand in the cities of Grand Junction and Fruita, the Town of Palisade, and surrounding communities in Mesa County. Operating as a 501(c)3, GJEP offers free services that help businesses navigate incentives and opportunity zones and connect with realtors and developers, the workforce, local leadership, and more. Visit www.gjep.org for more information. 

    About the Colorado Office of Economic Development and International Trade 

    The Colorado Office of Economic Development and International Trade (OEDIT) works to empower all to thrive in Colorado’s economy. Under the leadership of the Governor and in collaboration with economic development partners across the state, we foster a thriving business environment through funding and financial programs, training, consulting and informational resources across industries and regions. We promote economic growth and long-term job creation by recruiting, retaining, and expanding Colorado businesses and providing programs that support entrepreneurs and businesses of all sizes at every stage of growth. Our goal is to protect what makes our state a great place to live, work, start a business, raise a family, visit and retire—and make it accessible to everyone. Learn more about OEDIT. 

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    MIL OSI USA News

  • MIL-OSI United Kingdom: Sunderland shines a light on its young achievers

    Source: City of Sunderland

    Sunderland’s most inspiring, driven and creative young people have been celebrated at an awards ceremony in the city.

    Organised by Together for Children, the Sunderland Young Achievers’ Awards have been celebrating the incredible talents and achievements of young people and the positive difference they make to their city for more than thirty years.

    This has seen thousands of remarkable young people recognised for their exceptional dedication, resilience, empathy, and strong commitment to their communities.

    15-year-old Leon O’Connor Ahmadi who has overcome multiple challenges to become a school leader and community champion was named overall winner of this year’s Sunderland Young Achievers Awards. He also won the Achievement in Learning award.

    The judges described Leon, who has learning difficulties, as ‘a remarkable Year 11 student whose perseverance and resilience have defined his educational and personal journey’ and someone who gives ‘110 per cent in everything.’

    Leon has been cared for since he left primary school but has never let any of his challenges define him. Attending extra classes and working diligently at home have put him on track to achieve good grades in his GCSEs. He is also a leader in his school community, serving as a sports leader and house captain, and actively working towards his Duke of Edinburgh Award. 

    In the community, Leon volunteers at various projects and has earned the Champion of the Community Award. His determination has also seen him achieve a brown belt in karate.

    Other winners include:

    • Quinn Lux Lownie – winner of the Young Health and Wellbeing Champion – 12-year-old Quinn has been actively campaigning to educate women about cervical cancer and encourage them to prioritise their health since the age of six. She has raised nearly £110,000 for various charities, including as an ambassador for Amber’s Legacy which works to promote awareness about cervical cancer and the importance of smear tests.
    • Box Youth Project – winner of the Bringing Communities Together Award – a group of 24 young volunteers who support afterschool activities like music, arts and crafts, sports, games, and E-Sports for 38 weeks a year. Their achievements included securing funding from Sunderland City Council to deliver Christmas Treat Boxes to elderly residents, showcasing intergenerational work in Doxford.
    • Ellie Storey – winner of the Young Carer Award – 17-year-old Ellie has been a caregiver since the age of two, having supported her mother who has Crohn’s disease, through numerous hospital admissions and treatments, When Ellie was just nine, her brother Shaine was diagnosed with a brain tumour, and she became his nurse, attending every appointment and MRI scan.

    Tammy Banks, Chair of the Together for Children Board, said: “These awards shine a light on the incredible accomplishments, talents, and positive contributions of young people in our community, reminding us all of the huge difference they are making every day.

    “Their stories are emotional, compassionate, full of success and truly uplifting. They remind us of the kindness, resilience, and dedication that define our young people. Each nominee is making a real difference, and it’s a huge honour to be able to recognise and celebrate their outstanding contributions.”

    Councillor Michael Butler, Cabinet Member for Children’s Services, Child Poverty and Skills at Sunderland City Council said: “The Sunderland Young Achievers Awards provide a platform to recognise exceptional individuals those who have triumphed over adversity, shown extraordinary bravery, demonstrated relentless hard work, or devoted themselves to helping others. They embody the very best of Sunderland.

    “More than that, these awards highlight the limitless potential of young achievers the opportunity to achieve big things in life, smash glass ceilings, and become the next generation of leaders. Their determination and ambition will shape the future, inspiring others to dream bigger and reach higher.”

    City landmarks Penshaw Monument, Northern Spire bridge, Hylton Castle, Fulwell Mill and Seaburn lighthouse were also lit gold and black on the night of the awards to celebrate this year’s young achievers.

    The awards are sponsored by partners and organisations from across Sunderland who make the event possible –  Hopespring, Gentoo, Sunderland BID, Everyone Active, Sunderland City Council’s Public Health team and Low Carbon team, Sunderland College and the Northern Academy of Music Education.

