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Category: Education

  • MIL-OSI Economics: Samsung, Ocule IT host KZN Graduation Ceremony for 4th Cohort of Electronics Technician Programme

    Source: Samsung

    Samsung, in collaboration with Ocule IT, hosted a Graduation ceremony for the 4th Cohort of the Electronics Technician Programme on 03 April 2025, to celebrate the successful completion of this transformative training in KZN – while also boosting the province’s employment opportunities.
     

     
    This Artisans’ skills development initiative – sponsored by Samsung’s R280-million worth Equity Equivalents Investment Programme (EEIP) – has successfully hosted training in both KZN and Gqeberha (formerly Port Elizabeth) in Eastern Cape. Launched in 2019, Samsung’s EEIP which has demonstrated considerable success since its inception, seeks to continue to empower the country’s youth and women from previously disadvantaged communities with Fourth Industrial Revolution (4IR) skills.
     
    This graduation ceremony included 20 youth from under-privileged backgrounds: eight (8) males and 12 women. The graduation event was not only an opportunity to celebrate the students’ success, but also to emphasise the role of the programme in driving local development and address the shortage of women in the ICT sector. Samsung does not only credit the success of this Electronics Technician Programme to the students, but also on the impactful collaboration between Ocule IT and other key stakeholders in government such as the Department of Trade, Industry & Competition (Dtic) and the Media, Information and Communication Technologies Sector Education and Training Authority (MICT SETA) as well as several workplace partners in the private sector.
     
    Nicky Beukes, Samsung EEIP Project Manager said: “As Samsung, we believe that the combined role of the programme’s key players as well as its strategic focus on critical skills development that’s tailored specifically to meet industry demands – is contributing positively to its main objectives of stimulating job creation in Kwazulu-Natal. We remain committed to sustained investment in ICT training and development to create a workforce equipped with essential, in-demand skills – as this has a significant impact on driving the success of the programme.”
     

     
    This Electronics Technician programme specifically, seeks to develop sought-after artisan skills in the fields of electronics. These artisans were trained, guided and mentored by accredited specialist providers as part of their workplace training. Learners accessing this qualification were provided with knowledge, skills and attitudes that will enable them to diagnose faults, repair and maintain electronics equipment. Learners are now also able to interpret electronic circuits to do component level repairs. This SAQA-Accredited Qualification: Further Education and Training Certificate: Electronics (NQF 4) comprises of Unit Standards that will serve as the building blocks towards progression to an NQF Level 5 Qualification in Electronics as part of these graduates’ career advancement. This 12-month programme which started in February 2024 and ended in January this year, has been able to enhance employment prospects and fosters sustainable economic development.
     
    Sanele Gcumisa, Ocule IT: Managing Member added: “Ocule IT is thrilled to celebrate the graduation of the fourth cohort of our Electronics NQF Level 4 programme in KZN, a remarkable achievement resulting from a four-year partnership with Samsung. This collaboration has empowered 81 learners, leading to impressive results: 80% secured employment, 6% continued their education and the remaining learners are actively seeking opportunities. We’re particularly proud of the 12% who launched successful businesses, contributing significantly to the community’s economic growth. Our heartfelt thanks to Samsung and our partner companies for their invaluable support in making this programme such a resounding success.”
     

     
    Samsung is convinced that the impressive results of this programme are a clear indication of the opportunities that have been created through this investment. The programme’s success is also due to the collaborative efforts that support its growth as well as the long-term benefits for both the partners involved and the community.
    Beukes concluded: “As a company, we are very happy with the thorough training processes followed and overall, how well this programme was run. Our continued investment in ICT, the drive for educational advancement as well as the transformative power of collaboration with Ocule IT and other key partners has – in no doubt led to the successful completion of this 4th cohort of the Electronics Technician Programme.”
     
    Pictured with the graduates and the dignitaries is Ms Bomkazi Maphotho, DTIC, EEIP Program Manager, seated far left
     

    MIL OSI Economics –

    April 5, 2025
  • MIL-OSI United Kingdom: Salford City Council Hosts Roundtable on Shaping a National Strategy for Rugby League

    Source: City of Salford

    Thursday 3 April 2025 – Salford City Council hosted a roundtable at the Salford Community Stadium which sought to construct a coalition of voices, empowering the call for further investment, both public and private, to protect and advance Rugby League.

    The discussion was chaired by Salford City Mayor, Paul Dennett. Under his leadership, the city has developed a renewed commitment to supporting grassroots sport and empowering the North’s cultural heritage.

    The roundtable brought together key individuals from across Rugby League playing constituencies and local authorities to determine the structure and content of a national Rugby League strategy. Attendees discussed where precisely investment is needed in Rugby League, how Rugby League localities can collaborate to succeed in obtaining more investment, as well as their experiences of support for rugby both locally and nationally.

    Notable participants included Michael Wheeler MP (Worsley and Eccles), Rebecca Long-Bailey MP (Salford) and the Leaders of Warrington, Wigan and St Helens, alongside other council representatives from across the North. Delving into key themes and issues, participants noted that Rugby League is integral to the culture of the North of England and called for the inclusion of Rugby League in future Government-led reviews of the sport.

    Attendees also highlighted the cultural opportunities for both residents and tourists deriving from enabling the region’s rich rugby heritage to thrive. Crucially there are also health and educational benefits from enabling communities to access and celebrate their sporting heritage from young age.

    To conclude the roundtable, participants agreed to work together to secure investment from the sport at every level, including calling on the Department of Culture Media and Sport, the Department for Health and Social Care and the Department for Education to fully realise the benefit of the sport in their respective areas.

    Following the roundtable, Salford City Mayor Paul Dennett commented: “It was great to bring representatives from across national and regional government together to unite the North under one voice and establish a clearer path for securing further investment into Rugby League. The previous government conducted a review on the future sustainability of Rugby Union and failed to include Rugby League.

    We’re here to make sure that this great sport is given the support in needs so our communities and residents can share in the economic, cultural, social and health benefits that rugby league can offer.”

    Salford City Council is committed to creating a fairer, greener, healthier and more inclusive city for all. To achieve this vision, it has set out seven interconnected priorities as the focus for our work from 2024 to 2028.

    • Good growth
    • A good home for all
    • Tackling poverty and inequality
    • Creating places where people want to live
    • A child friendly city
    • Responding to climate change
    • Healthy lives and quality of care for all

    Find out more about our ambitions and how we intend to deliver them in our corporate plan, This is our Salford. It aims to build on past successes and continue to find new and innovative ways to improve residents’ lives.

    Salford continues its remarkable story of transformation with already much to celebrate as a city – more well-paid jobs, new affordable and social homes, thriving local schools, award-winning green spaces, iconic infrastructure, cleaner transport, more integrated health and care and a vibrant cultural scene.

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    Date published
    Thursday 3 April 2025

    Press and media enquiries

    MIL OSI United Kingdom –

    April 5, 2025
  • MIL-OSI Russia: Instructional designers: who are they and why the modern education market is impossible without them

    Translartion. Region: Russians Fedetion –

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

    The education market is transforming and developing. HolonIQ platform experts evaluate the industry’s value by 2030 is estimated at $10 trillion. Educational technologies, EdTech, play a leading role in this market. The need for specialized specialists who use innovative approaches is also growing here. In response to this, HSE online campus Launches New Online Master’s Degree ProgramInstructional Design: Theory and Practice of Learning“.

    EdTech maintains positive dynamics and becomes more mature after a sharp rise during the pandemic. For example, the Smart Ranking agency reports, that the total revenue of the top 100 largest EdTech companies in Russia in 2024 reached 144.5 billion rubles (148.8 billion rubles for the entire sample of more than 160 companies), which is 19% higher than the 2023 level. The higher online education segment is also scaling: analytics The Commonwealth of Online Higher Education (COHO) says that the total revenue of the market in 2024 will reach 4.5 billion rubles. This is 36% higher than in the previous year. There are also more new online programs. We should not forget about the KidTech market, which is marked by double growth potential. Such indicators would be impossible without high-quality educational products that are thought out from the point of view of the student’s path, so there is a growing need for specialists who are able to develop them using innovative approaches. Therefore, the HSE online campus is launching a new online master’s program “Pedagogical Design: Theory and Practice of Teaching”.

    Yulia Koreshnikova, the academic director of the program, spoke about what this profession is, what exactly such a specialist does and who can become one.

    Who is an instructional designer?

    A pedagogical designer can be called a designer of the learning process and the user’s educational experience. He develops programs, courses, educational materials, educational platforms and takes part in the development of applications using modern digital technologies, expertise in the field of pedagogy, psychology, UX/UI design. As a result of his work, users receive a product that is not only high-quality and effective in terms of solving educational problems, but also comfortable and understandable when interacting with it.

    The main areas of activity of pedagogical design are:

    analysis of the market and target audience of the product, based on an understanding of the unit economics and metrics of educational products;

    development, implementation and support of educational products in face-to-face, distance and hybrid environments;

    integration of the latest advances in cognitive and other sciences into the product development process;

    assessing the effectiveness of developed educational products based on the results of the research conducted and their compliance with the goals and objectives of the customer;

    forming teams to solve problems of educational projects;

    implementation of high-quality community management.

    The demand for such specialists is growing both in the field of digital content development and in the field of transformation of traditional educational processes.

    Is the demand for specialists long-term?

    People will not stop learning. The spheres are developing so actively that every 2-3 years you can see the emergence of new professions and changes in existing ones, which exacerbates the need to obtain relevant knowledge and skills through courses and educational programs. In the context of the rapid obsolescence of various professional skills, the role of a specialist in training design is becoming key.

    The EdTech market is growing by 15–20% annually, education is actively digitalizing: according to the UNESCO 2022 report, more than 80% of educational organizations around the world have begun to integrate digital tools into their curricula. In addition, there is a growing demand for personalized educational trajectories: according to the Future of Education project, 70% of students prefer individualized learning formats. The education sector is actively transforming. Companies and educational organizations need specialists who can develop effective learning programs for online and blended formats.

    Our program is able to provide students with the necessary theoretical and practical foundations in the field of educational experience design, instructional design, psychology, pedagogy, neuroscience, as well as practical skills in the development, implementation and sale of educational products in any segment of education.

    How does the training proceed?

    The program is based on the principles of balance between academic knowledge and practical work. We provide students with the opportunity to create educational products under the guidance of leading teachers and industry experts. From the first months of study, master’s students undergo practical training in leading companies such as Skillbox, Uchi.ru, Skyeng, Foxford, Sferum and others, where they work on real projects. This approach provides them with successful cases, makes them part of the professional educational community even before completing their studies. The key feature of the program is learning through activity. In addition, teachers themselves use educational technologies in the educational process, which they discuss with students.

    The program covers three interconnected blocks with a corresponding set of disciplines:

    ideological – the study of key pedagogical and psychological concepts necessary for the conscious design of educational products;

    design – mastering tools for creating and promoting educational products;

    practical – completing internships and working on real projects in EdTech companies, educational organizations and corporate universities.

    In addition, an important component is the research component, which includes a set of disciplines designed to build an ecosystem for mastering the experience of scientific research activities to analyze the target audience, market demands and the effectiveness of the educational product. It is also worth noting that at the start of training, the student chooses a topic for his project and works on it for two years, creating an MVP. Upon completion of training, the results of the project are defended in the format of a final qualifying work in front of industry representatives, which makes it possible to immediately implement their developments in practice.

    The learning process itself is entirely online. The format allows for successful combination of learning and career development. For example, we give students the opportunity to find employment in partner organizations.

    What jobs can you get after completing your studies?

    The specialist will be able to apply for positions as an educational designer, educational experience designer, digital materials developer, methodologist, UX/UI designer, product manager in EdTech, head of corporate training in companies from completely different fields of activity.

    According to hh.ru, specialists in educational program design now earn 70,000 rubles at the start of their professional career, and after a couple of years they can already claim a monthly salary of 200,000 rubles.

    Who can apply?

    Our program is available to anyone who wants to be involved in the development of the education market and its improvement. To enroll, you must have a higher education in any field of study. The diversity of the background of specialists contributes to the development of variability of approaches, ideas, and methods in the educational sphere. Enrollment is based on a competitive selection, so it is extremely important to take care of your portfolio. It should include:

    resume; educational documents; motivational video business card; creative task – analysis of situations; creative task – research of needs and preferences in education, development of the concept of a new educational product; additional documents.

    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 –

    April 5, 2025
  • MIL-OSI United Nations: WFP and Italy partner to expand home-grown school feeding and resilience interventions in Malawi

    Source: World Food Programme

    LILONGWE, Malawi – The United Nations World Food Programme (WFP) welcomes a contribution of €4 million from the Government of Italy to expand the Home-Grown School Feeding programme and support climate-smart agriculture and sustainable school meals by connecting schools with local farmers in Malawi’s Chikwawa District.

    The funding will enable WFP to provide daily nutritious meals to 20,800 children in seventeen primary schools across Chikwawa and supports the national school feeding programme reaching over 800,000 children across Malawi. By sourcing ingredients locally, the initiative creates stable market opportunities for smallholder farmers – especially women – helping them increase production and income, while directly contributing to children’s well-being.

    WFP Malawi Country Director ad interim, Simon Denhere, said the support from the Government of Italy will drive lasting impact by integrating food security, education, and livelihoods.

    “This initiative goes beyond school meals; it strengthens entire communities. By linking smallholder farmers to schools and equipping them with resilience practices, we are improving children’s nutrition while helping communities recover from weather related shocks and to prepare for the future,” said Denhere.

    “This partnership is a game-changer for Malawi, linking nutritious school meals to improved attendance and academic success, while empowering local farmers and enhancing community food security,” said Maureen Maguza Tembo, Deputy Director of School Health, Nutrition and HIV/AIDS  in the Ministry of Education.

    Beyond school feeding, the initiative strengthens smallholder farmers’ resilience by improving access to weather resistant crops, promoting sustainable farming techniques, and expanding irrigation and financial services. These efforts help farming communities increase productivity and better withstand shocks.

    The Ministry of Agriculture, Ministry of Education, WFP, and Save the Children will jointly implement the project in Chikwawa District, with Save the Children and the District Council leading field interventions.

    “Investing in school feeding and agriculture lays the foundation for lasting benefits for children, farmers, and the broader economy, fostering self-reliance and stability,” said H.E. Enrico de Agostini, Ambassador of Italy to Malawi and Zambia.

    Malawi continues to experience climate shocks, including the recent El Niño-induced drought, making recovery efforts essential for families and communities.

    “Smallholder farmers are the backbone of our agricultural sector, yet they face numerous challenges, including limited access to markets, inputs, and climate-related shocks,” said Geoffrey Mamba, Principal Secretary responsible for Irrigation in the Ministry of Agriculture. “This initiative will enhance smallholder farmers’ productivity and market access, particularly for women farmers, by integrating them into the school feeding system.”

    The contribution was announced today by representatives from the Government of Italy, the Ministry of Agriculture, and the Ministry of Education.

    Since 1999, WFP has supported school feeding in Malawi, currently reaching approximately 837,500 children across 778 schools. In addition to school feeding, WFP implements resilience-building projects in four districts in southern Malawi, targeting 57,914 households with initiatives that strengthen livelihoods, enhance agricultural productivity, and help communities withstand climate-related shocks.

    #                    #                       #

    About WFP

    The United Nations World Food Programme is the world’s largest humanitarian organization saving lives in emergencies and using food assistance to build a pathway to peace, stability, and prosperity for people recovering from conflict, disasters, and the impact of climate change.

    Follow us on X @wfp_media | @wfp_malawi

    MIL OSI United Nations News –

    April 5, 2025
  • MIL-OSI Video: Keynote speech: The transformative power of AI

    Source: European Central Bank (video statements)

    Keynote speech: The transformative power of AI—uses and applications of a new general-purpose technology

    Kristina McElheran, University of Toronto, Rotman School of Management

    https://www.youtube.com/watch?v=t6_QxWXpCdc

    MIL OSI Video –

    April 5, 2025
  • MIL-OSI Economics: TODAY: Join us at 9:30 a.m. PT to learn about the latest Copilot news and innovations

    Source: Microsoft

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      April 5, 2025
    • MIL-OSI Global: AI is automating our jobs – but values need to change if we are to be liberated by it

      Source: The Conversation – Global Perspectives – By Robert Muggah, Richard von Weizsäcker Fellow na Bosch Academy e Co-fundador, Instituto Igarapé

      Artificial intelligence may be the most significant disruptor in the history of mankind. Google’s CEO Sundar Pichai famously described AI as “more profound than the invention of fire or electricity”. OpenAI’s CEO Sam Altman claims it has the power to cure most diseases, solve climate change, provide personalized education to the world, and lead to other “astounding triumphs”.