    For more details on the awards, visit: Sunderland Young Achievers’ Awards – Together for Children 

    MIL OSI United Kingdom

  • MIL-OSI Global: The Great Gatsby at 100: this great American novel is a universal meditation on time and change

    Source: The Conversation – UK – By William Blazek, Professor Emeritus of American Literature and Modern Culture, Liverpool Hope University

    One hundred years after its publication, F. Scott Fitzgerald’s third novel, The Great Gatsby – the story of nouveau riche Jay Gatsby’s obsessive quest to win back his lost love, Daisy Buchanan – is best remembered for its depiction of America’s Jazz Age excess, especially through Gatsby’s wildly extravagant parties.

    Readers might also focus on moral questions raised about America’s class and racial divisions, the fundamental inequalities that hinder social progress, and the faulty-but-compelling promise of what a decade later was labelled “the American dream”. These are compelling themes within Fitzgerald’s tightly constructed and brilliantly expressed novel.

    Yet for all of its emphasis on national concerns, the book also contains subject matter of more universal value.

    A passage in the fifth chapter describes an incident during the reunion of Gatsby with the now-married Daisy at the cottage of Nick Carraway, the novel’s first-person narrator.

    Amid awkward uncertainty about achieving his goal of repeating the past by winning Daisy back after five years apart, Gatsby leans his head backward and topples over “a defunct mantelpiece clock”, which he then just manages to catch before it would have smashed on the floor. This incident emphasises an important theme of the novel – a meditation on time and change.


    _This article is part of Rethinking the Classics. The stories in this series offer insightful new ways to think about and interpret classic books and artworks. This is the canon – with a twist.


    On one level, the novel presents contrasts between an older, elite moneyed class and emerging groups that have embraced opportunities for success in the entertainment industries of film and theatre. A further social layer is those who have taken underground routes to riches through bootlegging alcohol or manipulating the bond market.

    The socioeconomic and cultural transformations in the US after the first world war are amplified through references to modern technology. In particular, the telephone most often serves to disrupt conversations rather than promote improved communication. There are also Gatsby’s new automobiles, hydroplane, dazzling electric lighting displays and “a machine in the kitchen which could extract the juice of 200 oranges in half an hour”.

    In contrast, Daisy’s husband, Tom, has turned a car garage on his Long Island estate into a stable for his riding horses. In turning the value of horses from work to leisure, he seems to reverse the flow of history.

    Nick, though, is attracted to the dynamic potential for cultural change. He crosses into New York City over the Queensboro Bridge, a recently completed steel cantilever construction – the longest in the US at the time:

    Anything can happen now that we’ve slid over this bridge, I thought; anything at all.

    The “defunct mantelpiece clock” and its near demise could also represent Fitzgerald’s rejection of a literary inheritance. The author avoids the relative certainty of 19th-century realism’s character development and linear narrative chronology. Instead, he emphasises modernism’s fragmentation and ambiguity.

    The trailer for the 2012 adaptation of The Great Gatsby.

    Time shifts and nature’s power

    In the novel, Gatsby’s backstory is slowly and uncertainly revealed. Vital information about his youth is delayed until the final chapter. Born James Gatz on a poor North Dakota farm, the mysterious Jay Gatsby emerges through Nick’s memory.

    Nick recounts conversations with Gatsby, hears rumours, speaks with others and reads newspaper reports about him. He also imagines a great deal, delivering scattered details and making conjectures in jumbled time. “He told me all this much later, but I’ve put it down here” is one example.

    F. Scott Fitzgerald in 1921.
    Wiki Commons

    Some simple dialogue between Gatsby and Nick hints at the seemingly random, but actually carefully designed, narrative sequencing. Gatsby invites Nick to come along for a morning flight in his newly purchased hydroplane. “What time?” Nick asks, and the reply is: “Anytime that suits you best.”

    The Great Gatsby’s fractured sense of time challenges literary convention. It also reflects a world in flux after the first world war, and the moral as well as economic adjustments of the roaring twenties. But another crucial and often undervalued aspect of the novel deserves further attention: the power of nature.

    Natural imagery infuses the text, as the Sun and Moon, rain and wind, the stars and seasons counterbalance disorderly human time. A sense of cosmic, eternal time contends with the vanities of daily life and inevitable mortality.

    Nick connects Gatsby’s inevitable death with nature’s cyclical movements:

    He must have looked up at an unfamiliar sky through frightening leaves and shivered as he found what a grotesque thing a rose is and how raw the sunlight was upon the scarcely created grass. A new world, material without being real.

    Besides being an example of Fitzgerald’s radiant prose, this passage is both a comment on the delusions of American ambition, and an assertion of nature’s timeless presence and enduring authority.

    Beyond the canon

    As part of the Rethinking the Classics series, we’re asking our experts to recommend a book or artwork that tackles similar themes to the canonical work in question, but isn’t (yet) considered a classic itself. Here is William Blazek’s suggestion:

    Abraham Cahan (circa 1913).
    Wiki Commons

    The Rise of David Levinsky by Abraham Cahan (1917) chronicles the Jewish title character, starting with his early life in imperial Russia, where he devotes himself to religious study.

    After emigrating to the US he abandons his spiritual calling and becomes a success in the garment industry. Yet despite his wealth, he is essentially unhappy and lonely.

    Cahan, a Lithuanian-born Jewish American socialist, modelled his story on another rags-to-riches tale, The Rise of Silas Lapham by William Dean Howells (1885), which also contrasts American materialism with moral goodness.

    William Blazek is professor emeritus at Liverpool Hope University and vice president of the F. Scott Fitzgerald Society. In 2025 the F. Scott Fitzgerald Society will hold its 17th biannual international conference from 22-28 June in New York City: A Fitzgerald Centennial: The Great Gatsby, New York, and New Perspectives. Visit https://fscottfitzgeraldsociety.org/

    ref. The Great Gatsby at 100: this great American novel is a universal meditation on time and change – https://theconversation.com/the-great-gatsby-at-100-this-great-american-novel-is-a-universal-meditation-on-time-and-change-242967

    MIL OSI – Global Reports

  • MIL-OSI Global: China plans to build the world’s largest dam – but what does this mean for India and Bangladesh downstream?

    Source: The Conversation – UK – By Mehebub Sahana, Leverhulme Early Career Fellow, Geography, University of Manchester

    The proposed dam will span the Yarlung Tsangpo Grand Canyon, the world’s deepest. Biao Liu / shutterstock

    China recently approved the construction of the world’s largest hydropower dam, across the Yarlung Tsangpo river in Tibet. When fully up and running, it will be the world’s largest power plant – by some distance.

    Yet many are worried the dam will displace local people and cause huge environmental disruption. This is particularly the case in the downstream nations of India and Bangladesh, where that same river is known as the Brahmaputra.

    The proposed dam highlights some of the geopolitical issues raised by rivers that cross international borders. Who owns the river itself, and who has the right to use its water? Do countries have obligations not to pollute shared rivers, or to keep their shipping lanes open? And when a drop of rain falls on a mountain, do farmers in a different country thousands of miles downstream have a claim to use it? Ultimately, we still don’t know enough about these questions of river rights and ownership to settle disputes easily.

    The Yarlung Tsangpo begins on the Tibetan Plateau, in a region sometimes referred to as the world’s third pole as its glaciers contain the largest stores of ice outside of the Arctic and Antarctica. A series of huge rivers tumble down from the plateau and spread across south and south-east Asia. Well over a billion people depend on them, from Pakistan to Vietnam.

    Yet the region is already under immense stress as global warming melts glaciers and changes rainfall patterns. Reduced water flow in the dry season, coupled with sudden releases of water during monsoons, could intensify both water scarcity and flooding, endangering millions in India and Bangladesh.

    The construction of large dams in the Himalayas has historically disrupted river flows, displaced people, destroyed fragile ecosystems and increased risks of floods. The Yarlung Tsangpo Grand Dam will likely be no exception.

    The dam will sit along the tectonic boundary where the Indian and Eurasian plates converge to form the Himalayas. This makes the region particularly vulnerable to earthquakes, landslides, and sudden floods when natural dams burst.

    Downstream, the Brahmaputra is one of south Asia’s mightiest rivers and has been integral to human civilisation for thousands of years. It’s one of the world’s most sediment-rich rivers, which helps form a huge and fertile delta.

    Yet a dam of this scale would trap massive amounts of sediment upstream, disrupting its flow downstream. This could make farming less productive, threatening food security in one of the world’s most densely populated regions.

    The Sundarbans mangrove forest, a Unesco World Heritage Site that stretches across most of coastal Bangladesh and a portion of India, is particularly vulnerable. Any disruption to the balance of sediment could accelerate coastal erosion and make the already low lying area more vulnerable to sea-level rise.

    The Brahmaputra eventually flows into a region of fertile fields and mangrove forests.
    Sk Hasan Ali / shutterstock

    Unfortunately, despite the transboundary nature of the Brahmaputra, there is no comprehensive treaty governing it. This lack of formal agreements complicates efforts to ensure China, India and Bangladesh share the water equitably and work together to prepare for disasters.