      AI will undoubtedly help solve vast problems, while generating vast fortunes for technology companies and investors. However, the rapid spread of generative AI and machine learning will also automate vast swathes of the global workforce, eviscerating white-collar and blue-collar jobs alike. And while millions of new jobs will surely be created, it is not clear what happens when potentially billions more are lost.


      The Insights section is committed to high-quality longform journalism. Our editors work with academics from many different backgrounds who are tackling a wide range of societal and scientific challenges.


      Amid the breathless promises of productivity gains from AI, there are rising concerns that the political, social and economic fallout from mass labour displacement will deepen inequality, strain public safety nets, and contribute to social unrest.

      A 2023 survey in 31 countries found that over half of all respondents felt “nervous” about the impacts of AI on their daily lives and believed it will negatively impact their jobs. Concerns are also mounting about the ways in which AI is being weaponized and could hasten everything from geopolitical fragmentation to nuclear exchanges. While experts are sounding the alarm, it is increasingly clear that governments, businesses and societies are unprepared for the AI revolution.

      The coming AI upheaval

      The idea that machines would one day replace human labour is hardly new. It features in novels, films and countless economic reports stretching back over centuries. In 2013, Carl-Benedikt Frey and Michael Osborne of the University of Oxford attempted to quantify the human costs, estimating that “47% of total US employment is in the high risk category, meaning that associated occupations are potentially automatable”. Their study triggered a global debate about the far-reaching consequences of automation not just for manufacturing jobs, but also service and knowledge-based work.

      Fast forward to today, and AI capabilities are advancing faster than almost anyone expected. In November 2022, OpenAI launched ChatGPT, which dramatically accelerated the AI race. By 2023, Goldman Sachs projected that “roughly two-thirds of current jobs are exposed to some degree of AI automation” and that up to 300 million jobs worldwide could be displaced or significantly altered by AI.

      A more detailed McKinsey analysis estimated that “Gen AI and other technologies have the potential to automate work activities that absorb up to 70% of employees’ time today”. Brookings found that “more than 30% of all workers could see at least 50% of their occupation’s tasks disrupted by generative AI”. Although the methodologies and estimates differ, all of these studies point to a common outcome: AI will profoundly upset the world of work.

      While it is tempting to compare the impacts of AI automation to past industrial revolutions, it is also short-sighted. AI is arguably more transformative than the combustion engine or Internet because it represents a fundamental shift in how decisions are made and tasks are performed. It is not just a new tool or source of power, but a system that can learn, adapt, and make independent decisions across virtually all sectors of the economy and aspects of human life. Precisely because AI has these capabilities, scales exponentially, and is not confined by geography, it is already starting to outperform humans. It signals the advent of a post-human intelligence era.

      Goldman Sachs estimates that 46% of administrative work and 44% of legal tasks could be automated within the next decade. In finance and legal sectors, tasks such as contract analysis, fraud detection, and financial advising are increasingly handled by AI systems that can process data faster and more accurately than humans. Financial institutions are rapidly deploying AI to reduce costs and increase efficiency, with many entry-level roles set to disappear. Global banks could cut as many as 200,000 jobs in the next three to five years on account of AI.

      Ironically, coding and software engineering jobs are among the most vulnerable to the spreading of AI. While there are expectations that AI will increase productivity and streamline routine tasks with many programmers and non-programmers likely to benefit, some coders confess that they are becoming overly reliant on AI suggestions (which undermines problem-solving skills).

      Anthropic, one of the leading developers of generative AI systems, recently launched an Economic Index based on millions of anonymised uses of its Claude chatbot. It reveals massive adoption of AI in software engineering: “37.2% of queries sent to Claude were in this category, covering tasks like software modification, code debugging, and network troubleshooting”.

      AI is also outperforming humans in a growing array of medical imaging and diagnosis roles. While doctors may not be replaced outright, support roles are particularly vulnerable and medical professionals are getting anxious. Analysts insist that high-skilled jobs are not at risk even as AI-driven diagnostic tools and patient management systems are steadily being deployed in hospitals and clinics worldwide.

      Meanwhile, the creative sectors also face significant disruption as AI-generated writing and synthetic media improve. The demand for human journalists, copywriters, and designers is already falling just as AI-generated content (including so-called “slop”: the growing amount of low-quality text, audio and video flooding social media) expands. And in education, AI tutoring systems, adaptive learning platforms, and automated grading could reduce the need for human teachers, not only in remote learning environments.

      Arguably the most dramatic impact of AI in the coming years will be in the manufacturing sector. Recent videos from China offer a glimpse into a future of factories that run 24/7 and are nearly entirely automated (except a handful in supervising roles). Most tasks are performed by AI-powered robots and technologies designed to handle production and, increasingly, support functions.

      Unlike humans, robots do not need light to operate in these “dark factories”. CapGemini describes them as places “where raw materials enter, and finished products leave, with little or no human intervention”. Re-read that sentence. The implications are profound and dizzying: efficiency gains (capital) that come at the cost of human livelihoods (labor) and rapid downward spiral for the latter if no safeguards are put in place.

      Some have confidently argued that, as with past technological shifts, AI-driven job losses will be offset by new opportunities. AI enthusiasts add that it will mostly handle repetitive or boring tasks, freeing humans for more creative work — like giving doctors more time with patients, teachers more time to engage with students, lawyers more time to concentrate on client relationships, or architects more time to focus on innovative design. But this historical comfort overlooks AI’s radical novelty: for the first time, we’re confronted with a technology that is not just a tool but an autonomous agent, capable of making decisions and directly shaping reality. The question is not just what we can do with AI, but what AI might do to us.

      AI will certainly save time. Machine learning already interprets scans faster and cheaper than doctors. But the idea that this will give professionals more time for creative or human-centered work is less convincing. Already doctors are not short on technology; they are short on time because healthcare systems prioritise efficiency and cost-cutting over “time with patients”. The rise of technology in healthcare has coincided with doctors spending less time with patients, not more, as hospitals and insurers push for higher throughput and lower costs. AI may make diagnosis quicker, but there is little reason to think it will loosen the grip of a system designed to maximise output rather than human connection.

      Nor is there much reason to expect AI to liberate office workers for more creative tasks. Technology tends to reinforce the values of the system into which it is introduced. If those values are cost reduction and higher productivity, AI will be deployed to automate tasks and consolidate work, not to create breathing room. Workflows will be redesigned for speed and efficiency, not for creativity or reflection. Unless there is a deliberate shift in priorities — a move to value human input over raw output — AI is more likely to tighten the screws than to loosen them. That shift seems unlikely anytime soon.

      AI’s uneven impacts

      AI’s impact on employment will not be felt equally around the world. It will impact different countries differently. Disparities in political systems, economic development levels, labour market structures and access to AI infrastructure (including energy) are shaping how regions are preparing for and are likely to experience AI-driven disruption. Smaller, wealthier countries are potentially in a better position to manage the scale and speed of job displacement. Some lower-income societies may be cushioned by the disruption owing to limited market penetration of AI services altogether. Meanwhile, high and medium income countries may experience social turbulence and potentially unrest as a result of rapid and unpredictable automation.

      The United States, the current leader in AI development, faces significant exposure to AI-driven disruption, particularly in services. A 2023 study found that highly educated workers in professional and technical roles are most vulnerable to displacement. Knowledge-based industries such as finance, legal services, and customer support are already shedding entry-level jobs as AI automates routine tasks.

      Technology companies have begun shrinking their workforces, using that also as signals to both government and business. Over 95,000 workers at tech companies lost their jobs in 2024. Despite its AI edge, America’s service-heavy economy leaves it highly exposed to automation’s downsides.

      Asia stands at the forefront of AI-driven automation in manufacturing and services. It is not just China, but countries like South Korea that are deploying AI in so-called “smart factories” and logistics with fully automated production facilities becoming increasingly common. India and the Philippines, major hubs for outsourced IT and customer service, face pressure as AI threatens to replace human labour in these sectors. Japan, with its shrinking workforce, sees AI more as a solution than a threat. But the broader region’s exposure to automation reflects its deep reliance on manufacturing and outsourcing, making it highly vulnerable to AI-driven job displacement in a geopolitically turbulent world.

      Europe is taking early regulatory steps to manage AI’s labour market impact. The EU’s AI Act aims to regulate high-risk AI applications, including those affecting employment. Yet in Eastern Europe, where manufacturing and low-cost labour underpin economic competitiveness, automation is already cutting into job security. Poland and Hungary, for example, are seeing a rise in automated production lines. Western Europe’s knowledge-based economies face risks similar to those in America, particularly in finance and professional services.

      Oil-rich Gulf states are investing heavily in AI as part of diversification efforts away from a dependence on hydrocarbons. Saudi Arabia, the UAE, and Qatar are building AI hubs and integrating AI into government services and logistics. The UAE even has a Minister of State for AI. But with high youth unemployment and a reliance on foreign labour, these countries face risks if AI reduces demand for low-skill jobs, potentially worsening inequality.

      In Latin America, automation threatens to disrupt manufacturing and agriculture, but also sectors like mining, logistics, and customer service. As many as 2-5% of all jobs in the region are at risk, according to the International Labor Organization and World Bank. And it is not just young people in the formal service sectors, but also human labour in mining operations, logistics and warehouse workers. Call centers in Mexico and Colombia face pressure as AI-powered customer service bots reduce demand for human agents. And AI-driven crop monitoring, automated irrigation, and robotic harvesting threaten to replace farm labourers, particularly in Brazil and Argentina. Yet the region’s large informal labour market may cushion some of the shock.

      While most Africans are optimistic about the transformative potential of AI, adoption remains low due to limited infrastructure and investment. However, the continent’s rapidly growing digital economy could see AI play a transformative role in financial services, logistics, and agriculture. A recent assessment suggests AI could boost productivity and access to services, but without careful management, it risks widening inequality. As in Latin America, low wages and high levels of informal employment reduce the financial incentive to automate. Ironically, weaker economic incentives for automation may shield these economies from the worst of AI’s labour disruption.

      No one is prepared

      The scale and speed of recent AI developments have taken many governments and businesses by surprise. To be sure, some are proactively taking steps to prepare workforces for the transformation. Hundreds of AI laws, regulations, guidelines, and standards have emerged in recent years, though few of them are legally binding. One exception is the EU’s AI Act, which seeks to establish a comprehensive legal framework for AI deployment, addressing risks such as job displacement and ethical concerns. China and South Korea have also developed national AI strategies with an emphasis on industrial policy and technological self-sufficiency, aiming to lead in AI and automation while boosting their manufacturing sectors.

      Notwithstanding recent attempts to increase oversight over AI, the US has adopted an increasingly laissez-faire approach, prioritising innovation by reducing regulatory barriers. This “minimal regulation” stance, however, raises concerns about the potential societal costs of rapid AI adoption, including widespread job displacement, the deepening of inequality and undermining of democracy.

      Other countries, particularly in the Global South, have largely remained on the sidelines of AI regulation, lacking the awareness, capabilities or infrastructure to tackle these issues comprehensively. As such, the global regulatory landscape remains fragmented, with significant disparities in how countries are preparing for the workforce impacts of automation.

      Businesses are under pressure to adopt AI as fast and deeply as possible, for fear of losing competitiveness. That’s, at least, the hyperbolic narrative that AI companies have succeeded in putting forward. And it’s working: a recent poll of 1,000 executives found that 58% of businesses are adopting AI due to competitive pressure and 70% say that advances in technology are occurring faster than their workforce can incorporate them.

      Another new survey suggests that over 40% of global employers planned to reduce their workforce as AI reshapes the labour market. Lost in the rush to adopt AI is a serious reflection on workforce transition. Financial institutions, consulting firms, universities and nonprofit groups have sounded alarms about the economic impact of AI but have provided few solutions other than workforce up-skilling and Universal Basic Income (UBI). Governments and businesses are wrestling with a basic challenge: how to manage the benefits of AI while protecting workers from displacement.

      AI-driven automation is no longer a future prospect; it is already reshaping labour markets. As automation reduces human workforces, it will also diminish the power of unions and collective bargaining furthering entering capital over labour. Whether AI fosters widespread prosperity or deepens inequality and social unrest depends not just on the imperatives of tech company CEOs and shareholders, but on the proactive decisions made by policymakers, business leaders, union representatives, and workers in the coming years.

      The key question is not if AI will disrupt labour markets — this is inevitable — but how societies will manage the upheaval and what kinds of “new bargains” will be made to address its negative externalities. It is worth recalling that while the last three industrial revolutions created more jobs than they destroyed, the transitions were long and painful. This time, the pace of change will be faster and more profound, demanding swift and enlightened action.

      At a minimum, governments must prepare their societies to develop a new social contract, prioritise retraining programs, bolster social safety nets, and explore UBI to help workers displaced by automation. They should also proactively foster new industries to absorb the displaced workforce. Businesses, in turn, will need to rethink workforce strategies and adopt human-centric AI deployment models that prioritise collaboration between humans and machines, rather than substitution of the former by the latter.

      The promise of AI is immense, from boosting productivity to creating new economic opportunities and indeed helping solving big collective problems. Yet, without a focused and coordinated effort, the technology is unlikely to develop in ways that benefit society at large.

      Dr. Robert Muggah is the co-founder of the Igarapé Institute, an independent think and do tank that develops research, solutions and partnerships to address global public, digital and climate security challenges. Dr. Muggah is also a principal of the SecDev Group, and an advisor to the United Nations, the IMF and the World Bank. An advisor to AI start-ups and a climate tech venture firms, Dr. Muggah has experience developing new technologies and testing AI systems for security and governance. He also coordinated a global task force on predictive analytics and AI in the Global South since in 2023.

      Bruno Giussani não presta consultoria, trabalha, possui ações ou recebe financiamento de qualquer empresa ou organização que poderia se beneficiar com a publicação deste artigo e não revelou nenhum vínculo relevante além de seu cargo acadêmico.

      – ref. AI is automating our jobs – but values need to change if we are to be liberated by it – https://theconversation.com/ai-is-automating-our-jobs-but-values-need-to-change-if-we-are-to-be-liberated-by-it-253806

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI Video: Session 1: How is AI transforming the labour market?

      Source: European Central Bank (video statements)

      Session 1: How is AI transforming the labour market?

      Session chair: Luc Laeven, ECB

      AI, task changes in jobs, and worker reallocation

      Christina Gathmann*, LISER, University of Luxembourg and CEPR
      Felix Grimm, LISER
      Erwin Winkler, University of Erlangen-Nuremberg, IZA and LASER
      Discussant: Antonio Dalla Zuanna, Banca d’Italia

      AI adoption and the demand for managerial expertise

      Liudmila Alekseeva*, KU Leuven
      José Azar, University of Navarra and IESE Business School
      Mireia Giné, IESE Business School
      Sampsa Samila, IESE Business School
      Discussant: Juan F. Jimeno, Banco de España

      https://www.youtube.com/watch?v=j5b1Er1KDyE

      MIL OSI Video –

      April 5, 2025
    • MIL-OSI Video: Session 2: Is this time different? Will AI have a significant effect on productivity?

      Source: European Central Bank (video statements)

      Session 2: Is this time different? Will AI have a significant effect on productivity?

      Session chair: Oscar Arce, ECB

      Generative AI and firm-level productivity: evidence from startup funding dynamics

      Dominik Asam* and David Heller, both Max Planck Institute for Innovation and Competition

      Discussant: Paul E. Soto, Federal Reserve Board

      Generative AI and the nature of work

      Manuel Hoffmann*, Harvard Business School and Stanford University
      Sam Boysel, Harvard Business School
      Frank Nagle, Harvard Business School
      Sida Peng, Microsoft
      Kevin Xu, GitHub

      Discussant: Peter Gal, OECD

      https://www.youtube.com/watch?v=tGchsf1_KNQ

      MIL OSI Video –

      April 5, 2025
    • MIL-OSI Video: Session 3: Does AI matter for monetary policy?

      Source: European Central Bank (video statements)

      Session 3: Does AI matter for monetary policy?

      Session chair: Wolfgang Lemke, ECB

      Implications of AI usage for financial stability: evidence from AI-driven investment funds identified by generative AI amid interest rate hikes

      Joe Ho-Yeung Wong*, Victor Pak-Ho Leung and Siru Lu, all Hong Kong Monetary Authority

      Discussant: Shams Pathan, Newcastle University

      Simulating the Survey of professional forecasters

      Sophia Kazinnik*, Stanford HAI
      Anne Lundgaard Hansen, Federal Reserve Bank of Richmond
      John J. Horton, MIT Sloan School of Management
      Daniela Puzzello, Indiana University Bloomington
      Ali Zarifhonarvar, Indiana University Bloomington

      Discussant: Michael Ehrmann, ECB

      https://www.youtube.com/watch?v=SNDpWjXZloQ

      MIL OSI Video –

      April 5, 2025
    • MIL-OSI Video: Policy roundtable & Concluding remarks

      Source: European Central Bank (video statements)

      Policy roundtable: Making the most of AI: how to foster diffusion and address risks?

      Moderator: Jesús Fernández-Villaverde, University of Pennsylvania

      Fidelio Börm, Medimir
      Markus Brunnermeier, Princeton University
      Bertin Martens, Bruegel
      Filiz Unsal, OECD

      Concluding remarks: Oscar Arce, ECB

      https://www.youtube.com/watch?v=wXtjORe23xA

      MIL OSI Video –

      April 5, 2025
    • MIL-OSI: Guaranteed Rate Affinity Appoints Lynne Haney as Vice President of Mortgage Lending

      Source: GlobeNewswire (MIL-OSI)

      CHICAGO, April 04, 2025 (GLOBE NEWSWIRE) — Guaranteed Rate Affinity, a leading mortgage provider offering unparalleled lending services through its exclusive partnership with Coldwell Banker, has appointed Lynne Haney as Vice President of Mortgage Lending. With more than 35 years of industry experience and a strong track record of community involvement, Haney brings deep expertise and a service-first mindset to the role.

      “I’ve had the privilege of helping hundreds of homebuyers secure the right financing while making their journey as seamless and enjoyable as possible,” said Haney. “I’m truly passionate about what I do—and I believe in giving back. For every purchase and refinance loan I close, I donate to local charities that support causes close to my heart.”

      Haney has been consistently recognized for her performance, including being named among the Top 1% of originators nationwide by Mortgage Executive Magazine in 2020 and earning top honors in the Best of the 603 survey. She has also served in various leadership roles with the Capital Region and Sunapee Region Boards of REALTORS® and America’s Credit Union Museum, where she chaired the Financial Literacy Education Committee.

      “Lynne’s experience and deep commitment to her clients and community make her a standout addition to our team,” said Scott Throneberry, Executive Vice President, National Sales. “She reflects the values we hold as a company, and we’re confident she’ll make an immediate impact on our growth and client experience.”

      Haney joins Guaranteed Rate Affinity as the company continues expanding its presence and capabilities across key markets. Her leadership will support the company’s mission to deliver exceptional service and results for borrowers and real estate partners alike.

      About Guaranteed Rate Affinity

      Guaranteed Rate Affinity is a joint venture between Guaranteed Rate, Inc. and Anywhere Integrated Services (NYSE: HOUS), which owns some of the industry’s most recognized and respected real estate brands. The innovative JV has funded over $100 billion in loans since its inception. Guaranteed Rate Affinity originates and markets its mortgage lending services to Anywhere’s real estate, brokerage, and relocation subsidiaries.

      Guaranteed Rate Affinity provides unmatched support to Anywhere brokers coast-to-coast, ensuring their customers receive fast pre-approvals, appraisals, and loan closings, creating the ability for buyers to move quickly and confidently when purchasing homes in today’s competitive market. The company also provides the same services to the public and other real estate brokerage and relocation companies across the country—helping employers improve their employees’ relocation experience by prioritizing customer service, digital mortgage ease, and competitive rates.

      Guaranteed Rate owns a controlling 50.1% stake in Guaranteed Rate Affinity, and Anywhere owns 49.9%. Visit grarate.com for more information.

      Media Contact:
      press@rate.com

      The MIL Network –

      April 5, 2025
    • MIL-OSI Global: What politicians could actually do about the issues raised in Adolescence

      Source: The Conversation – UK – By Robert Lawson, Associate Professor in Sociolinguistics, Birmingham City University

      Mounir Taha/Shutterstock

      Netflix hit Adolescence has ignited conversations across the UK about contemporary masculinity, online radicalisation and violence against women and girls. It has also raised questions about the interventions needed at home, in schools and by the government to counter the seductive power of harmful content on social media.

      The series suggests the key to solving some of these issues is parents and teachers understanding the “manosphere”. This is a collection of websites, influencers and communities where men talk about “men’s issues”. But, as I’ve explored in my research, anti-women and anti-feminist sentiment also prevails.

      In an interview about the series, Adolescence writer Jack Thorne says:

      Jamie is not a simple product of the ‘manosphere’. He is a product of parents that didn’t see, a school that couldn’t care and a brain that didn’t stop him. Put 3,000 kids in the same situation and they wouldn’t do what he did. Yet spend any time on forums on 4chan or Reddit, spend any time on most social media platforms and you end up, quite quickly, in some dark spaces. Parents can try to regulate this, schools can stop mobile phone access but more needs to be done.

      Successive UK governments have attempted to counter online misogyny and violence against women and girls through legislation and public education schemes. But what would really work?

      Adolescence attaches much importance to language and emojis used by teens to obscure meaning, though there is undoubtedly some creative license behind the depictions of the emojis used to mean “incel” (involuntary celibate).

      But focusing on “slang parents and teachers need to know” is misguided. Every generation finds ways of talking about their lives in coded ways. And teen language is frequently tied to moral panics about what it potentially hides. Research has shown that regular, open and supportive conversations between parents and children are much more important.

      The role of schools

      The prime minister has suggested that Adolescence should be shown in schools. And Netflix has made the series available to secondary schools across the UK.

      In December 2024, education minister Bridget Phillipson announced new teaching guidance about incel culture and online misogyny. She argued that it was “vital to recognise the signs of these dangerous ideas as early as possible”.

      It’s encouraging to see the government take these issues seriously, but there are pitfalls. Teachers are under substantial pressure, struggling with workload and staffing. How many have the capacity to lead meaningful and supportive discussions, especially with limited training on these topics?

      Some research suggests that female teachers encounter explicit misogyny in their classrooms. This makes it even more difficult to facilitate conversations about gender and violence. Sessions on countering misogyny also pose the danger of alienating boys, making them feel like they are being vilified for the actions of other men and boys.




      Read more:
      Adolescence in schools: TV show’s portrayal of one boyhood may do more harm than good when used as a teaching tool


      Ultimately, interventions to reduce gender-based violence and misogyny need a “whole-school” approach that integrates gender equality across the curriculum, rather than isolating it within relationships, sex and health education (RSHE) classes. This content could also be covered in initial teacher training courses.

      Researchers have developed resources to challenge dangerous gender norms for use in schools, community groups and other forums. These include toolkits from Dublin City University, University of Liverpool and the MascNet research network, which focus on improving critical thinking, unpacking dominant ideas of masculinity and reflecting on different ways of being a man.

      My own work on A-level English curricula also offers suggestions. Improving digital literacy is key to helping young men identify the mechanisms of manipulation in the content they consume and resist the siren call of manosphere influences. This can encourage young men to rethink their assumptions about gender politics and masculinity, with the ultimate aim of reducing gender-based violence.

      Other discussions have focused on recruiting more male teachers and the importance of models of masculinity based on caring, empathy and emotional vulnerability. Again, these are appealing solutions, but the evidence that male role models improve outcomes for young people is mixed.

      Perhaps the trickiest debate concerns the regulation of media and technology. Adolescence writer Thorne has backed the UK following Australia’s approach to ban social media for under-16s, and some argue the government should ban smartphones for teenagers entirely. Experts say that such bans could do more harm than good.

      The UK’s new online safety laws may go some way to holding social media companies to account for moderating illegal or harmful content and algorithms through fines. This covers intimate image abuse, cyberflashing and some other forms of online misogyny, but there are likely to be gaps when it comes to male supremacist and manosphere content.

      And there are serious concerns about how the law will affect free speech and undermine privacy online.

      Investing in youth

      The problem with many of these strategies is that they fail to acknowledge the material reality of many young boys’ lives. There have been significant cuts over the past 20 years to youth provision, from clubs and community centres to mental health support.

      Boys’ prospects in terms of educational attainment and secure employment lag behind girls’. These inequalities become even more pronounced across regions and social classes, and won’t be solved by banning social media.

      Add to this disconnected communities and a potent combination of insecurity, precarity and frustrated expectation, it is no surprise that many young men find solace in an online world which gives them validation, belonging and a sense of community.




      Read more:
      Blaming absent dads for the crisis of masculinity is too simplistic – many men want to be more involved


      Thankfully, a number of organisations offer better solutions. Charities like Beyond Equality, the Manhood Academy, AndysManClub and Progressive Masculinity have provided outreach, mentoring and mental health provision for boys and young men across the UK for years.

      Similarly, the S.M.I.L.E-ing Boys Project supports boys from black, Asian and minority ethnic communities to develop their emotional intelligence, with positive outcomes in terms of navigating relationships and interpersonal conflict. Government investment would help these organisations reach more young men, alongside improving access for underserved communities.

      Adolescence has started some important conversations among parents, teens and politicians. But to make a difference in how young men navigate the world, how they deal with rejection, and how they negotiate the difficulties that life throws at them, these conversations need to be backed up with investment and concrete action.

      Robert Lawson is a Research Fellow in the Institute for Research on Male Supremacism.

      – ref. What politicians could actually do about the issues raised in Adolescence – https://theconversation.com/what-politicians-could-actually-do-about-the-issues-raised-in-adolescence-252978

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI Global: More than just chips: Chinese threats and Trump tariffs could disrupt lots of ‘made in Taiwan’ imports − disappointing US builders, cyclists and golfers alike

      Source: The Conversation – USA – By Jay L. Zagorsky, Associate Professor Questrom School of Business, Boston University

      A cargo ship and containers are seen at the Port of Keelung in Taiwan on April 3, 2025. I-HWA CHENG/AFP via Getty Images

      What would the United States stand to lose economically if its current access to the Taiwanese market were upended or totally restricted?

      This seemingly theoretical question about the longtime U.S. trading partner has taken on more relevance in the past several weeks. First, longtime fears about a potential Chinese invasion of the island – which Beijing claims as its own – were magnified as China increased military pressure by sending patrols, firing live ammunition nearby, practicing blockading the island and even publicly revealing the existence of new barges that might be used in an invasion. If China uses force, Taiwan’s manufacturing capacity could be destroyed.

      Then on April 2, 2025, President Donald Trump announced a new 32% tariff on imports from Taipei, excluding semiconductors. Taiwan described the new tariffs, part of a radical upending of U.S. trade practices, as “deeply unreasonable.” They could also be deeply painful to U.S. consumers given the outsize role Taiwan imports play.

      The U.S. State Department calls Taiwan an important U.S. partner in “semiconductors and other critical supply chains.” But as I learned studying trade data and visiting the small but thriving island last fall, the U.S. depends on Taiwan for more than just sophisticated computer chips. In 2024, Taiwanese products constituted 3.6% of all U.S. imports.

      Overall trade figures

      Trade figures are known in detail because almost every government carefully tracks the contents of all shipping containers, cargo flights and bulk deliveries that legally leave and enter their borders. These figures are published online and broken down into very fine detail using a system called the Harmonized Tariff Schedule, or HTS. The HTS shows the tax or duty that must be paid for each kind of item and from every kind of country.

      In 2024, the U.S. exported US$1.7 trillion worth of goods to the world. Since few of us can conceptualize trillions, that is about $5,000 for every man, woman and child in the U.S.

      For its part, Taiwan in 2024 exported about that same amount per resident of the island just to the U.S., $5,000 – or about $90 billion overall. The U.S. is Taiwan’s second-biggest trading partner, after mainland China. Looking at their total exports, Taiwan shipped to the entire world about $20,000 worth of items for every resident.

      The vital technology component

      Not surprisingly, Taiwan’s biggest exports to the U.S. are computers, chips and other electronic hardware such as power supplies. These computer chips are so important that they were specifically excluded from the new tariffs.

      However, $90 billion of exports dramatically underestimates the amount of Taiwanese electronics that end up in U.S. hands. For example, the main chip inside all Apple iPhones is Taiwanese. However, these chips are sent from Taiwan to mainland Chinese factories where the phones are assembled. When these iPhones are exported from mainland China, the value of the chips inside the phone is not counted as U.S. imports from Taiwan. Instead, the whole phone is counted as an import from mainland China and slapped with a tariff.

      The building industry

      But while high-technology equipment often gets the headlines, imports from Taiwan are far broader – and the U.S. would face several economic shocks if Taiwan suddenly stopped exporting.

      First, the U.S. building industry could grind to a halt because Taiwan is a major producer of drywall screws. Though small and cheap, that’s a very significant product, given the prominence of drywall in the interior walls of almost every house, office and factory.

      Microchip and Taiwanese flag displayed on a phone screen.
      Jakub Porzycki/NurPhoto via Getty Images

      Overall, the U.S. uses a massive amount of drywall for new construction and remodeling. In 2024, the country consumed about 28 billion square feet of wallboard. That amount is enough to cover almost the state of Rhode Island.

      To hang drywall, every 100 square feet of the sheets needs about 125 screws. And the vast majority came last year from Taiwan. The U.S. imported over two-thirds of a billion dollars’ worth of the screws; the screws weighed over half a billion pounds.

      While the U.S. does make screws, domestic screw manufacturers primarily focus on high-value parts such as screws needed for airplanes, rocket ships and other performance vehicles, not lower-value screws whose wholesale cost is slightly more than a dollar a pound.

      Beyond screws, Taiwan is a major producer of tools. For example, approximately two-thirds of all socket wrenches, band saws, blowtorches, air compressors and grinders imported into the U.S. come from that island. Losing access to tools is not as crucial as losing access to the screws because many tools last a long time. But finding new suppliers is not trivial.

      The other basket of imports

      Finally, Taiwan is also a big U.S. supplier of sports goods.

      The country is a major producer of bicycles, with manufacturers such as Giant. In 2024, the U.S. imported from Taiwan over a quarter of a billion dollars in just bike parts, which U.S. manufacturers such as Specialized and Trek use when assembling bikes.

      Moreover, Taiwan controls a few key parts of the bike market. For example, over half of all bicycle crank sets, derailleurs and brake parts came from Taiwan. Without these products it is impossible to pedal, shift and even stop a bike.

      Taiwan is also one of the world’s leading suppliers of golf clubs, with the U.S. in 2024 importing about a quarter of a billion dollars’ worth of clubs from the island. To go along with the clubs, Taiwan also sent half a billion golf balls. Given that about 25 million people play on golf courses in the U.S. each year, that works out to 20 balls per player in just 2024.

      Finally, the island sent over a third of a million lacrosse sticks last year, which is almost one new stick for every member of the USA Lacrosse federation.

      All together, the data shows that not just Silicon Valley should be worried about geopolitical factors that disrupt imports from Taiwan. Taiwan might be a small island, but as the story of David and Goliath reminds us, size and impact are not related.

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

      – ref. More than just chips: Chinese threats and Trump tariffs could disrupt lots of ‘made in Taiwan’ imports − disappointing US builders, cyclists and golfers alike – https://theconversation.com/more-than-just-chips-chinese-threats-and-trump-tariffs-could-disrupt-lots-of-made-in-taiwan-imports-disappointing-us-builders-cyclists-and-golfers-alike-253729

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI Global: Abolition wasn’t fueled by just moral or economic concerns – the booming whaling industry also helped sink slavery

      Source: The Conversation – USA – By Topher L. McDougal, Professor of Economic Development & Peacebuilding, University of San Diego

      An engraving of whalers at sea attacking a whale with a harpoon from 1820. Kean Collection/Getty Images

      Historians have long debated whether the end of slavery in the United States was primarily driven by moral campaigns or economic changes. But what if both perspectives are looking at only part of the puzzle?

      We are experts in economic development and social movements. Our new research uncovers what we believe to be a surprising and overlooked factor in the decline of slavery in the U.S. – the rise of the whaling industry.