    These sorts of agreements are perfectly possible: 14 countries plus the European Union are parties to a convention on protecting the Danube, for instance. But the Brahmaputra is not alone. Many transboundary rivers in the global south face similar neglect and inadequate research.

    Researching rivers

    In our recent study, colleagues and I analysed 4,713 case studies across 286 transboundary river basins. We wanted to assess how much academic research there was on each, what themes it focused on, and how that varied depending on the type of river. We found that, while large rivers in the global north receive considerable academic attention, many equally important rivers in the global south remain overlooked.

    What research there is in the global south is predominantly led by institutions from the global north. This dynamic influences research themes and locations, often sidelining the most pressing local issues. We found that research in the global north tends to focus on technical aspects of river management and governance, whereas studies in the global south primarily examine conflicts and resource competition.

    In Asia, research is concentrated on large, geopolitically significant basins like the Mekong and Indus. Smaller rivers where water crises are most acute are often neglected. Something similar is happening in Africa, where studies focus on climate change and water-sharing disputes, yet a lack of infrastructure limits broader research efforts.

    Small and medium-sized river basins, critical to millions of people in the global south, are among the most neglected in research. This oversight has serious real-world consequences. We still don’t know enough about water scarcity, pollution, and climate change impacts in these regions, which makes it harder to develop effective governance and threatens the livelihoods of everyone who depends on these rivers.

    A more inclusive approach to research will ensure the sustainable management of transboundary rivers, safeguarding these vital resources for future generations.


    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 40,000+ readers who’ve subscribed so far.


    This article is based on research funded by the Leverhulme Trust.

    ref. China plans to build the world’s largest dam – but what does this mean for India and Bangladesh downstream? – https://theconversation.com/china-plans-to-build-the-worlds-largest-dam-but-what-does-this-mean-for-india-and-bangladesh-downstream-250109

    MIL OSI – Global Reports

  • MIL-OSI Global: Far-right activist Laura Loomer cements her influence after White House firings

    Source: The Conversation – UK – By Andrew Gawthorpe, Lecturer in History and International Studies, Leiden University

    The US president, Donald Trump, met with far-right activist Laura Loomer in the Oval Office last week. Loomer is a figure so extreme that she is shunned by many, even in Trump’s “make America great again” (Maga) movement.

    Hours after their meeting, Trump fired a string of national security officials, including General Timothy D. Haugh, the head of the National Security Agency and US Cyber Command, apparently at Loomer’s request. Trump has said Loomer was not involved in the firings, but also praised her judgment.

    Even for a president who has always listened to – and, indeed, echoed – fringe voices, the incident stood out. It served as a reminder that Trump is less constrained than ever before, and that his White House is responsive to his personal whims rather than any deliberative policy-making process.

    Gone are the days of Trump’s first administration, when aides would at least try to block the most extreme conspiracy theorists from having access to the president. Now, apparently, even a four-star general (the highest officer rank) like Haugh serves only at the pleasure of figures such as Loomer.

    So, who exactly is Loomer? She is, first and foremost, a media influencer – someone who made her name in far-right circles by spreading hate and conspiracy theories.

    She calls herself a “proud Islamophobe” and “pro-white nationalism”. She has endorsed claims that the 9/11 terrorist attacks were an “inside job”, alleged that the “deep state” manipulates the weather to influence elections, and spread conspiracy theories implying that the FBI let school shootings happen in election years to help the Democrats push gun control.

    Loomer’s claims, and her open racism, have sometimes proven too much even for other prominent Maga figures, who prefer to be slightly more subtle in their messaging.

    When Loomer said in 2024 that if Kamala Harris won the election, the White House “will smell like curry” and speeches will be “facilitated via a call centre,” she drew push-back from the now vice-president, J.D. Vance, and far-right congresswoman Marjorie Taylor Greene.

    But Trump seems to have appreciated Loomer’s commentary all the same. The president has repeatedly praised her in public and backed her unsuccessful run as a Republican candidate for a US House of Representatives seat in Florida in 2020.

    Like many other Maga media figures, Loomer has realised that her antics give her direct exposure to a television-obsessed president, and that this exposure can be transformed into access and, ultimately, political power.

    Loomer, who is only 31, is entirely a product of the Trump era. As an adult, practically the only conservatism she has known is the conservatism of Maga – openly prejudiced, vindictive, and more a stew of grievance and hatred than a coherent political platform.

    Insofar as Loomer advocates for particular policies, they are a crude channeling of these impulses. She has campaigned for a ten-year immigration moratorium and has called for the death penalty for Democrats who oppose Trump.

    On a podcast in June 2024 about whether Democrats should be prosecuted and jailed if Trump wins the election over alleged “unscrupulous behaviour,” Loomer said: “Not just jailed, they should get the death penalty. You know, we actually used to have the punishment for treason in this country.”