      Starting around 1650, whaling expanded along the Northeast coast of the British American colonies. Whaling expeditions killed whales and brought back to port valuable animal products like oil, used for lamps and other items, and whalebone, used for products ranging from corsets to combs.

      Whalers also brought spermaceti, a waxy substance that comes from a sperm whale’s head and is used to produce candles and lubricants for precision machinery like watches and clocks.

      At its peak, in the 1850s, the American whaling industry alone employed 50,000 to 70,000 workers who worked on an estimated 700 to 800 ships.

      In the decades before cheap oil helped many industries truly take off, whaling played an important, but often overlooked, role in laying the groundwork for the antislavery movement.

      Black sailors made up perhaps 20% to 30% of whaling crews. Of these sailors, some were enslaved and used their hard-won earnings to buy their freedom. Some of these sailors went on to finance abolitionist efforts. Others built houses of worship.

      The whaling industry that produced oil to illuminate 19th-century lamps also added fuel to the fire of the antislavery movement. The city motto of New Bedford, Massachusetts – lucem diffundo, or “I diffuse light” in Latin – referred to the candles and lamps the whaling industry lit, as well as the moral clarity some whalers aspired to promote.

      Three Black whalers stand on a wharf in New Bedford, Mass., in an 1880 drawing.
      Smith Collection/Gado/Getty Images

      The missing link between whaling and abolition

      Slavery in the American colonies began in 1619 with a small enslaved population that grew to about 500,000 by the American Revolution in 1775. As slavery became institutionalized in law and American culture, the number of enslaved people grew, primarily in the South, to as many as 4 million in the years leading up to the Civil War in 1861.

      The first half of the 1800s saw a surge of abolitionist activism, rooted in early Quaker efforts and Indigenous wisdom. Abolitionism reshaped American politics into a fuller democracy, linking Black resistance, feminist struggles and labor rights to the broader fight for democracy and human rights.

      The decline and eventual abolition of slavery has been portrayed as the result of tireless activism and moral persuasion by early Quaker advocates like Benjamin Lay who considered slavery one of the worst sins. Abolitionists like Frederick Douglass would later go on to advocate for the Civil War to force a moral reckoning on the South.

      The result was an antislavery moral high ground from which the United Kingdom, and later the U.S., could measure other countries and monitor the high seas.

      Another common explanation for the end of slavery is the economic argument that slavery declined as fossil fuel-powered machinery replaced enslaved labor on farms and even in factories.

      Our research challenges this binary by showing that before steam engines transformed industry, whaling played an overlooked role in challenging the proposition that slavery was America’s most economically profitable form of labor organization at the time.

      Increased whaling, decreased slavery

      We analyzed data from U.S. Census records and the logbooks of American whaling voyages from 1790 to 1840 – systematized in a dataset maintained by the Mystic Seaport Museum and New Bedford Whaling Museum.

      This data came from well before the 1859 discovery and exploitation of oil in Pennsylvania.

      The results were striking: When the whaling industry brought back more oil, bone and spermaceti to specific ports, the proportion of enslaved people in the corresponding states declined.

      Statistically speaking, we saw a nearly perfect 1-to-1 inverse relationship between whaling and slavery.

      When whaling products went up 1%, slavery proportions went down by almost the same amount in that state in the following years. What’s more, we mapped these findings geographically and discovered that the more whaling occurred, the more widely decreases in slavery occurred in nearby states.

      In other words, our statistics suggest that increases in whaling led to decreases in slavery, and this effect diffused across state lines.

      Why whaling mattered

      Whaling was the first global industry in the colonies that eventually became the U.S.

      Whaling hubs like the Massachusetts towns of Nantucket and New Bedford and the island of Martha’s Vineyard became some of the wealthiest communities in the country.

      Whaling was also one of the few industries where Black Americans, both free and formerly enslaved, could make money and become wealthy. Individuals of all backgrounds could rise through the whaling industry ranks based on skill rather than birth.

      It also required a risk-embracing and entrepreneurial mindset, as immortalized in a song that the writer Herman Melville has the crew sing in the 1851 book Moby-Dick: “So, be cheery, my lads! may your hearts never fail! / While the bold harpooner is striking the whale!”

      By contrast, the plantation economy relied on rigid racial hierarchies and hereditary enslavement.

      Prince Boston was one example of an enslaved whaler, who, in 1773 at the age of 23, won the right in the local Nantucket court to purchase his own freedom from his owner, who lived locally, with the money he earned on a harpoon crew.

      This watershed moment saw the court make a precedent that was probably illegal at the time, but which supported and defended both the whaling industry as well as the aspirations of the people needed to make it thrive. Prince Boston’s free-born nephew, Absolom Boston, become the first Black whaling captain in 1822 – one of approximately 50 Black and Native captains in the American whaling industry throughout its history.

      Financing the fight against slavery

      The economic power generated by whaling helped fund the abolitionist movement in tangible ways.

      Wealthy Quaker merchants in whaling towns, like Martha’s Vineyard, were some of the earliest and most fervent supporters of abolition.

      Elihu Coleman, a Nantucket Quaker, wrote one of the first antislavery pamphlets in America in 1733. Douglass, the famed abolitionist and formerly enslaved man from Maryland, found refuge in New Bedford, a whaling town with a strong antislavery tradition.

      Whaling profits financed the construction of meeting houses and schools for free Black communities in these towns. The African Baptist Society in Nantucket, for example, was built by Black whalers who had achieved financial independence through their trade.

      Whalers cut pieces from a small whale on Long Island, N.Y., in 1900.
      Bettmann/Contributor/Getty Images

      Whaling’s vital role in ending slavery

      As an industry, whaling provided a meritocratic career path before fossil fuel mechanization made slavery obsolete. While industrialization eventually made enslaved labor less profitable by the mid- and late-1800s, whaling had already eroded slavery’s economic and social foundations decades earlier.

      Of course, whaling itself was not a morally pure endeavor. It was dangerous and devastating to whale populations. The American whaling industry killed perhaps 32,000 whales over the 74 years between 1835 and 1909. The global harvest of whales was many times greater. The U.S. officially outlawed whaling in 1971.

      Yet, whaling’s role in funding abolition and providing economic opportunities for free Black Americans is undeniable. It was, in many ways, a bridge between the world of forced labor and the energy-driven economy of the modern age.

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

      – ref. Abolition wasn’t fueled by just moral or economic concerns – the booming whaling industry also helped sink slavery – https://theconversation.com/abolition-wasnt-fueled-by-just-moral-or-economic-concerns-the-booming-whaling-industry-also-helped-sink-slavery-250980

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI Global: Florida is home to about 341,000 immigrants from Venezuela and Haiti who may soon lose residency, work permits

      Source: The Conversation – USA – By Mercedes Vigon, Associate professor of Journalism, Florida International University

      An activist protests the lifting of TPS status for Venezuelans in Doral, Fla. AP Photo/Rebecca Blackwell

      Florida leads the nation in the number of immigrants with Temporary Protected Status, or TPS.

      Soon after taking office, the Trump administration moved to scale back protections for the largest groups of these immigrants – those from Haiti and Venezuela.

      TPS applies to immigrants from designated countries that the Department of Homeland Security considers dangerous due to armed conflicts, environmental disasters, epidemics or other conditions. There are currently 17 countries on the list. The most recent country added was Lebanon on Oct. 16, 2024.

      According to a federal report published in December 2024, nearly a third of the roughly 1.1 million TPS recipients live in Florida. Of those, 59% are Venezuelan and 35% are Haitian, with the other 6% coming from other TPS nations.

      I’m a professor of investigative journalism at Florida International University in Miami. For the past 24 years, I’ve worked with students to report how various waves of immigrants have integrated into Florida, and also on the impact of historical immigration crackdowns on the state’s workforce.

      Because so many TPS recipients live here, ending TPS may affect Florida more than any other state – but it is still hard to say if and when that will happen.

      Uncertain TPS expiration dates

      Temporary Protected Status allows beneficiaries to stay and work in the U.S. for a designated period, typically ranging from six to 18 months. This time period can be extended if conditions in the affected country remain unstable. It does not provide a permanent legal pathway to stay in the United States.

      President Joe Biden’s administration created two TPS designations for Venezuelans – one in 2021 and a second in 2023.

      In early February 2025, Trump’s Homeland Security director, Kristi Noem, rolled back extensions of TPS for Venezuelans that the outgoing Biden administration had issued on Jan. 17, 2025. Then, two days later, she issued a termination notice that canceled TPS for 2023 Venezuelan recipients altogether.

      Noem’s orders meant that almost 250,000 Venezuelans covered by the 2023 designation were expected to lose their residence and work permits on April 7, 2025. Another 256,000 Venezuelans who requested their TPS under the earlier designation were expected to lose their protections on Sept. 10, 2025.

      But Venezuelans got some breathing room on March 31, when U.S. District Judge Edward Chen blocked the change in their immigration status, writing that Noem’s decision “smacks of racism.” As a result, they will keep their TPS protections while the case moves through the courts.

      Noem has said that having Venezuelans in the country “is contrary to the national interest” and accused them without proof of gang affiliations.

      The judge’s ruling doesn’t affect the more than 520,000 Haitian immigrants nationwide expected to lose their TPS protection on Aug. 3, 2025.

      The expiration of TPS potentially affects 341,000 immigrants in Florida. But it doesn’t mean all of these people will leave the country. TPS rules allow immigrants to apply for a change of immigration status, and some will apply for asylum or student visas. Others will go underground.

      Local economic effects

      These policies won’t just affect Venezuelan and Haitian TPS holders personally. It will likely cause some big waves in the Florida economy.

      The non-profit American Immigration Council, an immigrant advocacy group, estimates that 95% of TPS holders in Florida age 16 and older are currently employed.

      They paid approximately US$485.9 million in local and Florida state taxes, according to the same report.

      Although the public often associates immigrants with work in the construction, agricultural and meatpacking industries, most are employed in education and health care.

      Fewer home health aides

      Immigrants account for 64% of all home health aides in Florida, according to the American Immigration Council.

      Nationwide, 1 in 4 direct care workers are immigrants, according to a policy brief from PHI, an advocacy group for elder care and disability service workers.

      Not all of these workers are TPS holders, but an estimated 7% of foreign-born caregivers are from Haiti. Additionally, the research from PHI suggests that the actual percentage of home health aides who are immigrants is likely higher, as many immigrant workers in this sector operate in the “gray market.” These workers receive direct payment from the people they work for, which makes their employment hard to track.

      PHI projects that the long-term care sector in the U.S. will need to fill 9.3 million new direct care job openings by 2031 due to the country’s aging population.

      School staff a concern

      The public school system is another area where the sudden loss of TPS recipients will likely be deeply felt.

      Miami-Dade County Public Schools, the third-largest school district in the country, is experiencing an ongoing shortage of teachers and staff. The district had nearly 700 education and support positions unfilled in August 2024, according to a district-by-district count done by the Florida Education Association.

      “It is not only teachers,” an administrator told me in March 2025, explaining that the vacancies are also among registrars, custodians, paraprofessionals and other roles. These “high stakes” education jobs, as he described them to me, are difficult for Miami-Dade County schools to fill.

      The Miami-Dade school district doesn’t report on the nationality of its employees – or their immigration status. But unfilled positions in the school district dropped after an influx of Venezuelans and Haitians in 2019, the administrator told me.

      Losing these workers would likely mean South Florida’s persistent education and home health care labor shortages would worsen – making it increasingly difficult for families with school-age children, the elderly and individuals with special needs to access affordable essential services.

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

      – ref. Florida is home to about 341,000 immigrants from Venezuela and Haiti who may soon lose residency, work permits – https://theconversation.com/florida-is-home-to-about-341-000-immigrants-from-venezuela-and-haiti-who-may-soon-lose-residency-work-permits-251791

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI Global: The Trump administration says Tren de Aragua is a terrorist group – but it’s really a transnational criminal organization. Here’s why the label matters.

      Source: The Conversation – USA – By Ernesto Castañeda, Professor, and Director, Center for Latin American and Latino Studies, American University

      Venezuelan immigrants, whom the Trump White House says are members of the Tren de Aragua gang, arrive in El Salvador on March 31, 2025. El Salvador Press Presidency Office/Anadolu via Getty Images

      The U.S. State Department declared on Feb. 20, 2025, that the Venezuelan gang Tren de Aragua, as well as some Mexican drug cartels, are now considered foreign terrorist organizations.

      Is the new label warranted?

      Tren de Aragua is at the center of a controversial immigration case that the Supreme Court is going to consider.

      The Trump administration is using the 1798 Alien Enemies Act to justify deporting more than 100 of the 238 Venezuelan and Salvadoran male immigrants it sent to a prison in El Salvador on March 15. The administration says that these immigrants are members of gangs such as Tren de Aragua and are foreign enemies, so they can be sent away with just an order from the White House.

      The administration uses a checklist of items, including physical markers like tattoos, to determine these individuals’ association with Tren de Aragua. Although in reality, the Tren de Aragua gang members do not use any specific tattoos.

      Family members and lawyers representing some of the Venezuelan immigrants say that they are not actually associated with the gang, and that some of them were living in the U.S. legally.

      I am an expert on immigration, and I think it is important to understand why classifying Tren de Aragua as a foreign terrorist organization has sparked debate among observers.

      One important reason is that Tren de Aragua is primarily a profit-driven group, not an ideological one – placing the organization more firmly in the transnational organized crime category rather than a political terrorist group.

      Venezuelan immigrants deported from the U.S. arrived in El Salvador in March 2025.
      El Salvador Press Presidency Office/Anadolu via Getty Images

      Understanding Tren de Aragua

      Tren de Aragua originated as a small prison gang in the early 2000s within Tocorón prison in Venezuela’s state of Aragua, located near the country’s capital, Caracas.

      Over the past 25 years, Tren de Aragua has expanded rapidly across South and Central America, and evolved into a transnational criminal organization under the leadership of Hector Guerrero Flores. Also known as Niño Guerrero, Flores is a 41-year-old Venezuelan who first served time in Tocorón prison in 2010 for killing a police officer before he escaped for the first time in 2012. His current location is not known.

      Flores is wanted by the U.S. and Colombia for various crimes related to expanding the group’s criminal network throughout South and Central America.

      Today, an estimated 5,000 people are affiliated with Tren de Aragua, which is mainly focused on human trafficking and other crimes targeting migrants. The gang has also been linked to other criminal organizations in Latin America and is involved with extortion, kidnapping, money laundering and drug smuggling. The number of active members in the United States is in the low hundreds, and clearly the great majority of Venezuelans here are not members.

      Homeland Security Secretary Kristi Noem arrives at the presidential palace in San Salvador, El Salvador, to discuss the deportation of Venezuelan immigrants to the country on March 26, 2025.
      Alex Brandon-Pool/Getty Images

      Different end goals

      Tren de Aragua has expanded in part because of its ability to exploit weak governance within the state of Aragua, and eventually across Venezuela, which faces political instability and a weak economy. An expansion beyond Venezuela has allowed the gang to connect with other transnational criminal networks.

      Most accepted definitions of terrorism say it is a kind of violence, usually used against civilians, motivated by political and ideological beliefs and goals. Tren de Aragua does not fit that definition. It does not have a political ideology and therefore is not an actual terrorist organization.

      The U.S. government considers a foreign terrorist organization a foreign group that engages in terrorist activity, or plans to do so, in a way that threatens the security of U.S. nationals or the country more broadly.

      Tren de Aragua is among the eight groups that the State Department first classified as foreign terrorist organizations in the first few months of 2025 after Donald Trump’s inauguration. The other new groups put on the list primarily include Latin American drug trafficking organizations, like the Mexican Sinaloa cartel.

      While transnational criminal organizations and foreign terrorist organizations both engage in violence and illicit activities, their end goals are different.

      Foreign terrorist organizations such as al-Qaida and the Islamic State group seek political, religious or ideological change – or all three – as they try to use violence to reshape the political landscape of their regions.

      Terrorist groups and transnational criminal organizations are not the same

      Tren de Aragua, as well as other transnational criminal groups like MS-13 – which originated in Los Angeles but now operates throughout the Americas – and the Sinaloa cartel, carry out illegal, violent activities across borders in order to make money.

      These groups do not have political or ideological motives beyond creating conditions to maximize their own profits. They do not aim to take political power in the U.S. or elsewhere, or try to remake society in their own image. That is beyond their purview and capabilities.

      Properly distinguishing between terrorist organizations and transnational criminal organizations is crucial for devising effective policies and responses to their violence. Mislabeling these groups can lead to inappropriate responses such as putting aside civil liberties, due process and human rights.

      Incorrectly classifying Tren de Aragua and other criminal groups as terrorist organizations could shift U.S. foreign policy and resources toward counterterrorism efforts and away from decreasing the power and violence exercised by organized crime and drug cartels in many parts of Latin America.

      However, the way in which many Venezuelans and other immigrants have been deported from the country over the past few months without passing through immigration court seems to indicate that the main rationale for the talk about alien enemies and these terrorist designations is to aid in the goal of mass deportations, rather than to fight domestic or international terrorism.

      If the U.S. truly wants to curb undocumented immigration and reduce drug and human trafficking, then I believe that it should ensure that its classification of these organizations is accurate and aligned with its actual objectives.

      Melissa Vasquez, a graduate student at American University studying international affairs and the Northern Triangle in Central America, contributed to this piece.

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

      – ref. The Trump administration says Tren de Aragua is a terrorist group – but it’s really a transnational criminal organization. Here’s why the label matters. – https://theconversation.com/the-trump-administration-says-tren-de-aragua-is-a-terrorist-group-but-its-really-a-transnational-criminal-organization-heres-why-the-label-matters-252793

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI United Kingdom: New splash park and mini-wheels track open at Hinksey Park

      Source: City of Oxford

      Published: Friday, 4 April 2025

      A new splash park and mini-wheels track has opened at Hinksey Park this week, offering a free, family-friendly facility in the heart of Oxford.

      The new water play area was officially opened on Friday 4 April with five-year-old Felix from St Ebbe‘s Primary School pressing the activation button to start the play fountains and jets for the first time. 

      The splash park is free to use and will be open every day until the end of the summer. Alongside the splash play area is a ‘learn and play’ balance bike and scooter track designed for younger children. The track can be enjoyed all year round, even during colder months, when the splash area is not in use. 

      The £330,000 project was funded by a £100,000 grant from FCC Communities Foundation, with the remaining investment provided by Oxford City Council.  

      Work to redevelop the former water play area – a long-standing and popular feature of Hinksey Park – began in September 2024, after the previous equipment had deteriorated due to age. The new facility has been designed to be safe, fun and sustainable, with a range of interactive features and improvements to optimise water usage.  

      Hinksey Park is located off Abingdon Road, and also includes a large outdoor swimming pool, play area, tennis courts, a lake and open green spaces.  

      For more information about Hinksey Park and its facilities, please visit our website. 

      “We’re pleased to be able to provide this free leisure facility for families in Oxford. Water play has been part of Hinksey Park since the 1960s, and the new splash park continues that tradition with a modern, sustainable design. The addition of a mini-wheels track means there’s something for children to enjoy all year round. We’re proud to invest in our local community and play areas to support local communities and outdoor play.”  

      Jane Winfield, Director of Property and Assets, Oxford City Council 

      “We are delighted to have worked with the City Council to fund this project for the local community to enjoy. It’s great to see it now open and available for use, just in time for the Easter School holidays. Thank you to everyone who has worked so hard on this project.” 

      Cheryl Raynor, FCC Community Foundations grant manager  

      For more information about FCC Communities Foundation funding, visit https://fcccommunitiesfoundation.org.uk/ 

      MIL OSI United Kingdom –

      April 5, 2025
    • MIL-OSI Russia: Cognitive distortions: what they are and how to avoid them will be explained at the State University of Management

      Translartion. Region: Russians Fedetion –

      Source: State University of Management – Official website of the State –

      On April 8, we invite students to a lecture-training “Cognitive distortions”, which will be conducted by the Vice-Rector of the State University of Management Pavel Pavlovsky.

      Participants of the meeting will have the opportunity to hone their skills in building successful communication, which is necessary for anyone who strives for career heights.

      The Vice-Rector of the State University of Management will tell you what cognitive distortions are and how they affect decision-making, teach you to recognize them in yourself and others, and also share practical tools for effective communication that will help you avoid “thinking errors.”

      The meeting will take place on April 8 at 14:45 in the lobby of the Central Control Center.

      Pre-registration is required to participate.

      Don’t miss the opportunity to upgrade your brain and communication skills with GUU.

      Subscribe to the tg channel “Our State University” Announcement date: 04/8/2025

      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 –

      April 5, 2025
    • MIL-OSI Global: Life-size sculptures uncovered in Pompeii show that ancient women didn’t just have to be wives to make a difference

      Source: The Conversation – UK – By Emily Hauser, Senior Lecturer in Classics, University of Exeter

      Visitors to the site of Pompeii, the ancient Roman town buried (and so preserved for thousands of years) by the eruption of Mount Vesuvius in 79AD, don’t often think to look beyond the city walls. And it’s easy to understand why: there’s plenty on offer within this monumentally well-preserved town, from jewel-like wall paintings of myths and legends like Helen of Troy, to the majestic amphitheatre and sumptuously stuccoed baths.

      But step outside the gates for a moment, and you’re in a very different – yet no less important – world.

      For the ancient Romans, the roads and paths leading into and out of cities were crucial: not just for getting places, but as a very real kind of “memory lane”. Tombs lined these ancient byways – some simply bearing inscriptions to the memories of loved ones lost, others, more grand, accommodating space for friends and family to feast in remembrance of the dead.

      Some of the tombs even address the passerby directly, as if its occupant could speak again, and pass on what they’ve learned. Take one Pompeiian example, set up by the freedman Publius Vesonius Phileros, which opens with ineffable politeness: “Stranger, wait a while if it’s no trouble, and learn what not to do.”

      Going into Pompeii, and leaving it, was about being reminded of ways of living and ways of dying – as well as an invitation to tip your hat to those who trod the path before you, and to learn from their example.

      Which is why the recent discovery of a monumental tomb crowned by life-size sculptures of a woman and man, just outside the gates on the east side of the town, isn’t just a fascinating find in and of itself. It’s also a reminder to stop, and to remember the people who once lived and died in this bustling Italian town.


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      The tomb’s main feature is a large wall, peppered with niches where cremated remains would have been placed, and surmounted by the astonishing relief sculpture of the woman and man. They’re standing side by side, but not touching.

      I rather like that she’s slightly taller than him, standing at 1.77m, while he’s 1.75m. She’s draped in a modest tunic, cloak and veil (symbols of Roman womanhood), and boasts a pronounced crescent-moon-shaped pendant at her neck called a lunula, that (through the age-old link with lunar cycles) tells a story about female fertility and birth. He, meanwhile, is dressed in the quintessentially Roman toga that instantly identifies him as a proud male citizen of Rome.

      Who do the statues depict?

      The status quo in archaeology, when a woman and a man are presented next to each other in tombs and burials like this, has always been to assume that she’s his wife. Yet here, there’s an unmissable clue that there’s more going on. That’s because, in her right hand, she’s holding a laurel branch – which was used by priestesses to waft the smoke of incense and herbs in religious rituals.

      Priestesses, in the Roman world, held unusual levels of power for women – and it’s been suggested that this woman might have been a priestess of the goddess Ceres (Roman equivalent of Demeter).

      So this high-status priestess is shown alongside a man. The inclusion of the symbols of her status (as priestess) alongside his (as a togatus, or “toga-wearing man”), shows that she’s there in her own right, as a contributing member of Pompeiian society. She might be his mother; she might even have been more important than him (which would explain why she’s taller). Without an inscription, we don’t know for sure. The point is: a woman doesn’t have to be a wife to be standing next to a man.

      What’s fascinating is this isn’t unique to Pompeii. In my new book, Mythica, which looks at the women not of Rome but of Bronze age Greece, I’ve found that new discoveries in archaeology are overturning the assumptions that used to be made about a woman’s place in society, and the value of their roles, all the time.

      One fascinating example is a royal burial in Late Bronze Age Mycenae: a woman and a man who’d been buried together in the royal necropolis, around 1700 years before the eruption of Mount Vesuvius decimated Pompeii. As is typical, this woman was immediately labelled, by the archaeologists who uncovered her, as the man’s wife. But then DNA analysis came into the picture.

      As recently as 2008, both skeletons were sampled for DNA – and came up with the game-changing result that they were, in fact, brother and sister. She’d been buried here as a member of a royal family by birth, not by marriage, in other words. She was there on her own terms.

      From golden Mycenae to the ash-blasted ruins of Pompeii: the remains from the ancient world are telling us a different story from the one we always thought. A woman didn’t have to be a wife to make a difference.

      So I think it’s worth listening to the advice of our friend Publius. Let’s look at the burials of the past, and learn.

      Emily Hauser 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. Life-size sculptures uncovered in Pompeii show that ancient women didn’t just have to be wives to make a difference – https://theconversation.com/life-size-sculptures-uncovered-in-pompeii-show-that-ancient-women-didnt-just-have-to-be-wives-to-make-a-difference-253863

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI Global: Peers elevated to the House of Lords after a career in the House of Commons are often merely being rewarded for loyalty – new study

      Source: The Conversation – UK – By Stephen Holden Bates, Senior Lecturer in Political Science, University of Birmingham

      CC BY-NC-ND

      House of Lords reform is being debated once again with the passage of the bill to end hereditary peerages. But far more wide-reaching reform is needed. Our research reveals potential flaws in the appointments system. Far from being a representative chamber filled with those from all walks of life, we found evidence to suggest that the House of Lords contains a large constituency of former MPs – who are often there as a reward for their partisan loyalty.

      Since the introduction of life peers in 1958 and especially since the removal of all except 92 hereditary peers in 1999, former MPs have become an increasingly important constituency in the House of Lords. They make up about a third of the approximate 1,600 life peers who have been created since 1958. The others have largely been appointed because of their specialist skills or life experiences or, apparently, because of how much money they donated to political parties.

      The Lords is getting more and more crowded.
      House of Lords/Flickr, CC BY-NC-ND

      At present, around a fifth of all peers and coming up to a quarter of life peers sat at one time or another in the House of Commons. And nearly a fifth of all MPs who sat in and subsequently left the Commons between 1979 and 2019 went on to become a peer at some point afterwards.

      These ex-MPs became peers having been nominated in a dissolution honours list prior to a general election, a resignation honours list when a prime minister departed from office, or a political list, which is used to top up the strengths of the three main parties in the chamber. A handful have been appointed as a government minister and therefore needed a seat in parliament.

      Becoming a peer is an attractive option for many ex-MPs. Not only do they become part of the titled nobility, but they also have membership of the House of Lords for life, access to a generous allowances system, and the ability to maintain (and expand) outside interests.

      Our research shows that MPs who become peers are whiter and older than those MPs who don’t make it to the upper chamber. They are more likely to be heterosexual and a member of the aristocracy. They are also more likely to be the child or grandchild of a former MP and to have been educated at a public school, attended university – in particular, Oxford or Cambridge – and have studied PPE (philosophy, politics and economics) at Oxford. They are less likely to have a PhD but also less likely to have had a manual occupation as their first career.

      We also found that serving on the front bench as an MP and resisting the temptation to rebel against your party makes you more likely to be elevated to the House of Lords after serving in the House of Commons.

      For elevated MPs who had served on the frontbench in the House of Commons, their length of frontbench tenure and whether or not they became a minister were the most important indicators of them later becoming a peer. But time served is not necessarily an indicator of excellence. As former MP Rory Stewart has argued, promotion to the frontbench “has nothing to do with expertise. It’s about loyalty and defending the indefensible”. To the extent that experience matters then, it can be said to be more in the sense of direct personal participation rather than accumulated knowledge.


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      For those MPs who had remained backbenchers throughout their time in the Commons, their loyalty was the strongest indicator of their chances of becoming a peer. There is also some evidence, albeit weak, that familial links for backbenchers and aristocratic links for frontbenchers increase the likelihood of receiving a peerage. There are different pathways from the House of Commons into the House of Lords and some MPs appear to find it easier than others to travel along them.

      Our results suggest that for ex-MPs, almost certainly the largest sub-group in the House of Lords, elevation to the peerage is not based on merit alone. Loyalty and, to a lesser extent, nepotism also appear to matter and help to win you a ticket to the Lords.

      Fresh impetus for reform

      Overall, we believe our findings call into question the continued use of appointments to the Lords that are wholly based on the patronage of party leaders.

      The work of parliament is not enhanced by elevating ex-MPs who are in the upper chamber for reasons other than merit or expertise. Neither is it enhanced in the lower chamber through dangling the possibility of elevation to the peerage to encourage loyalty. Both of these sub-optimal situations are only made possible by the House of Lords’ size, which allows for a substantial number of MPs to be elevated in the first place, and it being entirely appointed.

      Every upper chamber in the world except the House of Lords is smaller than the lower chamber of its parliament. And a sizable majority of these upper chambers use elections, either direct or indirect, as the principal mode of designation of members.

      If we truly want to enhance the work of parliament, perhaps it is finally time for the UK to iron out some of its idiosyncratic constitutional kinks and fit in more with the crowd.

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

      – ref. Peers elevated to the House of Lords after a career in the House of Commons are often merely being rewarded for loyalty – new study – https://theconversation.com/peers-elevated-to-the-house-of-lords-after-a-career-in-the-house-of-commons-are-often-merely-being-rewarded-for-loyalty-new-study-251968

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI Global: US and Russia squabble over Arctic security as melting ice opens up shipping routes

      Source: The Conversation – UK – By Stefan Wolff, Professor of International Security, University of Birmingham

      “You cannot annex another country.” This was the clear message given by the Danish prime minister, Mette Frederiksen, at a recent press conference with the outgoing and incoming prime ministers of Greenland. It did not appear aimed at Russian president Vladimir Putin, but at Donald Trump, the president of one of her country’s closest allies, who has threatened to take over Greenland.

      Frederiksen, speaking in Greenland’s capitak Nuuk, was stating something that is obvious under international law but can no longer be taken for granted. US foreign policy under Trump has become a major driver of this uncertainty, playing into the hands of Russian, and potentially Chinese, territorial ambitions.

      The incoming Greenlandic prime minister, Jens-Frederik Nielsen, made it clear that it was for Greenlanders to determine their future, not the United States. Greenland, which is controlled by Denmark, makes its own domestic policy decisions. Polls suggest a majority of islanders want independence from Denmark in the future, but don’t want to be part of the US.

      Trump’s interest in Greenland is often associated with the island’s vast, but largely untapped, mineral resources. But its strategic location is arguably an even greater asset. Shipping routes through the Arctic have become more dependable and for longer periods of time during the year as a result of melting sea ice. The northwest passage (along the US and Canadian shorelines) and the northeast passage (along Russia’s Arctic coast) are often ice free now during the summer.


      Breaking the Ice: Arctic Development and Maritime Transportation, ArcticPortal.org

      This has increased opportunities for commercial shipping. For example, the distance for a container ship from Asia to Europe through the northeast passage can be up to three times shorter, compared to traditional routes through the Suez Canal or around Africa.

      Similarly, the northwest passage offers the shortest route between the east coast of the United States and Alaska. Add to that the likely substantial resources that the Arctic has, from oil and gas to minerals, and the entire region is beginning to look like a giant real estate deal in the making.

      Arctic assets

      The economic promise of the Arctic, and particularly the region’s greater accessibility, have also heightened military and security sensitivities.

      The day before J.D. Vance’s visit to Greenland on March 28, Vladimir Putin, gave a speech at the sixth international Arctic forum in Murmansk in Russia’s high north, warning of increased geopolitical rivalry.

      While he claimed that “Russia has never threatened anyone in the Arctic”, he was also quick to emphasise that Moscow was “enhancing the combat capabilities of the Armed Forces, and modernising military infrastructure facilities” in the Arctic.

      Equally worrying, Russia has increased its naval cooperation with China and given Beijing access, and a stake, in the Arctic. In April 2024, the two countries’ navies signed a cooperation agreement on search and rescue missions on the high seas.


      National Snow & Ice Data Center, Arctic Portal

      In September 2024, China participated in Russia’s largest naval manoeuvres in the post-cold war era, Ocean-2024, which were conducted in north Pacific and Arctic waters. The following month, Russian and Chinese coastguard vessels conducted their first joint patrol in the Arctic. Vance, therefore, has a point when he urges Greenland and Denmark to cut a deal with the US because the “island isn’t safe”.