    But the chief way in which Loomer personifies modern American conservatism is her single-minded loyalty to the president. Loyalty to Trump, and fury at the disloyalty of others, is the central component of her identity.

    Deep loyalty

    This loyalty seems to be both a deeply felt emotion and also a shrewd way of recommending herself to the president. And, more than anything else, it was what landed her in the Oval Office last week.

    Loomer’s apparent recommendation that Trump fire a slew of national security officials had its roots in this obsession with loyalty. Many people serving in national security positions in the Trump administration are not card-carrying members of the Maga movement.

    This reflects the fact that such positions require deep expertise developed over long apolitical careers in the civil service or military. As the product of a movement that disdains expertise and rationality, few Maga die-hards have the requisite knowledge to do these jobs.

    For Loomer, such figures pose a threat. It ought to be emphasised that this is not because people like General Haugh have ever shown open disloyalty to Trump. It is merely that they are not, like Loomer, his fanatical adherents. In her worldview, anything less is unacceptable.

    Trump seems to agree, which opens the way to more firings in the future. Sensing her opening, Loomer has declared that she will establish an organisation dedicated to investigating executive branch officials for suspected disloyalty to the president.

    Government officials will have to live in fear of being targeted, creating a chilling atmosphere in which pushing back against Trump’s whims becomes impossible.

    Loomer’s growing influence also suggests that the Trump White House is becoming more chaotic and unpredictable.

    The president’s aides have long claimed that the White House would be run in a controlled fashion this time around, with clear chains of command and questionable outsiders kept away. Loomer’s presence in the Oval Office – at Trump’s personal request – blows that story away.

    For her part, Loomer seems to have what she has always wanted: the president’s attention. Where might she direct it next?

    Andrew Gawthorpe 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. Far-right activist Laura Loomer cements her influence after White House firings – https://theconversation.com/far-right-activist-laura-loomer-cements-her-influence-after-white-house-firings-253870

    MIL OSI – Global Reports

  • MIL-OSI Global: The ‘morning shed’: a brief history of the sometimes dangerous lengths women have gone to to look beautiful

    Source: The Conversation – UK – By Louise N Hanson, PhD in Social and Developmental psychology, Durham University

    An advert for the tape worm pills.

    In TikTok’s latest viral beauty trend “the morning shed,” beauty influencers “shed” hair and skin products that have been worn overnight. These include hair styling items, skin masks and creams, and physical products such as chin straps and mouth tape, which are intended to help with breathing through the night and keep away the drooping of the jaw that happens with age.

    While this trend has come under fire for alleged unsustainability and over-consumerism, it is only the latest beauty fad in a long line of time and money consuming “hacks” that women have been undertaking for centuries. From tapeworms to tuberculosis, women have taken part in a laundry list of beauty hacks in order to meet appearance ideals, many of which have been dangerous, painful and even deadly.

    As far back as the ancient Egyptians, women ground up toxic substances to make eyeliner and eye shadow. These were dangerous when inhaled as a powder (such as during the grinding process) and could cause irritation of the skin when applied. And yet somehow, heavy metal poisoning is among the least dangerous of these historic beauty trends.


    Ready to make a change? The Quarter Life Glow-up is a new, six-week newsletter course from The Conversation’s UK and Canada editions. Every week, we’ll bring you research-backed advice and tools to help improve your relationships, your career, your free time and your mental health – no supplements or skincare required. Sign up here to start your glow-up at any time.


    In China, foot binding is an example of a painful and life altering treatment first recorded around the 10th century. The feet were usually bound before the arch of the foot had developed (aged four to nine).

    The process involved forcefully curling the toes towards the sole of the foot until the arch broke then the foot would be tightly bandaged to keep it in this position. Small feel were coveted at the time. Thankfully, this practice was banned in the early 1900s after almost 200 years of opposition from both Chinese and western sources.

    A Chinese woman with bound feet.
    Wikimedia, CC BY-SA

    In Europe, the Renaissance period saw a new wave of beauty hacks, from arsenic baths (which bleach the skin to a near translucent white) to Belladonna drops (literal poison) used on the eyes to induce an aroused or watery-eyed look. Many women who used these tactics ended up poisoned or blind.

    During the reign of Elizabeth I, the “English rose” look was all the rage. Women would blood let for a perfectly pale pallor, or paint their faces with “Venetian ceruse” or “Venetian white” – otherwise known as lead paint. The use of Venetian ceruse is one of the suspected causes of death of Elizabeth I.

    In the Victorian era and early 1900s, women often engaged in dangerous practices to achieve the coveted pale skin, red lip and small waist that was the height of fashion. This aesthetic could be achieved by contracting tuberculosis (a lung infection that was often fatal), taking tapeworm pills, consuming mercury to look forever young, or chewing arsenic wafers to make skin pale.

    My own research has shown that sociocultural pressures to look a certain way are experienced differently across the world. I found that white western women experience some of the highest appearance pressures, followed by east Asian women. Although these decline a little with age for white western women, they persist in Asian women and never reach the lower levels seen elsewhere. I found the lowest levels of sociocultural pressure and the highest levels of body appreciation in Nigeria.

    As the “morning shed” proves, women still go to great lengths to meet culturally shaped standards, particularly under conditions of higher economic inequality – something that is getting worse in many countries. For example, in the United States, cities which have higher economic inequality see higher spend on beauty products and services, such as beauty salons or women’s clothing.

    With the advent of social media, especially short-form content like TikTok, Reels and YouTube Shorts, the speed at which beauty trends rise and fall has been expedited and globalised. These trends range from the painful lip suction women undertook to get big lips like the celebrity Kylie Jenner, to the normalisation of botox and fillers, to laser hair removal of every unwanted follicle.

    The “morning shed” is just the latest evolution in skin care trends, which started as health-focused, with an emphasis on sun protection and moisturisation. It has since morphed into a study in over-consumption and over-commitment of time and money in the pursuit of staying ever youthful.

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

    ref. The ‘morning shed’: a brief history of the sometimes dangerous lengths women have gone to to look beautiful – https://theconversation.com/the-morning-shed-a-brief-history-of-the-sometimes-dangerous-lengths-women-have-gone-to-to-look-beautiful-253921

    MIL OSI – Global Reports

  • MIL-OSI Global: Inaction from Brussels over the arrest of an opposition leader in Turkey may be a strategic mistake

    Source: The Conversation – UK – By Seda Gurkan, Assistant Professor in European Studies and International Relations, Institute of Security and Global Affairs, Leiden University

    The European Union faces a pressing problem as it decides how to handle another major slide towards autocracy in Turkey. So far, the signs are not good.

    Over the past decade, core democratic institutions have been systematically eroded in Turkey, under the rule of Recep Tayyip Erdoğan, who has been in power since 2003. Media freedom, independent judiciary and civil society have all been targeted. A major turning point came in 2016, when Turkey abandoned its parliamentary democracy in favour of a hyper-centralised presidential system. Since then, the national parliament has been marginalised and nearly all checks on executive power have been eroded.

    While elections in Turkey have not been fair for many years, they were at least free. According to the international observers, elections were not fair as President Erdoğan and the ruling parties enjoyed “unjustified advantage”. However, elections still could offer voters a “choice between genuine political alternatives” – providing citizens with a sliver of hope for democratic change.

    That era may have ended on March 19, with the arrest of Ekrem İmamoğlu, Istanbul’s mayor. İmamoğlu was on the cusp of being made the opposition’s presidential candidate and was widely seen as Erdoğan’s main electoral rival. He now looks unlikely to be able to stand for president. This is not just a blow to the opposition but potentially indicates the end of free elections in Turkey according to some observers.

    All this has been happening in the EU’s immediate neighbourhood. Indeed, it has been happening in a country that remains, at least nominally, a candidate for EU membership. Yet Brussels has largely remained silent. This silence may prove a strategic mistake.

    Why is the EU silent?

    The EU’s reaction to İmamoğlu’s arrest has been, at best, cautious. Ursula von der Leyen, president of the European Commission, issued a carefully worded expression of “deep concern”. The spokesperson for the EU echoed a familiar refrain, saying that as a candidate country, Turkey must “uphold democratic values”.

    In their joint statement Kaja Kallas, high representative of the European Union for foreign affairs and security policy, and Oliver Várhelyi, commissioner for enlargement, struck a similarly cautious tone. They said Turkey is “expected to apply the highest democratic standards and practices”.

    Only the European parliament, long considered the flagbearer of the EU’s values, adopted a more direct stance. Several political groups openly criticised Turkey during the plenary session on April 1. A delegation led by the European parliament first vice-president Katarina Barley visited İmamoğlu in a symbolic gesture of support.

    But these expressions of concern and acts of solidarity with İmamoğlu have not been matched by any credible action or condemnation potent enough to have a deterrent effect on the Turkish government. As many observers have noted, the EU’s strategic interests have increasingly overshadowed its commitment to democratic principles.

    It is no secret that the EU has never had a coherent strategic vision on Turkey. In a prime example of the transactional nature of the relationship, the EU outsourced refugee challenge to Turkey in 2016 in exchange for financial aid to Ankara. It was a deal driven not by long-term goals but short-term pragmatism.