      That the Russia-China partnership has resulted in an increasingly military presence in the Arctic has not gone unnoticed in the west. Worried about the security of its Arctic territories, Canada has just announced a C$6 billion (£3.2 billion) upgrade to facilities in the North American Aerospace Defense Command it operates jointly with the United States.

      It will also acquire more submarines, icebreakers and fighter jets to bolster its Arctic defences and invest a further C$420 million (£228 million) into a greater presence of its armed forces.




      Read more:
      Arctic breakdown: what climate change in the far north means for the rest of us


      Svalbard’s future role?

      Norway has similarly boosted its defence presence in the Arctic, especially in relation to the Svalbard archipelago (strategically located between the Norwegian mainland and the Arctic Circle). This has prompted an angry response from Russia, wrongly claiming that Oslo was in violation of the 1920 Svalbard Treaty which awarded the archipelago to Norway with the proviso that it must not become host to Norwegian military bases.

      Under the treaty, Russia has a right to a civilian presence there. The “commission on ensuring Russia’s presence on the archipelago Spitzbergen”, the name Moscow uses for Svalbard is chaired by Russian deputy prime minister Yury Trutnev, who is also Putin’s envoy to the far eastern federal district. Trutnev has repeatedly complained about undue Norwegian restrictions on Russia’s presence in Svalbard.

      From the Kremlin’s perspective, this is less about Russia’s historical rights on Svalbard and more about Norway’s – and Nato’s – presence in a strategic location at the nexus of the Greenland, Barents and Norwegian seas. From there, maritime traffic along Russia’s northeast passage can be monitored. If, and when, a central Arctic shipping route becomes viable, which would pass between Greenland and Svalbard, the strategic importance of the archipelago would increase further.

      From Washington’s perspective, Greenland is more important because of its closer proximity to the US. But Svalbard is critical to Nato for monitoring and countering Russian, and potentially Chinese, naval activities. This bigger picture tends to get lost in Trump’s White House, which is more concerned with its own immediate neighbourhood and cares less about regional security leadership.

      Consequently, there has been no suggestion – so far – that the US needs to have Svalbard in the same way that Trump claims he needs Greenland to ensure US security. Nor has Russia issued any specific threats to Svalbard. But it was noticeable that Putin in his speech at the Arctic forum discussed historical territorial issues, including an obscure 1910 proposal for a land swap between the US, Denmark and Germany involving Greenland.

      Putin also noted “that Nato countries are increasingly often designating the Far North as a springboard for possible conflicts”. It is not difficult to see Moscow’s logic: if the US can claim Greenland for security reasons, Russia should do the same with Svalbard.

      The conclusion to draw from this is not that Trump should aim to annex a sovereign Norwegian island next. Maritime geography in the north Atlantic underscores the importance of maintaining and strengthening long-established alliances.

      Investing in expanded security cooperation with Denmark and Norway as part of Nato would secure US interests closer to home and send a strong message to Russia. It would also signal to the wider world that the US is not about to initiate a territorial reordering of global politics to suit exclusively the interests of Moscow, Beijing and Washington.

      Stefan Wolff is a past recipient of grant funding from the Natural Environment Research Council of the UK, the United States Institute of Peace, the Economic and Social Research Council of the UK, the British Academy, the NATO Science for Peace Programme, the EU Framework Programmes 6 and 7 and Horizon 2020, as well as the EU’s Jean Monnet Programme. He is a Trustee and Honorary Treasurer of the Political Studies Association of the UK and a Senior Research Fellow at the Foreign Policy Centre in London.

      – ref. US and Russia squabble over Arctic security as melting ice opens up shipping routes – https://theconversation.com/us-and-russia-squabble-over-arctic-security-as-melting-ice-opens-up-shipping-routes-253493

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI Global: Why ChatGPT is a uniquely terrible tool for government ministers

      Source: The Conversation – UK – By Deepak Padmanabhan, Senior Lecturer in AI, Queen’s University Belfast

      Shutterstock/Prachova Nataliia

      The news that Peter Kyle, secretary of state for science and technology, had been using ChatGPT for policy advice prompted some difficult questions.

      Kyle apparently used the AI tool to draft speeches and even asked it for suggestions about which podcasts he should appear on. But he also sought advice on his policy work, apparently including questions on why businesses in the UK are not adopting AI more readily. He asked the tool to define what “digital inclusion” means.

      A spokesperson for Kyle said his use of the tool “does not substitute comprehensive advice he routinely receives from officials” but we have to wonder whether any use at all is suitable. Does ChatGPT give good enough advice to have any role in decisions that could affect the lives of millions of people?

      Underpinned by our research on AI and public policy, we find that ChatGPT is uniquely flawed as a device for government ministers in several ways, including the fact that it is backward looking, when governments really should be looking to the future.

      1. Looking back instead of forward

      Where government ministers should ideally be seeking new, fresh ideas with a view to the future, the information that comes out of an AI chatbot is, by definition, from the past. It’s a very effective way of summarising what has already been thought of but not equipped to suggest genuinely new ways of thinking.

      ChatGPT responses are not based on all past equally. The ever-increasing digitisation over the years steers ChatGPT’s pattern-finding mechanism to the recent past. In other words, when asked by a minister to provide advice on a specific problem in the UK, ChatGPT’s responses would be more anchored in documents produced in the UK in recent years.

      And notably, in Kyle’s case, that means that not only will a Labour minister be accessing information from the past, but he’ll be advised by an algorithm leaning heavily on advice given to Conservative governments. That’s not the end of the world, of course, but it’s questionable given that Labour won an election by promising change.

      Kyle – or any other minister consulting ChatGPT – will be given information grounded in the policy traditions reflecting the Rishi Sunak, Boris Johnson, Theresa May and David Cameron eras. They are less likely to receive information grounded in the thinking of the New Labour years, which were longer ago.

      If Kyle asks what digital inclusion means, the answer is more likely to reflect what these Tory administrations think it means rather than thoughts of governments more aligned with his values.

      Amid all the enthusiasm within Labour to leverage AI, this may be one reason for them to distance themselves from using ChatGPT for policy advice. They risk Tory policy – one they so like to criticise – zombieing into their own.

      2. Prejudice

      ChatGPT has been accused of having “hallucinations” – generating, uncanny, plausible-sounding falsehoods.

      There is a simple technical explanation for this, as alluded to in a recent study. The “truth model” for ChatGPT – as for any large language model – is one of consensus. It models truth as something that everyone agrees to be true. For ChatGPT, its truth is simply the consensus of views expressed across the data it has been trained on.

      This is very different from the human model of truth, which is based on correspondence. For us, the truth is what best corresponds to reality in the physical world. The divergence between the truth models could be consequential in many ways.

      For example, TV licensing, a model that operates only within a few nations, would not figure prominently within ChatGPT’s consensus model built over a global dataset. Thus, ChatGPT’s suggestions on broadcast media policy are unlikely to substantially touch upon TV licensing.

      Besides explaining hallucinations, divergences in truth models have other consequences. Social prejudices, including sexism and racism, are easily internalised under the consensus model.

      Consider seeking ChatGPT advice on improving conditions for construction workers, a historically male dominated profession. ChatGPT’s consensus model could blind it from considerations important to women.

      The correspondence model of truth enables humans to continuously engage in moral deliberation and change. A human policy expert advising Peter Kyle could illuminate him on pertinent real-world complexities.

      For example, they might highlight how recent successes in AI-based diagnostics could help tackle distinct aspects of the UK’s disease burden in the knowledge that one of Labour’s priorities is to cut NHS waiting times.

      3. Pleasing narratives

      Tools such as ChatGPT are designed to give engaging, elegant narratives when responding to questions. ChatGPT managed this partly by weeding out bad quality text from its training data (with the help of underpaid workers in Africa).

      These poetic pieces of writing work well for engagement and help OpenAI to keep users hooked on their product. Humans enjoy a good story, and particularly one that offers to solve a problem. Our shared evolutionary history has made us story-tellers and story-listeners unlike any other species.

      But the real world is not a story. It is a constant swirl of political complexities, social contradictions and moral dilemmas, many of which can never be resolved. The real world and the decisions government ministers have to make on our behalf are complex.

      There are competing interests and irreconcilable differences. Rarely is there a neat answer. ChatGPT’s penchant for pleasing narratives stands at odds with the public policy imperative to address messy real-world conditions.

      The very features that make ChatGPT a useful tool in many contexts are squarely incompatible with the considerations of public policy, a realm that seeks to make political choices to address the needs of a country’s citizens.

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

      – ref. Why ChatGPT is a uniquely terrible tool for government ministers – https://theconversation.com/why-chatgpt-is-a-uniquely-terrible-tool-for-government-ministers-253294

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI USA: Study: Police Finance Organizations Allow Steady Flow of Dark Money to Law Enforcement

      Source: US State of Connecticut

      Five years ago, thanks to a federal program that distributes surplus military equipment to local police, Bridgeport acquired a heavily armored vehicle capable of withstanding a mine blast. Other places like Bristol, Hartford, New London, and Willimantic also got one.

      As local media published town-by-town lists of the night vision goggles, rifles, thermal scopes, underwater sound equipment, reconnaissance cameras, and other armored vehicles acquired under the program, Connecticut legislators voted to henceforth prohibit the acquisition of certain military items.

      In a post-George Floyd world, when citizens nationwide openly question the use of police force and officers often find themselves an unwelcomed presence in neighborhoods, simple transparency, like those town-by-town lists, is paramount, says one UConn researcher.

      It’s also the thing most in danger, as what he calls “police finance organizations” introduce secrecy and a rising amount of dark money into policing.

      “Police departments are funded largely by taxpayers through municipal budgets, but we’ve found there’s a lot of other money going to police that you don’t know about or have control over as a voter or taxpayer,” says sociologist Simon Yamawaki Shachter, an assistant professor at UConn. “When you don’t know what’s going into a police budget, that raises questions about who the police are working for. Is it the community that pays taxes or someone else?”

      Shachter and researchers from Harvard University and the University of Chicago introduce the new concept of police finance organizations in their paper, “The Social Structure of Private Donations to Police,” published recently in Socius: Sociological Research for a Dynamic World.

      In it, they define such organizations as simply private entities that give resources to police. These private entities, however, aren’t subject to the same level of scrutiny as police departments, through freedom-of-information requests and public annual reports for example.

      Among the larger category of police finance organizations, they say there are three smaller types: “connectors,” “boosters,” and “havens.”

      In most cases, taxpayers and voters don’t know this is happening. &#8212 Simon Yamawaki Shachter

      Police connectors are entities that generally are in major U.S. cities and provide resources to multiple police departments, oftentimes serving as hubs between parts of the private funding network.

      Police boosters, on the other hand, give only to a single department and tend to be hyperlocal in their fundraising and giving. Police havens, though, are organizations that operate as a savings account for departments, that is, taking in private donations as deposits and making withdrawals to give to departments upon need or request.

      “While police finance organizations sound fine at face value, what’s interesting is that people can make their own tax-deductible gifts to police departments without an intermediary,” Shachter explains. “So, it’s curious why these organizations need to exist in the first place if people can just go to their local police department and write them a check. Why does there need to be this extra organization in the middle?”

      These organizations, he says, often are incorporated as nonprofits, and as 501(c)3s are not required to disclose donor lists, limiting the public’s knowledge of where the funding originated from. Not only don’t they have to report their donors, they’re also not subject to freedom-of-information laws, so even a written request doesn’t get the information.

      Nearly 1,000 police finance organizations nationwide 

      Shachter says the New York City Police Foundation, founded in 1971, was the first major private organization to support police, and even as others popped up over the years, their popularity was slow to grow until about 2015 when their number exploded.

      Police benevolent associations were not part of the study, Shachter notes, and weren’t considered police finance organizations because they’re a function of police unions and work to support officers, not general policing, namely equipment and training.

      Using information from GuideStar Candid, Shachter and the other researchers found thousands of entries just from the keywords “police,” “sheriff,” “law enforcement,” and “trooper” in tax filer names, mission statements, program accomplishments, expense descriptions, and addresses.

      They worked to winnow down the dataset and figure there are 961 police finance organizations nationwide, which, Shachter says, is a conservative estimate based on various limitations in the data and other roadblocks researchers hit.

      They managed to discern, however, that between 2014 and 2019, police finance organizations had a revenue of $480 million, of which $396 million went to police havens, $56 million to police connectors, and $28 million to police boosters, according to the study.

      The average donation to a police haven was $22,243 – a skewed number thanks to a handful of multimillion-dollar gifts, the study says, explaining that havens often gave money to individual officers, provided nonmaterial gifts to departments, facilitated discounted purchases by departments, and offered free loans of equipment.

      Those giving the most have strong political agendas and are trying to exert policy influence in different ways. &#8212 Simon Yamawaki Shachter

      Havens also exchanged $5 million among themselves through 80 individual donations, “creating a shadow network of internal financial exchanges,” the study says.

      Shachter says police finance organizations find all sorts of ways to secretly pass support to departments, including by donating to individual officers. If gifts are less than $5,000 per officer, the donation needn’t be disclosed.

      This means, for instance, the Chicago Police Memorial Foundation was able in 2020 to give that department 3,330 bulletproof vests and 1,720 vest covers by marking them for individual officers without having to report the $1.47 million donation, the study says.

      Two years prior in 2018, a different organization, the Chicago Police Foundation, purchased “special classes for CPD,” but details on what those classes were for aren’t readily available, a fact that’s not surprising to Shachter. The study notes that its disclosure at all was likely a mistake.

      “Most of the police departments and most of the organizations we studied are using this money for whatever they want, going around any public process,” Shachter says. “We have no idea what’s being offered in these trainings. We just know they’re held and that police go to them.”

      Gifts from billionaire donors 

      From youth programming and defibrillators to shields and even a helicopter, donations run the gamut.

      “Most of the gifts are very benign, supporting the health of canines and medical training for officers, things I think we all support and say should be part of public budgets,” Shachter says. “But if you look at the amount of money that moves through these organizations, it appears far more nefarious. Those giving the most have strong political agendas and are trying to exert policy influence in different ways.”

      Study researchers found three private donors who gave significant support.

      Howard Buffett, son of billionaire Warren Buffett, gave to police finance organizations in Illinois, which led to the ouster of the director of the Illinois Law Enforcement Training and Standards Board over ethical concerns.

      In Arizona, the younger Buffett made donations and became an active member of the Assist Team, giving him direct access to police and allowing him to develop a relationship with U.S. Border Patrol, according to the study.

      Founder of the hedge fund Citadel Kenneth Griffin himself disclosed gifts to police finance organizations, offering a combined $35 million to the University of Chicago Crime Lab in 2018 and 2022, the study says, noting that Griffin openly tied the gifts to mayoral, gubernatorial, and national policy. Because the University of Chicago is a private institution, it did not have to disclose the gift.

      And billionaires Laura and John Arnold, outspoken supporters of law enforcement, funded in 2016 a pilot surveillance drone program through a police haven supporting Baltimore police, the study says. When the community learned of the surveillance program, it was immediately shut down.

      There’s no doubt, Shachter says, that big donors are using their gifts to influence local, state, and national policy conversations.

      “Our goal with this study is to take the first step of shining a light on this area of dark money and then try to make it more transparent. We would love changes to the IRS tax code to require better reporting, like gifts to individual officers. They should report that just like other public officials,” he says.

      “In most cases, taxpayers and voters don’t know this is happening,” he continues. “City councils don’t even know, and if they’re not aware of these off-the-book line items how can they appropriately budget? There are so many ways these organizations are purposely avoiding transparency and that gives us reason for alarm.”

      MIL OSI USA News –

      April 5, 2025
    • MIL-OSI Global: The problem with Trump’s takeover of the Kennedy Center isn’t the possibility of ‘Cats’

      Source: The Conversation – USA – By Joanna Dee Das, Associate Professor of Dance, Washington University in St. Louis

      Donald Trump visits the John F. Kennedy Center for the Performing Arts on March 17, 2025. Jim Watson/AFP via Getty Images

      When President Donald Trump announced that he was assuming control of the Kennedy Center for the Performing Arts, he described the move as a triumph over “wokey” programming. He subsequently fired the 17 board members appointed by President Joe Biden and installed himself as chairman.

      Some critics have reacted to the move by suggesting Trump doesn’t understand art.

      One protester declared that Trump has “no artistic bones in his body.” Theater aficionados claim that he misinterprets his favorite musicals, “Cats” and “Les Misérables.”

      The New Yorker magazine’s satirical description of the Kennedy Center’s 2025 programming under Trump included a fictional show called “Forbidden Branson.” The title plays on the show “Forbidden Broadway,” replacing New York’s storied theater district with the popular Ozarks tourist destination that has been maligned as a mecca of bad taste.

      To me, these responses play right into Trump’s hands, reinforcing his claims that liberals are out-of-touch elitists.

      I’ve spent the past seven years researching and writing a book about Branson, Missouri, a town that offers a plethora of live entertainment, including magic shows, country music performances and variety shows. Many of the productions have a conservative, Christian slant. In my view, a Branson-style show could – and should – belong among the offerings at the Kennedy Center.

      Rather than ridiculing the president’s taste, I think responses to the takeover would be better placed focusing on more fundamental questions about the role of the U.S. government in the nation’s artistic life.

      How can a national arts institution best reflect the country’s diverse range of people and interests? Prior to Trump, how well was the Kennedy Center doing at that?

      Historical opposition to arts funding

      For most of U.S. history, government had a very limited role in the arts.

      European royals had long patronized the arts. In contrast, the founders of the United States, fearful of tyranny, created a weak federal government that could barely impose taxes, let alone establish a national theater.

      Instead, artists of the 18th and 19th centuries operated in a for-profit marketplace. Their audiences rejected elitist cultural norms and watched Shakespeare mixed in with minstrel songs and comedy acts on the same program.

      At the end of the 19th century, the Second Industrial Revolution created a class of ultra-wealthy Americans who sought to imitate European royalty and their tradition of patronage. New cultural distinctions emerged. Opera, ballet and classical music were designated as high art; variety shows featuring comedians, popular songs and acrobatics were designated as low art. Musicals eventually found an uneasy niche as “middlebrow.” Performers who wished to avoid the grind of the commercial marketplace could now turn to private patrons. Nonwhite and working-class performers who lacked social connections to the upper crust had fewer opportunities to do so.

      The Great Depression compelled the U.S. government to fund artists for the first time. In 1935, President Franklin D. Roosevelt established Federal Project Number One, which included visual art, theater, music and writing programs. Its primary goal was to provide work for the unemployed. Its secondary purpose involved creating art that would be accessible to ordinary Americans both in terms of location – like murals in public buildings – and content, such as plays like “One Third of a Nation” that spoke to housing concerns.

      An audience enjoys a public Federal Theatre Project performance in New York in the late 1930s.
      Dick Rose/Library of Congress/Corbis/VCG via Getty Images

      Heated controversies over the program ensued. If the main criterion to receive a grant was need, not skill, would government funding churn out bad art?

      Conservative congressmen argued that Federal One artists were taking “unbridled license to ridicule American ideals and to suggest rebellion against our government.” In 1938, the newly formed House Committee on Un-American Activities accused the head of Federal One’s Theatre Project of supporting communism.

      Soon thereafter, the Federal One programs ended.

      The Cold War and the Kennedy Center

      The Cold War created a new opportunity for arts funding as the United States scrambled to counteract the Soviet Union’s depiction of America as “culturally barren.” Under President Dwight D. Eisenhower, the State Department began to sponsor American artists and fund international tours of their work.

      Even this modest attempt at public arts patronage – European nations were spending 20 to 40 times as much on the arts – faced pushback from conservatives, who cast the tours as a waste of taxpayer money. Nonetheless, Eisenhower persisted. In 1958, he signed the National Cultural Center Act to authorize a national arts complex.

      The act failed to provide enough money to actually build the center. In 1962, President John F. Kennedy embarked on a campaign to raise US$30 million in private money. Part of those fundraising efforts involved reassuring donors that their high-art tastes would be reflected.

      The Kennedy Center finally opened its doors in September 1971. Given the need for constant fundraising ever since, philanthropists have dominated its board.

      Today, the Kennedy Center receives $43 million as a public subsidy, or 16% of its budget. Ticket sales, facility rentals and donations comprise the other 84%. No government funds go to artistic programming, which has blunted potential criticism about censorship or propaganda. But this has also precluded the ability of regular people across the nation to weigh in about what appears onstage.

      With members of the Kennedy family looking on, President Lyndon B. Johnson shovels dirt during the groundbreaking ceremonies for the John F. Kennedy Center for the Performing Arts in 1964.
      Bettmann/Getty Images

      An uncertain future

      The Kennedy Center staff has attempted to work within the constraints of a philanthropy model to reach a broad audience and challenge high/middle/low distinctions. In its first year, the center appointed renowned choreographer Katherine Dunham as a technical adviser in intercultural communication. She aimed to “make the center more responsible to the community” and establish a model of local engagement in Washington that could be replicated throughout the country.

      It didn’t materialize. Programming remained in the traditional high art category until Kennedy Center President Deborah Rutter expanded into genres like hip-hop and comedy in the 2010s. In 2020, the center made progress toward Dunham’s vision with its Social Impact initiative, which focused on free performances and transportation to arts events for local Washington communities. Trump has since dissolved it.

      By declaring himself chairman and personally overseeing the programming, Trump has followed in the footsteps of Russian czars or monarchs like Louis XIV of France, who established arts institutions as extensions of royal power. In effect, it realizes 18th-century Americans’ fears about government involvement in the arts as a form of control.

      At the same time, the private philanthropy model has been far from perfect. It has left the Kennedy Center vulnerable to attacks of elitism. Perhaps future leaders can imagine more robust models of public support and stewardship that reflect America’s diverse and multifaceted national landscape – if they’re ever given an opportunity to do so.

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

      – ref. The problem with Trump’s takeover of the Kennedy Center isn’t the possibility of ‘Cats’ – https://theconversation.com/the-problem-with-trumps-takeover-of-the-kennedy-center-isnt-the-possibility-of-cats-253196

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI Global: Insects are everywhere in farming and research − but insect welfare is just catching up

      Source: The Conversation – USA – By Bob Fischer, Professor of Philosophy, Texas State University

      Employees sort crickets by size at a farm in Thailand. AP Photo/Sakchai Lalit

      Did you know your lipstick might be made from beetles? Or that some cat food may soon be made from flies?

      People farm insects for all sorts of reasons: Farmers rear bees to pollinate billions of dollars of crops, textile companies raise silkworms for their cocoons, and cosmetic companies use cochineal beetles for dyes. Researchers also put insects to work in labs: Fruit flies have revolutionized genetics, cockroaches provide insights into neurobiology, and ants inspire AI-driven robots.

      On top of that, medical companies raise blowfly larvae to clean wounds, desert locusts for compounds that might help reduce the risk of heart disease, and lac insects for their secretions, which are used to coat pills.

      All told, trillions of insects are farmed each year across the globe – more than all other livestock combined. Each year, producers rear some 2.1 trillion black soldier flies alone – and, if industry trends hold, will be rearing three times as many in 2035. Currently, roughly 30 times as many insects are produced as the most-farmed “traditional” farm animal: the chicken.

      As an ethics professor, I think this raises pressing questions about what it means to treat insects humanely. Several years ago, I was skeptical that these questions were worth asking, as most questions about animal welfare center on pain – and I didn’t think there was much chance that insects could feel it. However, as science has uncovered more about insects’ abilities, the emerging field of insect welfare seems increasingly important.

      Dried, crushed female insects known as Dactylopius coccus, which will be used to produce natural red dye, at a farm in Mexico.
      AP Photo/Eduardo Verdugo

      New science of animal minds

      In the 17th century, many scientists believed that all nonhuman animals were mere machines that behaved as if they felt pain but didn’t actually experience it.

      While most scientists have long abandoned this view, researchers have not identified a definitive test for the capacity to feel pain in any nonhuman animal. There is no known brain structure or pattern of neural activity whose presence or absence settles the question. There’s no single behavior that decisively establishes pain, either.

      So, researchers look for several markers of pain that, taken together, support taking this possibility seriously. Some of these markers are neurobiological, such as specialized damage receptors and regions of the brain that integrate those signals with information from other senses. Some are behavioral, such as an animal making trade-offs between avoiding harm and pursuing rewards.

      Fruit flies, for example, are willing to cross electrical barriers that give them mild shocks to reach food. However, they won’t cross barriers that give them stronger shocks, even when very hungry. This suggests that there’s something more than simple reflexes at work: The animal is weighing different motivations to make a decision.

      Evidence like this keeps accumulating. Some bees can remember experiencing high heat and weigh this against the reward of sugar when it’s offered in hot containers. They also display emotion-like states, in that they respond to cognitive bias tests the way other animals do. These tests are used to assess how animals’ emotions influence their cognitive processes: Like people, animals handle uncertain situations differently if stressed or satisfied.

      Fruit flies become averse to temperatures that were once innocuous after researchers amputate their legs, just as some injuries in humans can lead to heightened pain sensitivity. Tobacco hornworm moth larvae and cockroaches tend to their wounds when hurt. And contrary to a common myth, many male praying mantises try to avoid being eaten by females; they don’t always just continue mating.

      Again, no single marker – or even the lot of them – proves that insects can feel pain. However, the accumulated evidence suggests that there’s at least a realistic possibility. This position is reflected in two scientific consensus statements: the 2012 Cambridge Declaration on Consciousness and the 2024 New York Declaration on Animal Consciousness, which are attempts to summarize the state of knowledge about many groups of animals.

      Humane practices?

      It’s widely acknowledged that it’s wrong to cause unnecessary pain in animals – an imperative codified in the ethical principles that U.S. federal agencies consult when making regulations about research. So, if insects can feel pain, as most Americans believe, then there is an ethical reason to protect their welfare.

      Of course, it isn’t certain that they can feel pain. So, precautionary reasoning becomes important: taking steps to reduce the risk of causing harm that are, in some sense, proportional to the magnitude of the risk. In other words, people who rear insects should take modest steps to reduce the risk that they are causing more pain than they need to cause.

      On some insect farms, a potential concern is injuries from cannibalism and aggression, which occur at greater rates when animals such as crickets are crowded together. The issue crops up in other farming systems as well: Chickens harm their flockmates when they don’t have sufficient room.

      There are also worries about slaughter. Typically, a humane death is fast, but many insects are killed using very slow methods, such as baking and microwaving. Grinding and boiling, by contrast, may be much quicker.

      Black soldier flies being grown as fish food live in laying-and-rearing aviaries at a factory in France.
      AP Photo/Aurelien Morissard

      In lab research, one potential concern is performing live dissections, once known as vivisection, without anesthetics or analgesics. The practice has been almost universally abandoned for vertebrate animals but is still routine with some insects. People have described many cases of insect neglect to me, including times when researchers have accidentally let insects starve or become fatally dehydrated after experiments conclude, rather than euthanizing them.

      Granted, it’s hard to be sure that any particular practice causes pain. If there’s a realistic possibility, however, then it’s worth considering alternative practices.

      As scientists have suggested, insect producers could reduce the number of animals in each container to reduce problems associated with crowding. They could investigate strategies for stunning insects before processing them, just as other animals are stunned before slaughter.

      In most countries, insect researchers are not legally required to follow the standard ethical guidelines for other animal researchers. But there is nothing to prevent insect researchers from following them voluntarily. These international guidelines recommend avoiding the use of live animals entirely when possible; using fewer live animals when they do need to be used; and refining practices to minimize the risk of pain and distress, such as giving insects anesthesia before dissection.

      It’s possible to treat insects more humanely. And since they may be able to feel pain, I believe it’s important to take reasonable steps to do so.

      Bob Fischer is on the board of the Insect Welfare Research Society and the Arthropoda Foundation.

      – ref. Insects are everywhere in farming and research − but insect welfare is just catching up – https://theconversation.com/insects-are-everywhere-in-farming-and-research-but-insect-welfare-is-just-catching-up-249585

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI Global: Hormone therapy may cut cardiovascular risk in younger menopausal women

      Source: The Conversation – USA – By Matthew Nudy, Assistant Professor of Medicine and Public Health Sciences, Penn State

      Hormone therapy relieves many symptoms of menopause. Ariel Skelley/DigitalVision via Getty Images

      Menopause can have profound effects on heart health, yet many people are unaware of this important connection.

      The hormonal shifts occurring during menopause mark the end of a woman’s reproductive years and contribute to an increased risk of cardiovascular disease, the most common cause of death among women globally. As estrogen levels drop, changes in cholesterol, blood pressure, inflammation and fat distribution can lead to plaque buildup in blood vessels, which is a major cause of heart disease.

      Hormone therapy has long been prescribed to relieve bothersome menopausal symptoms, but research published in 2002 and 2004 raised concerns about its safety, especially regarding cardiovascular health. Those findings led to years of confusion and debate. Although hormone therapy was also previously prescribed to prevent chronic diseases such as cardiovascular disease, medical guidelines today no longer recommend it for this purpose based on this prior research.

      As a cardiologist studying the prevention of heart disease in menopausal women, I investigate how hormone changes affect heart health and how treatments can be improved to lower cardiovascular disease risk. As research continues to shed light on menopause and heart health, it is becoming increasingly clear that hormone therapy used to treat menopausal symptoms in younger, healthy women is not only safe for the heart but may even offer some cardiovascular benefits.

      The estrogen-cardiovascular link explained

      Menopause, defined as 12 consecutive months without a menstrual period, marks the end of a woman’s reproductive years and typically occurs between ages 45 to 55. The transition leading to menopause, known as perimenopause, can last several years and is characterized by fluctuating levels of hormones, including estrogen and progesterone. These hormonal changes often cause symptoms such as hot flashes, night sweats and sleep disturbances.

      Hormone therapy got a bad rap in the early 2000s.

      What’s less widely known is that menopause and lack of estrogen also drive changes to the heart and blood vessels. Estrogen has protective effects on the cardiovascular system, and its decline can lead to increased blood vessel stiffness, resulting in high blood pressure, higher cholesterol levels, more inflammation, and shifts in fat deposition, which lead to a greater risk of heart disease.

      One reason for this is that estrogen helps keep blood vessels flexible and supports the production of nitric oxide, a molecule that allows vessels to relax and maintain healthy blood flow. Estrogen also influences how the body processes cholesterol, helping to make changes to cholesterol to reduce plaque buildup in artery walls. When estrogen levels drop during menopause, these protective factors diminish, making arteries more susceptible to stiffening, plaque buildup and inflammation. These biological processes raise the risk of long-term cardiovascular disease.

      Hormone therapy’s rocky history

      Hormone therapy using estrogen alone or a combination of estrogen and progestin, a synthetic derivative of progesterone, restores estrogen levels and effectively treats menopausal symptoms. It comes with some risks, though, which depend on factors such as a woman’s age, time since menopause began and overall health.

      The medical community’s view on hormone therapy has shifted dramatically over the years. In the 1970s, hormone therapy was widely promoted as a fountain of youth and was prescribed commonly to prevent age-related chronic diseases such as heart attack and stroke.

      Then, in the early 2000s, the Women’s Health Initiative, one of the largest clinical trials testing oral hormone therapy in women, found an increased risk of stroke and breast cancer in those who used hormone therapy. Doctors abruptly stopped prescribing it, and medical guidelines shifted their recommendations, saying the treatment had more risks than benefits.

      However, additional analyses of data from the Women’s Health Initiative along with results from further studies pointed researchers to a theory called the timing hypothesis, which suggests that the risks and benefits of hormone therapy depend on when treatment begins.

      According to the timing hypothesis, hormone therapy may lower the risk of heart disease in menopausal women who start it before age 60 and within 10 years of menopause onset, and who are otherwise in good health. Women who begin hormone therapy much later – after age 60 or more than 10 years after menopause onset – may instead face increased cardiovascular risks.

      Studies show that estrogen can support heart health.
      Adam SmigielskiE+ via Getty Images

      A personalized approach to treating menopause

      My research supports this idea. In a 2019 study, my colleagues and I analyzed data from 31 clinical trials of women who started hormone therapy at different ages, and we found that women under 60 who used hormone therapy tend to live longer and are less likely to die from heart disease. However, our study did find an increased risk in blood clots and stroke with hormone therapy. This risk was present in menopausal women under 60 years old and continuously increased as women got older.

      Additionally, research has shown that different methods of taking hormone therapy may affect its impact on cardiovascular health. For example, using estrogen patches worn on the skin may have a lower risk of blood clots compared with hormone therapy taken as a pill.

      This is due to a phenomenon called first pass metabolism. Hormone therapy taken by mouth is processed by the liver before entering the bloodstream. The liver produces clotting factors, which raises the risk of blood clots. In contrast, estrogen patches deliver the medication into the bloodstream, bypassing the liver, and do not increase this risk.