    Today, in an era of growing geopolitical instability, Turkey has only become a more critical partner for the EU. Ankara commands the second-largest army in Nato, boasts a rapidly advancing defence industry, and has ample experience in peacekeeping and out-of-area operations. These are all increasingly valuable as the US, under Donald Trump, retreats from European security.

    Turkey has also become a key player in Syria after the fall of Bashar al-Assad. With strong political and economic ties to the new leadership in Damascus, Turkey started to play a central role in Syria’s reconstruction, as well as in its energy and defence sectors. Working toward the stabilisation and reconstruction of Syria is a shared interest for both Brussels and Ankara. For both sides, potential collapse of Syria involves major security concerns, including further refugee inflows to Turkey, and via Turkey to Europe, the proliferation of armed groups, jihadist terror and the spillover of regional instability.

    And while the containment of Kurdish groups in Syria is a priority for Ankara, the control of ISIS militants in detention in Northern Syria is a priority for the EU. Brussels has recognised Turkey’s “essential role to play in stabilising the region”, adding to the growing list of areas of common interest.

    Add in the fear of destabilisation in the EU’s immediate neighbourhood, and it becomes clearer why Brussels might prefer “stability” under Erdoğan over the uncertainty of post-Erdoğan period.

    The wrong strategy

    But failing to stand up to Turkey now is a mistake – and one with long-term consequences. The EU should care about what is happening in Turkey, not just for the sake of Turkish democracy, but for its own security. How it responds has implications for the credibility of the European project itself.

    Seeking closer security and defence cooperation with Turkey, in the absence of a shared understanding of fundamental values between Ankara and Brussels, is not realistic. As Hungary’s stance toward Russia since the full-scale invasion of Ukraine in 2022 has shown, if there is no agreement on core values, aligning strategic interests becomes increasingly difficult. Turkey is a self-confident and assertive regional power, and it will not hesitate to follow a foreign policy that could ideologically diverge from that of the EU.

    Turkey’s recent foreign policy decisions illustrate this perfectly. Its actions in the eastern Mediterranean, northern Syria before Assad’s fall, Libya and the Caucasus demonstrate its readiness to pursue a more assertive path without consulting western partners. A prime example of this was Turkey’s decision to purchase S-400 missile defence systems from Russia, which created interoperability problems with Nato allies.

    Moreover, autocratic ideas tend to be contagious. When a country follows a more illiberal trajectory, it affects its wider neighbourhood. Turning a blind eye to Turkey’s authoritarian turn while cooperating on security and defence matters risks legitimising Erdoğan’s governance model. This could further strengthen the illiberal axis in the region.

    Finally, the EU risks alienating democrats and younger generations in Turkey. Despite the ups and downs in EU-Turkey relations, Turkish citizens have consistently shown strong support for the EU. Maintaining this momentum is not just an ethical responsibility or a matter of credibility for the EU – it is also a long-term investment in building a more democratic, trustworthy and stable neighbour.

    Seda Gurkan 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. Inaction from Brussels over the arrest of an opposition leader in Turkey may be a strategic mistake – https://theconversation.com/inaction-from-brussels-over-the-arrest-of-an-opposition-leader-in-turkey-may-be-a-strategic-mistake-253982

    MIL OSI – Global Reports

  • MIL-OSI Global: As Canada is threatened, it’s urgent to revisit Indigenous sovereignty and nationhood

    Source: The Conversation – Canada – By Frank Deer, Professor, Faculty of Education, University of Manitoba

    Early in his second term as president of the United States, Donald Trump began making explicit threats about Canada becoming the 51st American state.

    In the midst of his absurd and at times disrespectful rhetoric that’s also included a proposal to acquire Greenland and the Gaza Strip, some have argued Trump’s interest in annexing Canada is an imperialistic impulse.

    As a Kanienʼkehá꞉ka educator concerned with Indigenous language education, civic education and reconciliation, I believe it’s important to explore how Canadians should think about Indigenous nationhood with Canada’s sovereignty under threat. I also believe a U.S. annexation of Canada would be devastating for Indigenous Peoples.

    Re-asserting Canadian nationhood amid threats

    Trump has stated that Canada can be annexed through economic force while others have speculated a military invasion may be part of this conquest attempt.

    Although Trump’s threats against Canada seem ludicrous, many Canadians are taking them seriously and regard the ongoing imperialist rhetoric as a threat to Canadian sovereignty.




    Read more:
    Canada, Greenland, Panama, Gaza and now Ukraine: Wake up, world, Donald Trump is coming for you


    Canadian politicians, public intellectuals and members of the public have reacted strongly to this threat in ways that assert Canadian nationhood, sovereignty and identity. Some suggest a sense of national unity has been stoked in Canada for the first time in generations.