      Overall, we found that women who took oral hormone therapy tended to have lower cholesterol levels, and this effect persisted over many years. For healthy younger women who are within 10 years of menopause onset, hormone therapy is safe from a cardiovascular standpoint and may even provide benefit.

      However, hormone therapy is still not recommended for women with existing heart disease, history of blood clots, prior stroke, gallbladder disease or certain types of cancers.

      Medical experts now recognize that blanket recommendations for or against hormone therapy are not appropriate. Instead, treatment decisions should be individualized, considering factors such as age, time since menopause began and overall health.

      If you are considering hormone therapy, discussing risks and benefits with your health care provider is vital.

      Here are questions to consider asking your health care provider:

      • Am I a good candidate for hormone therapy based on my health history?

      • What are the risks and benefits of starting hormone therapy at my age?

      • What type of hormone therapy, such as pills, patches or gel, is safest and most effective for me?

      • How long should I stay on hormone therapy?

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

      – ref. Hormone therapy may cut cardiovascular risk in younger menopausal women – https://theconversation.com/hormone-therapy-may-cut-cardiovascular-risk-in-younger-menopausal-women-243561

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI Global: Being alone has its benefits − a psychologist flips the script on the ‘loneliness epidemic’

      Source: The Conversation – USA – By Virginia Thomas, Assistant Professor of Psychology, Middlebury

      Studies show that choosing ‘me time’ is not a recipe for loneliness but can boost your creativity and emotional well-being. FotoDuets/iStock via Getty Images Plus

      Over the past few years, experts have been sounding the alarm over how much time Americans spend alone.

      Statistics show that we’re choosing to be solitary for more of our waking hours than ever before, tucked away at home rather than mingling in public. Increasing numbers of us are dining alone and traveling solo, and rates of living alone have nearly doubled in the past 50 years.

      These trends coincided with the surgeon general’s 2023 declaration of a loneliness epidemic, leading to recent claims that the U.S. is living in an “anti-social century.”

      Loneliness and isolation are indeed social problems that warrant serious attention, especially since chronic states of loneliness are linked with poor outcomes such as depression and a shortened lifespan.

      But there is another side to this story, one that deserves a closer look. For some people, the shift toward aloneness represents a desire for what researchers call “positive solitude,” a state that is associated with well-being, not loneliness.

      As a psychologist, I’ve spent the past decade researching why people like to be alone – and spending a fair amount of time there myself – so I’m deeply familiar with the joys of solitude. My findings join a host of others that have documented a long list of benefits gained when we choose to spend time by ourselves, ranging from opportunities to recharge our batteries and experience personal growth to making time to connect with our emotions and our creativity.

      Being alone can help remind people who they are.

      So it makes sense to me why people live alone as soon as their financial circumstances allow, and when asked why they prefer to dine solo, people say simply, “I want more me time.”

      It’s also why I’m not surprised that a 2024 national survey found that 56% of Americans considered alone time essential for their mental health. Or that Costco is now selling “solitude sheds” where for around US$2,000 you can buy yourself some peace and quiet.

      It’s clear there is a desire, and a market, for solitude right now in American culture. But why does this side of the story often get lost amid the warnings about social isolation?

      I suspect it has to do with a collective anxiety about being alone.

      The stigma of solitude

      This anxiety stems in large part from our culture’s deficit view of solitude. In this type of thinking, the desire to be alone is seen as unnatural and unhealthy, something to be pitied or feared rather than valued or encouraged.

      This isn’t just my own observation. A study published in February 2025 found that U.S. news headlines are 10 times more likely to frame being alone negatively than positively. This type of bias shapes people’s beliefs, with studies showing that adults and children alike have clear judgments about when it is – and importantly when it is not – acceptable for their peers to be alone.

      This makes sense given that American culture holds up extroversion as the ideal – indeed as the basis for what’s normal. The hallmarks of extraversion include being sociable and assertive, as well as expressing more positive emotions and seeking more stimulation than the opposite personality – the more reserved and risk-averse introverts. Even though not all Americans are extroverts, most of us have been conditioned to cultivate that trait, and those who do reap social and professional rewards. In this cultural milieu, preferring to be alone carries stigma.

      But the desire for solitude is not pathological, and it’s not just for introverts. Nor does it automatically spell social isolation and a lonely life. In fact, the data doesn’t fully support current fears of a loneliness epidemic, something scholars and journalists have recently acknowledged.

      In other words, although Americans are indeed spending more time alone than previous generations did, it’s not clear that we are actually getting lonelier. And despite our fears for the eldest members of our society, research shows that older adults are happier in solitude than the loneliness narrative would lead us to believe.

      It’s all a balancing act – along with solitude, you need to socialize.

      Social media disrupts our solitude

      However, solitude’s benefits don’t automatically appear whenever we take a break from the social world. They arrive when we are truly alone – when we intentionally carve out the time and space to connect with ourselves – not when we are alone on our devices.

      My research has found that solitude’s positive effects on well-being are far less likely to materialize if the majority of our alone time is spent staring at our screens, especially when we’re passively scrolling social media.

      This is where I believe the collective anxiety is well placed, especially the focus on young adults who are increasingly forgoing face-to-face social interaction in favor of a virtual life – and who may face significant distress as a result.

      Social media is by definition social. It’s in the name. We cannot be truly alone when we’re on it. What’s more, it’s not the type of nourishing “me time” I suspect many people are longing for.

      True solitude turns attention inward. It’s a time to slow down and reflect. A time to do as we please, not to please anyone else. A time to be emotionally available to ourselves, rather than to others. When we spend our solitude in these ways, the benefits accrue: We feel rested and rejuvenated, we gain clarity and emotional balance, we feel freer and more connected to ourselves.

      But if we’re addicted to being busy, it can be hard to slow down. If we’re used to looking at a screen, it can be scary to look inside. And if we don’t have the skills to validate being alone as a normal and healthy human need, then we waste our alone time feeling guilty, weird or selfish.

      The importance of reframing solitude

      Americans choosing to spend more time alone is indeed a challenge to the cultural script, and the stigmatization of solitude can be difficult to change. Nevertheless, a small but growing body of research indicates that it is possible, and effective, to reframe the way we think about solitude.

      For example, viewing solitude as a beneficial experience rather than a lonely one has been shown to help alleviate negative feelings about being alone, even for the participants who were severely lonely. People who perceive their time alone as “full” rather than “empty” are more likely to experience their alone time as meaningful, using it for growth-oriented purposes such as self-reflection or spiritual connection.

      Even something as simple as a linguistic shift – replacing “isolation” with “me time” – causes people to view their alone time more positively and likely affects how their friends and family view it as well.

      It is true that if we don’t have a community of close relationships to return to after being alone, solitude can lead to social isolation. But it’s also true that too much social interaction is taxing, and such overload negatively affects the quality of our relationships. The country’s recent gravitational pull toward more alone time may partially reflect a desire for more balance in a life that is too busy, too scheduled and, yes, too social.

      Just as connection with others is essential for our well-being, so is connection with ourselves.

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

      – ref. Being alone has its benefits − a psychologist flips the script on the ‘loneliness epidemic’ – https://theconversation.com/being-alone-has-its-benefits-a-psychologist-flips-the-script-on-the-loneliness-epidemic-250742

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI Global: Hard work feels worth it, but only after it’s done – new research on how people value effort

      Source: The Conversation – USA – By Piotr Winkielman, Professor of Psychology, University of California, San Diego

      How many stairs would you climb for that payoff? Ozgur Donmaz/DigitalVision via Getty Images

      When deciding if something is worth the effort, whether you’ve already exerted yourself or face the prospect of work changes your calculus. That’s what we found in our new research, published in the Journal of Experimental Psychology: General.

      When you consider a future effort, more work makes the outcome less appealing. But once you’ve completed the work, more effort makes the outcome seem more valuable. We also discovered that hiding behind this general principle of timing there are individual differences in how future and past effort shapes people’s value for the fruits of their labor.

      What’s it worth to you?

      In our experiment, we gave participants a choice between a fixed amount of money and a household item – a mug – that they could take home if they exerted some amount of physical effort, roughly equivalent to walking up one, two or three flights of stairs.

      This setup allowed us to determine the value each person placed on the effort – did it add to or subtract from the value of the item? For instance, if putting in a little more effort made someone switch their decision and decide to go with the cash instead of the mug, we could tell that they valued the mug plus that amount of effort less than that sum of money.

      We also manipulated the time aspect of effort. When the effort was in the future, participants decided whether they wanted to go with the cash or get the mug with some effort. When the effort was in the past, participants decided whether they wanted to cash in the mug they had already earned with effort.

      As we had expected, future effort generally detracted from the value of the mug, but the past effort generally increased it.

      But these general trends do not tell the whole story. Not everyone responds to effort the same way. Our study also uncovered striking individual differences. Four distinct patterns emerged:

      1. For some people, extra effort always subtracted value.
      2. Others consistently preferred items with more work.
      3. Many showed mixed patterns, where moderate effort increased value but excessive effort decreased it.
      4. Some experienced the opposite: initially disliking effort, then finding greater value at higher levels.

      These changing patterns show that one’s relationship with effort isn’t simple. For many people, there’s a sweet spot – a little effort might make something more valuable, but push too far and the value drops. It’s like enjoying a 30-minute workout but dreading a 2-hour session, or conversely, feeling that a 5-minute workout isn’t worth changing clothes for, but a 45-minute session feels satisfying.

      Our paper offers a mathematical model that accounts for these individual differences by proposing that your mind flexibly computes costs and benefits of effort.

      Why violate the ‘law of less work?’

      Why should timing even matter for effort? It seems obvious that reason and nature would teach you to always avoid and dislike effort.

      A hummingbird that puts in lots of extra work to get the same amount of nectar won’t last long.
      Juan Carlos Vindas/Moment via Getty Images

      A hummingbird that prefers a hard-to-get flower over an easy equal alternative might win an A for effort, but, exhausted, would not last long. The cruel world requires “resource rationality” – optimal, efficient use of limited physical and mental resources, balancing the benefits of actions with the required effort.

      That insight is captured by the classic psychological “law of less work,” basically boiling down to the idea that given equivalent outcomes, individuals prefer easier options. Anything different would seem irrational or, in plain language, stupid.

      If so, then how come people, and even animals, often prize things that require hard work for no additional payoff? Why is being hard-to-get a route to value? Anyone who has labored hard for anything knows that investing effort makes the final prize sweeter – whether in love, career, sports or Ikea furniture assembly.

      Could the answer to this “paradox of effort” be that in the hummingbird example, the decision is about future effort, and in the Ikea effect, the effort is in the past?

      Our new findings explain seemingly contradictory phenomena in everyday life. In health care, starting an exercise regimen feels overwhelming when focusing on upcoming workouts, but after establishing the habit, those same exercises become a source of accomplishment. At work, professionals might avoid learning difficult new skills, yet after mastering them, they value their enhanced abilities more because they were challenging to acquire.

      John F. Kennedy supported space exploration efforts, ‘not because they are easy, but because they are hard.’
      Robert Knudsen. White House Photographs. John F. Kennedy Presidential Library and Museum, Boston, CC BY

      What still isn’t known

      Sayings like “No pain, no gain” or “Easy come, easy go” populate our language and seem fundamental to our culture. But researchers still don’t fully understand why some people value effortful options more than others do. Is it physical aptitude, past experiences, a sense of meaning, perception of difficulty as importance or impossibility, moralization of effort, specific cultural beliefs about hard work? We don’t know yet.

      We’re now studying how effort shapes different aspects of value: monetary value; hedonic value, as in the pleasure one gets from an item; and the aesthetic value, as in the sense of beauty and artistry. For instance, we’re investigating how people value artful calligraphy after exerting different amounts of effort to view it.

      This work may shed light on curious cultural phenomena, like how people value their experience seeing the Mona Lisa after waiting for hours in crowds at the Louvre. These studies could also help researchers design better motivation systems across education, health care and business.

      Piotr Winkielman received funding for this research from the University of California, San Diego, Academic Senate.

      Przemysław Marcowski received funding for this research from the National Science Centre Poland.

      – ref. Hard work feels worth it, but only after it’s done – new research on how people value effort – https://theconversation.com/hard-work-feels-worth-it-but-only-after-its-done-new-research-on-how-people-value-effort-252684

      MIL OSI – Global Reports –

      April 5, 2025
    • MIL-OSI United Kingdom: British High Commission Accra hosts Ambassador for a Day Awards

      Source: United Kingdom – Executive Government & Departments

      World news story

      British High Commission Accra hosts Ambassador for a Day Awards

      6 young Ghanaian girls have been selected to shadow the High Commissioners of UK, Italy, Barbados and selected female CEOs for a day.

      Winners of the Ambassador for a Day Competition 2025

      The British High Commission is proud to announce winners for the fourth annual Ambassador for a Day (AfD) competition; a flagship initiative dedicated to empowering young women to assume leadership roles, advocate for women’s rights and play an active role in diplomacy. This year’s event is being held in partnership with the Barbados High Commission, the Italian Embassy, the UK-Ghana Chamber of Commerce, Omni Group of Companies, and Cyndex Limited.  

      The Ambassador for a Day (AfD) competition provides winners with an opportunity to spend a day with Female Heads of Missions- and for the first time, Female CEOs, as well as engage in other mentorship activities with them.  

      This year, the six (6) winners who topped the competition were: Fafali Dorgbetor (matched with the British High Commissioner), Emelia Yaabi (matched with the Barbados High Commissioner), Miriam Nasigri (matched with Italian Ambassador), Issahaku Barichisu (matched with the Executive Director of the UK-Ghana Chamber of Commerce), Deborah Jonah (matched with the Group Managing Director of the Omni Group of Companies) and Nafisa Osman (matched with the CEO of Cyndex Limited). They will have the opportunity to act as Ambassadors and Corporate Executives for a Day. They will also receive soft skills training to strengthen their leadership and advocacy skills.   

      The following Heads of Missions and Female corporate CEOs will participate as mentors in the 2025 AfD competition – British High Commissioner, H.E. Harriet Thompson, the Barbados High Commissioner, H.E. Juliette Bynoe-Sutherland, the Italian Ambassador, H.E. Laura Ranalli, Adjoba Kyiamah – Executive Director of the UK-Ghana Chamber of Commerce, Pamela Zormelo – Group Managing Director, Omni Group of Companies, Cynthia Johanna Baffour – Chief Executive Officer of Cyndex Limited. 

      Congratulating the winners at the Awards Ceremony, the British High Commissioner, H.E. Harriet Thompson said:  

      Ghana is charting a new course. The Affirmative Action Act and the historic election of your female Vice-President are powerful indicators of your commitment to gender equality. There is however more to do to achieve the full realisation of the tenets of the Affirmative Action Act and beyond.

      Ambassador for a Day, with its mentorship component, is a powerful platform to build ambition and momentum for future female leaders. It’s not just a matter of fairness; it’s a matter of national development. Investing in women, who make up over half our population, is an investment in Ghana’s future.

      The AfD competition, is part of the British High Commission’s ‘Ghana Gender and Equalities Month initiative;’ an annual campaign which takes place in March – where Ambassadors / High Commissioners and female CEOs unite to inspire and promote the leadership and entrepreneurial potential of selected young women in Ghana, while supporting the Sustainable Development Goal (SDG 5) to promote Gender Equality and Women’s Empowerment, not only as a fundamental human right, but a necessary foundation for a peaceful, prosperous and sustainable world. 

      Between March and December all 6 winners will participate in Mentorship Learning and Sharing engagements organised by participating missions and organisations.  

      The winners will serve as Community Based Ambassadors (CBAs), catalysts and champions of change advocating for gender equality and female empowerment within their own communities. 

      The British High Commission partnered with Women’s Right and Youth Organisations such as Power to Girls Foundation, Fulani Youth Association of Ghana (FUYAG), Foundation of Security Development in Africa (FOSDA), Campaign for Female Education (CAMFED), Plan Ghana, Amnesty International, United Nations Population Fund (UNFPA), Purim African Youth Development Platform (PAYDP), Eclectic Love, African Women Leaders Network (Ghana Chapter) and the Affirmative Action Youth Coalition who allowed the girls to participate in this year’s competition.

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      Updates to this page

      Published 4 April 2025

      MIL OSI United Kingdom –

      April 5, 2025
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