    However, that sense of unity that many may be feeling in Canada — and could affect how Canadians cast their votes in the forthcoming federal election — conceals the realities of nationhood in Canada. There are several aspects of nationhood in Canada that may merit conversation in terms of unity and the current American threats. But I’m particularly concerned that the nationhood that exists among First Nations, Inuit and Métis may be particularly threatened by an American annexation.

    Indigenous Peoples

    Canada is a nation state that occupies the traditional territories of many Indigenous nations, representing a broad diversity of cultural and language backgrounds. The Indigenous Peoples of these nations had served as stewards of the territories of North America far longer than the European colonizers who eventually seized control of the territories.

    Many of the Canadian government’s colonial and post-colonial activities, abetted by their partners (for example, churches of various denominations), were genocidal in nature.

    These colonial actions resulted in Indigenous communities becoming constituent parts one unified nation — Canada. Very little public discourse acknowledges that Indigenous Peoples had already established their own concepts of nation and nationhood. These were displaced by those who established control of the territories.




    Read more:
    Indigenous people invented the so-called ‘American Dream’


    Indigenous nationhood

    Indigenous nations have and continue to regard their communal connections and responsibilities through Indigenous nationhood.

    There are various key aspects of Indigenous nationhood: sociologist Stephen Cornell, who has worked with Indigenous nations and organizations in North America, Australia and New Zealand, observes five of them, including connections to the land, kinship and community, narratives and history associated with the land and culture, self-governance and collective well-being.

    For example, many Anishinaabe consider nationhood as being built on stories and traditions and shaped by relationships and communities. Views like these are enriched by the diversity among Indigenous Peoples.

    The Haudenosaunee (Iroquois) people share many stories, traditions and language that inform their concept of nationhood and their treaty arrangements (such as the Kaswentha). But the Haudenosaunee also consist of different Indigenous nations — including my own, the Kanienʼkehá꞉ka — with each having their own unique manifestations of Indigenous knowledge, heritage and consciousness.

    These different nations functioned in tandem with one another by forming allyships and sharing land.

    Canada not a single, homogenous nation

    Colonialist incursions by French, British and, later, Canadian authorities have disrupted how Indigenous notions of nationhood may be understood by Canadians.

    In ignoring aspects of Indigenous nationhood by exploiting land, dividing families and communities, reconstructing historical narratives, stymying self-governance and emphasizing individual well-being over the collective, the notion of Indigenous nationhood has been marginalized in mainstream public consciousness in Canada.

    Instead, the prevailing notion is that Canada is a single and somewhat homogenous nation. This might sound desirable to some and even idyllic, but it’s a myth.

    Legal implications, reconciliation journey

    Why does Indigenous nationhood have to do with an American president’s threats to Canadian sovereignty?

    Indigenous nationhood has not just been a part of Indigenous consciousness and ways of life for centuries, but is now closely tied to established and developing legal and constitutional principles in Canada.

    These principles are now, after generations of oversight and subjugation, finally allowing Indigenous nations to explore and enact approaches to self-determination and self-governance.

    Trump’s threats imply that existing Canadian legal and constitutional frames would be abolished. They also suggest that the cultural and linguistic mores of Indigenous nations would be endangered even more than they have already been. The reconciliation journey — one that has been informed by the work of the Truth and Reconciliation Commission of Canada — would almost certainly be abandoned.

    Treaty relations and 51st state?

    More specific concerns about nationhood emerging from Trump’s threats are connected to particular Indigenous nations. For instance, many First Nations have treaty relations with the Crown.

    These treaties codify the relationship that these First Nations have with the government of Canada. There is a lot of work being done to better understand treaties in modern times. Treaty arrangements and ongoing efforts to better understand them would be terminated should Canada become the 51st American state.




    Read more:
    Revisiting the Williams Treaties of 1923: Anishinaabeg perspectives after a century


    Much has been achieved by Indigenous Peoples — sometimes in partnership with non-Indigenous people — to enhance their well-being and their place in the world to determine their way forward.

    There is, of course, a lot of work still to be done. Poverty, for example, is still widespread among Indigenous Peoples, the languages and cultures of many are endangered and Indigenous women and girls continue to be treated horrifically. But the journey of Indigenous nations toward well-being and self-determination has led to achievements that can make Indigenous Peoples can be proud.

    Would this journey continue as a 51st state? I have my doubts.

    Frank Deer has received funding from the Social Sciences and Humanities Research Council of Canada.

    ref. As Canada is threatened, it’s urgent to revisit Indigenous sovereignty and nationhood – https://theconversation.com/as-canada-is-threatened-its-urgent-to-revisit-indigenous-sovereignty-and-nationhood-253199

    MIL OSI – Global Reports